CITIGROUP INC Q4 2020 Filing

Filed February 11, 2021

Portfolio Value

$169.4M

Holdings

5,283

Report Date

Q4 2020

Filing Type

13F-HR

All Holdings (5,283 positions)

StockValue
GCOGENESCO INC
$577K
SHIFT TECHNOLOGIES INC
$574K
OXMOXFORD INDS INC
$574K
CWEN/ACLEARWAY ENERGY INC
$573K
GFLGFL ENVIRONMENTAL INC
$572K
VGITVANGUARD SCOTTSDALE FDS
$572K
VIRVIR BIOTECHNOLOGY INC
$571K
USNAUSANA HEALTH SCIENCES INC
$571K
ALLOALLOGENE THERAPEUTICS INC
$570K
DBEUDBX ETF TR
$568K
QQEWFIRST TR NAS100 EQ WEIGHTED
$568K
ARIAPOLLO COML REAL EST FIN INC
$566K
MR4MERIDIAN BIOSCIENCE INC
$565K
STNSTANTEC INC
$565K
DLXDELUXE CORP
$564K
7SUSUMMIT MATLS INC
$564K
PMBSPIMCO ETF TR
$563K
RVNCEURREVANCE THERAPEUTICS INC
$561K
VAPOVAPOTHERM INC
$560K
QSIIEURNEXTGEN HEALTHCARE INC
$559K
NOGNORTHERN OIL AND GAS INC MN
$558K
1939900DBROOKFIELD INFRASTRUCTURE CO
$557K
GTNGRAY TELEVISION INC
$557K
XAWFXALLIANCEBERNSTEIN GLOBAL HIG
$556K
RWMPROSHARES TR
$556K
FDDFIRST TR HIGH INCOME L/S FD
$555K
IYCISHARES TR
$553K
WNCWABASH NATL CORP
$553K
USA TECHNOLOGIES INC
$552K
MG1MGE ENERGY INC
$552K
HUMANCO ACQUISITION CORP
$551K
VICRVICOR CORP
$551K
FDLFIRST TR MORNINGSTAR DIVID L
$547K
EPIZYME INC
$545K
MTRNMATERION CORP
$544K
DICERNA PHARMACEUTICALS INC
$544K
OUTOUTFRONT MEDIA INC
$543K
LIVE OAK ACQUISITION CORP II
$543K
ECHO GLOBAL LOGISTICS INC
$542K
OPCHOPTION CARE HEALTH INC
$542K
STKCOLUMBIA SELIGM PREM TECH GR
$542K
ONTRAK INC
$542K
DSGDESCARTES SYS GROUP INC
$541K
EXPERIENCE INVT CORP
$540K
NTCOYNATURA &CO HLDG S A
$539K
CC NEUBERGER PRINCIPAL HLDNG
$538K
SPORTS ENTERTAINMENT ACQU CO
$538K
MDPUSDMEREDITH CORP
$537K
XPXP INC
$537K
ONITOCWEN FINL CORP
$536K
PRAA 3.5 06/01/23PRA GROUP INC
$535K
WTWISDOMTREE INVTS INC
$534K
CUKCARNIVAL PLC
$533K
PJPINVESCO EXCHANGE TRADED FD T
$531K
BLMNBLOOMIN BRANDS INC
$531K
SHENSHENANDOAH TELECOMMUNICATION
$530K
ADXADAMS DIVERSIFIED EQUITY FD
$529K
GVAGRANITE CONSTR INC
$528K
CCIXCHURCHILL CAPITAL CORP V
$525K
HIGHLAND TRANSCEND PARTNERS
$525K
NMRNOMURA HLDGS INC
$525K
FRMEFIRST MERCHANTS CORP
$524K
MESOMESOBLAST LTD
$524K
AVNSAVANOS MED INC
$523K
DSUBLACKROCK DEBT STRATEGIES FD
$522K
FERRO CORP
$522K
REVOLUTION ACCELERTN ACQU CO
$521K
EIGEMPLOYERS HOLDINGS INC
$521K
ENVAENOVA INTL INC
$521K
FMBIUSDFIRST MIDWEST BANCORP DEL
$520K
FXDFIRST TR EXCHANGE TRADED FD
$520K
VKTXVIKING THERAPEUTICS INC
$519K
EBCEASTERN BANKSHARES INC
$518K
CPKCHESAPEAKE UTILS CORP
$516K
MUDRICK CAPITAL ACQU CORP II
$516K
MTXMINERALS TECHNOLOGIES INC
$516K
RNSTRENASANT CORP
$516K
SLYSPDR SER TR
$515K
KINS TECHNOLOGY GROUP INC
$515K
VIELA BIO INC
$514K
CARNEY TECHNOLOGY ACQU CORP
$513K
STRASTRATEGIC ED INC
$513K
NVRIHARSCO CORP
$512K
BPYPNBROOKFIELD PPTY REIT INC
$512K
PKWINVESCO EXCHANGE TRADED FD T
$511K
DESPDESPEGAR COM CORP
$511K
ESGEISHARES INC
$510K
ESGUISHARES TR
$510K
VCELVERICEL CORP
$510K
UEOWESTLAKE CHEM CORP
$509K
WIWWESTERN AST INFL LKD OPP & I
$508K
XSWSPDR SER TR
$508K
HLNEHAMILTON LANE INC
$506K
IBOCINTERNATIONAL BANCSHARES COR
$505K
SDGRSCHRODINGER INC
$504K
AAWW 1.875 06/01/24ATLAS AIR WORLDWIDE HLDGS IN
$504K
NYFISHARES TR
$500K
TDIVFIRST TR EXCHANGE-TRADED FD
$500K
MATWMATTHEWS INTL CORP
$499K
BDCBELDEN INC
$498K
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