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Complete list of all 1,217 stock holdings worth $1 Million or more.

*edit - thank you for the reddit gold. I will drink a beer to commemorate the happy occasion.
This is a simplified but expanded version of a table I posted as a comment in the main thread yesterday.
I had to limit it to no decimals or ticker symbols based on Reddit's max of 40,000 characters. So everything is rounded to the nearest million. Nothing below $1M (an additional 418 companies) is listed.
Stock Amt
Apple, Inc. $1005M
Alphabet Inc. $787M
Microsoft Corp. $782M
Intel Corp. $594M
Express Scripts Holding Co. $589M
Johnson & Johnson $560M
Facebook, Inc. $463M
Mednax, Inc. $462M
Amazon.com, Inc. $454M
Celgene Corp. $452M
Snap-On Inc. $405M
Marriott International, Inc. $386M
Wells Fargo & Co. $353M
Visa, Inc. $352M
Enterprise Products Partners L.P. $343M
The Walt Disney Co. $343M
Stryker Corp. $326M
Wal-Mart Stores, Inc. $325M
JPMorgan Chase & Co. $312M
Bank of New York Mellon Corp. (The) $311M
Adobe Systems, Inc. $306M
Berkshire Hathaway, Inc. $295M
Chevron Corp. $289M
LKQ Corp. $281M
UnitedHealth Group Inc. $278M
Fastenal Co. $278M
Home Depot, Inc. (The) $259M
Danaher Corp. $255M
Bank of America Corp. $252M
U.S. Bancorp $238M
Applied Materials, Inc. $237M
O'Reilly Automotive, Inc. $229M
Kinder Morgan, Inc. $224M
Abbott Laboratories $221M
Cognizant Technology Solutions Corp. $220M
MasterCard Incorporated $219M
Thermo Fisher Scientific, Inc. $216M
Schlumberger Ltd. $215M
TJX Companies, Inc. (The) $209M
Citigroup, Inc. $209M
Union Pacific Corp. $207M
Intercontinental Exchange, Inc. $201M
CME Group, Inc. $193M
American Tower Corp. (REIT) $191M
Nike, Inc. $190M
NextEra Energy, Inc. $183M
Illinois Tool Works, Inc. $178M
Texas Instruments Inc. $177M
Oracle Corp. $177M
Southern Co. (The) $167M
Prologis, Inc. $167M
Zions Bancorporation $166M
Royal Bank of Canada (Montreal, PQ) $165M
Boeing Company (The) $158M
iShares Core S&P 500 ETF $158M
Xilinx, Inc. $154M
Knight-Swift Transportation $154M
Best Buy Co., Inc. $150M
Ritchie Bros. Auctioneers Inc. $139M
Valero Energy Corp. $137M
First Republic Bank (San Francisco, California) $135M
Southwest Airlines Co. $134M
Praxair, Inc. $132M
Stericycle, Inc. $131M
Intuitive Surgical, Inc. $123M
Henry Schein, Inc. $122M
PayPal Holdings, Inc. $117M
MSC Industrial Direct Co., Inc. $116M
Exxon Mobil Corp. $116M
EXACT Sciences Corp. $114M
Dow Chemical Co. (The) $114M
Suncor Energy Inc. $112M
Aon Plc $111M
Lincoln National Corp. $110M
Alphabet Inc. Class C $109M
Gilead Sciences, Inc. $107M
Humana, Inc. $106M
United Rentals, Inc. $105M
Costco Wholesale Corp. $103M
Robert Half International, Inc $99M
International Flavors & Fragrances, Inc $97M
Cummins, Inc. $95M
Fortive Corporation $95M
NetApp, Inc. $95M
Toronto-Dominion Bank (ON) $92M
United Technologies Corp. $90M
TC Pipelines, LP $88M
World Fuel Services Corporation $88M
Anthem, Inc. $87M
NVIDIA Corp. $85M
Northern Trust Corp. $84M
Regions Financial Corp. $83M
Accenture plc $81M
Ameriprise Financial, Inc. $80M
Air Products & Chemicals, Inc. $80M
Kraft Heinz Company $79M
ConAgra Foods, Inc. $78M
Johnson Controls International plc $78M
Pfizer, Inc. $75M
Affiliated Managers Group, Inc. $74M
HP Inc. $73M
Skyworks Solutions, Inc. $72M
Capital One Financial Corp. $72M
Dorman Products, Inc. $72M
Steel Dynamics, Inc. $70M
Michael Kors Holdings Ltd. $69M
Marathon Petroleum Corp. $67M
Prudential Financial, Inc. $65M
CVS Health Corporation $65M
MarketAxess Holdings, Inc. $64M
SPDR Consumer Discretionary Select Sector ETF $63M
Western Digital Corp. $62M
Healthcare Services Group, Inc. $62M
F5 Networks, Inc. $60M
AT & T, Inc. $59M
Clorox Company (The) $59M
Owens Corning, Inc. $58M
Archer-Daniels-Midland Co. $58M
Tractor Supply Co. $57M
Ross Stores, Inc. $56M
Carnival Corp. $56M
Darden Restaurants, Inc. $55M
Tyson Foods, Inc. $55M
Biogen Inc. $55M
Procter & Gamble Co. (The) $54M
Vertex Pharmaceuticals Inc. $54M
American Electric Power Company, Inc. $54M
Freeport-McMoRan Inc. $53M
Cisco Systems, Inc. $52M
AFLAC, Inc. $52M
Canadian National Railway Co. $51M
Morgan Stanley $50M
Hunt (J.B.) Transport Services, Inc. $50M
Wellcare Health Plans, Inc. $50M
DXC Technology Company $50M
Host Hotels & Resorts, Inc. $50M
Allstate Corp. (The) $50M
Lam Research Corp. $50M
Monro Muffler Brake, Inc. $49M
Hartford Financial Services Group, Inc. (The) $49M
Caterpillar, Inc. $49M
Colgate-Palmolive Co. $48M
Corning, Inc. $47M
Amgen Inc. $47M
Target Corp. $46M
Motorola Solutions, Inc. $46M
Lear Corp. $45M
LyondellBasell Industries NV $44M
Walgreens Boots Alliance, Inc. $44M
DaVita HealthCare Partners Inc. $43M
Dominion Resources, Inc. $43M
SPDR Consumer Staples Select Sector ETF $43M
Thor Industries, Inc. $42M
Smith (A.O.) Corp. $42M
Wyndham Worldwide Corp. $42M
United Continental Holdings, Inc. $40M
Chemours Company (The) $40M
Akamai Technologies, Inc. $39M
Synchrony Financial $39M
Discover Financial Services $38M
PPL Corp. $38M
Duke Energy Corp. (Holding Co.) $38M
Everest RE Group, Ltd. (Holding Co.) $37M
AbbVie Inc. $37M
Goldman Sachs Group, Inc. (The) $37M
Ally Financial Inc. $37M
Lazard Ltd. $36M
Westrock Company $36M
Pinnacle West Capital Corp. $36M
Micron Technology, Inc. $36M
Delta Air Lines, Inc. $35M
Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF $35M
Travelers Companies, Inc. (The) $34M
McDonald's Corp. $34M
Verizon Communications, Inc. $34M
Goldman Sachs ActiveBeta Japan Equity ETF $34M
Quest Diagnostics, Inc. $33M
Legg Mason, Inc. $33M
Goldman Sachs ActiveBeta International Equity ETF $33M
Packaging Corp. of America $33M
SYSCO Corp. $33M
Eastman Chemical Company $33M
Jabil Circuit, Inc. $33M
Cadence Design Systems, Inc. $33M
Ryder System, Inc. $32M
CA, Inc. $32M
Eaton Corporation $32M
Goldman Sachs ActiveBeta Europe Equity ETF $32M
Prosperity Bancshares, Inc. $31M
Assured Guaranty Ltd. $31M
Coherent, Inc. $31M
iShares Core S&P MidCap ETF $31M
eBay, Inc. $31M
E*TRADE Financial, Inc. $31M
Domator Corp. $30M
Vanguard FTSE All-World ex US Small Cap Index Fund ETF $30M
Assurant, Inc. $30M
Kimberly-Clark Corp. $30M
NVR, Inc. $30M
NorthWestern Corp. $29M
Ameren Corp. $29M
EPAM Systems Inc. $29M
General Motors Company $29M
Copa Holdings, S.A. $28M
ManpowerGroup $28M
ON Semiconductor Corporation $28M
ANSYS, Inc. $28M
PNC Financial Services Group, Inc. (The) $28M
Old Republic International Corp. $28M
Consolidated Edison, Inc. $28M
Trinity Industries, Inc. $28M
Centene Corp. $27M
Kroger Co. $27M
Vanguard Small-Cap ETF $27M
HollyFrontier Corp. $27M
Teradata Corp. $26M
Newfield Exploration Company $26M
Old Dominion Freight Line, Inc. $26M
Bemis Co., Inc. $26M
Juniper Networks, Inc. $26M
Royal Caribbean Cruises Ltd. $26M
Fifth Third Bancorp $26M
Cimpress N.V. $26M
Grainger (W.W.), Inc. $25M
Becton Dickinson & Co. $25M
Kohl's Corp. $25M
ARRIS International plc $25M
Duke Realty Corp. $25M
Nu Skin Enterprises, Inc. $25M
Murphy Oil Corp. $24M
WNS Holdings Ltd. $24M
Hormel Foods Corp. $24M
Dollar General Corp. $24M
Bunge Ltd. $24M
PG&E Corp. $24M
American Express Co. $24M
SVB Financial Group $23M
Nordson Corp. $23M
Comcast Corp. $23M
Cigna Corp. $23M
HEICO Corp. $23M
JetBlue Airways Corp. $23M
Xcel Energy, Inc. $22M
Huntington Ingalls Industries, Inc. $22M
Varian Medical Systems, Inc. $22M
Arista Networks, Inc. $22M
Take-Two Interactive Software, Inc. $22M
Harris Corp. $22M
VeriSign, Inc. $22M
Electronic Arts Inc. $22M
Ford Motor Co. $22M
International Business Machines Corp. $21M
American Airlines Group Inc. $21M
Clovis Oncology, Inc. $21M
Macy's, Inc. $21M
Simon Property Group, Inc. $21M
XL Group Ltd. $21M
Mettler Toledo International, Inc. $21M
Graphic Packaging Holding Co. $21M
Cardinal Health, Inc. $20M
CBRE Group, Inc. $20M
Exelon Corp. $20M
People's United Financial, Inc. $20M
HMS Holdings Corp. $20M
Teradyne, Inc. $20M
Alaska Air Group, Inc. $20M
AmerisourceBergen Corp. $20M
Teladoc, Inc. $20M
Discovery Communications, Inc. $20M
QEP Resources, Inc. $19M
National Fuel Gas Co. $19M
Air Methods Corp. $19M
Comerica, Inc. $19M
PACCAR, Inc. $19M
State Street Corp. $19M
Unum Group $19M
Ingersoll-Rand plc $19M
Merck & Co., Inc. $19M
Toll Brothers, Inc. $18M
Sprouts Farmers Market, Inc. $18M
Universal Health Services, Inc. $18M
Spirit Aerosystems Holdings, Inc. $18M
Pilgrim's Pride Corp. $18M
Omnicom Group, Inc. $18M
Teva Pharmaceutical Fin Llc Bond $18M
Welltower Inc. $18M
NCR Corp. $18M
Popular, Inc. $17M
Waste Management, Inc. $17M
Discovery Communications, Inc. $17M
Spirit Airlines, Inc. $17M
Kansas City Southern $17M
Progressive Corp. (The) $17M
The Priceline Group Inc. $17M
HCA Holdings Inc. $17M
Eli Lilly & Co. $17M
Newmont Mining Corp. $17M
Casey's General Stores, Inc. $17M
IAC/InterActiveCorp. $16M
Pegasystems, Inc. $16M
InnerWorkings, Inc. $16M
HCP, Inc. $16M
Allison Transmission Holdings, Inc. $16M
Santander Consumer USA Holdings Inc. $16M
FactSet Research Systems, Inc. $16M
Northrop Grumman Corp. $16M
Raytheon Co. $16M
Carlisle Companies, Inc. $16M
Huntsman Corp. $16M
PulteGroup, Inc. $16M
Equinix, Inc. $15M
Oshkosh Corporation (Holding Company) $15M
Paychex, Inc. $15M
3M Co. $15M
IPG Photonics Corp. $15M
Devon Energy Corp. $15M
Vistra Energy Corp. $15M
QUALCOMM Incorporated $15M
General Electric Co. $15M
HealthEquity, Inc. $15M
Apache Corp. $14M
Leidos Holdings, Inc. $14M
Citizens Financial Group, Inc. $14M
Signet Jewelers Ltd. $14M
SCANA Corp. $14M
Cerner Corp. $14M
Alcoa Corp. $14M
Nielsen Holdings PLC $14M
Honeywell International, Inc. $14M
SunTrust Banks, Inc. $13M
Liberty Interactive Corp. Series A QVC Group $13M
AutoZone, Inc. $13M
Citrix Systems, Inc. $13M
Westlake Chemical Corp. $13M
iShares MSCI EAFE ETF $13M
Drew Industries, Inc. $13M
Edison International $13M
Norfolk Southern Corp. $13M
Celanese Corp. $13M
Inphi Corp. $13M
Hewlett Packard Enterprise Company $13M
Republic Services, Inc. $13M
McGraw Hill Financial, Inc. $13M
Lowe's Companies, Inc. $13M
Littelfuse, Inc. $13M
Proto Labs, Inc. $13M
Vocera Communications, Inc. $13M
Meridian Bioscience, Inc. $12M
Hospitality Properties Trust $12M
Chimera Investment Corp. $12M
bluebird bio, Inc. $12M
Switch Inc $12M
Principal Financial Group, Inc. $12M
General Mills, Inc. $12M
Medtronic plc $12M
Red Hat, Inc. $12M
Palo Alto Networks, Inc. $12M
KLA-Tencor Corp. $12M
Gulfport Energy Corp. $12M
Neogen Corp. $11M
Gap, Inc. (The) $11M
Teleflex, Inc. $11M
Zoetis Inc. $11M
Baxter International, Inc. $11M
KeyCorp $11M
Broadcom Limited $11M
Liberty Interactive Ventures Corp Series A $11M
Michaels Companies Inc. (The) $11M
Franklin Resources, Inc. $11M
Public Storage $11M
Sherwin-Williams Co. (The) $11M
Tyler Technologies, Inc. $11M
Deere & Co. $11M
AMERCO $11M
Athene Holding Ltd $11M
Lamb Weston Holdings, Inc. $11M
Vanguard FTSE All-World ex-US ETF $11M
Regal-Beloit Corp. $11M
Torchmark Corp. $11M
Automatic Data Processing, Inc. $11M
American Financial Group, Inc. (Holding Co.) $11M
Reinsurance Group of America, Inc. $11M
Cabot Corp. $11M
AvalonBay Communities, Inc. $11M
Costar Group, Inc. $11M
Amdocs Ltd. $10M
Leucadia National Corp. $10M
Lockheed Martin Corp. $10M
Church & Dwight Co., Inc. $10M
McKesson Corp. $10M
GameStop Corp. $10M
Berry Plastics Group, Inc. $10M
Prospect Capital Corp. 4.75% Bond due 2020-04-15 $10M
LifePoint Health, Inc. $10M
Bed Bath & Beyond Inc. $10M
Trex Co., Inc. $10M
Phillips 66 $10M
Bristol-Myers Squibb Co. $10M
CSX Corp. $10M
Symantec Corp. $10M
Norwegian Cruise Line Holdings Ltd $10M
SPDR S&P Regional Banking ETF $9M
East West Bancorp, Inc. $9M
Barnes Group, Inc. $9M
Laboratory Corp. of America Holdings $9M
Foot Locker, Inc. $9M
Quanta Services, Inc. $9M
Baker Hughes, a GE company $9M
Hd Supply Inc. $9M
JELD-WEN Holding, Inc. $9M
Entergy Corp. $9M
Amphenol Corp. $9M
CoreCivic Inc $9M
FLIR Systems, Inc. $9M
First Trust Senior Loan Fund ETF $9M
Fidelity National Information Services, Inc. $9M
Equity Lifestyles Properties, Inc. $9M
ASML Holding N.V. (ADR) $9M
Sonoco Products Co. $9M
Microchip Technology Inc. $9M
Cintas Corp. $9M
Toyota Motor Corp. $8M
Crown Holdings, Inc. $8M
Hawaiian Electric Industries, Inc. $8M
Zebra Technologies Corp. $8M
Envestnet, Inc. $8M
Antero Resources Corporation $8M
PVH Corp. $8M
Pinnacle Foods, Inc. $8M
Dick's Sporting Goods, Inc. $8M
AXIS Capital Holdings Ltd. $8M
Proofpoint, Inc. $8M
M & T Bank Corp. $8M
Jones Lang LaSalle Inc. $8M
United Parcel Service, Inc. $8M
CVB Financial Corp. $8M
Carriage Services, Inc. $8M
Avery Dennison Corp. $8M
Tahoe Resources Inc. $8M
Salesforce.com, Inc. $8M
McCormick & Co., Inc. $8M
Total System Services, Inc. $8M
Block (H.&R.), Inc. $8M
Auris Medical Holding AG $8M
Visteon Corp. $8M
Mondelez International, Inc. $7M
Parker-Hannifin Corp. $7M
FMC Corp. $7M
Kirby Corp. $7M
Cabot Oil & Gas Corp. $7M
EOG Resources, Inc. $7M
Hill-Rom Holdings, Inc. $7M
CMS Energy Corp. $7M
BlackRock, Inc. $7M
ConocoPhillips $7M
Schwab Charles Corp $7M
D.R. Horton, Inc. $7M
Chubb Ltd $7M
First Data Corporation $7M
FedEx Corp. $7M
Westamerica Bancorporation $7M
Raymond James Financial, Inc. $7M
Micro Focus International plc $7M
Echo Global Logistics, Inc. $7M
Allergan plc $7M
Patrick Industries, Inc. $7M
Staar Surgical Co. $7M
Jacobs Engineering Group, Inc. $7M
Oceaneering International, Inc. $7M
American Water Works Co., Inc. $7M
Burlington Stores, Inc. $7M
L-3 Communications Holdings, Inc. $7M
General Dynamics Corp. $7M
CBS Corp. $7M
Veeva Systems Inc. $7M
Rockwell Automation, Inc. $7M
Toro Company (The) $7M
Unilever N.V. $7M
Cullen/Frost Bankers, Inc. $7M
Fiserv, Inc. $7M
Realogy Holdings Corp. $7M
American Campus Communities, Inc. $7M
Estee Lauder Companies, Inc. (THE) $6M
Core Laboratories N.V. $6M
Ventas, Inc. $6M
Occidental Petroleum Corp. $6M
SLM Corp. (Sallie Mae) $6M
SBA Communications Corp. $6M
LPL Financial Holdings Inc. $6M
IBERIABANK Corp. $6M
ABIOMED, Inc. $6M
MSCI, Inc. $6M
Halliburton Co. (Holding Company) $6M
Cincinnati Financial Corp. $6M
Sony Corp. $6M
PowerShares International Corporate Bond Portfolio $6M
AAON, Inc. $6M
Sanfilippo (JOHN B) & Son, Inc. $6M
SAP SE $6M
Extended Stay America, Inc. $6M
Marsh & McLennan Companies, Inc. $6M
Fidelity National Financial, Inc. $6M
Netflix, Inc. $6M
Boston Scientific Corp. $6M
Cooper Companies, Inc. (The) $6M
Q2 Holdings, Inc. $6M
Generac Holding Inc. $6M
Pioneer Natural Resources Co. $6M
Polaris Industries, Inc $6M
iShares iBoxx $ Investment Grade Corporate Bond ETF $6M
Emerson Electric Co. $6M
Intuit Inc. $6M
Abaxis, Inc. $6M
Power Integrations, Inc. $6M
CyrusOne Inc. $6M
Charles River Laboratories International, Inc. $6M
Expeditors International of Washington, Inc. $6M
MetLife, Inc. $6M
Hasbro, Inc. $6M
Textron, Inc. $6M
American International Group, Inc. $6M
United Therapeutics Corp. $6M
Zimmer Biomet Holdings, Inc $6M
Patterson Companies, Inc. $6M
Goodyear Tire & Rubber Co. (The) $5M
Nucor Corp. $5M
Ecolab, Inc. $5M
Hershey Company (The) $5M
Align Technology, Inc. $5M
Liquidity Services, Inc. $5M
Broadridge Financial Solutions, Inc. $5M
BHP Billiton Ltd. $5M
Regeneron Pharmaceuticals, Inc. $5M
BB&T Corp. $5M
Mitsubishi UFJ Financial Group, Inc. $5M
Cognex Corp. $5M
NextEra Energy Partners LP $5M
Coresite Realty Corp $5M
Whirlpool Corp. $5M
Novartis AG $5M
Cable One Inc. $5M
Waters Corp. $5M
South Jersey Industries, Inc. $5M
Kellogg Co. $5M
Financial Engines, Inc. $5M
Trimble Navigation Ltd. $5M
Analog Devices, Inc. $5M
Keysight Technologies Inc. $5M
Atmos Energy Corp. $5M
Alliant Energy Corp. $5M
IDEX Corp. $5M
Activision Blizzard, Inc. $5M
Buckeye Partners, L.P. $5M
Eversource Energy $5M
Gardner Denver Holdings, Inc. $5M
Honda Motor Co., Ltd. $5M
Vectren Corp. $5M
PPG Industries, Inc. $5M
PacWest Bancorp $5M
CenturyLink, Inc. $5M
Teledyne Technologies Inc. $5M
BlackLine, Inc. $5M
Copart, Inc. $5M
Bofi Holding, Inc. $5M
Yum! Brands, Inc. $5M
Nektar Therapeutics $5M
Alibaba Group Holding Limited $5M
Crown Castle International Corp. $5M
CDK Global, Inc. $5M
IDEXX Laboratories, Inc. $5M
Alleghany Corp. $5M
Park Hotels & Resorts Inc. $5M
SEI Investments Co. $5M
Equity Residential $5M
ABB Ltd. $5M
Martin Marietta Materials, Inc. $5M
BorgWarner, Inc. $5M
Gentex Corp. $5M
EQT Midstream Partners LP $5M
Urban Outfitters, Inc. $5M
Henry (JACK) & Associates, Inc. $5M
Masco Corp. $5M
Tallgrass Energy Partners, LP $5M
News Corp $5M
Boston Properties, Inc. $5M
Dominos Pizza Inc. $5M
Dollar Tree, Inc. $5M
TEGNA Inc. $5M
First American Financial Corp. (The) $5M
Market Vectors International High Yield Bond ETF $4M
TE Connectivity Ltd. $4M
Anadarko Petroleum Corp. $4M
Illumina, Inc. $4M
Camden Property Trust $4M
US Foods Holding Corp. $4M
UGI Corp. $4M
ICU Medical, Inc. $4M
Virtusa Corp. $4M
QAD, Inc. $4M
Liberty Expedia Holdings, Inc. Series B $4M
ExlService Holdings, Inc. $4M
Newell Brands Inc. $4M
Graco Inc. $4M
Bank of the Ozarks, Inc. $4M
Realty Income Corp. $4M
Essex Property Trust, Inc. $4M
Charter Communications, Inc. $4M
WEC Energy Group, Inc. $4M
Arrow Electronics, Inc. $4M
Sumitomo Mitsui Financial Group Inc. $4M
International Paper Company $4M
Alexion Pharmaceuticals, Inc. $4M
Roper Technologies, Inc. $4M
Murphy USA Inc. $4M
Monolithic Power Systems, Inc. $4M
Westar Energy, Inc. $4M
STERIS Corp. $4M
Albemarle Corp. $4M
Williams Companies, Inc. (The) $4M
Genuine Parts Co. $4M
Vornado Realty Trust $4M
Fortress Transportation and Infrastructure Investors LLC $4M
Mohawk Industries, Inc. $4M
Fresenius Medical Care AG & Co KGaA $4M
Verisk Analytics, Inc. $4M
Stanley Black & Decker, Inc. $4M
Interpublic Group of Companies, Inc. (The) $4M
Education Realty Trust, Inc. $4M
Lennox International, Inc. $4M
Mylan N.V. $4M
Edwards Lifesciences Corp. $4M
Campbell Soup Co. $4M
HSBC Holdings Plc $4M
Signature Bank $4M
Qualys, Inc. $4M
Eagle Materials, Inc. $4M
Aqua America, Inc. $4M
Service Corp. International $4M
DST Systems, Inc. $4M
DTE Energy Co. $4M
Concho Resources, Inc. $4M
SPS Commerce, Inc. $4M
West Pharmaceutical Services, Inc. $4M
Moody's Corp. $4M
Flowers Foods, Inc. $4M
Hubbell Inc $4M
OGE Energy Corp. $4M
RPM International, Inc. $4M
CF Industries Holding, Inc. $4M
Kilroy Realty Corp. $4M
LogMein, Inc. $4M
Weyerhaeuser Co. $4M
Lamar Advertising Co. REIT $4M
Versum Materials, Inc. $4M
Agilent Technologies, Inc. $4M
Berkley (W.R.) Corp. $4M
PTC Inc. $4M
Public Service Enterprise Group, Inc. $4M
Microsemi Corp. $4M
Autodesk, Inc. $4M
New York Community Bancorp, Inc. $4M
Janus Henderson Group plc $4M
Metro One Telecommunications, Inc. $4M
Ametek, Inc. $4M
National Grid Plc $4M
Sempra Energy $4M
Wabtec Corp. $4M
Harley-Davidson, Inc. $4M
ONEOK, Inc. $4M
Vulcan Materials Co. (Holding Co.) $3M
Reliance Steel & Aluminum Co., Inc. $3M
Novo-Nordisk A/S $3M
NICE Systems Ltd. $3M
Navient Corporation $3M
Total S.A. $3M
Brixmor Property Group Inc. $3M
Willis Towers Watson Public Limited Company $3M
Canon, Inc. $3M
Synovus Financial Corp. $3M
Fortinet, Inc. $3M
Helmerich & Payne, Inc. $3M
Eaton Vance Corp. $3M
Price (T.) Rowe Group, Inc. $3M
Equifax, Inc. $3M
V.F. Corp. $3M
National Retail Properties, Inc. $3M
Digital Realty Trust, Inc. $3M
TechnipFMC $3M
Andeavor Corp. $3M
Douglas Emmett, Inc. $3M
Alliance Data Systems Corp. $3M
CSRA Inc. $3M
Aptiv PLC $3M
Yum China Holdings, Inc. $3M
Liberty Property Trust $3M
Marathon Oil Corp. $3M
CNA Financial Corp. $3M
Synopsys, Inc. $3M
Pool Corp. $3M
Fluor Corp. $3M
Ultimate Software Group, Inc. (The) $3M
Donaldson Co., Inc. $3M
Bioverativ Inc. $3M
Brookfield Asset Management, Inc. $3M
Oxford Immunotec Global PLC $3M
Global Payments, Inc. $3M
Terex Corp. $3M
T-Mobile US, Inc. $3M
DENTSPLY SIRONA Inc. $3M
Sportsman's Warehouse Holdings, Inc. $3M
Westpac Banking Corp. Ltd. $3M
Noble Energy, Inc. $3M
AECOM $3M
Catalent Inc. $3M
Commerce Bancshares, Inc. $3M
NTT DOCOMO, Inc. $3M
Post Holdings, Inc. $3M
Syngenta AG $3M
National Oilwell Varco, Inc. $3M
Dover Corp. $3M
Curtiss-Wright Corp. $3M
Brown & Brown, Inc. $3M
Ralph Lauren Corp. $3M
Nordstrom, Inc. $3M
Royal Dutch Shell Plc $3M
Expedia, Inc. $3M
Hanesbrands, Inc. $3M
Hologic, Inc. $3M
NxStage Medical, Inc. $3M
Seagate Technology PLC $3M
Transdigm Group, Inc. $3M
United States Steel Corp. $3M
C.H. Robinson Worldwide, Inc. $3M
CIT Group, Inc. (The) $3M
Olin Corp. $3M
Hess Corp. $3M
AA LTD $3M
Invesco Ltd. $3M
DCT Industrial Trust, Inc. $3M
Loews Corp. $3M
Cimarex Energy Co. $3M
Six Flags Entertainment Corp $3M
Sterling Bancorp $3M
Twenty-First Century Fox, Inc. $3M
Lennar Corp. $3M
Highwoods Properties, Inc. $3M
MDU Resources Group, Inc. $3M
Sanofi $3M
Incyte Corp. $3M
CenterPoint Energy, Inc. $3M
Gartner, Inc. $3M
AptarGroup, Inc. $3M
Sun Communities, Inc. $3M
Lincoln Electric Holdings, Inc. $3M
Energen Corp. $3M
WEX Inc. $3M
Coty, Inc. $3M
Live Nation Entertainment, Inc. $3M
Sealed Air Corp. $3M
Viacom, Inc. $3M
Transocean, Inc. $3M
Nasdaq, Inc. $3M
InterContinental Hotels Group Plc $3M
Omega HealthCare Investors, Inc. $3M
WPX Energy, Inc. $3M
EQT Corp. $3M
Blackbaud, Inc. $3M
Prestige Brands Holdings, Inc. $3M
Crane Co. $3M
Carter's, Inc. $3M
Ulta Salon, Cosmetics & Fragrance, Inc. $3M
RELX N.V. $3M
Mosaic Company (The) (Holding Company) $3M
IDACORP, Inc. $3M
Huntington Bancshares, Inc. $3M
Extra Space Storage, Inc. $3M
First Solar, Inc. $3M
Federal Realty Investment Trust $3M
Royal Gold, Inc. $3M
Tiffany & Co. $3M
Zayo Group Holdings, Inc. $3M
UDR, Inc. $3M
Alexandria Real Estate Equities, Inc. $3M
Pentair plc. $3M
Mid-America Apartment Communities, Inc. $3M
Ball Corp. $3M
Aetna, Inc. $3M
Acuity Brands, Inc. (Holding Company) $3M
Snyders-Lance, Inc. $3M
RenaissanceRe Holdings Ltd. $3M
CBOE Holdings, Inc. $3M
Valvoline Inc. $3M
FirstEnergy Corp. $3M
MKS Instruments, Inc. $3M
Western Union Co. (The) $3M
Webster Financial Corp. $3M
Hilton Worldwide Holdings Inc. $3M
DISH Network Corp. $3M
UBS Group AG $3M
Bio-Techne Corp $3M
Skechers U.S.A. Inc. $3M
Macerich Company (THE) $3M
Syndax Pharmaceuticals, Inc. $3M
Advanced Micro Devices, Inc. $3M
Bio-Rad Laboratories, Inc. $3M
Gallagher (ARTHUR J.) & Co. $3M
Medical Properties Trust Inc. $3M
Watsco, Inc. $3M
Prudential PLC $3M
Garmin Ltd. $3M
Cinemark Holdings, Inc. $3M
Cypress Semiconductor Corp. $3M
Xerox Corp. $3M
Patterson-UTI Energy, Inc. $3M
L Brands, Inc. $3M
Xylem, Inc. $3M
ResMed Inc. $3M
Qorvo, Inc. $2M
Fortune Brands Home & Security, Inc. $2M
NRG Energy, Inc. $2M
PerkinElmer, Inc. $2M
Pinnacle Financial Partners, Inc. $2M
Chipotle Mexican Grill, Inc. $2M
Advance Auto Parts, Inc. $2M
Brunswick Corp. $2M
Iron Mountain Incorporated. (REIT) $2M
CarMax, Inc. $2M
Leggett & Platt, Inc. $2M
Avnet, Inc. $2M
AES Corp. (The) $2M
First Horizon National Corp. $2M
Umpqua Holdings Corp. $2M
Fair Isaac Corp. $2M
Wintrust Financial Corp. $2M
Owens-Illinois, Inc. $2M
Cracker Barrel Old Country Store, Inc. $2M
EMCOR Group, Inc. $2M
SL Green Realty Corp. $2M
NiSource, Inc. $2M
CDW Corporation $2M
Apartment Investment & Management Co. $2M
MAXIMUS, Inc. $2M
Brighthouse Financial, Inc. $2M
Hanover Insurance Group, Inc. (The) $2M
Genesee & Wyoming, Inc. $2M
Regency Centers Corp. $2M
AGCO Corp. $2M
F.N.B. Corp. $2M
Under Armour, Inc., Class C $2M
Energizer Holdings, Inc. $2M
Envision Healthcare Holdings, Inc. $2M
Ingredion, Inc. $2M
Primerica, Inc. $2M
Flowserve Corp. $2M
Senior Housing Properties Trust $2M
Allegion Public Limited $2M
ITT Inc. $2M
Scotts Miracle-Gro Company (The) $2M
TripAdvisor, Inc. $2M
Kimco Realty Corporation $2M
Dana Holding Corp. $2M
Texas Capital Bancshares, Inc. $2M
Chesapeake Energy Corp. $2M
ALLETE, Inc. $2M
Dun & Bradstreet Corp. (THE) $2M
Coach, Inc. $2M
Range Resources Corp. $2M
Under Armour, Inc. $2M
Rollins, Inc. $2M
National Instruments Corp. $2M
Interactive Brokers Group, Inc. $2M
AstraZeneca Plc $2M
ViaSat, Inc. $2M
CNO Financial Group, Inc. $2M
Hancock Holding Co. $2M
ONE Gas, Inc. $2M
Intersect ENT, Inc. $2M
Mattel, Inc. $2M
TCF Financial Corp. $2M
Landstar System, Inc. $2M
Vodafone Group Plc $2M
Sabre Corporation $2M
Sovran Self Storage, Inc. $2M
Williams-Sonoma, Inc. $2M
Chemed Corp. $2M
EPR Properties $2M
Stifel Financial Corp. $2M
Woodward, Inc $2M
Banco Bilbao Vizcaya Argentaria, S.A. $2M
Southwest Gas Corp. $2M
Masimo Corp. $2M
Bank of Hawaii Corp. $2M
Louisiana-Pacific Corp. $2M
CoreLogic, Inc. $2M
Banco Santander S.A. $2M
Rayonier, Inc. (REIT) $2M
Healthcare Realty Trust, Inc. $2M
GlaxoSmithKline plc $2M
Associated Banc-Corp. $2M
Spire Corp. $2M
Amber Road, Inc. $2M
Texas Roadhouse, Inc. $2M
KLX Inc. $2M
PBF Energy, Inc. $2M
Smith & Nephew PLC $2M
Kennametal Inc. $2M
BP Plc $2M
SYNNEX Corp. $2M
PNM Resources, Inc. $2M
TreeHouse Foods, Inc. $2M
Weingarten Realty Investors $2M
Brink's Company (The) $2M
Two Harbors Investment Corp. $2M
j2 Global, Inc $2M
Cousins Properties, Inc. $2M
The Wendy's Company $2M
Medidata Solutions, Inc. $2M
MB Financial, Inc. $2M
First Industrial Realty Trust, Inc. $2M
Chemical Financial Corp. $2M
SPDR Energy Select Sector ETF $2M
Taubman Centers, Inc. $2M
J & J Snack Foods Corp. $2M
Deluxe Corp. $2M
Washington Federal, Inc. $2M
Cantel Medical Corp. $2M
Marriott Vacations Worldwide Corp $2M
Ligand Pharmaceuticals Incorporated $2M
PolyOne Corp. $2M
New Jersey Resources Corp. $2M
Five Below, Inc. $2M
Silicon Laboratories, Inc. $2M
Integrated Device Technology, Inc. $2M
ING Groep N.V. $2M
LivaNova PLC $2M
NewMarket Corp. (Holding Company) $2M
Home BancShares, Inc. $2M
Valmont Industries, Inc. $2M
aTyr Pharma, Inc. $2M
United Bankshares, Inc. $2M
Apple Hospitality REIT, Inc. $2M
Orange $2M
Edgewell Personal Care Company $2M
Interval Leisure Group, Inc. $2M
Old National Bancorp $2M
Jack in the Box, Inc. $2M
Evercore Partners, Inc. $2M
Black Hills Corp. (Holding Co.) $2M
Matador Resources Co. $2M
Glaukos Corp. $2M
Dell Technologies Inc. $2M
Haemonetics Corp. $2M
VMWare, Inc. $2M
Selective Insurance Group, Inc. $2M
Forestar Group Inc $2M
John Bean Technologies Corp. $2M
El Paso Electric Co. $2M
Koninklijke Philips N.V $2M
Molina Healthcare, Inc. $2M
Tech Data Corp. $2M
Federated Investors, Inc. $2M
Globus Medical, Inc. $2M
General Growth Properties, Inc. $2M
Manhattan Associates, Inc. $2M
Dycom Industries, Inc. $2M
Cree, Inc. $2M
Heska Corp. $2M
Moog Inc. $2M
Columbia Banking System, Inc. $2M
First Midwest Bancorp, Inc. $2M
Science Applications International Corp. $2M
Wolverine World Wide, Inc. $2M
CACI International, Inc. $2M
PDC Energy, Inc. $2M
Timken Co. (THE) $2M
AutoNation, Inc. $2M
Cathay General Bancorp $2M
Maillinckrodt plc. $2M
Sabra Healthcare REIT, Inc. $2M
Glacier Bancorp, Inc. $2M
Tupperware Brands Corp. $2M
Darling Ingredients Inc. $2M
Kemper Corporation $2M
JBG SMITH Properties $2M
Lancaster Colony Corp. $2M
Belden, Inc. $2M
OneMain Holdings, Inc. $2M
American Eagle Outfitters, Inc. $2M
Valley National Bancorp $2M
Exponent, Inc. $2M
Sanderson Farms, Inc. $2M
Fulton Financial Corp. $2M
On Assignment, Inc. $2M
EastGroup Properties, Inc. $2M
UMB Financial Corp. $2M
TransUnion $2M
TopBuild Corp. $2M
Integra LifeSciences Holdings Corp. $2M
Telephone and Data Systems, Inc. $2M
LaSalle Hotel Properties $2M
Cirrus Logic, Inc. $2M
NetScout Systems, Inc. $2M
Hillenbrand, Inc. $2M
Lumentum Holdings Inc. $2M
ProAssurance Corp. $2M
Tri Pointe Homes, Inc. $2M
IQVIA Holdings Inc. $2M
Ciena Corp. $2M
Graham Holdings Company $2M
Green Dot Corp. $2M
Trustmark Corp. $2M
NuVasive, Inc. $2M
Wiley (JOHN) & Sons, Inc. $2M
Avis Budget Group, Inc. $2M
KB Home $2M
Rogers Corp. $2M
Tempur Sealy International, Inc. $2M
Telefonica S.A. $2M
Esperion Therapeutics, Inc. $2M
Allscripts Healthcare Solutions Inc. $2M
Ericsson (L.M.) Telephone Co. $2M
Mercury Systems, Inc. $2M
American Equity Investment Life Holding Co. $2M
InterDigital, Inc. $2M
Applied Industrial Technologies, Inc. $2M
Ingevity Corporation $2M
DeVry Education Group Inc. $2M
Corporate Office Properties Trust $2M
Obalon Therapeutics, Inc. $2M
Communications Sales & Leasing, Inc. $2M
Unifirst Corp. $2M
Ollie's Bargain Outlet Holdings, Inc. $2M
Sally Beauty Holdings, Inc. $2M
EnerSys $2M
Southwestern Energy Co. $1M
Urban Edge Properties $1M
Fuller (H.B.) Co. $1M
United Natural Foods, Inc. $1M
Stamps.com, Inc. $1M
Clean Harbors, Inc. $1M
B&G Foods, Inc. $1M
Rio Tinto plc $1M
Vishay Intertechnology, Inc. $1M
Helen of Troy Ltd. $1M
Platform Specialty Products Corp. $1M
Geo Group, Inc. (The) $1M
Community Bank System, Inc. $1M
WPP PLC $1M
SkyWest, Inc. $1M
BBCN Bancorp Inc. $1M
United Community Banks, Inc. $1M
Big Lots, Inc. $1M
Adient plc $1M
Minerals Technologies, Inc. $1M
Cheesecake Factory Incorporated (THE) $1M
Tetra Tech, Inc. $1M
Meredith Corp. $1M
First Financial Bankshares, Inc. $1M
Monsanto Co. $1M
Northwest Bancshares, Inc. $1M
Credit Suisse Group $1M
Deckers Outdoor Corp. $1M
International Bancshares Corp. $1M
Acadia Healthcare Company, Inc. $1M
AMC Networks Inc. $1M
Allegheny Technologies, Inc. $1M
Lithia Motors, Inc. $1M
ACI Worldwide, Inc. $1M
Dave & Buster's Entertainment, Inc. $1M
Compass Minerals Group, Inc. $1M
Tanger Factory Outlet Centers, Inc. $1M
LendingTree, Inc. $1M
GATX Corp. $1M
Steven Madden Ltd. $1M
PS Business Parks, Inc. $1M
Balchem Corp. $1M
Lexington Corporate Properties Trust $1M
Commercial Metals Co. $1M
Great Western Bancorp, Inc. $1M
MSA Safety Inc. $1M
Children's Place, Inc. (The) $1M
U.S. Silica Holdings, Inc. $1M
RLI Corp. $1M
ICON plc $1M
Herman Miller, Inc. $1M
Korn/Ferry International $1M
Retail Opportunity Investments Corp. $1M
KBR, Inc. $1M
II-VI Inc. $1M
Atlassian Corporation Plc $1M
Myriad Genetics, Inc. $1M
Carpenter Technology Corp. $1M
Callon Petroleum Co. $1M
Aaron's, Inc. $1M
Simmons First National Corporation $1M
WageWorks Inc. $1M
American States Water Co. (Holding Co.) $1M
Simpson Manufacturing Co., Inc. $1M
Aspen Insurance Holdings, Ltd. $1M
Sanmina Corp. $1M
BancorpSouth, Inc. $1M
Banner Corp. $1M
Magellan Health, Inc. $1M
Advanced Energy Industries, Inc. $1M
Brinker International, Inc. $1M
Acadia Realty Trust $1M
Granite Construction, Inc. $1M
Lloyds Banking Group plc $1M
Itron, Inc. $1M
California Water Service Group $1M
Esterline Technologies Corp. $1M
Cabot Microelectronics Corp. $1M
Progress Software Corp. $1M
Meritage Homes Corp. $1M
Northwest Natural Gas Co. $1M
Diamond Rock Hospitality Co. $1M
Statoil ASA $1M
STMicroelectronics N.V. $1M
Aerojet Rocketdyne Holdings, Inc. $1M
New York Times Co. $1M
Halyard Health, Inc. $1M
Annaly Capital Management, Inc. $1M
Shire Plc. $1M
Silgan Holdings, Inc. $1M
U.S. Physical Therapy, Inc. $1M
Merit Medical Systems, Inc. $1M
Convergys Corp. $1M
AMN Healthcare Services, Inc. $1M
Sotheby's $1M
Plexus Corp. $1M
SPDR Gold Shares $1M
Nomura Holdings, Inc. $1M
Four Corners Property Trust, Inc. $1M
CommVault Systems, Inc. $1M
Semtech Corp. $1M
Watts Water Technologies, Inc. $1M
Mack-Cali Realty Corp. $1M
Inogen, Inc. $1M
ABM Industries Inc. $1M
Acxiom Corp. $1M
Quaker Chemical Corp. $1M
NovoCure Limited $1M
Vonage Holdings Corp. $1M
SM Energy Co $1M
Cara Therapeutics, Inc. $1M
Independent Bank Corp. $1M
Universal Forest Products, Inc. $1M
WD-40 Co. $1M
BGC Partners, Inc. $1M
Emergent Biosolutions, Inc. $1M
Rowan Companies plc $1M
Plantronics, Inc. $1M
Potlatch Holdings, Inc. $1M
Viavi Solutions Inc. $1M
LegacyTexas Financial Group Inc. $1M
Aegon N.V. ADR $1M
Cars.com Inc $1M
Canadian Pacific Railway Ltd. $1M
Synergy Resources Corp. $1M
Anixter International, Inc. $1M
Kaiser Aluminum Corp. $1M
Supernus Pharmaceuticals, Inc. $1M
NETGEAR, Inc. $1M
Callidus Software, Inc. $1M
American Assets Trust Inc $1M
KapStone Paper & Packaging Corp. $1M
ServisFirst Bancshares, Inc. $1M
MercadoLibre, Inc. $1M
LTC Properties, Inc. $1M
Hawaiian Holdings, Inc. $1M
Pitney Bowes, Inc. $1M
Kaman Corp. $1M
iRobot Corp. $1M
Mercury General Corp. $1M
Worthington Industries, Inc. $1M
ENI S.p.A. $1M
SPX Flow, Inc. $1M
VeriFone Systems, Inc $1M
Mueller Industries, Inc. $1M
Insperity, Inc. $1M
Nabors Industries Ltd. $1M
Ameris Bancorp $1M
Government Properties Income Trust $1M
BT Group Plc $1M
EnPro Industries, Inc. $1M
Omnicell, Inc. $1M
HFF, Inc. $1M
Agree Realty Corp. $1M
Brady Corp. $1M
Healthways, Inc. $1M
Cooper-Standard Holdings Inc. $1M
Cogent Communications Holdings, Inc. $1M
Albany International Corp. $1M
M.D.C. Holdings, Inc. $1M
American Woodmark Corp. $1M
McDermott International, Inc. $1M
Dril-Quip, Inc. $1M
Innospec, Inc. $1M
Gildan Activewear, Inc. $1M
Waddell & Reed Financial, Inc. $1M
Shutterfly, Inc. $1M
Papa John's International, Inc. $1M
Horace Mann Educators Corp. $1M
Neenah Paper, Inc. $1M
Allegiant Travel Company $1M
Select Medical Holdings Corp. $1M
Forward Air Corp. $1M
Kite Realty Group Trust $1M
Chesapeake Lodging Trust $1M
Restoration Hardware Holdings, Inc. $1M
Medicines Company $1M
Central Garden & Pet Co. $1M
TiVo Inc. $1M
FTI Consulting, Inc. $1M
Calavo Growers, Inc. $1M
CareTrust REIT, Inc. $1M
Saia, Inc. $1M
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