Parallel Advisors, LLC Q2 2019 Filing

Filed August 5, 2019

Portfolio Value

$1.0B

Holdings

2,374

Report Date

Q2 2019

Filing Type

13F-HR

All Holdings (2,374 positions)

StockValue
EPCENERGIZER HOLDING INC
$1K
INFNEURINFINERA CORPORATION COM
$1K
BBUBROOKFIELD BUSINESS PARTNERS L UNIT LTD LP
$1K
PARPAR TECHNOLOGY CORP COM
$1K
MEOHMETHANEX CORP COM
$1K
CADEEURCADENCE BANCORPORATION CL A
$1K
KAIKADANT INC
$1K
RYAMRAYONIER ADVANCED MATLS INC COM
$1K
ALNYALNYLAM PHARMACEUTICALS INC
$1K
MGNXMACROGENICS INC COM USD0.01
$1K
SKTTANGER FACTORY OUTLET CTRS INC
$1K
CLMCORNERSTONE STRATEGIC VALUE FD COM
$1K
LM05LIBERTY MEDIA CORP
$1K
SCVLSHOE CARNIVAL INC
$1K
JPMORGAN BETABUILDERS DEVELOPED ASIA-EX JAPAN ETF
$1K
HTEURHERSHA HOSPITALITY TRUST
$1K
GLREGREENLIGHT CAPITAL RE LTD CLASS A
$1K
FSICUSDFS KKR CAPITAL CORP COM
$1K
NATUS MEDICAL INC DEL COM
$1K
PETSPETMED EXPRESS INC COM
$1K
SUPERIOR ENERGY SERVICES INC
$1K
GRAN TIERRA ENERGY INC COM
$1K
AMANTERO MIDSTREAM CORP COM
$1K
LNWOSCIENTIFIC GAMES CP CL A CLASS A
$1K
LAC1EURLITHIUM AMERS CORP NEW COM NEW
$1K
NIONIO INC SPON ADS
$1K
CONFORMIS INC COM
$1K
CRTOCRITEO S A SPONS ADS
$1K
EATBRINKER INTL INC COM
$1K
WHRWHIRLPOOL CORP COM
$1K
GJBSTEELCASE INC
$1K
T77TREE.COM INC
$1K
SCORPIO BULKERS INC COM
$1K
CWSTCASELLA WASTE SYS INC CL A
$1K
ENTERCOM COMMUNICATIONS CORP CL A
$1K
AK STL HLDG CORP COM
$1K
PLNTPLANET FITNESS INC CL A
$1K
PARATEK PHARMACEUTICALS INC COM
$1K
TIAIYTELECOM ITALIA S P A NEW SPON ADR SVGS
$1K
SSPSCRIPPS E W CO OHIO CL A NEW
$1K
CRMTAMERICAS CAR MART INC COM
$1K
CDXSCODEXIS INC COM
$1K
KNOLL INC COM NEW
$1K
OFIXORTHOFIX MED INC COM
$1K
NTBBANK OF NT BUTTERFIELD&SON LTD SHS NEW
$1K
FNFABRINET SHS
$1K
OSBCOLD SECOND BANCORP INC ILL COM
$1K
EWTISHARES MSCI TAIWAN INDEX FD ETF
$1K
TLRYEURTILRAY INC COM CL 2
$1K
GRFSGRIFOLS S A SP ADR REP B NVT
$1K
AROWARROW FINL CORP COM
$1K
PRAAPORTFOLIO RECOVERY ASSOCS INC
$1K
FRONT YD RESIDENTIAL CORP COM
$1K
LMEURLEGG MASON
$1K
NVECNVE CORP COM NEW
$1K
SMSM ENERGY CO
$1K
BIOSPECIFICS TECHNOLOGIES CORP COM
$1K
SITCUSDSITE CENTERS CORP COM
$1K
AGENEURAGENUS INC COM NEW
$1K
AIGAMERICAN INTL GROUP INC WT EXP 011921
$1K
WTIW & T OFFSHORE INC COM
$1K
BAHBOOZ ALLEN HAMILTON HLDG CORP CL A
$1K
IBKRINTERACTIVE BROKERS GROUP INC COM CL A
$1K
IBCPINDEPENDENT BANK CORP MICH COM NEW
$1K
PENNSYLVANIA RL ESTATE INVT TR SH BEN INT
$1K
RCORESOURCES CONNECTION INC COM
$1K
MDPUSDMEREDITH CORP COM
$1K
TRPTC ENERGY CORP COM
$1K
CORNERSTONE BLDG BRANDS INC COM
$1K
IMKTAINGLES MKTS INC CL A
$1K
K6BKBR INC
$1K
TIIAYTELECOM ITALIA S P ANEW SPON ADR REPSTG
$1K
GLUUGLU MOBILE INC COM
$1K
CREECREE INC
$1K
ASRGRUPO AEROPORTUARIO DEL SUREST SPON ADR SER B
$1K
SCHRSCHWAB INTERMEDIATE-TERM U.S. TREASURY ETF
$1K
PLUNPLUG POWER INC COM NEW
$1K
XBITXBIOTECH INC COM
$1K
BHRBRAEMAR HOTELS & RESORTS INC COM
$1K
FRONTIER COMMUNICATIONS CORP COM NEW
$1K
CTRECARETRUST REIT INC COM
$1K
IRWDIRONWOOD PHARMACEUTICALS INC COM CL A
$1K
SRC ENERGY INC COM
$1K
AXGNAXOGEN INC COM
$1K
AGYSAGILYSYS INC COM
$1K
WVVIWILLAMETTE VY VINEYARD INC COM
$1K
SHOSUNSTONE HOTEL INVESTORS REIT
$1K
ASXASE TECHNOLOGY HOLDING CO LTD SPONSORED ADS
$1K
CNSLEURCONSOLIDATED COMMUNICATIONS HLDGSINC COM
$1K
LGF/BEURLIONS GATE ENTMNT CORP CL B NON VTG
$1K
DATATABLEAU SOFTWARE INC
$1K
BIGGQBIG LOTS INC
$1K
GMS1EURGMS INC COM
$1K
UNITUNITI GROUP INC COM
$1K
SJIEURSOUTH JERSEY INDS INC COM
$1K
PATTERN ENERGY GROUP INC CL A
$1K
DEL FRISCOS RESTAURANT GROUP COMNPV
$1K
IIPRINNOVATIVE INDL PPTYS INC COM
$1K
RMRRMR GROUP INC CL A
$1K
IMAIMAX CORP COM
$1K
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