BANK OF AMERICA CORP /DE/ Q4 2017 Filing

Filed February 14, 2018

Portfolio Value

$597.4M

Holdings

6,312

Report Date

Q4 2017

Filing Type

13F-HR

All Holdings (6,312 positions)

StockValue
NUBDNUSHARES ETF TR
$122K
PVACUSDPENN VA CORP NEW
$122K
DLTHDULUTH HLDGS INC
$122K
INOINOVIO PHARMACEUTICALS INC
$122K
AMNBUSDAMERICAN NATL BANKSHARES INC
$121K
WINAWINMARK CORP
$120K
ABEONA THERAPEUTICS INC
$120K
GDENGOLDEN ENTMT INC
$120K
PHI INC
$120K
CPFL ENERGIA S A
$119K
OPOFOLD POINT FINL CORP
$119K
WVEWAVE LIFE SCIENCES LTD
$119K
CLSEURCELESTICA INC
$119K
FOAMIX PHARMACEUTICALS LTD
$118K
AOCAALUMINUM CORP CHINA LTD
$118K
POWERSHARES ETF TR II
$118K
GLYCEURGLYCOMIMETICS INC
$117K
TGHTEXTAINER GROUP HOLDINGS LTD
$117K
JEGBPJUST ENERGY GROUP INC
$116K
JKSJINKOSOLAR HLDG CO LTD
$116K
APAMPCO-PITTSBURGH CORP
$116K
GONGERON CORP
$115K
DHXDHI GROUP INC
$115K
ITRNITURAN LOCATION AND CONTROL
$115K
RICKRCI HOSPITALITY HLDGS INC
$115K
CSIIEURCARDIOVASCULAR SYS INC DEL
$115K
SSOPROSHARES TR
$114K
CALYXT INC
$114K
VPGVISHAY PRECISION GROUP INC
$113K
AVID TECHNOLOGY INC
$113K
OMNOVA SOLUTIONS INC
$113K
ACCESS NATL CORP
$113K
LOCALSHARES INVT TR
$112K
SI FINL GROUP INC MD
$112K
FRPHFRP HLDGS INC
$112K
AVXLANAVEX LIFE SCIENCES CORP
$112K
HBMDHOWARD BANCORP INC
$112K
FDMOFIDELITY
$111K
CSWCCAPITAL SOUTHWEST CORP
$111K
DYNEX CAP INC
$111K
PNNTPENNANTPARK INVT CORP
$111K
9YYASHFORD INC
$111K
ISHARES TR
$111K
BARCLAYS BK PLC
$110K
CRBPEURCORBUS PHARMACEUTICALS HLDGS
$109K
ISHARES TR
$109K
ATHERSYS INC
$109K
PRESIDIO INC
$108K
ETFIS SER TR I
$108K
LOMALOMA NEGRA CORP
$108K
POWERSHS DB US DOLLAR INDEX
$107K
RYTMRHYTHM PHARMACEUTICALS INC
$107K
KURAKURA ONCOLOGY INC
$107K
GLUUGLU MOBILE INC
$106K
NAVIOS MARITIME PARTNERS L P
$106K
FIRST TR STRATEGIC HIGH INC
$106K
NVEEUSDNV5 GLOBAL INC
$106K
DXYNDIXIE GROUP INC
$105K
JPSTJP MORGAN EXCHANGE TRADED FD
$104K
ABERDEEN ISRAEL FUND INC
$104K
CELLCOM ISRAEL LTD
$104K
STEMLINE THERAPEUTICS INC
$103K
CGENCOMPUGEN LTD
$103K
SOUTHERN NATL BANCORP OF VA
$102K
PKOHPARK OHIO HLDGS CORP
$102K
DIREXION SHS ETF TR
$102K
DSKEUSDDASEKE INC
$102K
EATON VANCE N Y MUN BD FD II
$102K
MAZOR ROBOTICS LTD
$101K
JA SOLAR HOLDINGS CO LTD
$101K
LIMELIGHT NETWORKS INC
$101K
IDTIDT CORP
$100K
MPXMARINE PRODS CORP
$100K
OXLCLOXFORD LANE CAP CORP
$100K
SLVPISHARES INC
$100K
CIOCITY OFFICE REIT INC
$99K
JNCEEURJOUNCE THERAPEUTICS INC
$99K
FIRST TR EXCNGE TRD ALPHADEX
$99K
FQF TR
$99K
DIREXION SHS ETF TR
$99K
NMINUVEEN MUN INCOME FD INC
$99K
CMCM1EURCHEETAH MOBILE INC
$98K
DISCOVERY COMMUNICATNS NEW
$98K
TRTXTPG RE FIN TR INC
$98K
MCEWEN MNG INC
$98K
TITAN MACHY INC
$98K
PNIPIMCO NEW YORK MUN FD II
$97K
SPGMSPDR INDEX SHS FDS
$97K
EFAXSPDR INDEX SHS FDS
$97K
WILLBROS GROUP INC DEL
$96K
QUREUNIQURE NV
$96K
LIBBEY INC
$96K
GBLIGLOBAL INDTY LTD CAYMAN
$95K
EUOPROSHARES TR II
$95K
GRBKGREEN BRICK PARTNERS INC
$95K
JOHN HANCOCK EXCHANGE TRADED
$95K
INDEXIQ ETF TR
$94K
VRSUSDVERSO CORP
$94K
NUVEEN TAX ADVANTAGED DIV GR
$94K
ECCEAGLE PT CR CO LLC
$94K
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