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IDCIKTickerName
10101898174RZB
10102898174RZCReinsurance Group of America 7 125 Fixed Rate Reset Subordinated Debentures due 2052
10103879911AERGPApplied Energetics Conv Pref Series A
101041004315NMPWPNiagara Mohawk Holdings 3.40 Pref Shs
101051004315NEWENNew England Power Company
101061004315NMKCPNiagara Mohawk Power Corp 3.9% Preferred Shares Series C
101071004315NMKBPNiagara Mohawk Power Corp 3.6% Preferred Shares Series B
101081004434MGREAffiliated Managers Group 6 750 Junior Subordinated Notes Due 2064
101091004434MGRDAffiliated Managers Group 4 200 Junior Subordinated Notes due 2061
101101004434MGRAffiliated Managers Group 5.875 Junior Subordinated Notes due 2059
101111004434MGRBAffiliated Managers Group 4 750 Junior Subordinated Notes due 2060
101121038143ORANYOrange SA
101131032208SREASempra 5 750 Junior Subordinated Notes due 2079
101141087711SNTUFSantander UK Plc 3/8% Preferred Shares
101151087711STNDF
101161101215BFH.PB
101171101215BFH.PA
101181109354BRKRPBruker 6 375 Mandatory Convertible Preference Shares Ser A
10119811156CMSCCMS Energy 5 875 Junior Subordinated Notes due 15 Oct 2078
10120811156CMSDCMS Energy 5.875 Junior Subordinated Notes Exp 1 March 2079
10121811156CMS.PC
10122720672SF.PC
10123720672SF.PD
10124720672SFBStifel Financial 5 20 Senior Notes Exp 15th Oct 2047
10125727273CDZIPCadiz Depositary Shares
10126313807BPPFFBP plc 9% Preferred Shares
1012736966FHN.PH
1012836966FHN.PE
1012936966FHN.PF
1013014272CELG.RI
1013170858BAC.PL
1013270858MER.PK
1013370858BACRPBank of America 7 Cumulative Redeemable Pref Shs
1013470858BAC.PE
1013570858BML.PH
1013670858BML.PJ
1013770858BAC.PM
1013870858BAC.PN
1013970858BAC.PO
1014070858BAC.PP
1014170858BAC.PQ
1014270858BAC.PS
1014378814PBI.PB
1014499070TCPATransCanada PipeLines Limited 6 250 Junior Subordinated Notes due 2085
10145106640WHR.PA
10146100826UEPEMUnion Electric Company Pref Shs
10147100826UEPCOUnion Electric Company 5 50 Pref Shs
1014823795CTO.PA
1014935527FITB.PA
1015035527FITB.PI
1015135527FITB.PM
1015235527FITBM
1015335527FITB.PK
1015435527FITBI
1015535527FITBO
1015635527FITBP
10157886128FCELBFuelCell Energy Pref Shs Series B
1015819617VYLDJpmorgan Chase Financial Inverse Vix Short Term Futures Etns Due March 22 2045
1015919617AMJBAlerian MLP Index ETN due 28 January 2044
1016019617JPM.PD
1016119617JPM.PJ
1016219617JPM.PK
1016319617JPM.PL
1016419617JPM.PM
101651130713BBBY.WT
101661169770BANC.PF
101671144800TRNTFTransAlta Cumulative Redeemable Floating Rate First Pref Shs Series B
101681145255HNNAZ
101691144800TSLTFTransAlta Cumulative Redeemable Rate Reset First Pref Shs Series E
101701144800TACPFTransAlta Cumulative Redeemable Rate Reset First Pref Shs Series C
101711159508DGPDB Gold Double Long ETN Exp 15 Feb 2038
101721159508DGZDB Gold Short ETN Exp 15 Feb 2038
101731159508ADZCFDB Agriculture Short ETN Exp 01 Apr 2038
101741159508DEENFDB Commodity Double Short ETN Exp 01 Apr 2038
101751159508DZZDB Gold Double Short ETN Exp 15 Feb 2038
101761159508OLOXFDB Crude Oil Long ETN Exp 01 Jun 2038
101771051512TDS.PU
101781051512TDS.PV
101791014763AIMDWAmarillo Biosciences
10180922224PPLCPpl Units
10181831609CWLXF
10182821130UZEArray Digital Infrtre 5 500 Senior Notes due 2070
10183821130UZFArray Digital Infrtre 5 500 Senior Notes Due 2070
10184821130UZDArray Digital Infrtre 6 250 Senior Notes due 2069
10185846617DCOM.P
10186846617DCBG
10187842622WEXPFWestern Exploration Inc
10188862831FIISOFinancial Institutions Inc Preferred Shares Series B
10189862831FIISPFinancial Institutions Inc Preferred Shares
10190803016CFNBDCalifornia First Leasing Corp
10191797468OXY.WT
10192760498BANFPBancFirst 7.2% Cumulative Pref Shs
10193750004LAWILLight & Wonder Inc CHESS
10194750004LNWOLight & Wonder Inc
10195712534FRMEPFirst Merchants Depository Shares Reprs 1 100Th 7 50 Non Cum Perp Prf Shs A Series B
10196357294HOVNPHovnanian Enterprises 1000 Depositary Shares Representing 1 7.625% Pref Shs Series A
10197109380ZIONPZions Bancorporation NA Preference Shares Series A
10198353184AIRTPAir T Funding Alpha Income Pref Shs
10199312070ATMPBarclays iPath Select MLP ETN Exp 18 Mar 2043
10200312070BWVTFBarclays Bank PLC