RKDAArcadia Biosciences, Inc.$0,2980+%3,94 | $0,2980 | +0,01 | +%3,94 | 765,41K | $717,95K |
XXII22nd Century Group, Inc.$0,9199+%0,88 | $0,9199 | +0,01 | +%0,88 | 48,96K | $656,80K |
NEXRNexera Technologies Ltd$1,12+%10,89 | $1,12 | +0,11 | +%10,89 | 116,96K | $624,36K |
SGRXSANGRIX INC. Class A$0,7600-%32,14 | $0,7600 | -0,36 | -%32,14 | 3,92M | $623,85K |
WHLRWheeler Real Estate Investment Trust, Inc.$0,9100-%16,51 | $0,9100 | -0,18 | -%16,51 | 15,03M | $517,07K |
FGLFounder Group Ltd. Class A$4,29+%3,62 | $4,29 | +0,15 | +%3,62 | 44,08K | $320,14K |
NIVFNewGenIvf Group Limited Class A$0,0990-%10,00 | $0,0990 | -0,01 | -%10,00 | 12,34M | $222,64K |
FRGTFreight Technologies, Incorporation$0,3220+%31,43 | $0,3220 | +0,08 | +%31,43 | 331,21M | $197,96K |
OAK/PABrookfield Oaktree Holdings, LLC 6.625 % Non-Cum Red Perp Pfd Units Series A$20,04-%0,22 | $20,04 | -0,05 | -%0,22 | 6,63K | — |
GJRSTRATS Trust for Allstate Corp For Proctr&Gambl Ctf 2006-1$24,10%0,00 | $24,10 | 0,00 | %0,00 | 413 | — |
MHNCMaiden Holdings North America, Ltd. 7 3/4 % Notes 2013-1.12.43 Gtd Sr$10,28-%0,34 | $10,28 | -0,04 | -%0,34 | 4,80K | — |
AHL/PEAspen Insurance Holdings Ltd Depositary Shs Repr 1/1000th 5.625 % Non-Cum Red Perp Pfd Registered Sh$17,69+%0,48 | $17,69 | +0,09 | +%0,48 | 34,82K | — |
BANFPBFC Capital Trust II Trust Pfd Secs$26,60-%0,86 | $26,60 | -0,23 | -%0,86 | 3,09K | — |
ASBHAmerican Savings Bank N.A.$18,01+%0,56 | $18,01 | +0,10 | +%0,56 | 101,08K | — |
BPYPMBrookfield Property Preferred LP 6.25 % Cum Red Perp Pfd Units A Series 1$16,00-%0,99 | $16,00 | -0,16 | -%0,99 | 5,00K | — |
GJTSTRATS Trust for Allstate Corp Allstate Corp 06-3 Asset Bkd$23,25%0,00 | $23,25 | 0,00 | %0,00 | 2,64K | — |
ENLVEnlivex Ltd.$0,3400-%6,08 | $0,3400 | -0,02 | -%6,08 | 409,34K | — |
GLOP/PAGasLog Partners LP Cum Red Perp Pfd Uts Series A$24,91-%1,03 | $24,91 | -0,26 | -%1,03 | 15,94K | — |
ATH/PAAthene Holding Ltd. Depository Shs Repr 1/1000th Non-Cum Red Perp Pfd Registered Shs Ser A$22,90-%0,02 | $22,90 | -0,00 | -%0,02 | 40,76K | — |
NEE/PWNextEra Energy Capital Holdings Inc 6.5 % Debentures 2026-15.04.86 Series Z$22,47+%0,13 | $22,47 | +0,03 | +%0,13 | 57,82K | — |
CMS/PBConsumers Energy Company 4 1/2 UDS Cum.Pfd Shs$76,01-%0,96 | $76,01 | -0,73 | -%0,96 | 3,05K | — |
CTA/PAEIDP, Inc. USD 3.50 Cum Pref Registered Shs$47,12-%0,80 | $47,12 | -0,38 | -%0,80 | 2,85K | — |
CFTR/PACantor Fitzgerald Income Trust Inc Cum Red Pfd Registered Shs$25,50-%0,78 | $25,50 | -0,20 | -%0,78 | 2,22K | — |
DDTDillards Capital Trust I 7 1/2 % Cap Secs 1998-1.8.38 Based on 7.5% Subord Debs 38 Dillards$26,29-%0,53 | $26,29 | -0,14 | -%0,53 | 830 | — |
GJOSTRATS Trust for Allstate Corp Wal Mart Stores I Strt Ctf 05-4$24,60-%0,08 | $24,60 | -0,02 | -%0,08 | 4,28K | — |
EP/PCEl Paso Energy Capital Trust I 4.75 % Trust Conv Pfd Secs 1998-31.3.28 Series C$49,88+%0,22 | $49,88 | +0,11 | +%0,22 | 63,35K | — |
SCE/PMSCE Trust VII Trust Pref Secs Registered$22,02-%1,03 | $22,02 | -0,23 | -%1,03 | 48,25K | — |
GJSSTRATS(SM) Trust For Goldman Sachs Group Securities, Series 2006-2 PRF 15/02/2033 2006-2 STRATS CTF FLTG$23,19%0,00 | $23,19 | 0,00 | %0,00 | 153 | — |
BPYPNBrookfield Property Partners LP 5.75 % Cum Red Perp Pref Units Series 3$13,42-%0,30 | $13,42 | -0,04 | -%0,30 | 4,35K | — |
PYTPPLUS Trust Floating Rate Trust Ctfs 2004-15.2.34 Series GSC-2 Based On 6.345% Cap Sec Gldmn Sach$23,74%0,00 | $23,74 | 0,00 | %0,00 | 5 | — |
TPGXLTPG Operating Group II LP 6.95 % Notes 2024-15.03.64 Global Gtd$20,84+%0,68 | $20,84 | +0,14 | +%0,68 | 20,67K | — |
BEPHBrookfield BRP Holdings (Canada) Inc 4.625 % Notes 2021-Without Fixed Maturity Global Sub$14,69+%0,41 | $14,69 | +0,06 | +%0,41 | 25,89K | — |
SEAL/PBSeapeak LLC Cum Red Perp Pfd Registered Units Series -B-$25,41-%0,57 | $25,41 | -0,15 | -%0,57 | 2,74K | — |
GJHSTRATS Trust for Allstate Corp Utd Sts Cellular Strats 6.375$9,32%0,00 | $9,32 | 0,00 | %0,00 | 4 | — |
ETI/PEntergy Texas. Inc 5.375 % Cum Red Perp Pfd Registered Shs Series A$21,39+%2,91 | $21,39 | +0,61 | +%2,91 | 2,26K | — |
IPBMerrill Lynch Depositor Inc. 6.0518% Index Plus Trust Series 2003-1$24,99+%0,22 | $24,99 | +0,06 | +%0,22 | 1,18K | — |
TRTN/PATriton International Ltd. 8.5% Cum Conv Red Perp Pfd Registered Shs Series A$25,57+%0,45 | $25,57 | +0,12 | +%0,45 | 8,61K | — |
BPOPMPopular Capital Trust II 6 1/8 % Cumulative Monthly Income Pfd Secs 2004-2034$25,25+%0,20 | $25,25 | +0,05 | +%0,20 | 736 | — |
PRIF/PDPriority Income Fund Inc 7.00 % Cum Red Pfd Registered Shs 2019-30.06.29 Series D$24,58+%0,13 | $24,58 | +0,03 | +%0,13 | 4,40K | — |
MBNKOMedallion BK salt lake city utah Non-cum perp pfd registered shs Series G$24,04-%0,83 | $24,04 | -0,20 | -%0,83 | 20,19K | — |
ELCEntergy Louisiana LLC 4.875 % Bonds 2016-01.09.66 Collateral Trust Mtg$18,80+%0,16 | $18,80 | +0,03 | +%0,16 | 11,22K | — |
SNUS/PHSantander Holdings USA Inc Depositary Shs Repr 1/1000th Non-Cum Perp Red Pfd Registered Shs Series -H-$20,82%0,00 | $20,82 | 0,00 | %0,00 | 9,05K | — |
EIIAEagle Point Institutional Income Fund Red Pfd Registered Shs Series A$25,12-%0,08 | $25,12 | -0,02 | -%0,08 | 1,01K | — |
TREOTactical Resources Corporation$2,97+%12,93 | $2,97 | +0,34 | +%12,93 | 52,30K | — |
ANG/PDAmerican National Group Inc Depositary Shs Repr 1/1000th Pfd Rgstrd Shs Series D$23,82+%0,51 | $23,82 | +0,12 | +%0,51 | 21,05K | — |
GJPSTRATS Trust for Allstate Corp For Dominion Res Strt Ctf 05-6$24,40%0,00 | $24,40 | 0,00 | %0,00 | 4,80K | — |
SCE/PNSCE Trust VIII Pfd Registered shs Series N$20,57-%0,63 | $20,57 | -0,13 | -%0,63 | 50,26K | — |
CDR/PBCedar Realty Trust Inc 7.25 % Cum Red Pfd Registered Series B$16,21%0,00 | $16,21 | 0,00 | %0,00 | 10 | — |
SCE/PLSCE Trust VI 5% Cum Red Pfd Secs Series L$15,57-%1,14 | $15,57 | -0,18 | -%1,14 | 20,10K | — |
PHXE/PPhoenix Energy One, LLC 10% Red Cum Pfd Shs Series A$25,59-%2,25 | $25,59 | -0,59 | -%2,25 | 2,07K | — |