|
|
|
m & a
west inc |
552471
10 4 |
us5524711042 |
| |
msaaf |
m & c saatchi |
|
au000000mxc6 |
| |
mfbp |
m & f bancorp
inc/nc |
552507 10 5 |
us5525071057 |
| |
|
m & f worldwide
corporation call |
552541 90 4 |
|
| |
|
m & f worldwide
corporation com |
552541 10 4 |
|
| |
|
m & f worldwide
corporation put |
552541 95 4 |
|
| |
|
m & g plc |
|
fr0000053027 |
| |
mtb |
m & t bank
corporation |
55261f 10 4 |
us55261f1049 |
| |
|
m & t bank
corporation call |
55261f 90 4 |
|
| |
mtb.p |
m & t bank
corporation pref share mtb 5
p12/31/49 +a |
55261f 60 9 |
us55261f6097 |
|
|
mtb.pc |
m & t bank
corporation pref share mtb 6.375
p12/31/49 c |
55261f 70 8 |
us55261f7087 |
| |
mtb.pr.c |
m & t bank
corporation pref share mtb 6.375
p12/31/49 c |
55261f 70 8 |
us55261f7087 |
| |
|
m & t bank
corporation put |
55261f 95 4 |
|
| |
mtb.w |
m & t bank
corporation warrants exp 12/23/201 |
55261f 11 2 |
us55261f1122 |
| |
|
m & t capit 85%
1/31/68 pfd |
55292c 20 3 |
us55292c2035 |
| |
|
m & t mortgage
investors |
552615 10 6 |
|
| |
mho |
m / i homes inc |
55305b 10 1 |
us55305b1017 |
| |
|
m / i homes inc
call |
55305b 90 1 |
|
| |
|
m / i homes inc
note 3.000% 3/0 |
55292p ab 1 |
|
| |
|
m / i homes inc
note 3.250% cb 09/15/2017 reg |
55292p aa 3 |
|
| |
mho.pr.a |
m / i homes inc
pref share mho 9.75 p12/31/49 a |
55305b 20 0 |
us55305b2007 |
| |
|
m / i homes inc put |
55305b 95 1 |
|
| |
mozo |
m 101 corp |
553133 10 9 |
us5531331099 |
| |
|
m 2003 plc adr |
553793 10 0 |
us5537931009 |
| |
|
m 3 brigade
acquisition ii co com class a |
553800 10 3 |
|
| |
|
m 3 brigade
acquisition ii co unit |
553800 20 2 |
|
| |
|
m 3 brigade
acquisition ii co warrants exp
09/03/202 |
553800 11 1 |
|
| |
|
m 3 brigade
acquisition iii class a com |
55407r 10 3 |
|
| |
|
m 3 brigade
acquisition iii unit |
55407r 20 2 |
|
| |
|
m 3 brigade
acquisition iii warrants exp
07/31/202 |
55407r 11 1 |
|
| |
|
m 3 inc |
55379n 10 6 |
|
| |
|
m 3 inc. |
55379n 10 6 |
|
| |
|
m 8 entertainment
inc |
552770 20 8 |
ca5527702081 |
| |
|
m a c c private
equities inc com |
552617 10 2 |
|
| |
|
m a com inc |
552618 10 0 |
|
| |
|
m a f bancorp inc
call |
55261r 90 8 |
|
| |
mafb |
m a f bancorp inc
com |
55261r 10 8 |
|
| |
|
m a f bancorp inc
put |
55261r 95 8 |
|
| |
|
m a i a
biotechnology inc com |
552641 10 2 |
|
| |
mbf |
m a i basic four |
552620 10 6 |
|
| |
|
m a i c holdings
inc |
55261v 10 9 |
|
| |
|
m a i d plc |
55261q 10 0 |
|
| |
|
m a i i holdings
inc |
55265b 10 9 |
us55265b1098 |
| |
|
m a i systems corp |
552620 20 5 |
|
| |
|
m a m software
group inc |
55277q 10 2 |
us55277q1022 |
| |
mams |
m a m software
group inc com new |
55277q 20 1 |
us55277q2012 |
| |
|
m a r c inc |
552914 10 3 |
|
| |
massy |
m a s technology
limited |
55263a 10 3 |
|
| |
|
m a x automation |
|
cne100005pc8 |
| |
|
m b a c fertilizer
corp |
55276m 10 2 |
ca55276m1023 |
|
|
|
m b a
holdings inc |
55261x
30 3 |
us55261x3035 |
| |
|
m b associates |
552621 10 4 |
|
| |
|
m b b industries |
|
zae000018941 |
| |
mb |
m b bancorp inc |
55280e 10 4 |
us55280e1047 |
| |
|
m b c holding co |
55264x 10 2 |
us55264x1028 |
| |
|
m b caradon plc |
55262e 20 5 |
|
| |
|
m b f healthcare
acquisition c com |
552650 10 3 |
|
| |
|
m b f healthcare
acquisition c unit |
552650 20 2 |
|
| |
|
m b f healthcare
acquisition c w exp 04/16/201 |
552650 11 1 |
|
| |
|
m b f holdings
berhad |
552980 10 4 |
|
| |
|
m b f usa inc |
55262r 20 6 |
|
| |
mbfio |
m b financial inc |
55264u 40 5 |
us55264u4058 |
| |
|
m b financial inc
new call |
55264u 90 8 |
|
| |
mbfi |
m b financial inc
new com |
55264u 10 8 |
us55264u1088 |
| |
|
m b financial inc
new put |
55264u 95 8 |
|
| |
mbfip |
m b financial inc
perpetual non cumulative preferred
stock series a |
55264u 20 7 |
us55264u2078 |
| |
mcbx |
m b holdings |
55262m 10 8 |
|
| |
mzf |
m b i a capital
claymore mining dur in com |
55266x 10 0 |
|
| |
|
m b i a inc call |
55262c 90 0 |
|
| |
mbi |
m b i a inc com |
55262c 10 0 |
us55262c1009 |
| |
|
m b i a inc put |
55262c 95 0 |
|
| |
|
m b i a insurance
corp |
55276g 88 1 |
us55276g8814 |
| |
|
m b i business
centers inc |
552622 10 2 |
us5526221024 |
| |
|
m b i financial inc |
55274n 10 2 |
us55274n1028 |
| |
|
m b l a financial
corp |
552623 10 0 |
|
| |
|
m b l group |
|
zae000125316 |
| |
|
m b l international
fin bermuda trust corporation bond |
55262x aa 2 |
|
| |
mbrtf |
m b m i resources
inc |
552643 30 6 |
ca5526433068 |
| |
|
m b m i resources
inc |
552643 10 8 |
ca5526431088 |
| |
|
m b m i resources
inc |
552643 20 7 |
ca5526432078 |
| |
|
m b n a
8.125%trups32 d |
55266j 20 0 |
us55266j2006 |
| |
krb |
m b n a corp |
55262l 10 0 |
|
| |
|
m b n a corporation
call |
55262l 90 0 |
|
| |
|
m b n a corporation
put |
55262l 95 0 |
|
| |
osndf |
m b n corporation |
55278p 10 3 |
ca55278p1036 |
| |
|
m b o p liquidating
trust |
552629 20 6 |
us5526292066 |
| |
|
m b p x l corp |
552627 10 1 |
|
| |
|
m b retail europe |
|
au000000mrm7 |
| |
|
m b s |
|
zae000050456 |
| |
mbsx |
m b s textbook
exchange in |
552634 10 7 |
|
| |
|
m b t bancshares
inc |
55281e 10 3 |
us55281e1038 |
| |
|
m b x biosciences
inc call |
55287l 90 1 |
|
| |
|
m b x biosciences
inc com |
55287l 10 1 |
|
| |
|
m b x biosciences
inc put |
55287l 95 1 |
|
| |
brejf |
m bank s.a |
|
brmmxmtrv000 |
| |
pntof |
m bank s.a |
|
au000000pyl8 |
| |
brejy |
m bank sa
u/adr/1:20 |
552750 10 1 |
us5527501010 |
| |
|
m c a inc |
552653 10 7 |
|
| |
|
m c a p acquisition
corporation com class a |
55282t 10 9 |
|
| |
|
m c a p acquisition
corporation unit 02/18/2030 |
55282t 20 8 |
|
|
|
|
m c
a p acquisition corporation
warrants exp 03/02/202 |
55282t 11 7 |
|
| |
|
m c b agricole |
55276h 10 3 |
|
| |
|
m c b c
holdings inc call |
55276f 90 7 |
|
| |
mcft |
m c b c
holdings inc com |
55276f 10 7 |
us55276f1075 |
| |
|
m c b c
holdings inc put |
55276f 95 7 |
|
| |
|
m c b
investments corp |
55265p 10 8 |
ca55265p1080 |
| |
mcdc |
m c d c casino |
552668 10 5 |
|
| |
msmy |
m c endeavors
inc |
552681 10 8 |
us5526811089 |
| |
|
m c i
communications corporation call |
552673 90 5 |
|
| |
|
m c i
communications corporation com |
552673 10 5 |
|
| |
|
m c i
communications corporation put |
552673 95 5 |
|
| |
mcig |
m c i g inc |
55279l 10 1 |
us55279l1017 |
| |
|
m c i worldcom
inc call |
552691 90 7 |
|
| |
|
m c i worldcom
inc call |
55268b 90 6 |
|
| |
|
m c i worldcom
inc com |
552691 10 7 |
us5526911079 |
| |
|
m c i worldcom
inc com |
55268b 10 6 |
|
| |
|
m c i worldcom
inc put |
552691 95 7 |
|
| |
|
m c i worldcom
inc put |
55268b 95 6 |
|
| |
|
m c inc |
552642 10 0 |
|
| |
mcmc |
m c m capital
group inc |
55269b 10 5 |
|
| |
|
m c m
corporation com |
552674 10 3 |
|
| |
|
m c n energy
group inc call |
55267j 90 0 |
|
| |
|
m c n energy
group inc com |
55267j 10 0 |
|
| |
|
m c n energy
group inc put |
55267j 95 0 |
|
| |
|
m c o resources
inc |
552900 10 2 |
|
| |
|
m c s i inc
call |
55270m 90 8 |
|
| |
|
m c s i inc
call |
55270m 95 8 |
|
| |
|
m c s i inc com |
55270m 10 8 |
us55270m1080 |
| |
mtel |
m c s
telecomminications inc |
552910 10 1 |
|
| |
mcx |
m c shipping
inc com |
55267q 10 4 |
|
|
|
mctcd |
m c
t c holdings inc |
55282a 20 9 |
us55282a2096 |
| |
|
m c t c
holdings inc |
55282a 10 0 |
us55282a1007 |
| |
|
m c w energy
group ltd |
55279d 10 9 |
ca55279d1096 |
| |
|
m corporation
inc |
55267m 10 3 |
us55267m1036 |
| |
|
m d b capital
holdings llc class a |
55285n 10 9 |
|
| |
mir |
m d c asset
investors |
55267u 10 5 |
|
| |
|
m d c corp |
552677 10 6 |
|
| |
|
m d c
corporation class a sub vtg new |
55267w 30 9 |
|
| |
|
m d c financial |
55267v 10 3 |
ca55267v1031 |
| |
mdc |
m d c holdings
inc |
552676 10 8 |
us5526761086 |
| |
|
m d c holdings
inc call |
552676 90 8 |
|
| |
|
m d c holdings
inc put |
552676 95 8 |
|
| |
|
m d c partners
inc call |
552697 90 4 |
|
| |
mdca |
m d c partners
inc class a sub vtg |
552697 10 4 |
ca5526971042 |
| |
|
m d c partners
inc put |
552697 95 4 |
|
| |
|
m d h
acquisition corporation com
class a |
55283p 10 6 |
|
| |
|
m d h
acquisition corporation unit |
55283p 20 5 |
|
| |
|
m d h
acquisition corporation warrants
exp 02/02/202 |
55283p 11 4 |
|
| |
|
m d i
entertainment inc com |
55268s 10 9 |
|
| |
|
m d i inc |
552705 20 4 |
us5527052048 |
|
|
|
m d i
inc com |
552705
10 5 |
|
| |
|
m d l information
system inc call |
55267r 90 2 |
|
| |
mdli |
m d l information
system inc com |
55267r 10 2 |
|
| |
|
m d l information
system inc put |
55267r 95 2 |
|
| |
mddm |
m d m group inc |
55270e 10 6 |
us55270e1064 |
| |
|
m d m permian inc |
55282p 10 7 |
us55282p1075 |
| |
|
m d medical group
investments plc s/gdr 144a/1:1 |
55279c 10 1 |
us55279c1018 |
| |
|
m d medical group
investments plc s/gdr regs/1:1 |
55279c 20 0 |
us55279c2008 |
| |
|
m d multimedia inc |
55270u 10 0 |
ca55270u1003 |
| |
|
m d n inc |
55276l 10 4 |
ca55276l1040 |
| |
mdrzf |
m d r ltd |
|
brmmxmacnor2 |
| |
|
m d r n a inc call |
55276n 90 0 |
|
| |
|
m d r n a inc com |
55276n 10 0 |
|
| |
|
m d r n a inc put |
55276n 95 0 |
|
| |
|
m d s i mobile data
solutions inc com |
55268n 10 0 |
|
| |
|
m d s inc call |
55269p 90 2 |
|
| |
|
m d s inc call |
55270m 95 8 |
|
| |
|
m d s inc com |
55269p 30 2 |
|
| |
|
m d s inc put |
55269p 95 2 |
|
| |
mdtc |
m d t corp |
552687 10 5 |
|
| |
mdu |
m d u resources
group inc |
552690 10 9 |
us5526901096 |
| |
mdurp |
m d u resources
group inc 4.50 pr |
552690 20 8 |
us5526902086 |
| |
mdurn |
m d u resources
group inc 4.70 pr |
552690 30 7 |
us5526903076 |
| |
|
m d u resources
group inc call |
552690 90 9 |
|
| |
|
m d u resources
group inc put |
552690 95 9 |
|
| |
meca |
m e c a software
inc |
552694 10 1 |
|
| |
mecsf |
m e c resources ltd |
|
gb0005991111 |
| |
|
m e d l mobile
holdings inc |
55278n 10 8 |
us55278n1081 |
| |
megef |
m e g energy corp |
552704 10 8 |
ca5527041084 |
| |
|
m e g energy
corporation rct |
552704 11 6 |
ca5527041167 |
| |
|
m e i diversified
inc |
552712 10 1 |
us5527121017 |
| |
|
m e i pharma inc |
55279b 10 3 |
us55279b1035 |
| |
|
m e i pharma inc
call |
55279b 90 1 |
|
| |
|
m e i pharma inc
call |
55279b 90 2 |
|
| |
|
m e i pharma inc
com |
55279b 30 1 |
|
| |
meip |
m e i pharma inc
com new |
55279b 20 2 |
us55279b2025 |
| |
|
m e i pharma inc
put |
55279b 95 1 |
|
| |
|
m e i pharma inc
put |
55279b 95 2 |
|
| |
|
m e i pharma inc
wrt 5/10/17 |
55279b 11 1 |
us55279b1118 |
| |
|
m e l a sciences
inc call |
55277r 90 0 |
|
| |
|
m e l a sciences
inc com |
55277r 10 0 |
us55277r1005 |
| |
|
m e l a sciences
inc put |
55277r 95 0 |
|
| |
|
m e m c electronic
materials inc call |
552715 90 4 |
|
| |
wfr |
m e m c electronic
materials inc com |
552715 10 4 |
us5527151048 |
| |
|
m e m c electronic
materials inc put |
552715 95 4 |
|
| |
meoay |
m e o australia ltd
sp/adr |
55276x 10 8 |
us55276x1081 |
| |
mepw |
m e renewable power
corp |
552745 10 1 |
us5527451018 |
| |
|
m e resource
corporation |
552749 10 3 |
ca5527491032 |
| |
mvc |
m e v c draper
fisher jurvet fund inc com |
55271e 10 5 |
|
| |
mfo |
m f a financial inc
8.00% sr notes due 2042 |
55272x 30 0 |
us55272x3008 |
|
|
|
m f a
financial inc 8.5%cr pfd a |
55272x
20 1 |
us55272x2018 |
| |
|
m f a financial inc
call |
55272x 90 2 |
|
| |
|
m f a financial inc
call |
55272x 90 7 |
|
| |
mfa |
m f a financial inc
com |
55272x 10 2 |
us55272x1028 |
| |
mfa.pr.b |
m f a financial inc
com |
55272x 40 9 |
us55272x4097 |
| |
|
m f a financial inc
com |
55272x 60 7 |
|
| |
|
m f a financial inc
note 6.25% 1 jun |
55272x aa 0 |
|
| |
|
m f a financial inc
put |
55272x 95 2 |
|
| |
|
m f a financial inc
put |
55272x 95 7 |
|
| |
|
m f b corporation
com |
55272d 10 6 |
|
| |
|
m f c bancorp ltd
com |
55271x 10 3 |
|
| |
|
m f c bancorp ltd
com new |
55271x 20 2 |
|
| |
|
m f c bancorp ltd
dbcv 8.000% 4/0 |
55271x aa 1 |
|
| |
|
m f c industrial
ltd call |
55278t 90 5 |
|
| |
mil |
m f c industrial
ltd com |
55278t 10 5 |
ca55278t1057 |
| |
mil |
m f c industrial
ltd com |
55278t 10 5 |
us55278t1051 |
| |
|
m f c industrial
ltd put |
55278t 95 5 |
|
| |
|
m f global holdings
ltd call |
55277j 90 8 |
|
| |
|
m f global holdings
ltd com |
55277j 10 8 |
us55277j1088 |
| |
|
m f global holdings
ltd note 1.875% 2/0 |
55277j aa 6 |
|
| |
|
m f global holdings
ltd put |
55277j 95 8 |
|
| |
|
m f global ltd note
9.000% 6/2 |
55276y ab 2 |
|
| |
mfri |
m f r i inc com |
552721 10 2 |
us5527211024 |
| |
mfr |
m f residential
investment |
55276a 10 8 |
us55276a1088 |
| |
|
m f s active
exchange traded f blended research |
55286w 70 2 |
|
| |
|
m f s active
exchange traded f blended research |
55286w 80 1 |
|
| |
|
m f s active
exchange traded f mid capital etf |
55286w 60 3 |
|
| |
|
m f s active
exchange traded fund core plus bond
etf |
55286w 10 8 |
|
| |
|
m f s active
exchange traded fund growth etf |
55286w 20 7 |
|
| |
|
m f s active
exchange traded fund intermedite
muni |
55286w 30 6 |
|
| |
|
m f s active
exchange traded fund internatinl etf |
55286w 40 5 |
|
| |
|
m f s active
exchange traded fund value etf |
55286w 50 4 |
|
| |
mcr |
m f s charter
income trust sh ben int |
552727
10 9 |
us5527271093 |
| |
|
m f s
communications inc call |
55272t 90 1 |
|
| |
mfst |
m f s
communications inc com |
55272t 10 1 |
|
| |
|
m f s
communications inc put |
55272t 95 1 |
|
| |
mgf |
m f s government
markets income trust |
552939 10 0 |
us5529391006 |
| |
mfo |
m f s income &
opportunity trust |
55273b 10 9 |
|
| |
min |
m f s intermediate
income trust |
55273c 10 7 |
us55273c1071 |
| |
mmt |
m f s multimarket
income trust shares of beneficial
interest |
552737 10 8 |
us5527371083 |
| |
mft |
m f s multimarket
total return |
55273p 10 8 |
|
| |
mfm |
m f s municipal
income trust shares of beneficial
interest |
552738 10 6 |
us5527381066 |
| |
mfv |
m f s special value
trust |
55274e 10 2 |
us55274e1029 |
| |
|
m f y industries
inc |
552740 10 2 |
|
| |
mgcx |
m g c
communications inc com |
552763 10 4 |
|
| |
mgcd |
m g c diagnostics
corporation |
552768 10 3 |
us5527681036 |
| |
mgclf |
m g c
pharmaceuticals ltd |
|
no0010791353 |
| |
mgcv |
m g c ventures inc |
552773 10 3 |
us5527731039 |
| |
|
m g e energy inc
call |
55277p 90 4 |
|
| |
mgee |
m g e energy inc
com |
55277p 10 4 |
us55277p1049 |
|
|
|
m g e
energy inc put |
55277p
95 4 |
|
| |
|
m g f oil corp |
552813 10 7 |
|
| |
|
m g i c investment
corp |
552845 10 9 |
|
| |
mtg |
m g i c investment
corporation wis |
552848 10 3 |
us5528481030 |
| |
|
m g i c investment
corporation wis call |
552848 90 3 |
|
| |
|
m g i c investment
corporation wis note 2.000% 4/0 |
552848 ae 3 |
|
| |
|
m g i c investment
corporation wis note 5.000% 5/0 |
552848 ad 5 |
|
| |
|
m g i c investment
corporation wis put |
552848 95 3 |
|
| |
|
m g i coutier |
|
gb0007538100 |
| |
|
m g i pharma inc
call |
552880 90 6 |
|
| |
|
m g i pharma inc
com |
552880 10 6 |
|
| |
|
m g i pharma inc
note 1.682% 3/0 |
552880 ab 2 |
|
| |
|
m g i pharma inc
put |
552880 95 6 |
|
| |
|
m g i properties
inc com |
552885 10 5 |
us5528851059 |
| |
|
m g i tech co ltd
class a |
|
jp3890310000 |
| |
mchvy |
m g m china
holdings ltd u/adr/12:1 |
55300r 10 1 |
us55300r1014 |
| |
|
m g m energy |
59318a 10 0 |
ca59318a1003 |
| |
|
m g m grand hotels
inc |
553012 10 5 |
|
| |
|
m g m growth
properties llc call |
55303a 90 5 |
|
| |
mgp |
m g m growth
properties llc class a com |
55303a 10 5 |
us55303a1051 |
| |
|
m g m growth
properties llc put |
55303a 95 5 |
|
| |
mgmb |
m g m holdings inc
vtg a |
55303c 10 1 |
us55303c1018 |
| |
|
m g m resorts
international inc call |
552953 90 1 |
|
| |
mgm |
m g m resorts
international inc com |
552953 10 1 |
us5529531015 |
| |
|
m g m resorts
international inc put |
552953 95 1 |
|
| |
|
m g m resorts
international note 4.250% 4/1 |
55303q ae 0 |
|
| |
|
m g m u a
commmunications |
552916 10 8 |
|
| |
|
m g m u a
entertainment co |
553013 10 3 |
|
| |
hegi |
m g m u a home
entertainmemt gp |
552906 10 9 |
|
| |
mgnlf |
m g n technologies
inc |
59317w 10 3 |
ca59317w1032 |
| |
|
m g o global inc
com |
55317f 10 8 |
|
| |
|
m g o global inc
com new |
55317f 20 7 |
|
| |
|
m g p ingredients
inc call |
55302g 90 3 |
|
| |
|
m g p ingredients
inc com |
55302g 10 3 |
us55302g1031 |
| |
|
m g p ingredients
inc new call |
55303j 90 6 |
|
| |
mgpi |
m g p ingredients
inc new com |
55303j 10 6 |
us55303j1060 |
| |
|
m g p ingredients
inc new note 1.875%11/1 |
55303j ab 2 |
|
| |
|
m g p ingredients
inc new put |
55303j 95 6 |
|
| |
|
m g p ingredients
inc put |
55302g 95 3 |
|
| |
|
m g products inc
com |
55301k 10 5 |
us55301k1051 |
| |
mgt |
m g t capital
investments inc |
55302p 20 2 |
us55302p2020 |
| |
mgti |
m g t capital
investments inc |
55302p 20 2 |
us55302p2020 |
| |
|
m g t capital
investments inc com |
55302p 10 3 |
|
| |
mgxmf |
m g x minerals inc
ord |
55303l 10 1 |
ca55303l1013 |
| |
|
m h h c enterprises |
55304q 10 9 |
us55304q1094 |
| |
|
m h h c enterprises |
55304q 20 8 |
us55304q2084 |
| |
|
m h i group inc |
552925 50 5 |
|
| |
mdh |
m h i hospitality
corp |
55302l 10 2 |
us55302l1026 |
| |
|
m h i hospitality
corporation |
55302l 99 5 |
us55302l9953 |
| |
mhmi |
m h m services inc |
55301l 20 2 |
us55301l2025 |
|
|
|
m h m
services inc |
55301l
10 3 |
|
| |
mhmc |
m h meyerson & co
inc |
55301q 01 2 |
|
| |
|
m h p machines inc |
553016 10 6 |
|
| |
mhpsl |
m h p se s/gdr
144a/1:1 |
55302t 10 5 |
us55302t1051 |
| |
mhpsy |
m h p se s/gdr
regs/1:1 |
55302t 20 4 |
us55302t2042 |
| |
|
m hangura copper
mine adr |
553763 20 2 |
us5537632029 |
| |
macq |
m i acquisitions
inc com |
55304a 10 4 |
us55304a1043 |
| |
macqu |
m i acquisitions
inc unit |
55304a 20 3 |
us55304a2033 |
| |
macqw |
m i acquisitions
inc warrants exp 11/15/202 |
55304a 11 2 |
us55304a1126 |
| |
|
m i c t inc call |
55328r 90 9 |
|
| |
mict |
m i c t inc com |
55328r 10 9 |
us55328r1095 |
| |
|
m i c t inc put |
55328r 95 9 |
|
| |
|
m i development inc
call |
55304x 90 4 |
|
| |
|
m i development inc
class a sub vtg |
55304x 10 4 |
ca55304x1042 |
| |
|
m i development inc
put |
55304x 95 4 |
|
| |
|
m i e holdings
corporation |
g61157 10 6 |
kyg611571061 |
| |
mie |
m i e holdings
corporation sp/adr |
55309d 10 3 |
us55309d1037 |
| |
mihl |
m i h limited |
|
jp3167480007 |
| |
|
m i m corporation
call |
553044 90 8 |
|
| |
mims |
m i m corporation
com |
553044 10 8 |
|
| |
|
m i m corporation
put |
553044 95 8 |
|
| |
|
m i m holdings
limited |
553045 40 2 |
|
|
|
|
m i m i
's rock corp |
55316n 10 2 |
ca55316n1024 |
| |
|
m i p properties
inc |
553051 10 3 |
|
| |
|
m i p s ab |
55315y 10 9 |
|
| |
|
m i s r
international bank |
55306g 10 9 |
|
| |
|
m i s r
international bank |
55306g 20 8 |
|
| |
|
m i schottenstein
homes inc |
553052 10 1 |
|
| |
|
m i software corp |
552935 10 8 |
ca5529351085 |
| |
mitd |
m i t holding inc |
55310b 20 3 |
us55310b2034 |
| |
|
m i t ventures corp |
55305d 10 7 |
ca55305d1078 |
| |
|
m i v a inc call |
55311r 90 8 |
|
| |
|
m i v a inc com |
55311r 10 8 |
|
| |
|
m i v a inc put |
55311r 95 8 |
|
| |
|
m i v therapeutics
inc |
55306v 20 5 |
us55306v2051 |
| |
mxtmf |
m i x telematics
limited |
|
hk0066009694 |
| |
miii |
m iii acquisition
corporation com |
55378t 10 4 |
us55378t1043 |
| |
miiiu |
m iii acquisition
corporation unit |
55378t 20 3 |
us55378t2033 |
| |
miiiw |
m iii acquisition
corporation warrants exp 10/10/202 |
55378t 11 2 |
us55378t1126 |
| |
|
m j harvest inc |
55315w 10 3 |
us55315w1036 |
| |
mjne |
m j holdings inc |
553075 10 2 |
us5530751024 |
| |
|
m j maillis s.a. |
55308r 10 3 |
|
| |
|
m j p international
ltd |
553082 10 8 |
us5530821082 |
| |
|
m j venture
partners inc |
553089 10 3 |
us5530891036 |
| |
|
m k 2 ventures ltd |
55315m 10 5 |
ca55315m1059 |
| |
mkau |
m k automotive inc |
553094 10 3 |
us5530941039 |
| |
mkau |
m k gold co com |
55305p 10 0 |
|
| |
|
m k r holdings |
55308u 10 6 |
us55308u1060 |
| |
mkrl |
m k rail
corporation com |
55305t 10 2 |
|
| |
|
m k s instruments
inc call |
55306n 90 4 |
|
|
|
mksi |
m k s
instruments inc com |
55306n
10 4 |
us55306n1046 |
| |
|
m k s instruments
inc note 1.250% 6/0 |
55306n ab 0 |
|
| |
|
m k s instruments
inc put |
55306n 95 4 |
|
| |
|
m k t g services
inc com new |
55308x 30 8 |
|
| |
|
m l bancorp inc com |
55305m 10 7 |
|
| |
mlch |
m l c holdings inc
com |
55305v 10 7 |
|
| |
mlcg |
m l capital group
inc |
55314d 10 6 |
us55314d1063 |
| |
mlcg |
m l capital group
inc |
55314d 20 5 |
us55314d2053 |
| |
|
m l capital group
inc |
55314d 30 4 |
us55314d3044 |
| |
mls |
m l convertible
securities |
553063 10 8 |
|
| |
mldr |
m l direct inc com |
55306m 10 6 |
|
| |
|
m l direct inc
warrants a ex 000001 |
55306m 11 4 |
|
| |
|
m l h income realty
partnership ii |
55307b 10 9 |
us55307b1098 |
| |
|
m l h income realty
partnership iii |
552954 10 9 |
us5529541097 |
| |
|
m l h income realty
partnership iv |
552955 10 6 |
us5529551062 |
| |
|
m l macadamia
orchards l p dep unit class a |
55307u 10 7 |
us55307u1079 |
| |
mtp |
m l p & strategic
equity fund in com |
55312n 10 6 |
|
| |
|
m l p ag u/ adr |
55313m 10 7 |
us55313m1071 |
| |
|
m l x corp |
553076 20 9 |
|
| |
mlhc |
m line holdings inc |
55313q 10 8 |
us55313q1085 |
| |
|
m m 2 group inc |
55312r 10 7 |
us55312r1077 |
| |
mmabd |
m m a capital
management llc |
55315d 10 5 |
us55315d1054 |
| |
mmac |
m m a capital
management llc |
55315d 10 5 |
us55315d1054 |
| |
mo |
m m a offshore ltd |
|
de000a0msn11 |
| |
|
m m c energy inc
com new |
55312q 20 8 |
|
| |
mmcn |
m m c networks inc |
55308n 10 2 |
|
| |
|
m m c networks inc
com |
55308n 90 2 |
|
| |
|
m m c networks inc
put |
55308n 95 2 |
|
|
|
|
m m c
norilsk nickel pjsc adr |
46626d
10 8 |
us46626d1081 |
| |
nilsy |
m m c norilsk
nickel pjsc sp/adr/10:1 |
55315j 10 2 |
us55315j1025 |
| |
mmex |
m m e x resources
corp |
55314k 30 8 |
us55314k3086 |
| |
|
m m e x resources
corp |
55314k 10 0 |
us55314k1007 |
| |
|
m m e x resources
corp |
55314k 50 6 |
us55314k5065 |
| |
mmi |
m m i companies inc |
553087 10 7 |
|
| |
|
m m i holding
limited |
|
jp3167310006 |
| |
mpohy |
m m i holding
limited sp/adr/5:1 |
55314h 10 7 |
us55314h1077 |
| |
mmim |
m m i medical inc |
553088 10 5 |
|
| |
mmjjf |
m m j phytotech ltd
ord |
|
kr7019590009 |
| |
|
m m o 2 plc adr |
55309w 10 1 |
|
| |
mmrf |
m m r global inc |
55314u 20 7 |
us55314u2078 |
| |
|
m m r global inc |
553101 10 6 |
us5531011063 |
| |
|
m m r global inc |
55314u 10 8 |
us55314u1088 |
| |
mmrh |
m m r holding corp |
553100 10 8 |
|
| |
|
m m t ltd adr |
55323r 10 4 |
us55323r1041 |
| |
mmxxf |
m m x mineracao e
metalicos s.a |
|
ru000a0jpga0 |
| |
|
m m x mineracao e
metalicossa |
|
au000000myo9 |
| |
|
m n b bancshares
inc com |
553103 10 2 |
|
| |
mnbc |
m n b corp |
553104 10 0 |
us5531041003 |
| |
mnbo |
m n b holdings corp |
55311e 10 7 |
us55311e1073 |
| |
|
m n c financial inc |
553107 10 3 |
|
|
|
ltony |
m n c
media investment ltd adr |
553109
10 9 |
us5531091099 |
| |
|
m n g enterprises
class (b) |
55339a 10 3 |
us55339a1034 |
| |
mnap |
m n p petroleum
corp |
55315b 10 9 |
us55315b1098 |
| |
|
m n t n inc call |
55318a 90 8 |
|
| |
|
m n t n inc class a |
55318a 10 8 |
|
| |
|
m n t n inc put |
55318a 95 8 |
|
| |
mnxi |
m n x |
553114 10 9 |
|
| |
mopn |
m o p environmental
solutions |
55313w 10 5 |
us55313w1053 |
| |
molpf |
m p a c group plc |
|
au000000pio5 |
| |
|
m p a c industries
corp |
553135 10 4 |
ca5531351040 |
| |
|
m p b corp |
553137 10 0 |
|
| |
mpzzf |
m p c container
ships as |
|
fr0010778050 |
| |
|
m p c corporation
com |
553166 10 9 |
us5531661099 |
| |
|
m p c corporation
warrants exp 09/29/200 |
553166 11 7 |
|
| |
|
m p c inc |
553201 10 4 |
|
| |
|
m p e l holdings
corp |
553211 10 3 |
us5532111037 |
| |
mpevf |
m p evans group plc |
|
jp3435750009 |
| |
|
m p g office trust
inc call |
553274 90 1 |
|
| |
|
m p g office trust
inc com |
553274 10 1 |
us5532741015 |
| |
|
m p g office trust
inc put |
553274 95 1 |
|
| |
|
m p i holdings inc |
55330w 10 4 |
ca55330w1041 |
| |
|
m p i industries
inc |
553329 10 3 |
|
| |
|
m p l
communications inc |
55335l 10 3 |
ca55335l1031 |
| |
|
m p l x lp call |
55336v 90 0 |
|
| |
mplx |
m p l x lp com unit
rep ltd |
55336v 10 0 |
us55336v1008 |
| |
|
m p l x lp put |
55336v 95 0 |
|
| |
mpmh |
m p m holdings inc |
55336l 10 2 |
us55336l1026 |
| |
mpmq |
m p m holdings inc |
55336l 10 2 |
us55336l1026 |
| |
mpml |
m p m technologies
inc |
553358 20 1 |
us5533582012 |
| |
|
m p m technologies
inc com |
553358 10 2 |
|
| |
|
m p materials
corporation call |
553368 90 1 |
|
| |
|
m p materials
corporation com class a |
553368 10 1 |
|
| |
|
m p materials
corporation put |
553368 95 1 |
|
| |
|
m p materials
corporation warrants exp 05/04/202 |
553368 11 9 |
|
| |
|
m p o videotronics
inc |
553393 20 8 |
|
| |
|
m p s group inc
call |
553409 90 3 |
|
| |
|
m p s group inc com |
553409 10 3 |
|
| |
|
m p s group inc put |
553409 95 3 |
|
| |
|
m p s i systems inc
com new |
553412 10 7 |
|
| |
|
m p s i systems inc
com new |
553412 20 6 |
|
| |
|
m p s international
corp |
553418 10 4 |
|
| |
|
m p t v inc |
553424 40 9 |
us5534244091 |
| |
mpvr |
m p ventures inc |
553438 10 2 |
us5534381026 |
| |
mpwg |
m p w industrial
services group com |
553444 10 0 |
|
| |
|
m p x international
corporation |
55344l 10 2 |
ca55344l1022 |
| |
mphmf |
m pharmaceutical
inc |
55346e 20 5 |
ca55346e2050 |
| |
|
m pharmaceutical
inc |
55346e 10 6 |
ca55346e1060 |
| |
|
m r 3 systems inc |
55347v 10 7 |
us55347v1070 |
| |
mraif |
m r c allied inc
ord |
y6145g 12 6 |
phy6145g1260 |
| |
|
m r c global inc
call |
55345k 90 3 |
|
|
|
mrc |
m r c
global inc com |
55345k
10 3 |
us55345k1034 |
| |
|
m r c global inc
put |
55345k 95 3 |
|
| |
|
m r f ltd u/ adr |
55348j 10 3 |
us55348j1034 |
| |
|
m r f y corp |
553462 10 2 |
|
| |
|
m r i business
properties fund l p |
553465 10 5 |
us5534651055 |
| |
|
m r i interventions
inc |
55347p 10 0 |
us55347p1003 |
| |
mric |
m r i interventions
inc com new |
55347p 20 9 |
us55347p2092 |
| |
mrim |
m r i management
associates |
55346j 10 5 |
|
| |
|
m r i medical
diagnostics inc |
553466 10 3 |
|
| |
|
m r l inc |
553469 10 7 |
|
| |
|
m r o software inc
call |
55347w 90 5 |
|
| |
|
m r o software inc
com |
55347w 10 5 |
|
| |
|
m r o software inc
put |
55347w 95 5 |
|
| |
|
m r r m |
553474 10 7 |
ca5534741072 |
| |
mrsi |
m r s technology
inc |
553476 10 2 |
us5534761029 |
| |
|
m r u holdings inc |
55348a 10 2 |
us55348a1025 |
| |
mrvc |
m r v
communications inc |
553477 40 7 |
us5534774071 |
| |
|
m r v
communications inc call |
553477 90 0 |
|
| |
mrvc |
m r v
communications inc com |
553477 10 0 |
|
| |
|
m r v
communications inc put |
553477 95 0 |
|
| |
|
m r v
communications inc sub nt conv 5%03 |
553477 ab 6 |
|
| |
|
m r v
communications inc sub nt cv 144a03 |
553477 aa 8 |
|
| |
mrvny |
m r v engenharia e
participacoes sa sp/adr |
553479 10 6 |
us5534791067 |
| |
msadf |
m s & a d insurance
group holdings inc |
|
de000a0mseq3 |
| |
msady |
m s & a d insurance
group holdings inc u/adr/1:2 |
553491 10 1 |
us5534911012 |
| |
|
m s a realty corp |
553495 10 2 |
|
| |
|
m s a safety inc
call |
553498 90 6 |
|
| |
|
m s a safety inc
com |
553498 10 6 |
|
| |
|
m s a safety inc
put |
553498 95 6 |
|
| |
msa |
m s a safety
incorporated |
553498 10 6 |
us5534981064 |
| |
mnesp |
m s a safety
incorporated 4.5% pfd |
553498 20 5 |
us5534982054 |
| |
|
m s b bancorp inc
com |
553517 10 3 |
|
| |
msbf |
m s b financial
corp/md |
55352l 10 1 |
us55352l1017 |
| |
|
m s b financial
corporation com |
55352p 10 2 |
us55352p1021 |
| |
|
m s b financial inc
com |
553519 10 9 |
|
| |
|
m s b global
capital corp |
553547 10 0 |
us5535471008 |
| |
|
m s c i inc call |
55354g 90 0 |
|
| |
msci |
m s c i inc class a |
55354g 10 0 |
us55354g1004 |
| |
mxb |
m s c i inc class a |
55354g 10 0 |
us55354g1004 |
| |
|
m s c i inc put |
55354g 95 0 |
|
| |
|
m s c income fund
inc |
55374x 10 9 |
us55374x1090 |
| |
|
m s c income fund
inc com |
55374x 20 8 |
|
| |
|
m s c industrial
direct inc call |
553530 90 6 |
|
| |
msm |
m s c industrial
direct inc class a |
553530 10 6 |
us5535301064 |
| |
|
m s c industrial
direct inc put |
553530 95 6 |
|
| |
|
m s c software corp |
553531 ae 4 |
|
| |
|
m s c software
corporation call |
553531 90 4 |
|
| |
|
m s c software
corporation com |
553531 10 4 |
|
| |
|
m s c software
corporation put |
553531 95 4 |
|
| |
|
m s c software
corporation sd conv 7.875%04 |
553531 aa 2 |
|