| 1 | — | Bank of America Audent Hospitality Real Estate Fund I L.P. | $5.0M | — | $5.0M | 1 | 19.8% |
| 2 | — | U.S. Trust Holdings PORTOLA VALLEY CA SCH DIST GO BONDS | $1.0M | — | $1.0M | 1 | 4.0% |
| 3 | — | Bank of America Southeast Energy Authority Cooperative District, Alabama Bonds | $500K | — | $500K | 1 | 2.0% |
| 4 | — | Bank of America Milwaukee, Wisconsin GO Promissory Notes Series N2 | $500K | — | $500K | 1 | 2.0% |
| 5 | — | Bank of America Missouri Health and Educational Facilities Authority Revenue Bonds | $500K | — | $500K | 1 | 2.0% |
| 6 | — | Bank of America New York Liberty Development Corporation Revenue Bonds | $500K | — | $500K | 1 | 2.0% |
| 7 | — | Bank of America Washington State Health Care Facilities Authority Revenue Bonds | $500K | — | $500K | 1 | 2.0% |
| 8 | — | Bank of America Bucks County, PA Industrial Development Authority Hospital Rev Bonds | $500K | — | $500K | 1 | 2.0% |
| 9 | — | Bank of America Antioch, CA, Unified School District GO Bonds | $500K | — | $500K | 1 | 2.0% |
| 10 | — | Bank of America El Camino CA Community College District GO Bonds | $500K | — | $500K | 1 | 2.0% |
| 11 | — | U.S. Trust Holdings WEST KERN CMNTY COLLEGE DISTRICT Go boNdS | $500K | — | $500K | 1 | 2.0% |
| 12 | — | U.S. Trust Holdings JOHN SWETT Ca USD Go boNdS | $500K | — | $500K | 1 | 2.0% |
| 13 | — | U.S. Trust Holdings STANISLAUS Ca UN SCHOOL DIST | $500K | — | $500K | 1 | 2.0% |
| 14 | AAPL | Bank of America Apple Inc. - Common Stock | $880K | $515K | $365K | 8 | 1.4% |
| 15 | WBI | Bank of America WaterBridge Infrastructure LLC Class A Shares Representing Limited Liability Company Interests | $350K | — | $350K | 3 | 1.4% |
| 16 | LB | Wells Fargo Advisors LandBridge Company LLC Class A Shares Representing Limited Liability Company Interests | $250K | — | $250K | 3 | 1.0% |
| 17 | — | U.S. Trust Holdings PLACER CA UN HIGH SCHOOL DIST | $250K | — | $250K | 1 | 1.0% |
| 18 | SPY | U.S. Trust Holdings SPDR S&P 500 | $250K | — | $250K | 1 | 1.0% |
| 19 | — | U.S. Trust Holdings REdLaNdS Ca UNI SCH DIST Go boNdS | $250K | — | $250K | 1 | 1.0% |
| 20 | — | U.S. Trust Holdings SAN DIEGO Ca COMM COLLEGE DIST Go boNdS | $250K | — | $250K | 1 | 1.0% |
| 21 | — | U.S. Trust Holdings LOS ANGELES Ca USD Go REF bdS SER C | $250K | — | $250K | 1 | 1.0% |
| 22 | — | U.S. Trust Holdings IShares Gold Trust [oT] | $250K | — | $250K | 1 | 1.0% |
| 23 | MSFT | Bank of America Microsoft Corporation - Common Stock | $275K | $50K | $225K | 9 | 0.9% |
| 24 | V | U.S. Trust Holdings Visa Inc. | $180K | $15K | $165K | 6 | 0.7% |
| 25 | AMZN | Bank of America Amazon.com, Inc. - Common Stock | $210K | $60K | $150K | 11 | 0.6% |
| 26 | TSLA | Tesla, Inc. - Common Stock | $160K | $15K | $145K | 6 | 0.6% |
| 27 | PTC | PTC Inc. - Common Stock | $140K | — | $140K | 7 | 0.6% |
| 28 | JPM | Bank of America JP Morgan Chase & Co. Common Stock | $130K | — | $130K | 3 | 0.5% |
| 29 | MA | Bank of America Mastercard Incorporated Common Stock | $130K | — | $130K | 4 | 0.5% |
| 30 | CSGP | Bank of America CoStar Group, Inc. - Common Stock | $220K | $90K | $130K | 16 | 0.5% |
| 31 | COST | Bank of America Costco Wholesale Corporation - Common Stock | $175K | $50K | $125K | 8 | 0.5% |
| 32 | NFLX | Bank of America Netflix, Inc. - Common Stock | $130K | $15K | $115K | 5 | 0.5% |
| 33 | — | U.S. Trust Holdings Westinghouse air brake Technologies Corporation (Wab) | $125K | $15K | $110K | 7 | 0.4% |
| 34 | KMX | Wells Fargo Advisors CarMax Inc | $105K | — | $105K | 7 | 0.4% |
| 35 | — | Wells Fargo Advisors WaterBridge Infrastructure LLC Class A Shares Representing Limited | $100K | — | $100K | 1 | 0.4% |
| 36 | HE | Bank of America Hawaiian Electric Industries, Inc. Common Stock | $100K | — | $100K | 1 | 0.4% |
| 37 | ERIC | depositary Shares each representing 1 underlying Class b share | $100K | — | $100K | 2 | 0.4% |
| 38 | PYPL | U.S. Trust Holdings PayPal Holdings, Inc. | $115K | $15K | $100K | 4 | 0.4% |
| 39 | EL | U.S. Trust Holdings Estee Lauder Companies, Inc. | $100K | — | $100K | 2 | 0.4% |
| 40 | — | U.S. Trust Holdings CaLIFoRNIa ST VAR PURP Go boNdS | $100K | — | $100K | 1 | 0.4% |
| 41 | UBER | Bank of America Uber Technologies, Inc. Common Stock | $95K | — | $95K | 4 | 0.4% |
| 42 | WDAY | Bank of America Workday, Inc. - Class A Common Stock | $95K | — | $95K | 4 | 0.4% |
| 43 | SHW | Raymond James - Multi-Margin Related Account A Sherwin-Williams Company | $95K | — | $95K | 4 | 0.4% |
| 44 | CDAY | U.S. Trust Holdings Filing Id #20017632 Ceridian HCM Holding Inc. | $95K | — | $95K | 4 | 0.4% |
| 45 | SARO | Bank of America StandardAero, Inc. Common Stock | $90K | — | $90K | 6 | 0.4% |
| 46 | APG | Bank of America API Group Corporation Common Stock | $90K | — | $90K | 6 | 0.4% |
| 47 | WTW | Bank of America Willis Towers Watson Public Limited Company - Ordinary Shares | $95K | $15K | $80K | 5 | 0.3% |
| 48 | FERG | Bank of America Ferguson Enterprises Inc. Common Stock | $80K | — | $80K | 3 | 0.3% |
| 49 | ABMD | U.S. Trust Holdings ABIOMED, Inc. | $95K | $15K | $80K | 5 | 0.3% |
| 50 | TT | U.S. Trust Holdings Trane Technologies plc | $95K | $15K | $80K | 5 | 0.3% |
| 51 | PLTR | Bank of America Palantir Technologies Inc. Class A Common Stock | $75K | — | $75K | 5 | 0.3% |
| 52 | NOVT | Novanta Inc. - Common Shares | $75K | — | $75K | 5 | 0.3% |
| 53 | RVTY | Bank of America Revvity, Inc. Common Stock | $75K | — | $75K | 5 | 0.3% |
| 54 | SKY | Bank of America Champion Homes, Inc. Common Stock | $75K | — | $75K | 5 | 0.3% |
| 55 | SRPT | Bank of America Sarepta Therapeutics, Inc. - Common Stock | $105K | $30K | $75K | 9 | 0.3% |
| 56 | LNT | U.S. Trust Holdings Alliant Energy Corporation | $75K | — | $75K | 5 | 0.3% |
| 57 | HMN | U.S. Trust Holdings Horace Mann Educators Corporation | $75K | — | $75K | 5 | 0.3% |
| 58 | CRY | U.S. Trust Holdings CryoLife, Inc. | $75K | — | $75K | 5 | 0.3% |
| 59 | SSNC | U.S. Trust Holdings SS&C Technologies Holdings, Inc. | $75K | — | $75K | 5 | 0.3% |
| 60 | VC | U.S. Trust Holdings Visteon Corporation | $75K | — | $75K | 5 | 0.3% |
| 61 | JNJ | Bank of America Johnson & Johnson Common Stock | $100K | $30K | $70K | 4 | 0.3% |
| 62 | SPHR | Wells Fargo Advisors Sphere Entertainment Co. Class A Common Stock | $65K | — | $65K | 2 | 0.3% |
| 63 | MTCH | U.S. Trust Holdings Match Group, Inc. | $65K | — | $65K | 2 | 0.3% |
| 64 | CENT | U.S. Trust Holdings Central Garden & Pet Company | $80K | $15K | $65K | 4 | 0.3% |
| 65 | APP | Bank of America Applovin Corporation - Class A Common Stock | $60K | — | $60K | 4 | 0.2% |
| 66 | BKNG | Bank of America Booking Holdings Inc. - Common Stock | $75K | $15K | $60K | 6 | 0.2% |
| 67 | PWR | Quanta Services, Inc. Common Stock | $90K | $30K | $60K | 8 | 0.2% |
| 68 | PHR | Bank of America Phreesia, Inc. Common Stock | $75K | $15K | $60K | 6 | 0.2% |
| 69 | WAT | Waters Corporation Common Stock | $60K | — | $60K | 4 | 0.2% |
| 70 | SBCF | Bank of America Seacoast Banking Corporation of Florida - Common Stock | $60K | — | $60K | 4 | 0.2% |
| 71 | IR | Bank of America Ingersoll Rand Inc. Common Stock | $60K | — | $60K | 4 | 0.2% |
| 72 | LNTH | Bank of America Lantheus Holdings, Inc. - Common Stock | $60K | — | $60K | 4 | 0.2% |
| 73 | EBS | U.S. Trust Holdings Emergent biosolutions, Inc. | $60K | — | $60K | 4 | 0.2% |
| 74 | PRAH | U.S. Trust Holdings PRA Health Sciences, Inc. | $60K | — | $60K | 4 | 0.2% |
| 75 | PGNY | U.S. Trust Holdings Progyny, Inc. | $60K | — | $60K | 4 | 0.2% |
| 76 | — | U.S. Trust Holdings broadridge Financial Solutions, Inc. (bR) | $60K | — | $60K | 4 | 0.2% |
| 77 | BABA | Bank of America Alibaba Group Holding Limited American Depositary Shares each representing eight Ordinary share | $165K | $115K | $50K | 6 | 0.2% |
| 78 | AMD | Bank of America Advanced Micro Devices, Inc. | $50K | — | $50K | 1 | 0.2% |
| 79 | STRC | Rate Series A Perpetual Stretch Preferred Stock | $50K | — | $50K | 1 | 0.2% |
| 80 | ADBE | Adobe Inc. - Common Stock | $65K | $15K | $50K | 3 | 0.2% |
| 81 | BMRN | U.S. Trust Holdings bioMarin Pharmaceutical Inc. | $50K | — | $50K | 1 | 0.2% |
| 82 | INTU | U.S. Trust Holdings Intuit Inc. | $160K | $110K | $50K | 11 | 0.2% |
| 83 | TDOC | U.S. Trust Holdings Teladoc Health, Inc. | $50K | — | $50K | 1 | 0.2% |
| 84 | MHVYF | Bank of America Mitsubishi Heavy Industries Ltd Ordinary Shares | $45K | — | $45K | 3 | 0.2% |
| 85 | MBFJF | Mitsubishi UFJ Financial Group Inc Ordinary Shares | $45K | — | $45K | 3 | 0.2% |
| 86 | NTDOF | Bank of America NINTENDO CO LTD ORD | $45K | — | $45K | 3 | 0.2% |
| 87 | BCLYF | Bank of America Barclays Plc Ord Ordinary Shares | $45K | — | $45K | 3 | 0.2% |
| 88 | HESAF | Bank of America HERMES INTL SA | $45K | — | $45K | 3 | 0.2% |
| 89 | RNMBF | Rheinmetall Ag Ordinary Shares | $45K | — | $45K | 3 | 0.2% |
| 90 | SMEGF | Bank of America SIEMENS ENERGY AG | $45K | — | $45K | 3 | 0.2% |
| 91 | UNCFF | Bank of America UNICREDITO SPA ORD NEW | $45K | — | $45K | 3 | 0.2% |
| 92 | XIACF | Bank of America XIAOMI CORP | $45K | — | $45K | 3 | 0.2% |
| 93 | BE | Bloom Energy Corporation Class A Common Stock | $45K | — | $45K | 3 | 0.2% |
| 94 | NET | Bank of America Cloudflare, Inc. Class A Common Stock | $45K | — | $45K | 3 | 0.2% |
| 95 | COIN | Bank of America Coinbase Global, Inc. - Class A Common Stock | $45K | — | $45K | 3 | 0.2% |
| 96 | FISV | Bank of America Fiserv, Inc. - Common Stock | $45K | — | $45K | 3 | 0.2% |
| 97 | GPN | Bank of America Global Payments Inc. Common Stock | $45K | — | $45K | 3 | 0.2% |
| 98 | HD | Home Depot, Inc. | $45K | — | $45K | 3 | 0.2% |
| 99 | MDB | Bank of America MongoDB, Inc. - Class A Common Stock | $45K | — | $45K | 3 | 0.2% |
| 100 | MS | Bank of America Morgan Stanley Common Stock | $60K | $15K | $45K | 5 | 0.2% |
| 101 | NXPI | Bank of America NXP Semiconductors N.V. - Common Stock | $45K | — | $45K | 3 | 0.2% |
| 102 | ORCL | Bank of America Oracle Corporation Common Stock | $45K | — | $45K | 3 | 0.2% |
| 103 | REGN | Bank of America Regeneron Pharmaceuticals, Inc. - Common Stock | $45K | — | $45K | 3 | 0.2% |
| 104 | HOOD | Robinhood Markets, Inc. - Class A Common Stock | $45K | — | $45K | 3 | 0.2% |
| 105 | SYK | Stryker Corporation Common Stock | $45K | — | $45K | 3 | 0.2% |
| 106 | TDG | Bank of America Transdigm Group Incorporated Common Stock | $45K | — | $45K | 3 | 0.2% |
| 107 | WPM | Bank of America Wheaton Precious Metals Corp Common Shares | $45K | — | $45K | 3 | 0.2% |
| 108 | ALKT | Alkami Technology, Inc. - Common Stock | $45K | — | $45K | 3 | 0.2% |
| 109 | VIAV | Bank of America Viavi Solutions Inc. - Common Stock | $60K | $15K | $45K | 5 | 0.2% |
| 110 | CBOE | Bank of America Cboe Global Markets, Inc. | $60K | $15K | $45K | 5 | 0.2% |
| 111 | HAL | Bank of America Halliburton Company Common Stock | $45K | — | $45K | 3 | 0.2% |
| 112 | CVLT | Bank of America Commvault Systems, Inc. - Common Stock | $45K | — | $45K | 3 | 0.2% |
| 113 | SUPN | Bank of America Supernus Pharmaceuticals, Inc. - Common Stock | $60K | $15K | $45K | 5 | 0.2% |
| 114 | DAY | Dayforce, Inc. Common Stock | $45K | — | $45K | 3 | 0.2% |
| 115 | DAVA | Bank of America Endava plc American Depositary Shares | $60K | $15K | $45K | 5 | 0.2% |
| 116 | ATRC | AtriCure, Inc. - Common Stock | $75K | $30K | $45K | 7 | 0.2% |
| 117 | MTX | Bank of America Minerals Technologies Inc. Common Stock | $45K | — | $45K | 3 | 0.2% |
| 118 | PCVX | Bank of America Vaxcyte, Inc. - Common Stock | $45K | — | $45K | 3 | 0.2% |
| 119 | CVET | U.S. Trust Holdings Covetrus, Inc. | $45K | — | $45K | 3 | 0.2% |
| 120 | STAG | U.S. Trust Holdings Stag Industrial, Inc. | $45K | — | $45K | 3 | 0.2% |
| 121 | RPD | U.S. Trust Holdings Rapid7, Inc. | $45K | — | $45K | 3 | 0.2% |
| 122 | DIS | U.S. Trust Holdings Walt disney Company | $110K | $65K | $45K | 7 | 0.2% |
| 123 | — | U.S. Trust Holdings oN Semiconductor Corporation (oN) | $45K | — | $45K | 3 | 0.2% |
| 124 | — | U.S. Trust Holdings amdocs Limited - ordinary Shares (doX) | $45K | — | $45K | 3 | 0.2% |
| 125 | CP | Bank of America Canadian Pacific Kansas City Limited Common Shares | $65K | $30K | $35K | 4 | 0.1% |
| 126 | ICUI | Bank of America ICU Medical, Inc. - Common Stock | $95K | $60K | $35K | 8 | 0.1% |
| 127 | GOOGL | Bank of America Alphabet Inc. - Class A Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 128 | FWRG | Bank of America First Watch Restaurant Group, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 129 | DBSDF | Bank of America DBS GROUP HLDGS LTD ORD | $30K | — | $30K | 2 | 0.1% |
| 130 | TCTZF | Bank of America Tencent Holdings Limited Ordinary Shares | $45K | $15K | $30K | 4 | 0.1% |
| 131 | BABAF | Bank of America ALIBABA GROUP HOLDING LTD | $30K | — | $30K | 2 | 0.1% |
| 132 | AZSEY | Bank of America Allianz SE ADS | $30K | — | $30K | 2 | 0.1% |
| 133 | AZN | Depositary Shares | $30K | — | $30K | 2 | 0.1% |
| 134 | RACE | Bank of America Ferrari N.V. Common Shares | $30K | — | $30K | 2 | 0.1% |
| 135 | IBDSF | Bank of America Iberdrola SA Bilbao Ordinary Shares | $30K | — | $30K | 2 | 0.1% |
| 136 | SBGSF | Bank of America SCHNEIDER ELECTRIC SA | $30K | — | $30K | 2 | 0.1% |
| 137 | ANET | Bank of America Arista Networks, Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 138 | AVGO | Bank of America Broadcom Inc. - Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 139 | CAT | Bank of America Caterpillar, Inc. Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 140 | CVX | Bank of America Chevron Corporation Common Stock | $30K | — | $30K | 2 | 0.1% |
| 141 | STZ | Bank of America Constellation Brands, Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 142 | CSW | Bank of America CSW Industrials, Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 143 | DASH | Bank of America DoorDash, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 144 | ETN | Bank of America Eaton Corporation, PLC Ordinary Shares | $30K | — | $30K | 2 | 0.1% |
| 145 | ISRG | Bank of America Intuitive Surgical, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 146 | JKHY | Bank of America Jack Henry & Associates, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 147 | LMT | Bank of America Lockheed Martin Corporation Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 148 | FB | Bank of America Meta Platforms, Inc. - Class A | $30K | — | $30K | 2 | 0.1% |
| 149 | PG | Bank of America Procter & Gamble Company | $30K | — | $30K | 2 | 0.1% |
| 150 | RBLX | Bank of America Roblox Corporation Class A Common Stock | $30K | — | $30K | 2 | 0.1% |
| 151 | TRGP | Bank of America Targa Resources, Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 152 | VRT | Bank of America Vertiv Holdings, LLC Class A Common Stock | $30K | — | $30K | 2 | 0.1% |
| 153 | WMT | Bank of America Walmart Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 154 | UNH | Bank of America UnitedHealth Group Incorporated Common Stock | $190K | $160K | $30K | 14 | 0.1% |
| 155 | EPAC | Bank of America Enerpac Tool Group Corp. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 156 | AJINF | Bank of America AJINOMOTO CO INC | $30K | — | $30K | 2 | 0.1% |
| 157 | BBIO | Bank of America BridgeBio Pharma, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 158 | THR | Bank of America Thermon Group Holdings, Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 159 | K | Bank of America Kellanova Common Stock | $75K | $45K | $30K | 8 | 0.1% |
| 160 | PPBI | Bank of America Pacific Premier Bancorp Inc - Common Stock | $60K | $30K | $30K | 7 | 0.1% |
| 161 | AVNT | Bank of America Avient Corporation Common Stock | $30K | — | $30K | 2 | 0.1% |
| 162 | SMTC | Bank of America Semtech Corporation - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 163 | RARE | Bank of America Ultragenyx Pharmaceutical Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 164 | CHRW | Bank of America C.H. Robinson Worldwide, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 165 | GIS | Bank of America General Mills, Inc. Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 166 | GPOR | Bank of America Gulfport Energy Corporation Common Shares | $30K | — | $30K | 2 | 0.1% |
| 167 | HQY | Bank of America HealthEquity, Inc. - Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 168 | LHX | Bank of America L3Harris Technologies, Inc. Common Stock | $45K | $15K | $30K | 4 | 0.1% |
| 169 | USPH | Bank of America U.S. Physical Therapy, Inc. Common Stock | $30K | — | $30K | 2 | 0.1% |
| 170 | UTZ | Bank of America Utz Brands Inc Class A Common Stock | $30K | — | $30K | 2 | 0.1% |
| 171 | AGIO | Agios Pharmaceuticals, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 172 | CRNX | Bank of America Crinetics Pharmaceuticals, Inc. - Common Stock | $30K | — | $30K | 2 | 0.1% |
| 173 | CACI | Bank of America CACI International, Inc. Class A Common Stock | $80K | $50K | $30K | 4 | 0.1% |
| 174 | PAR | Bank of America PAR Technology Corporation Common Stock | $30K | — | $30K | 2 | 0.1% |
| 175 | ELAN | U.S. Trust Holdings Elanco Animal Health Incorporated | $30K | — | $30K | 2 | 0.1% |
| 176 | HLIO | U.S. Trust Holdings Helios Technologies, Inc. | $30K | — | $30K | 2 | 0.1% |
| 177 | ADC | U.S. Trust Holdings Agree Realty Corporation | $30K | — | $30K | 2 | 0.1% |
| 178 | PATK | U.S. Trust Holdings Patrick Industries, Inc. | $30K | — | $30K | 2 | 0.1% |
| 179 | HAE | U.S. Trust Holdings Haemonetics Corporation | $30K | — | $30K | 2 | 0.1% |
| 180 | PEP | U.S. Trust Holdings Pepsico, Inc. | $30K | — | $30K | 2 | 0.1% |
| 181 | IART | U.S. Trust Holdings Integra LifeSciences Holdings Corporation | $30K | — | $30K | 2 | 0.1% |
| 182 | POL | U.S. Trust Holdings Polyone Corporation | $80K | $50K | $30K | 4 | 0.1% |
| 183 | ECOL | U.S. Trust Holdings US Ecology, Inc. | $30K | — | $30K | 2 | 0.1% |
| 184 | HLI | U.S. Trust Holdings Houlihan Lokey, Inc. Class a | $30K | — | $30K | 2 | 0.1% |
| 185 | RYAOF | U.S. Trust Holdings Ryanair Holdings plc ordinary Shares | $30K | — | $30K | 2 | 0.1% |
| 186 | MINI | Raymond James - Multi-Margin Related account a Mobile Mini, Inc. | $30K | — | $30K | 3 | 0.1% |
| 187 | JEC | U.S. Trust Holdings Jacobs Engineering Group Inc. | $30K | — | $30K | 2 | 0.1% |
| 188 | PLNT | U.S. Trust Holdings Planet Fitness, Inc. | $125K | $100K | $25K | 8 | 0.1% |
| 189 | TKO | Bank of America TKO Group Holdings, Inc. Class A Common Stock | $15K | — | $15K | 1 | 0.1% |
| 190 | LGN | Wells Fargo Advisors Legence Corp. - Class A Common stock | $15K | — | $15K | 1 | 0.1% |
| 191 | ABT | Abbott Laboratories Common Stock | $15K | — | $15K | 1 | 0.1% |
| 192 | ARE | Bank of America Alexandria Real Estate Equities, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 193 | AMCR | Bank of America Amcor plc Ordinary Shares | $15K | — | $15K | 1 | 0.1% |
| 194 | APO | Bank of America Apollo Global Management, Inc. | $15K | — | $15K | 1 | 0.1% |
| 195 | AZO | AutoZone, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 196 | BRK.B | Berkshire Hathaway Inc. New Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 197 | BRO | Bank of America Brown & Brown, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 198 | BXP | Bank of America BXP, Inc. Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 199 | — | Bank of America Cameco Corporation Common Stock | $15K | — | $15K | 1 | 0.1% |
| 200 | CTRA | Bank of America Coterra Energy Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 201 | DHI | Bank of America D.R. Horton, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 202 | DECK | Bank of America Deckers Outdoor Corporation | $15K | — | $15K | 1 | 0.1% |
| 203 | LLY | Bank of America Eli Lilly and Company Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 204 | EG | Bank of America Everest Group, Ltd. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 205 | EXE | Bank of America Expand Energy Corporation - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 206 | FDS | Bank of America FactSet Research Systems Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 207 | FIS | Bank of America Fidelity National Information Services, Inc. Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 208 | FCX | Bank of America Freeport-McMoRan, Inc. Common Stock | $60K | $45K | $15K | 7 | 0.1% |
| 209 | GEV | Bank of America GE Vernova Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 210 | HON | Bank of America Honeywell International Inc. | $15K | — | $15K | 1 | 0.1% |
| 211 | — | Bank of America International Business Machines | $15K | — | $15K | 1 | 0.1% |
| 212 | IFF | Bank of America International Flavors & Fragrances, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 213 | IP | Bank of America International Paper Company Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 214 | LEN | Bank of America Lennar Corporation Class A Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 215 | MTB | Bank of America M&T Bank Corporation Common Stock | $15K | — | $15K | 1 | 0.1% |
| 216 | MCK | Bank of America McKesson Corporation Common Stock | $45K | $30K | $15K | 5 | 0.1% |
| 217 | MRK | Bank of America Merck & Company, Inc. Common Stock | $95K | $80K | $15K | 7 | 0.1% |
| 218 | TAP | Bank of America Molson Coors Beverage Company Class B Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 219 | OKE | Bank of America ONEOK, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 220 | SW | Smurfit WestRock plc Ordinary Shares | $15K | — | $15K | 1 | 0.1% |
| 221 | TSM | Bank of America Taiwan Semiconductor Manufacturing Company Ltd. | $15K | — | $15K | 1 | 0.1% |
| 222 | CPB | Bank of America The Campbell's Company - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 223 | WBD | Bank of America Warner Bros. Discovery, Inc. - Series A Common Stock | $15K | — | $15K | 1 | 0.1% |
| 224 | BCRX | Bank of America BioCryst Pharmaceuticals, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 225 | KVUE | Kenvue Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 226 | LULU | Bank of America lululemon athletica inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 227 | SBAC | Bank of America SBA Communications Corporation - Class A Common Stock | $15K | — | $15K | 1 | 0.1% |
| 228 | VTR | Bank of America Ventas, Inc. Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 229 | KKR | Bank of America KKR & Co. Inc. Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 230 | CNS | Bank of America Cohen & Steers Inc Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 231 | CRDO | Bank of America Credo Technology Group Holding Ltd - Ordinary Shares | $15K | — | $15K | 1 | 0.1% |
| 232 | CCJ | Bank of America Cameco Corporation Common Stock | $15K | — | $15K | 1 | 0.1% |
| 233 | FLEX | Bank of America Flex Ltd. - Ordinary Shares | $60K | $45K | $15K | 7 | 0.1% |
| 234 | META | Bank of America Meta Platforms, Inc. - Class A Common Stock | $15K | — | $15K | 1 | 0.1% |
| 235 | — | Bank of America Spotify Technology S.A. Ordinary | $15K | — | $15K | 1 | 0.1% |
| 236 | — | Bank of America Taiwan Semiconductor Manufacturing | $15K | — | $15K | 1 | 0.1% |
| 237 | AZTA | Azenta, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 238 | CYTK | Bank of America Cytokinetics, Incorporated - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 239 | AVAV | AeroVironment, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 240 | COLB | Bank of America Columbia Banking System, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 241 | SKWD | Skyward Specialty Insurance Group, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 242 | — | Bank of America Solaris Energy Infrastructure, Inc. | $15K | — | $15K | 1 | 0.1% |
| 243 | APA | Bank of America APA Corporation - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 244 | ELV | Bank of America Elevance Health, Inc. Common Stock | $30K | $15K | $15K | 3 | 0.1% |
| 245 | CDRE | Cadre Holdings, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 246 | ENGQF | Bank of America ENGIE SA ORD | $15K | — | $15K | 1 | 0.1% |
| 247 | NEO | Bank of America NeoGenomics, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 248 | SEI | Bank of America Solaris Energy Infrastructure, Inc. Class A Common Stock | $15K | — | $15K | 1 | 0.1% |
| 249 | BDRFF | Beiersdorf A G Ordinary Shares | $15K | — | $15K | 1 | 0.1% |
| 250 | ARMK | Bank of America Aramark Common Stock | $15K | — | $15K | 1 | 0.1% |
| 251 | CBZ | Bank of America CBIZ, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 252 | TNDM | Bank of America Tandem Diabetes Care, Inc. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 253 | — | Bank of America The Vita Coco Company, Inc. - | $15K | — | $15K | 1 | 0.1% |
| 254 | HLMN | Bank of America Hillman Solutions Corp. - Common Stock | $15K | — | $15K | 1 | 0.1% |
| 255 | FNA | Bank of America Paragon 28, Inc. Common Stock | $15K | — | $15K | 1 | 0.1% |
| 256 | — | Bank of America Walgreens Boots Alliance, Inc. - | $15K | — | $15K | 1 | 0.1% |
| 257 | — | U.S. Trust Holdings Facebook, Inc. - Class A (Fb) | $45K | $30K | $15K | 5 | 0.1% |
| 258 | CSTL | U.S. Trust Holdings Castle biosciences, Inc. - Common stock | $15K | — | $15K | 1 | 0.1% |
| 259 | ABBV | AbbVie Inc. | $15K | — | $15K | 1 | 0.1% |
| 260 | LUMN | U.S. Trust Holdings CenturyLink, Inc. d/b/a Lumen Technologies, Inc. | $15K | — | $15K | 1 | 0.1% |
| 261 | FTDR | U.S. Trust Holdings frontdoor, inc. | $15K | — | $15K | 1 | 0.1% |
| 262 | GE | U.S. Trust Holdings General Electric Company | $60K | $45K | $15K | 7 | 0.1% |
| 263 | GILD | U.S. Trust Holdings Gilead Sciences, Inc. | $30K | $15K | $15K | 3 | 0.1% |
| 264 | BRKS | U.S. Trust Holdings brooks Automation, Inc. | $15K | — | $15K | 1 | 0.1% |
| 265 | CRNC | U.S. Trust Holdings Cerence Inc. | $15K | — | $15K | 1 | 0.1% |
| 266 | CYRX | U.S. Trust Holdings CryoPort, Inc. | $30K | $15K | $15K | 3 | 0.1% |
| 267 | SHYF | U.S. Trust Holdings The Shyft Group, Inc. | $15K | — | $15K | 1 | 0.1% |
| 268 | VRTU | Virtusa Corporation | $45K | $30K | $15K | 5 | 0.1% |
| 269 | OCFC | U.S. Trust Holdings OceanFirst Financial Corp. | $15K | — | $15K | 1 | 0.1% |
| 270 | TEL | TE Connectivity Ltd. New Switzerland Registered Shares | $15K | — | $15K | 1 | 0.1% |
| 271 | ABCB | U.S. Trust Holdings Ameris bancorp | $15K | — | $15K | 1 | 0.1% |
| 272 | — | U.S. Trust Holdings Endava plc American depositary | $15K | — | $15K | 1 | 0.1% |
| 273 | NKE | U.S. Trust Holdings Nike, Inc. | $30K | $15K | $15K | 3 | 0.1% |
| 274 | AIG | U.S. Trust Holdings American International Group, Inc. New | $30K | $15K | $15K | 3 | 0.1% |
| 275 | CCL | U.S. Trust Holdings Carnival Corporation | $15K | — | $15K | 1 | 0.1% |
| 276 | TDY | U.S. Trust Holdings Teledyne Technologies Incorporated | $15K | — | $15K | 1 | 0.1% |
| 277 | ATVI | Activision Blizzard, Inc | $125K | $110K | $15K | 11 | 0.1% |
| 278 | NWE | NorthWestern Corporation | $15K | — | $15K | 1 | 0.1% |
| 279 | EBSB | U.S. Trust Holdings Meridian bancorp, Inc. | $30K | $15K | $15K | 3 | 0.1% |
| 280 | AON | U.S. Trust Holdings Aon plc Class A Ordinary Shares | $15K | — | $15K | 1 | 0.1% |
| 281 | BCPC | U.S. Trust Holdings balchem Corporation | $15K | — | $15K | 1 | 0.1% |
| 282 | OLLI | U.S. Trust Holdings Ollie's bargain Outlet Holdings, Inc. | $30K | $15K | $15K | 3 | 0.1% |
| 283 | — | U.S. Trust Holdings duPont de Nemours, Inc. (dd) | $45K | $30K | $15K | 5 | 0.1% |
| 284 | FRC | U.S. Trust Holdings FIRST REPUBLIC BANK | $15K | — | $15K | 1 | 0.1% |
| 285 | MKC | Raymond James - Multi-Margin Related account a McCormick & Company, Incorporated | $15K | — | $15K | 1 | 0.1% |
| 286 | TMUS | U.S. Trust Holdings T-Mobile US, Inc. | $15K | — | $15K | 1 | 0.1% |
| 287 | TWTR | U.S. Trust Holdings Twitter, Inc. | $60K | $45K | $15K | 7 | 0.1% |
| 288 | — | U.S. Trust Holdings ameris bancorp (abCb) | $15K | — | $15K | 1 | 0.1% |
| 289 | — | U.S. Trust Holdings abIoMEd, Inc. (abMd) | $15K | — | $15K | 1 | 0.1% |
| 290 | — | U.S. Trust Holdings aon plc Class a ordinary Shares (aoN) | $15K | — | $15K | 2 | 0.1% |
| 291 | SEE | Raymond James - Multi-Margin Related account a Sealed air Corporation | $65K | $50K | $15K | 3 | 0.1% |
| 292 | ALGT | U.S. Trust Holdings allegiant Travel Company | $30K | $15K | $15K | 3 | 0.1% |
| 293 | GBCI | U.S. Trust Holdings Glacier bancorp, Inc. | $15K | — | $15K | 1 | 0.1% |
| 294 | HTLD | U.S. Trust Holdings Heartland Express, Inc. | $15K | — | $15K | 1 | 0.1% |
| 295 | — | U.S. Trust Holdings IdaCoRP, Inc. (Ida) | $15K | — | $15K | 1 | 0.1% |
| 296 | NHI | U.S. Trust Holdings National Health Investors, Inc. | $15K | — | $15K | 1 | 0.1% |
| 297 | — | U.S. Trust Holdings abbott Laboratories (abT) | $15K | — | $15K | 1 | 0.1% |
| 298 | — | U.S. Trust Holdings berkshire Hathaway Inc. New (BRK.b) | $15K | — | $15K | 1 | 0.1% |
| 299 | CAH | U.S. Trust Holdings Cardinal Health, Inc. | $15K | — | $15K | 1 | 0.1% |
| 300 | CFG | U.S. Trust Holdings Citizens Financial Group, Inc. | $15K | — | $15K | 1 | 0.1% |
| 301 | CTVA | U.S. Trust Holdings Corteva, Inc. | $30K | $15K | $15K | 4 | 0.1% |
| 302 | DISCA | U.S. Trust Holdings discovery, Inc. - Series a | $15K | — | $15K | 1 | 0.1% |
| 303 | EXC | U.S. Trust Holdings Exelon Corporation | $15K | — | $15K | 1 | 0.1% |
| 304 | FITB | U.S. Trust Holdings Fifth Third bancorp | $15K | — | $15K | 1 | 0.1% |
| 305 | FLT | U.S. Trust Holdings FleetCor Technologies, Inc. | $15K | — | $15K | 1 | 0.1% |
| 306 | PEAK | U.S. Trust Holdings Healthpeak Properties, Inc. | $15K | — | $15K | 1 | 0.1% |
| 307 | HBAN | U.S. Trust Holdings Huntington bancshares Incorporated | $15K | — | $15K | 1 | 0.1% |
| 308 | INFO | U.S. Trust Holdings IHS Markit Ltd. Common Shares | $15K | — | $15K | 1 | 0.1% |
| 309 | LVS | U.S. Trust Holdings Las Vegas Sands Corp. | $15K | — | $15K | 1 | 0.1% |
| 310 | LYV | U.S. Trust Holdings Live Nation Entertainment, Inc. | $15K | — | $15K | 1 | 0.1% |
| 311 | MCHP | U.S. Trust Holdings Microchip Technology Incorporated | $15K | — | $15K | 1 | 0.1% |
| 312 | NATI | U.S. Trust Holdings National Instruments Corporation | $15K | — | $15K | 1 | 0.1% |
| 313 | NTRS | U.S. Trust Holdings Northern Trust Corporation | $15K | — | $15K | 1 | 0.1% |
| 314 | PAYX | U.S. Trust Holdings Paychex, Inc. | $15K | — | $15K | 1 | 0.1% |
| 315 | PRGO | U.S. Trust Holdings Perrigo Company plc ordinary Shares | $15K | — | $15K | 1 | 0.1% |
| 316 | PNC | PNC Financial Services Group, Inc. | $15K | — | $15K | 1 | 0.1% |
| 317 | PGR | U.S. Trust Holdings Progressive Corporation | $15K | — | $15K | 1 | 0.1% |
| 318 | PEG | U.S. Trust Holdings Public Service Enterprise Group Incorporated | $15K | — | $15K | 1 | 0.1% |
| 319 | PVH | U.S. Trust Holdings PVH Corp. | $15K | — | $15K | 1 | 0.1% |
| 320 | ROP | U.S. Trust Holdings Roper Technologies, Inc. | $15K | — | $15K | 1 | 0.1% |
| 321 | RCL | U.S. Trust Holdings Royal Caribbean Cruises Ltd. | $15K | — | $15K | 1 | 0.1% |
| 322 | TTWO | U.S. Trust Holdings Take-Two Interactive Software, Inc. | $15K | — | $15K | 1 | 0.1% |
| 323 | UNP | U.S. Trust Holdings Union Pacific Corporation | $15K | — | $15K | 1 | 0.1% |
| 324 | UHS | U.S. Trust Holdings Universal Health Services, Inc. | $15K | — | $15K | 1 | 0.1% |
| 325 | VRSN | U.S. Trust Holdings VeriSign, Inc. | $15K | — | $15K | 1 | 0.1% |
| 326 | WY | U.S. Trust Holdings Weyerhaeuser Company | $30K | $15K | $15K | 3 | 0.1% |
| 327 | VIAC | U.S. Trust Holdings ViacomCbS Inc. - Class b | $15K | — | $15K | 1 | 0.1% |
| 328 | CMP | U.S. Trust Holdings Compass Minerals Intl Inc | $30K | $15K | $15K | 3 | 0.1% |
| 329 | RHP | U.S. Trust Holdings Ryman Hospitality Properties, Inc. | $15K | — | $15K | 1 | 0.1% |
| 330 | IVZ | U.S. Trust Holdings Invesco Ltd | $30K | $15K | $15K | 3 | 0.1% |
| 331 | SERV | U.S. Trust Holdings ServiceMaster Global Holdings, Inc. | $15K | — | $15K | 1 | 0.1% |
| 332 | — | U.S. Trust Holdings Insulet Corporation (Podd) | $30K | $15K | $15K | 3 | 0.1% |
| 333 | CATY | U.S. Trust Holdings Cathay General bancorp | $15K | — | $15K | 1 | 0.1% |
| 334 | — | U.S. Trust Holdings Filing Id #20012253 alliance data Systems Corporation (adS) | $15K | — | $15K | 1 | 0.1% |
| 335 | ROLL | U.S. Trust Holdings RBC bearings Incorporated | $15K | — | $15K | 1 | 0.1% |
| 336 | DGX | U.S. Trust Holdings Quest diagnostics Incorporated | $15K | — | $15K | 1 | 0.1% |
| 337 | — | U.S. Trust Holdings Canada Goose Holdings Inc. | $15K | — | $15K | 1 | 0.1% |
| 338 | WFC | Wells Fargo Advisors Wells Fargo & Company Common Stock | $95K | $90K | $5K | 10 | 0.0% |
| 339 | ROKU | U.S. Trust Holdings Roku, Inc. - Class A | $100K | $95K | $5K | 6 | 0.0% |
| 340 | SPOT | Bank of America Spotify Technology S.A. Ordinary Shares | $15K | $15K | $0 | 2 | — |
| 341 | SF | Bank of America Stifel Financial Corporation Common Stock | $15K | $15K | $0 | 2 | — |
| 342 | SQ | Bank of America Block, Inc. Class A Common Stock, | $130K | $130K | $0 | 7 | — |
| 343 | DOW | Bank of America Dow Inc. Common Stock | $15K | $15K | $0 | 2 | — |
| 344 | INTC | Bank of America Intel Corporation - Common Stock | $15K | $15K | $0 | 2 | — |
| 345 | VTRS | Bank of America Viatris Inc. - Common Stock | $15K | $15K | $0 | 3 | — |
| 346 | ZTS | Zoetis Inc. Class A Common Stock | $15K | $15K | $0 | 2 | — |
| 347 | INTA | Intapp, Inc. - Common Stock | $30K | $30K | $0 | 4 | — |
| 348 | MTSI | Bank of America MACOM Technology Solutions Holdings, Inc. - Common Stock | $30K | $30K | $0 | 4 | — |
| 349 | BA | Bank of America Boeing Company | $30K | $30K | $0 | 4 | — |
| 350 | BMY | Bank of America Bristol-Myers Squibb Company Common Stock | $60K | $60K | $0 | 8 | — |
| 351 | CAG | Bank of America ConAgra Brands, Inc. Common Stock | $45K | $45K | $0 | 6 | — |
| 352 | IBM | Bank of America International Business Machines Corporation Common Stock | $30K | $30K | $0 | 4 | — |
| 353 | MOH | Molina Healthcare Inc Common Stock | $30K | $30K | $0 | 4 | — |
| 354 | OXY | Bank of America Occidental Petroleum Corporation Common Stock | $15K | $15K | $0 | 2 | — |
| 355 | O | Bank of America Realty Income Corporation Common Stock | $15K | $15K | $0 | 2 | — |
| 356 | SMCI | Bank of America Super Micro Computer, Inc. - Common Stock | $15K | $15K | $0 | 2 | — |
| 357 | VCYT | Bank of America Veracyte, Inc. - Common Stock | $60K | $60K | $0 | 8 | — |
| 358 | RSNHF | RESONA HOLDINGS INC | $15K | $15K | $0 | 2 | — |
| 359 | SAP | Bank of America SAP SE ADS | $15K | $15K | $0 | 2 | — |
| 360 | Q | Bank of America Qnity Electronics, Inc. Common Stock | — | — | $0 | 1 | — |
| 361 | DSGX | Bank of America The Descartes Systems Group Inc. - Common Stock | $15K | $15K | $0 | 2 | — |
| 362 | MEDP | Bank of America Medpace Holdings, Inc. - Common Stock | $30K | $30K | $0 | 4 | — |
| 363 | — | Bank of America Anaheim CA Elementary School District GO Bonds | $250K | $250K | $0 | 2 | — |
| 364 | ARIS | Wells Fargo Advisors Aris Water Solutions, Inc. Class A Common Stock | $100K | $100K | $0 | 3 | — |
| 365 | OKTA | Bank of America Okta, Inc. - Class A Common Stock | $15K | $15K | $0 | 2 | — |
| 366 | KMI | Bank of America Kinder Morgan, Inc. Common Stock | $30K | $30K | $0 | 4 | — |
| 367 | NOC | Bank of America Northrop Grumman Corporation Common Stock | $15K | $15K | $0 | 2 | — |
| 368 | MET | Bank of America MetLife, Inc. Common Stock | $15K | $15K | $0 | 2 | — |
| 369 | CNC | Centene Corporation Common Stock | $60K | $60K | $0 | 8 | — |
| 370 | SLB | Bank of America Schlumberger N.V. Common Stock | $15K | $15K | $0 | 2 | — |
| 371 | ASML | York Registry Shares | $15K | $15K | $0 | 2 | — |
| 372 | BOOT | Bank of America Boot Barn Holdings, Inc. Common Stock | $15K | $15K | $0 | 2 | — |
| 373 | ORLY | Bank of America O'Reilly Automotive, Inc. - Common Stock | $15K | $15K | $0 | 2 | — |
| 374 | YUM | Bank of America Yum! Brands, Inc. | $15K | $15K | $0 | 2 | — |
| 375 | CPRI | Bank of America Capri Holdings Limited Ordinary Shares | $15K | $15K | $0 | 2 | — |
| 376 | F | Bank of America Ford Motor Company Common Stock | $60K | $60K | $0 | 8 | — |
| 377 | HALO | Bank of America Halozyme Therapeutics, Inc. - Common Stock | $15K | $15K | $0 | 2 | — |
| 378 | AKAM | Akamai Technologies, Inc. - Common Stock | $15K | $15K | $0 | 2 | — |
| 379 | ALGN | Bank of America Align Technology, Inc. - Common Stock | $60K | $60K | $0 | 8 | — |
| 380 | DG | Bank of America Dollar General Corporation Common Stock | $15K | $15K | $0 | 2 | — |
| 381 | WBA | Bank of America Walgreens Boots Alliance, Inc. - Common Stock | $15K | $15K | $0 | 2 | — |
| 382 | CCI | Bank of America Crown Castle Inc. Common Stock | $30K | $30K | $0 | 4 | — |
| 383 | CVS | Bank of America CVS Health Corporation Common Stock | $30K | $30K | $0 | 4 | — |
| 384 | SJM | Bank of America The J.M. Smucker Company Common Stock | $15K | $15K | $0 | 2 | — |
| 385 | T | U.S. Trust Holdings AT&T Inc. | $80K | $80K | $0 | 6 | — |
| 386 | BIIB | U.S. Trust Holdings biogen Inc. | $45K | $45K | $0 | 6 | — |
| 387 | DXCM | U.S. Trust Holdings dexCom, Inc. | $15K | $15K | $0 | 2 | — |
| 388 | DLR | U.S. Trust Holdings digital Realty Trust, Inc. | $15K | $15K | $0 | 2 | — |
| 389 | INCY | U.S. Trust Holdings Incyte Corporation | $15K | $15K | $0 | 2 | — |
| 390 | NBIX | U.S. Trust Holdings Neurocrine biosciences, Inc. | $15K | $15K | $0 | 2 | — |
| 391 | CCMP | U.S. Trust Holdings CMC Materials, Inc. | $15K | $15K | $0 | 2 | — |
| 392 | SYNH | Syneos Health, Inc. - Class A | $15K | $15K | $0 | 2 | — |
| 393 | ETFC | U.S. Trust Holdings E*TRADE Financial Corporation | — | — | $0 | 1 | — |
| 394 | PKI | U.S. Trust Holdings PerkinElmer, Inc. | $15K | $15K | $0 | 2 | — |
| 395 | KEY | U.S. Trust Holdings KeyCorp | $15K | $15K | $0 | 2 | — |
| 396 | VNO | U.S. Trust Holdings Vornado Realty Trust | $15K | $15K | $0 | 2 | — |
| 397 | RXN | U.S. Trust Holdings Rexnord Corporation | $30K | $30K | $0 | 4 | — |
| 398 | AGN | U.S. Trust Holdings Allergan plc Ordinary Shares | $30K | $30K | $0 | 4 | — |
| 399 | MMM | 3M Company | $15K | $15K | $0 | 2 | — |
| 400 | — | U.S. Trust Holdings boeing Company (ba) | $30K | $30K | $0 | 4 | — |
| 401 | CTL | U.S. Trust Holdings CenturyLink, Inc. | $45K | $45K | $0 | 6 | — |
| 402 | CF | U.S. Trust Holdings CF Industries Holdings, Inc. | $15K | $15K | $0 | 2 | — |
| 403 | — | U.S. Trust Holdings Chubb Limited (Cb) | $15K | $15K | $0 | 2 | — |
| 404 | C | U.S. Trust Holdings Citigroup, Inc. | $15K | $15K | $0 | 2 | — |
| 405 | CL | U.S. Trust Holdings Colgate-Palmolive Company | $30K | $30K | $0 | 4 | — |
| 406 | — | U.S. Trust Holdings dow Inc. (doW) | $15K | $15K | $0 | 2 | — |
| 407 | BEN | U.S. Trust Holdings Franklin Resources, Inc. | $15K | $15K | $0 | 2 | — |
| 408 | GS | Goldman Sachs Group, Inc. | $15K | $15K | $0 | 2 | — |
| 409 | HRB | U.S. Trust Holdings H&R block, Inc. | $15K | $15K | $0 | 2 | — |
| 410 | HOG | U.S. Trust Holdings Harley-davidson, Inc. | $15K | $15K | $0 | 2 | — |
| 411 | IPG | U.S. Trust Holdings Interpublic Group of Companies, Inc. | $15K | $15K | $0 | 2 | — |
| 412 | NWSA | U.S. Trust Holdings News Corporation - Class a | $15K | $15K | $0 | 2 | — |
| 413 | NWS | U.S. Trust Holdings News Corporation - Class b | $15K | $15K | $0 | 2 | — |
| 414 | NUE | U.S. Trust Holdings Nucor Corporation | $30K | $30K | $0 | 4 | — |
| 415 | SPG | U.S. Trust Holdings Simon Property Group, Inc. | $30K | $30K | $0 | 4 | — |
| 416 | SYF | U.S. Trust Holdings Synchrony Financial | $15K | $15K | $0 | 2 | — |
| 417 | — | U.S. Trust Holdings The bank of New York Mellon Corporation (bK) | $15K | $15K | $0 | 2 | — |
| 418 | TFC | U.S. Trust Holdings Truist Financial Corporation | $15K | $15K | $0 | 2 | — |
| 419 | WELL | U.S. Trust Holdings Welltower Inc. | $15K | $15K | $0 | 2 | — |
| 420 | CARR | U.S. Trust Holdings Carrier Global Corporation | — | — | $0 | 1 | — |
| 421 | GOOS | U.S. Trust Holdings Canada Goose Holdings Inc. Subordinate Voting Shares | $110K | $110K | $0 | 10 | — |
| 422 | AMG | U.S. Trust Holdings affiliated Managers Group, Inc. | $15K | $15K | $0 | 2 | — |
| 423 | GOOG | U.S. Trust Holdings alphabet Inc. - Class C Capital Stock | $15K | $15K | $0 | 2 | — |
| 424 | ANTM | U.S. Trust Holdings anthem, Inc. | $15K | $15K | $0 | 2 | — |
| 425 | COF | U.S. Trust Holdings Capital one Financial Corporation | $15K | $15K | $0 | 2 | — |
| 426 | COTY | U.S. Trust Holdings Coty Inc. Class a | $30K | $30K | $0 | 4 | — |
| 427 | DLTR | U.S. Trust Holdings dollar Tree, Inc. | $15K | $15K | $0 | 2 | — |
| 428 | — | U.S. Trust Holdings General dynamics Corporation (Gd) | $15K | $15K | $0 | 2 | — |
| 429 | — | U.S. Trust Holdings L brands, Inc. (Lb) | $15K | $15K | $0 | 2 | — |
| 430 | LIN | U.S. Trust Holdings Linde plc ordinary Share | $15K | $15K | $0 | 2 | — |
| 431 | LYB | Raymond James - Multi-Margin Related account a Lyondellbasell Industries NV ordinary Shares Class a | $15K | $15K | $0 | 2 | — |
| 432 | MGM | U.S. Trust Holdings MGM Resorts International | $15K | $15K | $0 | 2 | — |
| 433 | SLG | U.S. Trust Holdings SL Green Realty Corp | $15K | $15K | $0 | 2 | — |
| 434 | STT | U.S. Trust Holdings State Street Corporation | $15K | $15K | $0 | 2 | — |
| 435 | STE | U.S. Trust Holdings STERIS plc | $15K | $15K | $0 | 3 | — |
| 436 | KHC | U.S. Trust Holdings The Kraft Heinz Company | $45K | $45K | $0 | 6 | — |
| 437 | UNM | U.S. Trust Holdings Unum Group | $15K | $15K | $0 | 2 | — |
| 438 | GWW | U.S. Trust Holdings W.W. Grainger, Inc. | $15K | $15K | $0 | 2 | — |
| 439 | WRK | U.S. Trust Holdings Westrock Company | $15K | $15K | $0 | 2 | — |
| 440 | EXAS | U.S. Trust Holdings Exact Sciences Corporation | $15K | $15K | $0 | 2 | — |
| 441 | — | U.S. Trust Holdings alliance data Systems Corporation (adS) | $30K | $30K | $0 | 4 | — |
| 442 | FDX | U.S. Trust Holdings FedEx Corporation | $30K | $30K | $0 | 4 | — |
| 443 | M | U.S. Trust Holdings Macy's Inc | $15K | $15K | $0 | 2 | — |
| 444 | CHUY | U.S. Trust Holdings Chuy's Holdings, Inc. | $15K | $15K | $0 | 2 | — |
| 445 | WCG | U.S. Trust Holdings Wellcare Health Plans, Inc. | $15K | $15K | $0 | 3 | — |
| 446 | FOXA | U.S. Trust Holdings Fox Corporation - Class a | $15K | $15K | $0 | 2 | — |
| 447 | KSS | U.S. Trust Holdings Kohl's Corporation | $15K | $15K | $0 | 2 | — |
| 448 | MYL | U.S. Trust Holdings Mylan N.V. | $15K | $15K | $0 | 2 | — |
| 449 | NLSN | U.S. Trust Holdings Nielsen N.V. ordinary Shares | $15K | $15K | $0 | 2 | — |
| 450 | JWN | U.S. Trust Holdings Nordstrom, Inc. | $15K | $15K | $0 | 2 | — |
| 451 | CMPR | U.S. Trust Holdings Cimpress PLC - ordinary Shares | — | — | $0 | 1 | — |
| 452 | VAR | U.S. Trust Holdings Varian Medical Systems, Inc. | $15K | $15K | $0 | 2 | — |
| 453 | CELG | U.S. Trust Holdings Celgene Corporation | $15K | $15K | $0 | 2 | — |
| 454 | IBKC | U.S. Trust Holdings IbERIabaNK Corporation | $15K | $15K | $0 | 2 | — |
| 455 | — | U.S. Trust Holdings albemarle Corporation (aLb) | $15K | $15K | $0 | 2 | — |
| 456 | — | U.S. Trust Holdings archer-daniels-Midland Company (adM) | $15K | $15K | $0 | 2 | — |
| 457 | MNST | U.S. Trust Holdings Monster beverage Corporation | $15K | $15K | $0 | 2 | — |
| 458 | NEM | U.S. Trust Holdings Newmont Goldcorp Corporation | $15K | $15K | $0 | 2 | — |
| 459 | QCOM | U.S. Trust Holdings QUALCOMM Incorporated | $15K | $15K | $0 | 2 | — |
| 460 | — | U.S. Trust Holdings amerisourcebergen Corporation (abC) | $15K | $15K | $0 | 2 | — |
| 461 | FLR | U.S. Trust Holdings Fluor Corporation | $15K | $15K | $0 | 2 | — |
| 462 | TFCFA | U.S. Trust Holdings Twenty-First Century Fox, Inc. - Class a | — | — | $0 | 1 | — |
| 463 | TFCF | disney's acquisition of assets from Twenty-First Century Fox and spin-off of Fox Corporation. Twenty-First Century Fox, Inc. - Class b | — | — | $0 | 1 | — |
| 464 | SCG | U.S. Trust Holdings SCANA Corporation | — | — | $0 | 1 | — |
| 465 | PRIM | Bank of America Primoris Services Corporation | $15K | $30K | -$15K | 3 | — |
| 466 | CMG | Bank of America Chipotle Mexican Grill, Inc. Common Stock | $15K | $30K | -$15K | 3 | — |
| 467 | BYDDF | Bank of America BYD Company Ltd H Shares | — | $15K | -$15K | 1 | — |
| 468 | CLX | Bank of America Clorox Company | — | $15K | -$15K | 1 | — |
| 469 | DD | Bank of America DuPont de Nemours, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 470 | HUM | Bank of America Humana Inc. Common Stock | $45K | $60K | -$15K | 7 | — |
| 471 | KMB | Bank of America Kimberly-Clark Corporation Common Stock | — | $15K | -$15K | 1 | — |
| 472 | ITT | Bank of America ITT Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 473 | SPXC | Bank of America SPX Technologies, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 474 | AORT | Bank of America Artivion, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 475 | BWIN | Bank of America The Baldwin Insurance Group, Inc. - Class A Common Stock | — | $15K | -$15K | 1 | — |
| 476 | USB | Bank of America U.S. Bancorp Common Stock | $30K | $45K | -$15K | 5 | — |
| 477 | WM | Bank of America Waste Management, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 478 | MMC | Bank of America Marsh & McLennan Companies, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 479 | SYY | Bank of America Sysco Corporation Common Stock | $15K | $30K | -$15K | 3 | — |
| 480 | VLO | Valero Energy Corporation Common Stock | — | $15K | -$15K | 1 | — |
| 481 | — | Bank of America Oracle Corporation Common Stock | — | $15K | -$15K | 1 | — |
| 482 | ANSS | Bank of America ANSYS, Inc. - Common Stock | — | $15K | -$15K | 2 | — |
| 483 | MGY | Bank of America Magnolia Oil & Gas Corporation Class A Common Stock | — | $15K | -$15K | 1 | — |
| 484 | DSKYF | Bank of America Daiichi Sankyo Co Ltd Ordinary Shares | — | $15K | -$15K | 1 | — |
| 485 | RIO | Bank of America Rio Tinto Plc Common Stock | — | $15K | -$15K | 1 | — |
| 486 | NEE | Bank of America NextEra Energy, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 487 | COP | Bank of America ConocoPhillips Common Stock | — | $15K | -$15K | 1 | — |
| 488 | PLD | Bank of America Prologis, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 489 | SMFNF | Sumitomo Mitsui Financial Group Inc Ordinary Shares | — | $15K | -$15K | 1 | — |
| 490 | HLT | Bank of America Hilton Worldwide Holdings Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 491 | — | Bank of America DT Midstream, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 492 | DXC | Bank of America DXC Technology Company Common Stock | $30K | $45K | -$15K | 5 | — |
| 493 | ZION | Bank of America Zions Bancorporation N.A. - Common Stock | — | $15K | -$15K | 1 | — |
| 494 | FLYW | Common Stock | — | $15K | -$15K | 1 | — |
| 495 | CHX | Bank of America ChampionX Corporation | — | $15K | -$15K | 1 | — |
| 496 | TME | Wells Fargo Advisors Tencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares | — | $15K | -$15K | 1 | — |
| 497 | HSIC | Bank of America Henry Schein, Inc. - Common Stock | — | $15K | -$15K | 1 | — |
| 498 | HOLX | Bank of America Hologic, Inc. - Common Stock | — | $15K | -$15K | 1 | — |
| 499 | LH | Bank of America Labcorp Holdings Inc. Common Stock | $15K | $30K | -$15K | 3 | — |
| 500 | WYNN | Bank of America Wynn Resorts, Limited - Common Stock | $15K | $30K | -$15K | 3 | — |
| 501 | RBA | Bank of America RB Global, Inc. Common Stock | $15K | $30K | -$15K | 3 | — |
| 502 | ANCTF | ALIMENTATION COUCHE-TARD | — | $15K | -$15K | 1 | — |
| 503 | — | Bank of America Paragon 28, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 504 | DHR | Bank of America Danaher Corporation Common Stock | — | $15K | -$15K | 1 | — |
| 505 | ICFI | ICF International, Inc. - Common Stock | $30K | $45K | -$15K | 5 | — |
| 506 | ABNB | Bank of America Airbnb, Inc. - Class A Common Stock | — | $15K | -$15K | 1 | — |
| 507 | D | Dominion Energy, Inc. Common Stock | — | $15K | -$15K | 1 | — |
| 508 | — | Bank of America Quest Diagnostics Incorporated | — | $15K | -$15K | 1 | — |
| 509 | KLAC | Bank of America KLA Corporation - Common Stock | $15K | $30K | -$15K | 3 | — |
| 510 | — | dominion Energy, Inc. (d) | — | $15K | -$15K | 1 | — |
| 511 | RTX | U.S. Trust Holdings Raytheon Technologies Corporation | $15K | $30K | -$15K | 5 | — |
| 512 | HELE | U.S. Trust Holdings Helen of Troy Limited | $15K | $30K | -$15K | 3 | — |
| 513 | RCI | U.S. Trust Holdings Rogers Communication, Inc. | — | $15K | -$15K | 1 | — |
| 514 | LHCG | U.S. Trust Holdings LHC Group - common stock | $15K | $30K | -$15K | 3 | — |
| 515 | WBS | U.S. Trust Holdings Webster Financial Corporation | $15K | $30K | -$15K | 3 | — |
| 516 | WSC | U.S. Trust Holdings WillScot Mobile Mini Holdings Corp. - Class A | — | $15K | -$15K | 1 | — |
| 517 | IDXX | U.S. Trust Holdings IDEXX Laboratories, Inc. | $45K | $60K | -$15K | 7 | — |
| 518 | OTIS | U.S. Trust Holdings Otis Worldwide Corporation | — | $15K | -$15K | 2 | — |
| 519 | BK | The Bank of New York Mellon Corporation | — | $15K | -$15K | 1 | — |
| 520 | UDR | U.S. Trust Holdings UDR, Inc. | — | $15K | -$15K | 1 | — |
| 521 | LAD | U.S. Trust Holdings Lithia Motors, Inc. | — | $15K | -$15K | 1 | — |
| 522 | QTS | U.S. Trust Holdings QTS Realty Trust, Inc. Class A | — | $15K | -$15K | 1 | — |
| 523 | WDFC | U.S. Trust Holdings Wd-40 Company | $15K | $30K | -$15K | 3 | — |
| 524 | — | U.S. Trust Holdings belden Inc (bdC) | $15K | $30K | -$15K | 3 | — |
| 525 | — | U.S. Trust Holdings Central Garden & Pet Company | — | $15K | -$15K | 1 | — |
| 526 | GLW | U.S. Trust Holdings Corning Incorporated | — | $15K | -$15K | 1 | — |
| 527 | — | U.S. Trust Holdings LOS RIOS Ca COMMUNTY COLLEGE DISTRICT | — | $15K | -$15K | 1 | — |
| 528 | — | U.S. Trust Holdings Realty Income Corporation (o) | — | $15K | -$15K | 1 | — |
| 529 | TJX | U.S. Trust Holdings TJX Companies, Inc. | — | $15K | -$15K | 1 | — |
| 530 | VFC | U.S. Trust Holdings V.F. Corporation | — | $15K | -$15K | 1 | — |
| 531 | — | U.S. Trust Holdings Walgreens boots alliance, Inc. (Wba) | $45K | $60K | -$15K | 7 | — |
| 532 | AIR | U.S. Trust Holdings aaR Corp. | — | $15K | -$15K | 1 | — |
| 533 | EXLS | U.S. Trust Holdings ExlService Holdings, Inc. | — | $15K | -$15K | 1 | — |
| 534 | GLOB | U.S. Trust Holdings Globant S.a. Common Shares | $15K | $30K | -$15K | 3 | — |
| 535 | AFL | U.S. Trust Holdings Filing Id #20016402 AFLAC Incorporated | — | $15K | -$15K | 1 | — |
| 536 | BHF | U.S. Trust Holdings brighthouse Financial, Inc. | — | $15K | -$15K | 1 | — |
| 537 | CNP | U.S. Trust Holdings CenterPoint Energy, Inc | — | $15K | -$15K | 1 | — |
| 538 | CTSH | U.S. Trust Holdings Cognizant Technology Solutions Corporation - Class a | — | $15K | -$15K | 1 | — |
| 539 | CMA | U.S. Trust Holdings Comerica Incorporated | — | $15K | -$15K | 1 | — |
| 540 | — | U.S. Trust Holdings delta air Lines, Inc. (daL) | — | $15K | -$15K | 1 | — |
| 541 | DFS | U.S. Trust Holdings discover Financial Services | — | $15K | -$15K | 1 | — |
| 542 | EMN | U.S. Trust Holdings Eastman Chemical Company | — | $15K | -$15K | 1 | — |
| 543 | HIG | U.S. Trust Holdings Hartford Financial Services Group, Inc. | — | $15K | -$15K | 1 | — |
| 544 | HPE | U.S. Trust Holdings Hewlett Packard Enterprise Company | — | $15K | -$15K | 1 | — |
| 545 | HST | U.S. Trust Holdings Host Hotels & Resorts, Inc. | — | $15K | -$15K | 1 | — |
| 546 | IRM | U.S. Trust Holdings Iron Mountain Incorporated | $15K | $30K | -$15K | 3 | — |
| 547 | JEF | U.S. Trust Holdings Jefferies Financial Group Inc. | — | $15K | -$15K | 1 | — |
| 548 | KIM | U.S. Trust Holdings Kimco Realty Corporation | — | $15K | -$15K | 1 | — |
| 549 | LNC | U.S. Trust Holdings Lincoln National Corporation | — | $15K | -$15K | 1 | — |
| 550 | MDT | U.S. Trust Holdings Medtronic plc. ordinary Shares | — | $15K | -$15K | 1 | — |
| 551 | MOS | U.S. Trust Holdings Mosaic Company | $30K | $45K | -$15K | 5 | — |
| 552 | NWL | U.S. Trust Holdings Newell brands Inc. | $15K | $30K | -$15K | 3 | — |
| 553 | PPL | U.S. Trust Holdings PPL Corporation | — | $15K | -$15K | 1 | — |
| 554 | PFG | U.S. Trust Holdings Principal Financial Group Inc | — | $15K | -$15K | 1 | — |
| 555 | PRU | U.S. Trust Holdings Prudential Financial, Inc. | — | $15K | -$15K | 1 | — |
| 556 | SWK | U.S. Trust Holdings Stanley black & decker, Inc. | — | $15K | -$15K | 1 | — |
| 557 | TRV | U.S. Trust Holdings The Travelers Companies, Inc. | — | $15K | -$15K | 1 | — |
| 558 | TSN | U.S. Trust Holdings Tyson Foods, Inc. | — | $15K | -$15K | 1 | — |
| 559 | URI | U.S. Trust Holdings United Rentals, Inc. | — | $15K | -$15K | 1 | — |
| 560 | WDC | U.S. Trust Holdings Western digital Corporation | — | $15K | -$15K | 1 | — |
| 561 | NCLH | U.S. Trust Holdings Norwegian Cruise Line Holdings Ltd. ordinary Shares | — | $15K | -$15K | 1 | — |
| 562 | JBT | U.S. Trust Holdings John bean Technologies Corporation | — | $15K | -$15K | 1 | — |
| 563 | PFPT | U.S. Trust Holdings Proofpoint, Inc. | — | $15K | -$15K | 1 | — |
| 564 | — | U.S. Trust Holdings RBC bearings Incorporated | — | $15K | -$15K | 1 | — |
| 565 | UBSI | U.S. Trust Holdings United bankshares, Inc. | $15K | $30K | -$15K | 3 | — |
| 566 | MAC | U.S. Trust Holdings Macerich Company | $30K | $45K | -$15K | 5 | — |
| 567 | — | U.S. Trust Holdings California Department of Water Resources | — | $15K | -$15K | 1 | — |
| 568 | CENTA | U.S. Trust Holdings Filing Id #20013867 Central Garden & Pet Company - Class a Common Stock Nonvoting | — | $15K | -$15K | 1 | — |
| 569 | — | albemarle Corporation (aLb) | — | $15K | -$15K | 1 | — |
| 570 | CBS | U.S. Trust Holdings CBS Corporation Class b | — | $15K | -$15K | 1 | — |
| 571 | EXPE | U.S. Trust Holdings Expedia Group, Inc. | — | $15K | -$15K | 1 | — |
| 572 | VIAB | U.S. Trust Holdings Viacom Inc. - Class b | — | $15K | -$15K | 1 | — |
| 573 | CBM | U.S. Trust Holdings Cambrex Corporation | — | $15K | -$15K | 1 | — |
| 574 | TUP | U.S. Trust Holdings Tupperware brands Corporation | — | $15K | -$15K | 1 | — |
| 575 | — | abbVie Inc. (abbV) | — | $15K | -$15K | 1 | — |
| 576 | EW | U.S. Trust Holdings Edwards Lifesciences Corporation | — | $15K | -$15K | 1 | — |
| 577 | PRA | U.S. Trust Holdings Proassurance Corporation | — | $15K | -$15K | 1 | — |
| 578 | — | U.S. Trust Holdings LONG BEACH Ca UNIFIED | — | $15K | -$15K | 1 | — |
| 579 | TCBI | U.S. Trust Holdings Texas Capital bancshares, Inc. | — | $15K | -$15K | 1 | — |
| 580 | LOPE | U.S. Trust Holdings Grand Canyon Education, Inc. | — | $15K | -$15K | 1 | — |
| 581 | AMRX | U.S. Trust Holdings Filing Id #20011797 amneal Pharmaceuticals, Inc. Class | — | $15K | -$15K | 1 | — |
| 582 | DWDP | U.S. Trust Holdings dowduPont Inc. | — | $15K | -$15K | 2 | — |
| 583 | ARNC | U.S. Trust Holdings arconic Inc. | — | $15K | -$15K | 1 | — |
| 584 | — | U.S. Trust Holdings Coca-Cola Company (Ko) | — | $15K | -$15K | 1 | — |
| 585 | — | U.S. Trust Holdings daVita Inc. (dVa) | — | $15K | -$15K | 1 | — |
| 586 | CTRP | U.S. Trust Holdings Ctrip.com International, Ltd. - american depositary Shares | — | $15K | -$15K | 1 | — |
| 587 | DPLO | U.S. Trust Holdings diplomat Pharmacy, Inc. | — | $15K | -$15K | 1 | — |
| 588 | IBP | U.S. Trust Holdings Installed building Products, Inc. | — | $15K | -$15K | 1 | — |
| 589 | AIMC | U.S. Trust Holdings altra Industrial Motion Corp. | — | $15K | -$15K | 1 | — |
| 590 | — | aCadIa Pharmaceuticals Inc. (aCad) | — | $15K | -$15K | 1 | — |
| 591 | BLKB | U.S. Trust Holdings blackbaud, Inc. | — | $15K | -$15K | 1 | — |
| 592 | ESRX | U.S. Trust Holdings Express Scripts Holding Company | — | $15K | -$15K | 1 | — |
| 593 | SNHY | following merger. Sun Hydraulics Corporation | — | $15K | -$15K | 1 | — |
| 594 | LUV | Bank of America Southwest Airlines Company Common Stock | $60K | $80K | -$20K | 7 | — |
| 595 | RBC | Bank of America RBC Bearings Incorporated Common Stock | — | $30K | -$30K | 2 | — |
| 596 | SNPS | Bank of America Synopsys, Inc. - Common Stock | — | $30K | -$30K | 2 | — |
| 597 | UPS | United Parcel Service, Inc. Common Stock | $45K | $75K | -$30K | 8 | — |
| 598 | CI | The Cigna Group Common Stock | $30K | $60K | -$30K | 6 | — |
| 599 | UFPI | Bank of America UFP Industries, Inc. - Common Stock | — | $30K | -$30K | 2 | — |
| 600 | STRL | Bank of America Sterling Infrastructure, Inc. - Common Stock | $15K | $45K | -$30K | 4 | — |
| 601 | EIX | Bank of America Edison International Common Stock | — | $30K | -$30K | 2 | — |
| 602 | GTLS | Bank of America Chart Industries, Inc. | — | $30K | -$30K | 2 | — |
| 603 | MDLZ | Bank of America Mondelez International, Inc. - Class A Common Stock | — | $30K | -$30K | 2 | — |
| 604 | CDNS | Bank of America Cadence Design Systems, Inc. - Common Stock | — | $30K | -$30K | 2 | — |
| 605 | PSA | Bank of America Public Storage Common Stock | — | $30K | -$30K | 2 | — |
| 606 | FWONK | Liberty Media Corporation - Series C Liberty Formula One Common Stock | — | $30K | -$30K | 2 | — |
| 607 | SLAB | Bank of America Silicon Laboratories, Inc. - Common Stock | $15K | $45K | -$30K | 4 | — |
| 608 | ITCI | Bank of America Intra-Cellular Therapies Inc. | — | $30K | -$30K | 2 | — |
| 609 | PANW | Bank of America Palo Alto Networks, Inc. | — | $30K | -$30K | 2 | — |
| 610 | GM | Bank of America General Motors Company Common Stock | — | $30K | -$30K | 2 | — |
| 611 | PCG | Bank of America Pacific Gas & Electric Co. Common Stock | — | $30K | -$30K | 2 | — |
| 612 | XRAY | Bank of America DENTSPLY SIRONA Inc. - Common Stock | — | $30K | -$30K | 2 | — |
| 613 | SPLK | Splunk Inc. | $15K | $45K | -$30K | 4 | — |
| 614 | CRM | Salesforce.com Inc | $15K | $45K | -$30K | 4 | — |
| 615 | PRAA | Raymond James - Multi-Margin Related Account A PRA Group, Inc. | — | $30K | -$30K | 2 | — |
| 616 | AMTD | U.S. Trust Holdings Td Ameritrade Holding Corporation | $15K | $45K | -$30K | 5 | — |
| 617 | — | U.S. Trust Holdings dominion Energy, Inc. (d) | — | $30K | -$30K | 2 | — |
| 618 | L | U.S. Trust Holdings Loews Corporation | $15K | $45K | -$30K | 4 | — |
| 619 | TCOM | depositary Shares | $50K | $80K | -$30K | 4 | — |
| 620 | GMED | U.S. Trust Holdings Globus Medical, Inc. Class A | $15K | $45K | -$30K | 4 | — |
| 621 | CMD | U.S. Trust Holdings Cantel Medical Corp. | $15K | $45K | -$30K | 4 | — |
| 622 | J | U.S. Trust Holdings Jacobs Engineering Group Inc. | — | $30K | -$30K | 2 | — |
| 623 | CHDN | U.S. Trust Holdings Churchill downs, Incorporated | $15K | $45K | -$30K | 4 | — |
| 624 | — | U.S. Trust Holdings Lithia Motors, Inc. (Lad) | — | $30K | -$30K | 2 | — |
| 625 | — | U.S. Trust Holdings alibaba Group Holding Limited american depositary Shares each representing eight ordinary share (baba) | — | $30K | -$30K | 2 | — |
| 626 | PEB | U.S. Trust Holdings Pebblebrook Hotel Trust Common Shares of beneficial Interest | $15K | $45K | -$30K | 4 | — |
| 627 | WMGI | U.S. Trust Holdings Wright Medical Group N.V. - ordinary Shares | $15K | $45K | -$30K | 4 | — |
| 628 | OMC | U.S. Trust Holdings omnicom Group Inc. | — | $30K | -$30K | 2 | — |
| 629 | — | U.S. Trust Holdings Facebook, Inc. - Class a (Fb) | — | $30K | -$30K | 2 | — |
| 630 | HCSG | U.S. Trust Holdings Healthcare Services Group, Inc. | — | $30K | -$30K | 2 | — |
| 631 | NVDA | Bank of America NVIDIA Corporation - Common Stock | $125K | $160K | -$35K | 12 | — |
| 632 | PFE | Bank of America Pfizer, Inc. Common Stock | $60K | $95K | -$35K | 8 | — |
| 633 | SWTX | Bank of America SpringWorks Therapeutics, Inc. - common stock | $15K | $50K | -$35K | 2 | — |
| 634 | VRSK | Bank of America Verisk Analytics, Inc. - Common Stock | $45K | $90K | -$45K | 9 | — |
| 635 | AVTR | Avantor, Inc. Common Stock | — | $45K | -$45K | 3 | — |
| 636 | WRB | Bank of America W.R. Berkley Corporation Common Stock | $45K | $90K | -$45K | 9 | — |
| 637 | EDU | U.S. Trust Holdings New Oriental Education & Technology Group, Inc. Sponsored ADR representing 1 Ordinary Share | $30K | $75K | -$45K | 7 | — |
| 638 | SITE | U.S. Trust Holdings SiteOne Landscape Supply, Inc. | $45K | $90K | -$45K | 9 | — |
| 639 | NICE | depositary Shares each representing one Ordinary Share | — | $45K | -$45K | 3 | — |
| 640 | FIVE | U.S. Trust Holdings Five below, Inc. | $15K | $60K | -$45K | 5 | — |
| 641 | QDEL | U.S. Trust Holdings Quidel Corporation | $15K | $60K | -$45K | 5 | — |
| 642 | SLGN | U.S. Trust Holdings Silgan Holdings Inc. | — | $45K | -$45K | 3 | — |
| 643 | POWI | U.S. Trust Holdings Power Integrations, Inc. | — | $45K | -$45K | 3 | — |
| 644 | ENTG | U.S. Trust Holdings Entegris, Inc. | $30K | $75K | -$45K | 7 | — |
| 645 | MDSO | U.S. Trust Holdings Medidata Solutions, Inc. | — | $45K | -$45K | 3 | — |
| 646 | — | Bank of America Long Beach, CA Unified School District Bonds | — | $50K | -$50K | 1 | — |
| 647 | — | Bank of America Calaveras County, CA GO Ref. Bonds | — | $50K | -$50K | 1 | — |
| 648 | LRCX | Bank of America Lam Research Corporation - Common Stock | — | $50K | -$50K | 1 | — |
| 649 | AME | U.S. Trust Holdings AMETEK, Inc. | — | $50K | -$50K | 1 | — |
| 650 | CRI | U.S. Trust Holdings Carter's, Inc. | — | $50K | -$50K | 1 | — |
| 651 | ATHN | First Republic Securities Company LLC Filing Id #20011260 athenahealth, Inc. | — | $50K | -$50K | 1 | — |
| 652 | — | First Republic Securities Company LLC LONG BEACH Ca HBR REV | — | $50K | -$50K | 1 | — |
| 653 | BSX | Bank of America Boston Scientific Corporation Common Stock | $45K | $105K | -$60K | 10 | — |
| 654 | CMCSA | Bank of America Comcast Corporation - Class A Common Stock | $15K | $75K | -$60K | 6 | — |
| 655 | INSM | Insmed Incorporated - Common Stock | — | $60K | -$60K | 4 | — |
| 656 | AMAT | U.S. Trust Holdings Applied Materials, Inc. | — | $60K | -$60K | 4 | — |
| 657 | PCTY | U.S. Trust Holdings Paylocity Holding Corporation | — | $60K | -$60K | 4 | — |
| 658 | XLNX | Xilinx, Inc. | $15K | $75K | -$60K | 6 | — |
| 659 | CTLT | U.S. Trust Holdings Catalent, Inc. | $45K | $105K | -$60K | 10 | — |
| 660 | IT | U.S. Trust Holdings Gartner, Inc. | $15K | $75K | -$60K | 6 | — |
| 661 | NOW | ServiceNow, Inc. Common Stock | $45K | $110K | -$65K | 8 | — |
| 662 | WAB | Bank of America Westinghouse Air Brake Technologies Corporation Common Stock | — | $65K | -$65K | 2 | — |
| 663 | CSL | U.S. Trust Holdings Filing Id #20017157 Carlisle Companies Incorporated | — | $65K | -$65K | 2 | — |
| 664 | CGNX | U.S. Trust Holdings Cognex Corporation | $15K | $80K | -$65K | 4 | — |
| 665 | FTV | Bank of America Fortive Corporation Common Stock | $15K | $95K | -$80K | 5 | — |
| 666 | GDDY | Bank of America GoDaddy Inc. Class A Common Stock | $250K | $335K | -$85K | 24 | — |
| 667 | MSCI | U.S. Trust Holdings MSCI Inc | — | $90K | -$90K | 6 | — |
| 668 | TEAM | U.S. Trust Holdings atlassian Corporation Plc - Class a ordinary Shares | $15K | $105K | -$90K | 8 | — |
| 669 | EPAM | U.S. Trust Holdings EPAM Systems, Inc. | — | $95K | -$95K | 4 | — |
| 670 | — | Bank of America Wiseburn, CA, Unified School District GO Ref. A Bonds | — | $100K | -$100K | 1 | — |
| 671 | — | Bank of America Cajon Valley, CA, Unified School District GO Bonds | — | $100K | -$100K | 1 | — |
| 672 | — | Bank of America Healdsburg, CA Unified School Dist. GO Bonds | — | $100K | -$100K | 1 | — |
| 673 | — | Bank of America Oakland, CA GO Bonds | — | $100K | -$100K | 1 | — |
| 674 | RAL | Bank of America Ralliant Corporation Common Stock | — | $100K | -$100K | 2 | — |
| 675 | — | Alameda County, CA Water District Financing Authority Bonds | — | $100K | -$100K | 1 | — |
| 676 | — | Bank of America San Diego, CA Unified School District GO Bonds | — | $100K | -$100K | 1 | — |
| 677 | DNKN | U.S. Trust Holdings dunkin' brands Group, Inc. | — | $100K | -$100K | 1 | — |
| 678 | SCHW | U.S. Trust Holdings Filing Id #20012735 Charles Schwab Corporation | — | $100K | -$100K | 1 | — |
| 679 | ALXN | U.S. Trust Holdings Alexion Pharmaceuticals, Inc. | $75K | $180K | -$105K | 9 | — |
| 680 | HUBS | U.S. Trust Holdings HubSpot, Inc. | — | $105K | -$105K | 7 | — |
| 681 | IQV | U.S. Trust Holdings IQVIA Holdings, Inc. | — | $110K | -$110K | 5 | — |
| 682 | MELI | Bank of America MercadoLibre, Inc. - Common Stock | $30K | $145K | -$115K | 7 | — |
| 683 | VRTX | U.S. Trust Holdings Vertex Pharmaceuticals Incorporated | — | $115K | -$115K | 3 | — |
| 684 | DOX | Bank of America Amdocs Limited - Ordinary Shares | — | $155K | -$155K | 8 | — |
| 685 | — | Bank of America Fountain Valley, CA Public Financing Authority Bonds | — | $250K | -$250K | 1 | — |
| 686 | — | Bank of America San Diego, CA, Cmnty. College Dist. GO Bonds | — | $250K | -$250K | 1 | — |
| 687 | — | Bank of America Perris, CA Union High School District GO Ref. Bonds | — | $250K | -$250K | 1 | — |
| 688 | — | Bank of America San Jacinto CA Uni. School Dist. GO Bonds | — | $250K | -$250K | 1 | — |
| 689 | — | Bank of America Selma, CA, Unified School District Bonds | — | $250K | -$250K | 1 | — |
| 690 | — | Bank of America Moreno Valley, CA, USD Bonds | — | $250K | -$250K | 1 | — |
| 691 | — | U.S. Trust Holdings California department of Water Resources | — | $250K | -$250K | 1 | — |
| 692 | — | Portola Valley, CA Sch. Dist. Go Bonds | — | $500K | -$500K | 1 | — |
| 693 | — | Bank of America California State Public Works Board Lease Rev. Bonds | — | $500K | -$500K | 1 | — |
| 694 | — | Bank of America Chula Vista, CA Elementary School Bonds | — | $500K | -$500K | 1 | — |
| 695 | — | Bank of America Eastern Municipal Water District Financing Authority, CA, Water & Wastewater Revenue Bonds | — | $500K | -$500K | 1 | — |
| 696 | — | Bank of America Gilroy, CA, Unified School District GO Bonds | — | $500K | -$500K | 1 | — |
| 697 | — | Bank of America Los Angeles County, CA, Met. Transportation Authority Bonds | — | $500K | -$500K | 1 | — |
| 698 | — | Bank of America Santa Clara County, CA, Financing Authority Bonds | — | $500K | -$500K | 1 | — |
| 699 | — | Bank of America Southwestern Community College Dist. CA, Bonds | — | $500K | -$500K | 1 | — |
| 700 | — | Bank of America Puente Basin Water Agency CA Bonds | — | $500K | -$500K | 1 | — |
| 701 | — | Bank of America U.S. Treasury Bills | — | $500K | -$500K | 1 | — |
| 702 | — | U.S. Trust Holdings SAN JOAQUIN CNTY CA TRANSN AUTH SALES TAX | — | $500K | -$500K | 1 | — |
| 703 | — | Raymond James - Multi-Margin Related account a LOS ANGELES Ca HaRboR DEPT | — | $500K | -$500K | 1 | — |
| 704 | — | U.S. Trust Holdings SANTA CLARA Ca UNIFIED SCHOOL DISTRICT | — | $500K | -$500K | 1 | — |
| 705 | — | U.S. Trust Holdings SCHERTZ CIboLo UNIVERSAL CITY TX | — | $500K | -$500K | 1 | — |
| 706 | — | Wells Fargo Advisors Bay Area Toll Authority, CA, Toll Bridge Revenue Bonds | — | $1.0M | -$1.0M | 1 | — |
| 707 | — | Bank of America California State GO Bonds | — | $1.0M | -$1.0M | 1 | — |
| 708 | — | LONG BEACH Ca HBR REV | — | $1.0M | -$1.0M | 1 | — |
| 709 | — | Raymond James - Multi-Margin Related account a LOS ANGELES CNTY Ca MET TRaNSPoRTaTIoN AUTHORITY | — | $1.0M | -$1.0M | 1 | — |