|
|
|
n 2 k
inc call |
629427
90 5 |
|
| |
ntki |
n 2 k inc com |
629427 10 5 |
|
| |
|
n 2 k inc put |
629427 95 5 |
|
| |
|
n a b asset
corporation com par 0.1 |
628712 20 0 |
us6287122005 |
| |
|
n a b i inc call |
628716 90 2 |
|
| |
|
n a b i inc com |
628716 10 2 |
|
| |
|
n a b i inc put |
628716 95 2 |
|
| |
|
n a b i inc
sbnicv144a6.5%03 |
628716 aa 0 |
|
| |
|
n a b i inc sub nt
cv 6.5%03 |
628716 ab 8 |
|
| |
nbft |
n a bufit global
inc |
628757 10 6 |
us6287571060 |
| |
|
n a bufit global
inc |
628757 20 5 |
us6287572050 |
| |
nacg |
n a c global
technologies inc |
62875r 10 2 |
us62875r1023 |
| |
|
n a c re
corporation call |
628907 90 7 |
|
| |
nrec |
n a c re
corporation com |
628907 10 7 |
|
| |
|
n a c re
corporation put |
628907 95 7 |
|
| |
nact |
n a c t
telecommunications inc com |
62872g 10 9 |
|
| |
grow |
n a i c growth fund
inc |
628921 10 8 |
|
| |
|
n a i technologies
inc com |
62872h 10 7 |
|
| |
|
n a i technologies
inc warrants exp 02/15/02 |
62872h 11 5 |
|
| |
|
n a l energy |
62875e 10 1 |
ca62875e1016 |
| |
|
n a l financial
group inc com |
62872m 10 6 |
us62872m1062 |
| |
namc |
n a m corporation
com |
62872l 10 8 |
|
| |
|
n a m corporation
unit ex 00/00/97 |
62872l 20 7 |
|
| |
|
n a m corporation
warrants exp 00/00/97 |
62872l 11 6 |
|
| |
|
n a m corporation
warrants exp 11/12/01 |
62872l 11 6 |
|
| |
|
n able inc call |
62878d 90 0 |
|
| |
|
n able inc com |
62878d 10 0 |
|
| |
|
n able inc put |
62878d 95 0 |
|
| |
|
n b & t financial
group inc com |
62874m 10 4 |
us62874m1045 |
| |
|
n b b bancorp inc |
62872p 10 9 |
|
| |
|
n b c c india ltd |
|
dk0010287663 |
| |
|
n b c capital
corporation com |
628729 10 5 |
|
| |
|
n b c internet inc
call |
62873d 90 5 |
|
| |
|
n b c internet inc
class a |
62873d 10 5 |
|
| |
|
n b c internet inc
put |
62873d 95 5 |
|
| |
|
n b corp |
628734 10 5 |
|
| |
nsbd |
n b g radio network
inc |
62873q 10 6 |
us62873q1067 |
| |
nsbd |
n b g radio network
inc |
62873q 20 5 |
us62873q2057 |
| |
|
n b h holdings
corporation 144a |
62875t 10 8 |
us62875t1088 |
| |
nbi |
n b i inc |
628735 10 2 |
|
| |
|
n b i inc |
628735 20 1 |
us6287352016 |
| |
|
n b s c corp |
628750 10 1 |
|
| |
|
n b t bancorp inc
call |
628778 90 2 |
|
| |
nbtb |
n b t bancorp inc
com |
628778 10 2 |
us6287781024 |
| |
|
n b t bancorp inc
put |
628778 95 2 |
|
| |
|
n b t y inc call |
628782 90 4 |
|
| |
|
n b t y inc com |
628782 10 4 |
|
| |
|
n b t y inc put |
628782 95 4 |
|
| |
|
n brown group plc
u/ adr |
628786 10 5 |
us6287861057 |
| |
ncac |
n c a corp |
628787 10 3 |
|
|
|
ncal |
n c a l
bancorp |
628794
10 9 |
us6287941099 |
| |
|
n c a minerals corp |
628800 10 4 |
ca6288001044 |
| |
|
n c b financial
corp |
628820 10 2 |
|
| |
nccbf |
n c c ab |
|
gb00b7fc0762 |
| |
nccgf |
n c c group |
|
gb00b030gd19 |
| |
|
n c c industries
inc |
628834 10 3 |
|
| |
|
n c c ltd |
|
nl0010773842 |
| |
ngrji |
n c c ltd s/gdr
144a/1:1 |
628842 10 6 |
us6288421067 |
| |
|
n c c ltd s/gdr
regs/1:1 |
628842 20 5 |
us6288422057 |
| |
|
n c e petrofund 1
trust unit new |
62885e 30 7 |
|
| |
|
n c e petrofund 1
trust ut new 2001 |
62885e 40 6 |
|
| |
|
n c f financial
corp |
628847 10 5 |
|
| |
|
n c h corporation
com |
628850 10 9 |
|
| |
|
n c i building
system inc call |
628852 90 4 |
|
| |
bldg |
n c i building
system inc com |
628852 10 5 |
|
| |
|
n c i building
system inc note 2.125%11/1 |
628852 ag 0 |
|
| |
|
n c i building
system inc put |
628852 95 4 |
|
| |
ncs |
n c i building
systems inc |
628852 20 4 |
us6288522047 |
| |
ncit |
n c i inc class a |
62886k 10 4 |
us62886k1043 |
| |
|
n c l corporation
ltd note 1.13% 1 feb |
62886h bd 2 |
|
| |
|
n c l corporation
ltd note 2.500% 1 feb |
62886h bk 6 |
|
| |
|
n c l corporation
ltd note 5.38% aug 00 |
62886h ax 9 |
|
| |
|
n c l corporation
ltd note 6.00% 1 may |
62886h at 8 |
|
| |
|
n c l corporation
ltd sr unsec 144a |
62886h an 1 |
us62886han17 |
| |
|
n c l holdings asa
sp/adr |
628853 10 3 |
|
| |
|
n c m services inc |
62887q 10 0 |
us62887q1004 |
| |
|
n c o group inc
call |
628858 90 2 |
|
| |
ncog |
n c o group inc com |
628858 10 2 |
|
| |
|
n c o group inc
note 4.750% 4/1 |
628858 ab 8 |
|
| |
|
n c o group inc put |
628858 95 2 |
|
| |
|
n c o group inc sb
nt cv 144a 06 |
628858 ac 6 |
|
| |
|
n c o portfolio
management inc com |
62885j 10 8 |
|
| |
ncpll |
n c p litigation
trust |
62886d 10 0 |
us62886d1000 |
| |
|
n c r atleos
corporation call |
63001n 90 6 |
|
| |
|
n c r atleos
corporation com shares |
63001n 10 6 |
|
| |
|
n c r atleos
corporation put |
63001n 95 6 |
|
| |
|
n c r corp |
628862 10 4 |
|
| |
|
n c r corporation
new call |
62886e 90 8 |
|
| |
ncr |
n c r corporation
new com |
62886e 10 8 |
us62886e1082 |
| |
|
n c r corporation
new com |
628855 10 8 |
|
| |
|
n c r corporation
new put |
62886e 95 8 |
|
| |
|
n c r corporation
pfd conv series a |
62886e 20 7 |
us62886e2072 |
| |
|
n c r corporation
sr unsec |
62886e ar 9 |
us62886ear99 |
| |
|
n c r i c group inc
com |
628866 10 5 |
|
| |
|
n c r i c group inc
del com |
62886p 10 3 |
|
| |
|
n c r japan |
|
gb00byn8yp12 |
| |
|
n c s healthcare
inc call |
628874 90 9 |
|
| |
ncss |
n c s healthcare
inc class a |
628874 10 9 |
|
| |
|
n c s healthcare
inc class a |
b28874 10 9 |
|
| |
|
n c s healthcare
inc put |
628874 95 9 |
|
|
|
|
n c
s healthcare inc sb db cv
5.75%04 |
628874 ac 3 |
|
| |
|
n c s
healthcare inc sub db cv 144a04 |
628874 aa 7 |
|
| |
ncsm |
n c s
multistage holdings inc |
628877 10 2 |
us6288771024 |
| |
|
n c s
multistage holdings inc com new |
628877 20 1 |
|
| |
|
n c t group inc |
62888q 10 9 |
us62888q1094 |
| |
|
n c t group inc
com |
628880 10 9 |
|
| |
agvs |
n d c
automation |
628881 10 4 |
|
| |
|
n d c
automation inc |
628881 20 3 |
|
| |
ndecv |
n d e
environmental |
628882 10 2 |
|
| |
|
n d e
environmental corp |
628882 20 1 |
|
| |
ndlp |
n d l products
inc |
628883 10 0 |
|
| |
|
n d resources
inc /old/ |
628885 10 5 |
us6288851057 |
| |
|
n d s group plc
call |
628891 90 3 |
|
| |
|
n d s group plc
put |
628891 95 3 |
|
| |
nnds |
n d s group plc
sp/adr |
628891 10 3 |
|
| |
nebu |
n e b u l a
acquisition corporation com
class a |
629076 10 0 |
us6290761005 |
| |
nebuu |
n e b u l a
acquisition corporation unit
03/12/2025 |
629076 20 9 |
us6290762094 |
| |
nebuw |
n e b u l a
acquisition corporation warrants
exp 03/12/2025 |
629076 11 8 |
us6290761187 |
| |
|
n e b u l a
caravel acquisition c call |
629070 90 3 |
|
| |
|
n e b u l a
caravel acquisition c com class
a |
629070 10 3 |
|
| |
|
n e b u l a
caravel acquisition c put |
629070 95 3 |
|
| |
|
n e b u l a
caravel acquisition c unit
12/09/2023 |
629070 20 2 |
|
| |
|
n e b u l a
caravel acquisition c warrants
exp 10/01/202 |
629070 11 1 |
|
| |
|
n e c
corporation |
629050 30 3 |
|
| |
|
n e c
corporation sp/adr |
629050 20 4 |
us6290502045 |
| |
|
n e c o
enterprises inc |
629057 10 0 |
|
| |
|
n e i corp |
629075 10 2 |
|
| |
neip |
n e i webworld
inc com |
629077 10 8 |
|
| |
nllsf |
n e l asa |
|
no0003679102 |
| |
|
n e p c india |
629088 10 5 |
|
| |
|
n e s b corp |
628914 10 3 |
|
| |
|
n e t i
technologies inc |
62909n 10 1 |
ca62909n1015 |
| |
|
n f a corp |
629094 10 3 |
|
| |
|
n f c corp |
629095 10 0 |
|
| |
|
n f c plc |
628923 20 3 |
|
| |
|
n f c plc |
628923 31 2 |
|
| |
|
n f c plc rt |
628923 11 2 |
|
| |
|
n f c plc sp
adr par6.66 |
628923 50 0 |
|
| |
|
n f c plc
sp/adr new |
628923 30 2 |
|
| |
nfec |
n f energy
saving corporation of america |
629099 30 0 |
us6290993004 |
| |
|
n f energy
saving corporation of america |
629099 20 1 |
us6290992014 |
| |
nfyef |
n f i group inc |
62910l 10 2 |
ca62910l1022 |
| |
nfor |
n f o research
inc com |
629103 10 2 |
|
| |
|
n f o worldwide
inc call |
62910n 90 8 |
|
| |
|
n f o worldwide
inc com |
62910n 10 8 |
|
| |
|
n f o worldwide
inc put |
62910n 95 8 |
|
| |
nfsf |
n f s financial
corp |
629104 10 0 |
|
| |
|
n f t gaming co
inc com |
62911p 30 0 |
|
| |
|
n f t gaming co
inc com new |
62911p 20 1 |
us62911p2011 |
| |
|
n g c
corporation com |
629121 10 4 |
|
|
|
|
n g f c
equities inc |
62913x
10 3 |
us62913x1037 |
| |
|
n g k insulators |
62913k 10 1 |
|
| |
ngksf |
n g k spark plug co
ltd |
|
fr0000121691 |
| |
ngksy |
n g k spark plug co
ltd |
62913j 10 4 |
|
| |
ngksy |
n g k spark plug co
ltd u/adr/1:2 |
62913j 10 4 |
us62913j1043 |
| |
ngl.b |
n g l energy
partners lp |
62913m 20 6 |
us62913m2061 |
| |
|
n g l energy
partners lp call |
62913m 90 7 |
|
| |
ngl |
n g l energy
partners lp com unit repst |
62913m 10 7 |
us62913m1071 |
| |
|
n g l energy
partners lp put |
62913m 95 7 |
|
| |
|
n g l energy
partners lp/fin co sr unsec |
62913t ac 6 |
us62913tac62 |
|
|
ngm |
n g m
biopharmaceuticals inc |
62921n 10 5 |
us62921n1054 |
| |
|
n g m
biopharmaceuticals inc call |
62921n 90 5 |
|
| |
ngm |
n g m
biopharmaceuticals inc com |
62921n 10 5 |
|
| |
|
n g m
biopharmaceuticals inc put |
62921n 95 5 |
|
| |
ngpc |
n g p capital
resources co |
62912r 10 7 |
us62912r1077 |
| |
|
n g p capital
resources co call |
62912r 90 7 |
|
| |
|
n g p capital
resources co put |
62912r 95 7 |
|
| |
|
n g p l pipeco llc
sr unsec 144a |
62912x ae 4 |
us62912xae40 |
| |
|
n gas resources inc
call |
62912t 90 3 |
|
| |
|
n gas resources inc
com |
62912t 10 3 |
|
| |
|
n gas resources inc
put |
62912t 95 3 |
|
| |
|
n h a inc |
629129 10 7 |
|
| |
nhcmf |
n h c
communications inc |
628937 10 4 |
ca6289371040 |
| |
|
n h d stores inc |
629132 10 1 |
|
| |
nipmy |
n h foods ltd
u/adr/1:2 |
62914l 10 8 |
us62914l1089 |
| |
nhhey |
n h hotel group |
62913h 10 8 |
us62913h1086 |
| |
|
n h i nelson
holdings international ltd |
628922 10 6 |
|
| |
nhkgf |
n h k spring co ltd |
|
au000000nwh5 |
| |
nhnef |
n h n entertainment
corp |
|
fr0000077182 |
| |
|
n h p c ltd u/ adr |
629139 10 6 |
us6291391067 |
| |
nhpi |
n h p inc com |
62913e 10 5 |
|
| |
|
n h p retirement
housing partners l p |
628944 10 0 |
us6289441007 |
| |
|
n h s financial inc
com |
628943 10 2 |
|
| |
|
n h s health
solutions inc |
629145 10 3 |
us6291451036 |
| |
nibhf |
n i b holdings
limited |
|
jp3379900008 |
| |
egov |
n i c inc com |
62914b 10 0 |
us62914b1008 |
| |
|
n i i holdings inc
call |
62913f 90 8 |
|
| |
nihd |
n i i holdings inc
class b new |
62913f 20 1 |
us62913f2011 |
| |
nldg |
n i i holdings inc
com par |
62913f 50 8 |
us62913f5089 |
| |
|
n i i holdings inc
note 2.750% 8/1 |
62913f af 9 |
|
| |
|
n i i holdings inc
note 2.875% 2/0 |
62913f ac 6 |
|
| |
|
n i i holdings inc
note 3.125% 6/1 |
62913f aj 1 |
|
| |
|
n i i holdings inc
note 3.500% 9/1 |
62913f ad 4 |
|
| |
|
n i i holdings inc
put |
62913f 95 8 |
|
| |
|
n i i t
technologies ltd |
|
jp3165600002 |
| |
nin |
n i industries inc |
629135 10 4 |
|
| |
|
n i o inc call |
62914v 90 6 |
|
| |
|
n i o inc debt
0.50% 2/0 |
g6525f ad 4 |
|
| |
|
n i o inc debt 2/0 |
g6525f ac 6 |
|
| |
|
n i o inc debt
4.50% 2/0 |
g6525f aa 0 |
|
|
|
|
n i o
inc note 0.50% feb 00 |
62914v
af 3 |
|
| |
|
n i o inc note
3.875%10/1 |
62914v aj 5 |
|
| |
|
n i o inc note
4.50% feb 00 |
62914v ab 2 |
|
| |
|
n i o inc note
4.625%10/1 |
62914v ak 2 |
|
| |
|
n i o inc note feb
00 |
62914v ae 6 |
|
| |
|
n i o inc put |
62914v 95 6 |
|
|
|
nio |
n i o inc sp/ads |
62914v 10 6 |
us62914v1061 |
| |
|
n i p s c o
industries inc call |
629140 90 4 |
|
| |
|
n i p s c o
industries inc com |
629140 10 4 |
|
| |
|
n i p s c o
industries inc put |
629140 95 4 |
|
| |
|
n I q global
intelligence plc call |
g63755 90 5 |
|
| |
|
n i q global
intelligence plc ordinary shares |
g63755 10 5 |
|
| |
|
n I q global
intelligence plc put |
g63755 95 5 |
|
| |
|
n i r diagnostics |
629141 10 2 |
ca6291411024 |
| |
|
n i s holdings corp |
62914x 10 2 |
us62914x1028 |
| |
|
n i s holdings corp |
62914x 20 1 |
us62914x2018 |
| |
niv |
n i v s
intellimedia technology group inc |
62914u 10 8 |
us62914u1088 |
| |
|
n k k corporation |
628918 20 3 |
|
| |
nrkby |
n k t a/s |
62915v 10 5 |
|
| |
nrkby |
n k t a/s u/adr/1:5 |
62915v 10 5 |
us62915v1052 |
| |
nrkbf |
n k t holding a/s |
|
jp3165830005 |
| |
|
n k w e platinum
limited adr |
62915u 10 7 |
us62915u1079 |
| |
|
n l i corp |
629153 10 7 |
|
| |
|
n l industries inc
call |
629156 90 7 |
|
| |
nl |
n l industries inc
new |
629156 40 7 |
us6291564077 |
| |
|
n l industries inc
put |
629156 95 7 |
|
| |
|
n l t corp |
629161 10 0 |
|
| |
nmbf |
n m b financial
corp |
62919l 10 3 |
us62919l1035 |
| |
|
n m b t corporation
com |
629189 10 1 |
|
| |
|
n m c corp |
629193 10 3 |
|
| |
|
n m c group plc |
629195 20 7 |
|
| |
nmhly |
n m c health plc |
62919q 10 2 |
|
| |
nmmcf |
n m c health plc |
|
jp3165700000 |
| |
nmhly |
n m c health plc
u/adr/1:1 |
62919q 10 2 |
us62919q1022 |
| |
nmcx |
n m c inc |
629196 10 6 |
us6291961067 |
| |
|
n m c res |
629197 20 3 |
ca6291972033 |
| |
|
n m d c ltd u/ adr |
62919p 10 4 |
us62919p1049 |
| |
|
n m g parent llc |
62929p 10 2 |
us62929p1021 |
| |
|
n m i group inc |
629208 10 9 |
us6292081097 |
| |
|
n m i health inc |
62920q 10 9 |
us62920q1094 |
| |
|
n m i holdings inc
call |
629209 90 5 |
|
| |
nmih |
n m i holdings inc
class a |
629209 30 5 |
us6292093050 |
| |
|
n m i holdings inc
put |
629209 95 5 |
|
| |
|
n m p acquisition
corporation class a |
g6375x 10 4 |
|
| |
|
n m p acquisition
corporation right 06/27/2030 |
g6375x 11 2 |
|
| |
|
n m p acquisition
corporation unit 06/27/2030 |
g6375x 12 0 |
|
| |
nmrc |
n m r centers |
629238 10 6 |
|
| |
nmrr |
n m r of america
inc |
629230 10 3 |
|
| |
|
n m s
communications corporation call |
629248 90 5 |
|
| |
|
n m s
communications corporation com |
629248 10 5 |
|
|
|
|
n m s
communications corporation put |
629248
95 5 |
|
| |
|
n m s industries
inc |
629257 10 6 |
|
| |
|
n m s
rehabilitation inc |
629288 10 1 |
|
| |
|
n m t group |
|
jp3165650007 |
| |
|
n m t medical inc
call |
629294 90 9 |
|
| |
|
n m t medical inc
com |
629294 10 9 |
us6292941092 |
| |
|
n m t medical inc
put |
629294 95 9 |
|
| |
nnbr |
n n ball & roller
inc com |
629305 10 3 |
|
| |
|
n n corp |
629321 10 0 |
|
| |
nngpf |
n n group nv |
|
jp3165690003 |
| |
nngry |
n n group nv
u/adr/1:2 |
629334 10 3 |
us6293341037 |
| |
|
n n inc call |
629337 90 6 |
|
| |
nnbr |
n n inc com |
629337 10 6 |
us6293371067 |
| |
|
n n inc put |
629337 95 6 |
|
| |
nnri |
n n r f inc |
629355 10 8 |
us6293551080 |
| |
|
n o v inc call |
62955j 90 3 |
|
| |
|
n o v inc com |
62955j 10 3 |
|
| |
|
n o v inc put |
62955j 95 3 |
|
| |
|
n o v t corp |
62936a 30 4 |
us62936a3041 |
| |
|
n p c international
inc |
629360 20 7 |
|
| |
|
n p c international
inc call |
629360 90 6 |
|
| |
|
n p c international
inc com |
629360 30 6 |
|
| |
|
n p c international
inc put |
629360 95 6 |
|
| |
nper |
n p energy corp |
629362 30 2 |
us6293623020 |
| |
|
n p energy corp |
629362 10 4 |
|
| |
npmh |
n p m healthcare
products inc |
62936l 10 2 |
|
| |
|
n p s
pharmaceuticals inc call |
62936p 90 3 |
|
| |
npsp |
n p s
pharmaceuticals inc com |
62936p 10 3 |
us62936p1030 |
| |
|
n p s
pharmaceuticals inc note 3.000% 6/1 |
62936p ab 9 |
|
| |
|
n p s
pharmaceuticals inc put |
62936p 95 3 |
|
| |
|
n p s technologies
group |
629366 20 4 |
|
| |
|
n q exploration |
62938a 10 4 |
ca62938a1049 |
| |
|
n q l inc com |
629369 10 9 |
us6293691092 |
| |
|
n q minerals plc |
62890k 10 8 |
|
| |
nqmlf |
n q minerals plc
ord |
|
be0974258874 |
| |
blomf |
n r c group |
|
de000a0leff5 |
| |
|
n r c group
holdings corporation com |
629375 10 6 |
|
| |
|
n r c group
holdings corporation warrants exp
10/17/202 |
629375 11 4 |
|
| |
|
n r d c acquisition
corporation com |
62941r 10 2 |
|
| |
|
n r d c acquisition
corporation unit |
62941r 20 1 |
|
| |
|
n r d c acquisition
corporation warrants exp 10/17/201 |
62941r 11 0 |
|
| |
|
n r g energy inc
call |
629377 90 2 |
|
| |
|
n r g energy inc
call |
629377 90 8 |
|
| |
nrg |
n r g energy inc
com |
629377 10 2 |
|
| |
nrg |
n r g energy inc
com new |
629377 50 8 |
us6293775085 |
| |
nrge |
n r g energy inc
com new |
629377 50 8 |
us6293775085 |
| |
|
n r g energy inc
corporation units |
629377 20 1 |
|
| |
|
n r g energy inc
dbcv 2.75% jun 00 |
629377 cg 5 |
|
| |
|
n r g energy inc
pfd conv mand |
629377 87 0 |
|
| |
|
n r g energy inc
preferred stock |
629377 70 6 |
us6293777065 |
|
|
|
n r g
energy inc put |
629377
95 2 |
|
| |
|
n r g energy inc
put |
629377 95 8 |
|
| |
|
n r g energy inc sr
unsec |
629377 bw 1 |
us629377bw10 |
| |
|
n r g inc /del/ |
629378 20 9 |
us6293782099 |
| |
gpoff |
n r g metals |
62945u 10 1 |
ca62945u1012 |
| |
|
n r g northeast
generating sr secd bd c |
62937u aj 0 |
|
| |
|
n r g yield inc
call |
62942x 90 5 |
|
| |
nylda |
n r g yield inc
class a new |
62942x 30 6 |
us62942x3061 |
| |
nyld |
n r g yield inc com
class a |
62942x 10 8 |
us62942x1081 |
| |
nyld.pr.a |
n r g yield inc com
class a |
62942x 10 8 |
us62942x1081 |
| |
|
n r g yield inc put |
62942x 95 5 |
|
| |
|
n r g yield
incorporated |
62942x aa 6 |
us62942xaa63 |
| |
nyld |
n r g yield
incorporated class c |
62942x 40 5 |
us62942x4051 |
| |
nrjgf |
n r j group |
|
gb00byw8qm32 |
| |
|
n r m corp |
629990 10 2 |
|
| |
|
n r m energy co l p |
629910 10 0 |
|
| |
|
n r m steelastic |
62938e 10 6 |
us62938e1064 |
| |
nrpi |
n r p stone inc |
62940j 20 0 |
us62940j2006 |
| |
|
n r u c corp |
62938p 10 1 |
|
| |
nrwwf |
n r w holdings
limited |
|
de000a0kppr7 |
| |
|
n r x global corp |
62937y 10 3 |
ca62937y1034 |
| |
|
n r x
pharmaceuticals inc call |
629444 90 0 |
|
| |
|
n r x
pharmaceuticals inc call |
629444 90 9 |
|
| |
|
n r x
pharmaceuticals inc com |
629444 10 0 |
|
| |
|
n r x
pharmaceuticals inc com new |
629444 20 9 |
|
| |
|
n r x
pharmaceuticals inc put |
629444 95 0 |
|
| |
|
n r x
pharmaceuticals inc put |
629444 95 9 |
|
| |
|
n r x
pharmaceuticals inc warrants exp
05/24/202 |
629444 11 8 |
|
| |
|
n s & l bancorp inc
com |
62937r 10 8 |
|
| |
|
n s a international
inc com |
62938f 10 3 |
|
| |
|
n s bancorp inc |
628925 10 9 |
|
| |
nscc |
n s c corporation
com |
62938t 10 3 |
|
| |
|
n s d bancorp inc
com |
62938d 10 8 |
|
| |
|
n s gold corp |
62942a 20 7 |
ca62942a2074 |
| |
nss |
n s group inc |
628916 10 8 |
|
| |
|
n s group inc call |
628916 90 8 |
|
| |
|
n s group inc com |
628910 10 8 |
|
| |
|
n s group inc put |
628916 95 8 |
|
| |
|
n s i |
|
ie000ozrgnv6 |
| |
|
n s i global inc |
628926 10 7 |
ca6289261076 |
| |
|
n s i international
inc |
62939u 10 9 |
us62939u1097 |
| |
|
n s i strategic inv |
629382 10 2 |
ca6293821022 |
| |
nsju |
n s j us co ltd |
62942n 10 0 |
us62942n1000 |
| |
|
n s p pharma |
62939v 10 7 |
ca62939v1076 |
| |
|
n s r resources inc |
629906 10 8 |
ca6299061086 |
| |
|
n s s bancorp inc
com |
62938h 10 9 |
|
| |
nssxf |
n s solutions corp |
|
jp3651210001 |
| |
|
n s t s bancorp inc
com |
6293jp 10 9 |
|
| |
|
n s u resources inc |
62942c 10 4 |
us62942c1045 |
| |
|
n s x silver |
62942j 10 9 |
ca62942j1093 |
|
|
|
n s
gold |
62942a
10 8 |
ca62942a1084 |
| |
|
n t e x inc |
628963 10 0 |
ca6289631005 |
| |
nywkf |
n t g clarity
networks |
62940v 10 4 |
ca62940v1040 |
| |
|
n t i resources
limited |
g66795 10 8 |
|
| |
|
n t l del inc / ntl
inc note 5.750%12/1 |
62940t aa 7 |
|
| |
|
n t l inc / ntl
communications note 0.0675 5/1 |
62941a ab 5 |
|
| |
|
n t l inc call |
629407 90 7 |
|
| |
|
n t l inc del call |
62940m 90 4 |
|
| |
|
n t l inc del com |
62940m 10 4 |
|
| |
|
n t l inc del put |
62940m 95 4 |
|
| |
|
n t l inc del
warrants exp 01/13/201 |
62940m 13 8 |
|
| |
|
n t l inc new call |
62941w 90 1 |
|
| |
|
n t l inc new com |
62941w 10 1 |
|
| |
|
n t l inc new put |
62941w 95 1 |
|
| |
|
n t l inc new
warrants exp 01/10/201 |
62941w 11 9 |
|
| |
|
n t l inc note
7.000%12/1 |
629407 al 1 |
|
| |
|
n t l inc put |
629407 95 7 |
|
| |
|
n t l incorporated |
629407 10 7 |
|
| |
|
n t n buzztime inc
call |
629410 90 9 |
|
| |
ntn |
n t n buzztime inc
com par |
629410 60 6 |
us6294106066 |
| |
|
n t n buzztime inc
put |
629410 95 9 |
|
| |
|
n t n canada inc
com par 0.04 |
629409 40 0 |
|
| |
ntn |
n t n
commununications inc com new |
629410 30 9 |
us6294103097 |
| |
|
n t n
commununications inc com new |
62940m 13 8 |
|
| |
|
n t n
commununications inc warrants exp
021801 |
629410 14 3 |
|
| |
nttbf |
n t n corporation |
|
jp3651020004 |
| |
ntpzy |
n t p c ltd u/spd
adr |
62946l 10 0 |
us62946l1008 |
| |
|
n t r acquisition
co |
629415 10 0 |
us6294151005 |
| |
|
n t r acquisition
co unit 06/28/2010 |
629415 20 9 |
|
| |
|
n t r acquisition
co warrants exp 06/28/201 |
629415 11 8 |
|
| |
|
n t s inc nev com |
62943b 10 5 |
|
| |
|
n t s mortgage
income fund l p |
629419 10 2 |
us6294191027 |
| |
|
n t s realty
holdings ltd partnersh partship
units |
629422 10 6 |
|
| |
|
n t t data |
|
jp3813200007 |
| |
ntdty |
n t t data
corporation |
629436 10 6 |
|
| |
nttdf |
n t t data
corporation |
|
egs69182c011 |
| |
ntdty |
n t t data
corporation u/adr/1:1 |
629436 10 6 |
us6294361067 |
| |
dcm |
n t t docomo inc |
62942m 20 1 |
us62942m2017 |
| |
ntdmf |
n t t docomo inc |
|
mx95ce090101 |
| |
|
n t t docomo inc
call |
62942m 90 1 |
|
| |
|
n t t docomo inc
put |
62942m 95 1 |
|
| |
dcmyy |
n t t docomo inc
sp/adr |
62942m 20 1 |
us62942m2017 |
| |
dcmmy |
n t t docomo inc
sp/adr/1:1 |
62942m 20 1 |
us62942m2017 |
| |
|
n t t mobile
communications network, inc, |
629424 10 2 |
|
| |
ntubf |
n t t urban
development corp |
|
jp3648600009 |
| |
|
n tone
international ltd |
62942p 10 5 |
ca62942p1053 |
| |
|
n triple c inc |
629425 10 9 |
|
| |
|
n u c o2 inc call |
629428 90 3 |
|
| |
nuco |
n u c o2 inc com |
629428 10 3 |
|
| |
|
n u c o2 inc put |
629428 95 3 |
|
|
|
nugl |
n u g l
inc |
629429
10 1 |
us6294291017 |
| |
|
n u i corporation
com |
629430 10 9 |
|
| |
|
n u i corporation
com |
629431 10 7 |
|
| |
|
n u pizza holding
corp |
629432 20 4 |
us6294322044 |
| |
|
n u s corp |
629433 10 3 |
|
| |
|
n u tek india |
629434 10 1 |
|
| |
|
n v 5 global inc
call |
62945v 90 9 |
|
| |
nvee |
n v 5 global inc
com |
62945v 10 9 |
us62945v1098 |
| |
|
n v 5 global inc
put |
62945v 95 9 |
|
| |
nvee. |
n v 5 holdings inc |
62945v 20 8 |
|
| |
|
n v 5 holdings inc
warrants exp |
62945v 11 7 |
|
| |
bekay |
n v bekaert nv
u/adr/1:10 |
62943y 10 5 |
us62943y1055 |
| |
beksf |
n v bekaert sa. |
|
jp3647000003 |
| |
nvcp |
n v c n corp |
629437 10 4 |
us6294371041 |
| |
nvec |
n v e corporation
com new |
629445 20 6 |
us6294452064 |
| |
|
n v f co /chapter
11/ |
629449 10 9 |
us6294491096 |
| |
|
n v h l sa ord 144a |
62946r 10 7 |
us62946r1077 |
| |
|
n v i d
international inc |
62944y 10 4 |
us62944y1047 |
| |
nvr |
n v r inc com |
62944t 10 5 |
us62944t1051 |
| |
|
n v r inc warrants
exp 093096 |
62944t 11 3 |
|
| |
|
n v r l p |
628912 10 7 |
|
| |
|
n v verernigd bezit
vnu |
62945k 20 2 |
|
| |
nvic |
n viro
international corp |
62944w 10 8 |
|
| |
nvic |
n viro
international corporation com new |
62944w 20 7 |
us62944w2070 |
| |
nvsn |
n vision inc com |
62944r 10 9 |
|
| |
|
n vision inc
warrants a ex 053001 |
62944r 11 7 |
|
| |
|
n w a inc |
62945j 10 6 |
|
| |
|
n w h inc com |
62946e 10 6 |
|
| |
|
n w m mining corp |
62946x 10 4 |
ca62946x1042 |
| |
nwsgy |
n w s holdings
limited sp/adr/10:1 |
62948t 10 1 |
us62948t1016 |
| |
nwurf |
n w t uranium corp |
62948b 10 0 |
ca62948b1004 |
| |
nwtt |
n w tech capital
inc |
62948j 10 3 |
us62948j1034 |
| |
nwszf |
n warrants s
holdings limited |
g66897 11 0 |
bmg668971101 |
| |
nwnyf |
n west energy corp |
62950d 30 9 |
ca62950d3094 |
| |
|
n west energy corp |
62950d 10 1 |
ca62950d1015 |
| |
|
n x a |
629476 10 2 |
ca6294761029 |
| |
|
n x capital co |
62951u 10 2 |
us62951u1025 |
| |
nxcn |
n x chain inc |
629471 10 3 |
us6294711030 |
| |
nxnw |
n x gen networks
inc |
67069c 10 0 |
us67069c1009 |
| |
negs |
n x global inc |
62950a 20 6 |
us62950a2069 |
| |
|
n x networks inc
call |
629478 90 8 |
|
| |
|
n x networks inc
com |
629478 10 8 |
us6294781082 |
| |
|
n x networks inc
put |
629478 95 8 |
|
| |
|
n x p bv/nxp
funding llc sr unsec 144a |
62947q as 7 |
us62947qas75 |
| |
|
n x p bv/nxp
funding llc sr unsec 144a |
62947q au 2 |
us62947qau22 |
| |
|
n x p bv/nxp
funding llc sr unsec 144a |
62947q aw 8 |
us62947qaw87 |
| |
|
n x p
semiconductors n v dbcv 1.000%12/0 |
62952q ab 6 |
|
| |
nsfdf |
n x t energy
solutions inc |
62948q 10 7 |
ca62948q1072 |
| |
|
n x u inc class a |
62956d 10 5 |
|
| |
|
n x u inc class a
new |
62956d 20 4 |
|
|
|
nxur |
n x
uranium inc |
62952f
10 4 |
us62952f1049 |
| |
|
n y b d holding inc |
62952b 10 3 |
us62952b1035 |
| |
|
n y c on the move
inc |
62947r 10 6 |
us62947r1068 |
| |
|
n y m a g i c inc
com |
629484 10 6 |
|
| |
|
n y m e x holdings
inc call |
62948n 90 4 |
|
| |
nmx |
n y m e x holdings
inc com |
62948n 10 4 |
|
| |
|
n y m e x holdings
inc put |
62948n 95 4 |
|
| |
|
n y s e euronext |
629491 10 1 |
us6294911010 |
| |
|
n y s e euronext
call |
629491 90 1 |
|
| |
|
n y s e euronext
put |
629491 95 1 |
|
| |
|
n y s e group inc
call |
62949w 90 3 |
|
| |
|
n y s e group inc
com |
62949w 10 3 |
|
| |
|
n y s e group inc
put |
62949w 95 3 |
|
| |
zpcm |
n z c h corp |
62954c 10 9 |
us62954c1099 |
| |
|
n z corporation com |
629497 10 8 |
|
| |
|
n z farming systems
uruguay |
62950b 10 5 |
|
| |
|
n z j holdings inc |
62971a 10 2 |
us62971a1025 |
| |
nzsty |
n z x limited
u/adr/10:1 |
629506 10 6 |
us6295061062 |
| |
|
n.runs |
|
jp3648300006 |
| |
ntchf |
n1 technologies inc |
p73098 10 8 |
bzp730981081 |
| |
ntchf |
n1 technologies inc |
p73098 20 7 |
bzp730982071 |
| |
ntwo |
n2h2 inc |
67019s 10 6 |
|
| |
|
n2h2 inc com |
67019f 10 4 |
|
|
|
|
n4
pharma plc |
|
jp3648350001 |
| |
|
naas technology inc
call |
62955x 90 1 |
|
| |
|
naas technology inc
call |
62955x 90 2 |
|
| |
|
naas technology inc
put |
62955x 95 1 |
|
| |
|
naas technology inc
put |
62955x 95 2 |
|
| |
|
naas technology inc
sp/ads |
62955x 10 2 |
|
| |
|
naas technology inc
sp/ads |
62955x 20 1 |
|
| |
|
naas technology inc
sp/ads |
62955x 30 0 |
|
| |
|
naas technology inc
sp/ads |
62955x 40 9 |
|
| |
|
nabaltec |
|
ine580a01013 |
| |
|
nabi
biopharmaceuticals call |
629519 90 9 |
|
| |
|
nabi
biopharmaceuticals com |
629519 10 9 |
us6295191091 |
| |
|
nabi
biopharmaceuticals note 2.875% 4/1 |
629519 ab 5 |
|
| |
|
nabi
biopharmaceuticals put |
629519 95 9 |
|
| |
|
nabisco brands inc |
629525 10 6 |
|
| |
|
nabisco holdings
corporation call |
629526 90 4 |
|
| |
na |
nabisco holdings
corporation class a |
629526 10 4 |
|
| |
|
nabisco holdings
corporation put |
629526 95 4 |
|
| |
|
nabisco inc |
629527 10 2 |
|
| |
|
nabors energy
transition cor class a |
g6363k 10 6 |
|
| |
|
nabors energy
transition cor class a com |
629567 10 8 |
|
| |
|
nabors energy
transition cor unit |
629567 20 7 |
|
| |
|
nabors energy
transition cor unit |
g6363k 12 2 |
|
| |
|
nabors energy
transition cor warrants exp
09/01/202 |
g6363k 11 4 |
|
| |
|
nabors energy
transition cor warrants exp
11/17/202 |
629567 11 6 |
|
| |
|
nabors industries
inc call |
629568 90 6 |
|
| |
|
nabors industries
inc co gtd |
629568 ax 4 |
us629568ax43 |