New Highs 16
COMPANY SYMBOL HIGH VOLUME
------- ------ ---- ------
ASE Technology ADR ASX 45.75 5,021,735
Agilent Technologies A 177.05 762,249
Algonquin Pwr Nts 2079 AQNB 26.31 6,046
Atkore ATKR 94.78 271,991
CH4 Natural Solns Acqn MTNE.U 10.25 100
Everpure P 132.44 2,224,114
Global Industrial GIC 42.94 36,791
Hamilton Beach Brands HBB 39.14 21,347
Hinge Health HNGE 97.95 867,229
IDT B IDT 77.28 444,574
Iris Acquisition II IRAB 10.12 118
Mettler-Toledo MTD 1552.82 69,010
Proto Labs PRLB 98.50 80,756
Saratoga Inv 8% Nts 2031 SAX 25.65 63,093
Sunstone Hotel Inv Pfd I SHOpI 21.88 90,002
Two Harbors Nts 2030 TWOD 26.32 5,875
New Lows 374
COMPANY SYMBOL LOW VOLUME
------- ------ ---- ------
Acres Commercial Realty ACR 9.92 22,721
ACRES Cmcl Realty Pfd. C ACRpC 23.24 7,153
ADT ADT 6.07 2,894,295
AGI AGBK 5.67 60,474
AXIS Capital Pfd. E AXSpE 17.61 25,813
abrdn Glbl Infr Incm Rt. ASGIr 0.0055 306,521
abrdn Gl Premier Prop Fd AWP 10.45 74,461
abrdn Incm Cred Pfd A ACPpA 17.64 4,565
Accendra Health ACH 0.5912 1,473,956
Adient ADNT 16.74 575,326
Affiliated Mgrs Deb 2059 MGR 19.06 8,138
Affiliated Mgrs Nts 2061 MGRD 14.25 7,364
Affiliated Mgrs Nts 2064 MGRE 21.25 15,809
Agree Realty Pfd. A ADCpA 15.34 14,171
Algonquin Pwr & Utilities AQN 4.91 2,292,576
Alight ALIT 9.06 315,523
AllianceBrnstn NtlMun AFB 9.28 112,735
Amentum Holdings AMTM 17.89 1,410,139
American Vanguard AVD 1.76 175,878
Aon AON 269.02 993,904
Apartment Invt & Mgmt AIV 2.09 790,073
Aptiv APTV 42.92 1,277,957
Arbor Realty Pfd. D ABRpD 14.40 29,777
Arbor Realty Pfd. E ABRpE 14.25 6,592
Ares Cmcl Real Estate ACRE 4.05 414,847
Array Digital Infr AD 33.12 132,896
Array Digital Nts 2070 UZF 16.13 1,434
Aspen Ins 5.625% Pfd. AHLpD 17.45 7,986
Aspen Insurance Pfd. AHLpF 22.02 10,753
Assd Banc Pfd. E ASBpE 19.00 7,562
Athene Holding Pfd. B ATHpB 16.80 41,721
Athene Pfd. A ATHpA 22.98 55,840
Athene Holding Pfd. D ATHpD 14.84 65,795
Atl Union Bkshs Pfd. A AUBpA 23.20 3,325
AutoNation AN 155.76 282,394
Avista AVA 34.50 194,852
BCE Inc BCE 20.23 2,533,054
BNY Mellon Mun Bd Infr DMB 9.38 93,719
BNY Mellon Strat Muni DSM 5.07 145,406
BNY Mellon Strat Muni LEO 5.42 170,392
BWX Technologies BWXT 133.21 1,024,442
Bank of America Nts 2066 MERpK 23.13 73,695
Bank of America Pfd. HH BACpK 21.76 66,684
Bank of America Pfd. KK BACpM 19.22 146,474
Bank of America Pfd. NN BACpO 15.85 62,303
Bank of Hawaii Pfd. A BOHpA 14.79 14,369
BellRing Brands BRBR 7.49 1,299,095
BlackRock Cap Allocation BCAT 13.43 702,150
BlkRk Credit Alloc Incm BTZ 9.27 436,185
BlkRk MuniAssets Fd MUA 9.26 633,823
BlkRk MuniHldgs CA Qlty MUC 9.61 573,445
BlkRk MuniHldgs MHD 10.03 1,058,470
BlkRk MunHl NJ Qlty MUJ 11.01 166,656
BlkRk MuniYld MI Qlty MIY 11.15 81,542
BlkRk MuniYld PA Quality MPA 9.58 19,103
BlackRock MuniYd Qual III MYI 9.43 791,374
BlkRk MuniYld Quality MQY 9.80 975,461
Blackstone Digital Infr BXDC 17.59 2,023,077
Blend Labs BLND 1.04 543,184
Boot Barn Holdings BOOT 119.21 323,679
Boyd Gaming BYD 67.87 375,380
Brandywine Global Incm BWG 6.85 120,261
BrasilAgro ADR LND 3.37 45,371
Bread Finl Holdings Inc. BFHpB 24.29 22,809
Brookfield Business BBUC 24.80 142,880
Brookfield BN 36.08 3,035,327
Brookfield Real Assets RA 11.52 191,430
Brookfield Renewable BEPC 27.57 871,357
Brookfield Renew Pfd A17 BEPpA 16.10 17,452
Brookfield Wealth Solns BNT 36.04 3,670
CBRE Glbl Real Est Incm IGR 11.65 264,277
CMS Energy CMS 62.29 3,431,000
CMS Energy Nts 2078 CMSC 20.03 20,578
CMS Energy Deb. 2078 CMSA 18.88 18,193
CNX Resources CNX 31.22 648,856
CTO Realty Growth Pfd. A CTOpA 19.28 1,875
Cable One CABO 10.39 639,782
Cadre Holdings CDRE 25.21 179,390
Capital One Pfd. I COFpI 16.51 232,190
Cap One Finl Pfd. J COFpJ 15.80 100,963
Cap One Finl Pfd. K COFpK 15.31 10,686
Cap One Finl Pfd L COFpL 14.56 49,567
Cap One Finl Pfd. N COFpN 14.40 18,951
CenterPoint Energy CNP 36.37 1,843,706
Charles Schwab Dep Pfd D SCHWpD 21.15 51,933
Charles Schwab Pfd. J SCHWpJ 15.80 69,143
Chimera Inv 8% Pfd. A CIMpA 19.29 25,305
Citigroup Pfd. II CpR 22.36 93,633
Citizens Finl Gp Pfd. E CFGpE 16.48 61,381
Citizens Finl Gp Pfd. H CFGpH 24.54 34,738
Citizens Finl Pfd. I CFGpI 23.92 14,001
Clarivate CLVT 1.65 1,224,340
Cohen & Strs Sel Prf Inc PSF 17.80 107,541
Cervecerias Unidas ADR CCU 10.64 119,235
Constellation Brands A STZ 111.54 665,125
Cooper-Standard Holdings CPS 20.25 363,902
Core Laboratories CLB 9.74 375,708
Ctrpt HY Trend ETF HYTR 20.76 20,379
Coursera COUR 4.53 6,034,171
Csquare CSQR 15.72 709,138
DTE Energy DTE 119.68 1,342,648
DTE Energy Deb 2077 DTW 18.01 24,789
DTE Energy Deb 2080 DTB 14.85 33,231
DTE Energy Deb. 2021 E DTG 15.05 12,935
DWS Muni Income Trust KTF 7.96 130,123
Digital Realty Pfd. k DLRpK 20.04 16,671
Douglas Elliman DOUG 1.47 226,202
Dream Finders Homes DFH 10.70 307,661
Duke Energy DUK 112.40 2,055,728
Duke Energy Pfd. A DUKpA 21.75 94,440
EIDP $4.50 Cum. Pfd. CTApB 60.75 5,048
EPR Prop 5.75% Pfd. G EPRpG 19.15 3,593
Eagle Point Credit ECC 3.45 384,783
Eaton Vance TR Bd EVTR 48.34 1,114,861
Edison International EIX 51.10 2,801,379
Endava ADR DAVA 1.60 839,351
Equifax EFX 138.15 1,495,725
Equitable Pfd. C EQHpC 15.52 32,614
Equity Lifestyle Prprts ELS 58.44 567,690
Essential Prop Realty Tr EPRT 26.10 755,815
Eve Holding EVEX 1.94 550,087
Evommune EVMN 8.11 361,067
FMC FMC 9.09 1,214,829
Fair Isaac FICO 595.19 3,607,460
Fed Agric Mtg Pfd. D AGMpD 19.66 13,170
Fed Agric Mtg Pfd. E AGMpE 19.38 12,458
Fed Agric Mtg Pfd. G AGMpG 16.87 15,802
Fed Agric Mtg Pfd. F AGMpF 17.85 25,161
Fed Hermes Prem Muni FMN 9.80 33,115
Fidelity National Finl FNF 40.12 1,228,372
Fidelity Natl Info Svcs FIS 33.24 4,141,809
Fifth Third Bncp Pfd B FITBpA 20.87 18,262
Fifth Third Bncp Pfd. M FITBpM 24.75 11,214
Finance of America FOA 13.13 37,042
FinVolution Group ADR FINV 3.01 305,003
First Horizon Pfd. E FHNpE 22.15 12,536
First Horizon Pfd. F FHNpF 15.77 4,267
First Horizon Pfd. FHNpH 22.32 22,278
Flagstar Finl BONUSES FLGpU 37.41 2,402
Flaherty & Crumrine Dyn DFP 18.67 82,840
Flaherty & Crumrine PFD 10.51 33,780
Flaherty & Crumrine Pfd PFO 8.51 10,583
Flaherty & Crum Pfd&Incm FFC 14.80 143,259
Flowers Foods FLO 5.58 2,938,338
Flutter Entertainment FLUT 74.84 2,008,706
Ford Motor 6% Nts 2059 FpC 18.47 36,187
Ford Motor 6.5% Nts 2062 FpD 19.68 55,444
Ford Motor 6.2% Nts FpB 19.02 60,250
Franklin BSP Realty Tr FBRT 6.61 579,648
Franklin Mun Opps Tr PMO 8.87 273,035
Franklin Premier Incm Tr PPT 3.23 70,865
GMR Solutions GMRS 9.74 306,233
Gabelli Equity Trust GAB 5.22 525,112
Gabelli Equity Pfd. K GABpK 18.20 3,210
Gabelli Utility Pfd. C GUTpC 19.88 1,512
Genl Amer Inv 5.95% B GAMpB 22.25 24,640
GS Core Plus Bd GCPB 48.43 1,598
Group 1 Automotive GPI 235.11 144,767
Guggenheim Active Allo GUG 13.72 79,022
Guggenheim Tax Mun Bd GBAB 12.37 118,205
John Hancock Investors JHI 12.09 16,506
John Hancock Pfd Income HPI 13.71 119,953
John Hancock Pfd II HPF 13.24 73,007
John Hancock Pfd Inc III HPS 11.86 113,515
HnckJohn TxAdv HTD 22.08 81,310
Hartford Ins Pfd. G HIGpG 21.69 27,335
HawkEye 360 HAWK 15.25 484,686
Hayward Holdings HAYW 12.27 1,922,956
Hershey HSY 160.61 743,462
Highland Glbl Alloc Fd HGLB 6.50 93,887
Highland Opps & Inc Pfd B HFROpB 15.55 6,085
Home Depot HD 287.34 3,043,526
Huntington Ingalls Inds HII 256.79 214,141
Installed Bldg Products IBP 191.90 118,756
Invesco Mun Opportunity VMO 8.16 542,758
Invesco Municipal Trust VKQ 8.25 325,441
Invesco Qlty Mun Inco IQI 8.50 359,163
Invesco Inv Grade Muni VGM 8.39 524,000
Invsc Inv Grade NY Muni VTN 8.99 106,192
Invsc Value Mun Income IIM 10.30 562,053
JBG SMITH Properties JBGS 9.95 388,583
JinkoSolar Holding ADR JKS 9.19 484,887
JPMorgan Active Bond ETF JBND 51.03 1,048,572
JPMorgan Chase Pfd DD JPMpD 21.48 201,028
JPMorgan Chase Pfd EE JPMpC 22.71 270,486
JPM Chase Pfd. Series JJ JPMpK 16.67 207,402
JPMorgan Chase Pfd. MM JPMpM 15.80 187,554
JPM Chase Pfd. Series LL JPMpL 17.00 244,097
KKR 6.875% Nts 2065 KKRT 22.37 36,775
KKR IX 4.625% Nts 2061 KKRS 15.03 20,040
KeyCorp Pfd. F KEYpJ 19.20 48,479
KeyCorp Pfd. G KEYpK 19.20 45,475
Lincoln Natl Pfd. D LNCpD 25.57 137,903
Lithium Americas LAC 2.63 4,482,617
loanDepot LDI 0.5843 3,020,523
Lumen Technologies LUMN 5.46 4,804,198
M&T Bank Pfd. L MTBpL 23.16 27,530
M&T Bank Pfd. J MTBpJ 25.11 34,227
M&T Bank Pfd. K MTBpK 22.33 37,767
MBIA Inc MBI 4.29 206,441
MFA Financial MFA 7.92 969,884
MFS Active Core Plus Bd MFSB 23.87 130,334
Mach Natural Resources MNR 10.17 417,223
Martin Marietta MLM 476.32 496,139
McDonald's MCD 232.06 2,828,285
MetLife 5.625% Pfd E METpE 19.81 78,212
MetLife Pfd. F METpF 16.61 98,842
Miami International Hldgs MIAX 33.65 687,483
Millrose Properties Cl A MRP 26.23 1,057,016
Mobility Global MBGL 17.36 2,623,521
Morgan Stanley Dep Pfd F MSpF 24.81 174,236
Morgan Stanley Dep Pfd 1 MSpI 23.18 123,580
Morgan Stanley Pfd. K MSpK 21.31 126,476
Morgan Stanley Pfd. L MSpL 17.41 53,082
Morgan Stanley Pfd. O MSpO 15.51 142,178
Morgan Stanley Pfd. P MSpP 23.89 129,861
Morgan Stanley Pfd. Q MSpQ 24.21 106,104
Mueller Water Products MWA 21.29 307,183
NIO ADR NIO 3.38 40,189,894
NRG Energy NRG 96.73 913,845
NYLIM MacKay Def Muni Opp MMD 13.24 230,656
National Health Investors NHI 66.50 182,402
Nerdy Cl A NRDY 8.41 18,441
NexPoint Residential Tr NXRT 19.09 499,826
NextEra Engy Cap Deb N NEEpN 19.01 72,359
NextEra Energy NEE 74.78 4,943,967
NextEra Engy 7.299% Un NEEpS 48.45 213,016
NextEra Energy Un NEEpT 44.98 107,758
NextEra Engy Deb. U NEEpU 22.02 73,078
NiSource NI 38.87 2,626,464
Noah Holdings ADR NOAH 7.80 52,005
North Amer Construction NOA 11.95 34,740
Northpointe Bancshares NPB 14.78 94,608
Nouveau Monde Graphite NMG 1.19 484,680
Nuveen AMT-Free Mun NVG 10.35 1,396,250
Nuveen AMT-Free Quality NEA 9.53 2,844,238
Nuveen CA AMT-Free Qual NKX 10.52 291,762
Nuveen Core Plus Impact NPCT 9.10 95,904
Nuveen Dynamic Mun Opps NDMO 8.52 429,919
Nuveen Gl Hi Incm Fd JGH 11.38 35,923
Nuveen MN Qual Muni NMS 9.51 30,911
Nuveen Mtg & Income Fund JLS 16.01 15,527
Nuveen Mun Cred Incm Fd NZF 10.47 1,807,175
Nuveen Mun Credit Opp Fd NMCO 8.65 565,681
NuveenMuniIncoOpp Fd NMZ 8.70 1,146,800
Nuveen Muni Income Fund NMI 9.25 111,607
Nuveen NY AMT-Free NRK 9.01 615,421
Nuveen NY Muni Value Fd NNY 7.55 57,314
Nuveen NY Qual Muni NAN 9.56 208,376
Nuveen Qual Mun Incm Fd NAD 9.66 2,241,536
Nuveen Real Asset Income JRI 10.70 185,213
Nuveen Select Maturities NIM 8.49 105,849
Nuveen Taxable Muni NBB 13.97 68,570
Nuveen VA Qual Muni NPV 9.06 127,286
O-I Glass OI 5.64 2,012,176
Olin Corp OLN 15.50 1,328,334
Onity Group ONIT 29.24 38,563
OppFi OPFI 6.03 277,870
Ormat Technologies ORA 89.31 197,259
Oxford Industries OXM 24.77 259,036
PCM Fund PCM 4.85 24,001
PG&E PCG 11.77 24,224,938
PG&E 6% Pfd. A PCGpX 30.67 12,026
PGIM Gl Hi Yield Fd GHY 10.85 191,161
PIMCO Active Bond ETF BOND 86.81 810,601
PIMCO Muni Income Fd II PML 6.42 667,107
PLDT ADR PHI 16.71 52,953
Paysafe PSFE 5.59 296,137
PennyMac Finl Svcs PFSI 63.03 258,762
PennyMac Mtg Inv Pfd. A PMTpA 21.33 5,051
PennyMac Mtg 8% Pfd B PMTpB 21.19 12,091
PIMCO NY Muni II PNI 6.10 79,799
Piper Sandler PIPR 67.00 1,101,587
Priority Incm Fd Pfd. K PRIFpK 18.35 11,519
Prudential Nt 2058 PRS 19.96 45,998
Prudential Fin Nts 2060 PFH 14.60 30,880
Prudential Fin Nts 2062 PRH 21.05 34,465
$Public Storage(PSA-N)$ Pfd. G PSApG 17.53 27,221
Public Storage Pfd. F PSApF 17.65 65,557
Public Storage Pfd. I PSApI 16.67 18,384
Public Storage Pfd. J PSApJ 16.39 18,976
Public Storage Pfd. K PSApK 16.26 25,508
Public Storage Pfd. N PSApN 13.44 19,015
Public Storage Pfd M PSApM 14.18 23,976
Public Storage Pfd. L PSApL 15.87 45,000
Public Storage Pfd. O PSApO 13.46 23,991
Public Storage Pfd. Q PSApQ 13.64 25,235
Public Storage Pfd. S PSApS 14.30 9,813
Public Storage Pfd. R PSApR 13.83 38,404
Ready Capital RC 1.24 880,813
Realty Income O 54.94 4,782,429
Regions Finl Pfd. E RFpE 15.13 28,893
Rentokil Initial ADR RTO 19.82 1,955,026
Rithm Acquisition Wt RAC.WS 0.4138 3,599
RiverNorth Flex Mun II RFMZ 11.37 139,112
RiverNorth Mgd Dur Muni RMM 12.15 156,192
RiverNorth Opp Muni RMI 13.11 14,404
Rogers Communications B RCI 31.00 540,182
SCE Trust VII Pfd. SCEpM 22.35 24,159
SCE Tr VIII Pfd. N SCEpN 20.69 12,338
Safehold SAFE 11.90 234,795
Saul Centers Pfd. E BFSpE 18.29 4,307
Scotts Miracle-Gro SMG 47.90 869,819
Sempra SRE 76.21 1,162,519
Sempra Nts 2079 SREA 18.80 55,763
Seritage Growth Prop A SRG 1.73 64,306
Six Flags Entertainment FUN 11.00 1,516,607
Sound Enhanced Fxd Incm FXED 16.48 626
Southern SO 81.69 3,765,125
Southern 4.2% Nts 2020C SOJE 15.43 65,797
Southern Nts 2025A SOJF 22.75 34,159
Southern Un SOMN 44.35 4,012,719
Special Opp Fund SPE 12.58 56,800
Spire SR 75.71 164,053
StandardAero SARO 21.47 2,258,304
Stellantis STLA 4.38 28,379,827
Stewart Info Svcs STC 55.92 107,676
Stifel Finl 5.2% Nt 2047 SFB 18.81 5,571
StubHub Holdings STUB 5.22 3,574,378
Suburban Propane SPH 16.31 136,742
Sylvamo SLVM 34.07 91,082
Synchrony Finl Pfd. A SYFpA 18.01 24,043
TCW Core Plus Bond ETF FIXT 35.90 19,875
TCW Corporate Bond ETF IGCB 43.50 323
TCW Flexible Income ETF FLXR 37.86 338,406
TCW Multisector Credit MUSE 48.31 2,092
TELUS Corp. TU 8.16 3,750,340
TPG Mortgage Inv Pfd. B MITTpB 18.75 5,291
Telekomunikasi Indns ADR TLK 13.11 406,849
Templeton Dragon Fund TDF 9.44 63,672
Terra Prop Tr Nts 2029 TPTS 14.11 519
Tortoise Energy TYG 37.62 286,011
TransUnion TRU 61.79 1,572,798
Triton Intl Pfd. C TRTNpC 22.31 10,794
Triton Intl Pfd. D TRTNpD 21.05 8,154
Triton Intl Pfd. F TRTNpF 23.03 12,529
Truist Finl Pfd. O TFCpO 18.41 66,976
Truist Finl Pfd. R TFCpR 16.45 100,244
Tyson Foods Cl A TSN 50.50 1,407,979
US Bncp 3.75% Pfd. L USBpQ 13.69 23,320
US Bancorp Pfd. M USBpR 14.52 81,666
US Bancorp Pfd. O USBpS 15.81 66,382
United States Antimony UAMY 4.17 2,541,666
Universal Corp UVV 41.30 162,220
Universal Tech Institute UTI 18.21 902,407
VICI Properties VICI 22.96 4,463,838
Velocity Financial VEL 14.99 135,344
Virtus Conv & Incm Pfd A NCVpA 18.73 3,142
Virtus Conv II Pfd. A NCZpA 18.17 13,093
Virtus Glbl MultiSector VGI 6.66 30,533
Vornado 5.40% Pfd L VNOpL 16.11 6,824
Vornado Realty Pfd. N VNOpN 15.69 7,725
Voya Financial Pfd. B VOYApB 22.75 12,588
Vulcan Materials VMC 240.00 858,123
WR Berkley 5.7% Deb 2058 WRBpE 19.76 16,521
Walker & Dunlop WD 36.10 156,489
Wells Fargo Pfd. Cl A Z WFCpZ 16.70 256,140
Wells Fargo Pfd. AA WFCpA 16.61 113,741
Wells Fargo Pfd. A CC WFCpC 15.43 154,050
Wells Fargo Pfd. A DD WFCpD 15.13 124,225
Wells Fargo 7.5% Pfd L WFCpL 1061.25 7,603
Western Asset Divrs Incm WDI 11.70 234,068
Western Asset Glbl Cp Opp GDO 9.33 216,173
Western Asset IG Incm Fd PAI 11.33 14,391
Wstrn Asset Mngd Muni MMU 8.71 246,045
Western Union WU 5.93 4,301,745
Weyerhaeuser WY 19.55 2,268,903
WhiteHawk Minerals WHK 25.29 86,899
Winnebago Industries WGO 26.25 239,622
Wipro ADR WIT 1.59 4,600,014
XAI Madison Eq Prem MCN 5.22 46,386
XPeng ADR XPEV 9.44 9,865,872
Xylem XYL 100.17 1,057,965
Zepp Health ADR ZEPP 3.78 26,987
Source: Dow Jones Market Data
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