Raymond lam partner

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China Clamps Down on Coronavirus Coverage as Cases Surge

2020.02.06 01:59 Kujo17 China Clamps Down on Coronavirus Coverage as Cases Surge

[ ***All** emphasis in this article is my own ] - Kujo 
from link
By Raymond Zhong
Feb. 5, 2020 Updated 7:27 p.m. ET
SHANGHAI — As the number of coronavirus infections in China continues to surge without any sign of slowing down, the Communist government has clamped down on the news media and the internet, signaling an effort to control the narrative about a crisis that has become a once-in-a-generation challenge for leaders in Beijing.
Chinese health officials said Thursday that 563 people had died from the virus, up from 490 people the day before, and that there were 28,018 confirmed cases of infection. Thousands more cases are being reported every day, and many Chinese fear that the virus’s spread is not being adequately controlled.
With frustrations running high across the country, China’s leaders appear to be strengthening information controls after a brief spell in which news organizations were able to report thoroughly on the crisis, and many negative comments about the official response .

In recent days, both state-run news media and more commercially minded outlets have been told to focus on positive stories about virus relief efforts, according to three people at Chinese news organizations who spoke on the condition of anonymity to discuss internal directives. Internet platforms have removed a range of articles that suggest shortcomings in the Chinese government’s response or are otherwise negative about the outbreak.

l officials have also cracked down on what they call online “rumors” about the virus. China’s public security ministry this week lauded such efforts, **which have continued even after one person who was reprimanded for spreading rumors turned out to be a doctor sounding the alarm about early cases of the illness.*
The Chinese government has shifted its strategy for information control in response to the changing nature of the public’s discontent, said King-wa Fu, an associate professor at the Journalism and Media Studies Center at the University of Hong Kong. In the early days of the crisis, online vitriol had largely been directed at the local authorities. Now, more of the anger is being aimed at higher-level leadership, and there seems to be more of it over all, he said.
A worker walking among beds in a convention center that has been converted into a temporary hospital in Wuhan, China, on Tuesday.Credit...Getty Images
Late last month, for instance, after The New England Journal of Medicine published a research paper about early cases of the virus, Chinese web users pounced on the fact that several of the authors worked for the Chinese Center for Disease Control and Prevention, saying they should have been informing the public, not furthering their research careers.

“I’m so mad that I’m speechless,” wrote another

The researchers later said that all their information about the infections had already been made public before the paper was written.
At this point, Professor Fu said, more censorship “wouldn’t stop the public frustration.” The rapidly rising number of infections and deaths from the new virus has put renewed pressure on the senior leadership in China. Hospitals near the center of the epidemic have been overwhelmed, and people with flulike symptoms have been turned away. Many cases have not been diagnosed because of a shortage of testing kits.
Still, the number of people in China who are recovering is rising, as well. And on Wednesday, a senior Chinese health expert attributed the large rise in the number of confirmed cases to the fact that hospitals had been able to diagnose the virus more quickly. The number of suspected cases has dropped for the same reason, the expert, Li Xingwang, said at an official news briefing. The new curbs on information appeared to have been set in motion earlier this week, when Mr. Xi and other senior officials said at a meeting that they would “strengthen control over online media” as one of several measures to maintain social stability.
The leaders said that the government’s propaganda efforts should focus on “vividly conveying the stirring achievements from the front lines of epidemic prevention” and “showing the Chinese people’s unity and spirit of pulling together in difficult times,” according to Xinhua, the official news agency.

After the meeting, a top official at China’s central propaganda department told the state broadcaster CCTV that his department had dispatched more than 300 journalists to the epidemic’s front lines in Wuhan and its surrounding province, Hubei. The official, Zhang Xiaoguo, said the department would make publicizing the government’s prevention-and-control campaign its “highest priority.”

It was unclear whether the 300 journalists included those who were already reporting in Hubei, or whether they would be new arrivals. It was also unclear what news organizations they would represent. The propaganda department did not respond to a fax requesting comment. The effort has been met with some sarcasm on social media.
“Positive energy is coming at last,” one user wrote on Weibo, using the Chinese government’s term for the kind of boosterish, uncritical tone it prefers to see in news coverage. The post was liked more than 27,000 times. But all the comments below the post were eventually deleted, and new comments have been forbidden.

Employees at Chinese news organizations this week described a mandatory change of tone in their stories and fresh orders to hew to the official line.

Journalists at the Xinhua news agency, for example, have been told to keep their coverage of the virus positive, according to internal instructions seen by The New York Times. *They were ordered not to continue mentioning the fact that the World Health Organization had declared a global health emergency and *not to cover every infection discovered overseas. *** “Only cover what needs to be covered,” the instructions said.**

Across the rest of China’s news landscape, articles on a broad range of themes have been blocked or deleted online in recent days.They include a report in the financial newsmagazine Caijing about deaths in Wuhan that might not have been counted in the official tally; a firsthand account of a funeral home in Wuhan; and even an interview with the head of a popular restaurant chain who said that he might be out of cash in a few months if the virus were not contained.

Beijing is moving to tighten up its management of the epidemic as governments worldwide continue cutting themselves off from China to stop coronavirus cases from being imported.
Hong Kong, a semiautonomous Chinese territory, said on Wednesday that it would begin requiring all people who arrive from mainland China to undergo a mandatory 14-day quarantine. Hong Kong has 21 confirmed cases of the coronavirus, including three that were transmitted locally.
Carrie Lam, the city’s top official, has resisted demands from some lawmakers and medical workers to close the border completely, calling it discriminatory and not in line with W.H.O. guidelines. But she has enacted a series of measures, including closing all but three border crossings, that have resulted in a sharp drop in entries from the mainland. The United States and other countries have also imposed entry restrictions on visitors from China. Such measures have thrown the global travel industry into disarray.
Foreign Minister Luigi Di Maio of Italy said in an interview with The Associated Press that Italy’s flight ban on commercial flights to and from China, put into place on Jan. 30, could ease soon now that thermal scanners are being installed at airports throughout Italy and taking the temperatures of arriving passengers from all foreign flights. Cathay Pacific, the Hong Kong-based international airline, has asked its 27,000 employees to take three weeks of unpaid leave. The carrier has already cut nearly all flights to and from mainland China and has said it would pare back flights across its network as it faces its biggest emergency since the depths of the financial crisis in 2009. Nine passengers and one crew member on a cruise ship carrying 2,666 passengers and 1,045 crew members and quarantined in Yokohama, Japan, have tested positive for the coronavirus, the cruise line, Princess Cruises, said on Wednesday. The ship arrived in Yokohama on Tuesday, but the authorities did not allow anyone off. An 80-year-old Hong Kong resident who had disembarked earlier in his home city was found to be infected.
Wednesday, hundreds of Americans who had been in Wuhan as the outbreak worsened arrived in California on two evacuation flights arranged by the United States government. The 12th case of the coronavirus in the United States was confirmed on Wednesday.
Amid all the gloom, scientists in China provided a glimmer of hope this week. Chinese researchers reported preliminary success with a new approach for treating the coronavirus. The researchers combined Arbidol, an antiviral drug used in Russia and China for treating influenza, with Darunavir, the anti-H.I.V. drug, for treating patients with the coronavirus, according to Changjiang News, a state-backed newspaper in Wuhan. The researchers did not say how many patients had been treated with the combination therapy, and it could be too soon to assess its effectiveness. The findings have not been reviewed by outside experts.
Reporting was contributed by Austin Ramzy, Elaine Yu and Alexandra Stevenson from Hong Kong, and Sui-Lee Wee from Singapore. Wang Yiwei and Amber Wang contributed research.
submitted by Kujo17 to cvnews [link] [comments]

2018.09.03 19:08 badpauly Significant Activist Hedge Fund Activity (Last 7 Days)

These are the latest Schedule 13D forms filed by activist investors in the last 7 days. Activist investors are investors that make an investment with the intention of influencing management in some way. There is evidence that following activist investors into investments can generate excess returns. Schedule 13G forms, in contrast, are filed by significant investors with no intention of influencing management (such as Index funds).
There is always a lot of interest in insider trades, but what a lot of people probably don't realize is that hedge fund activity is probably more predictive of future returns than insider activity. The reason is that hedge funds (a) have large research budgets, and (b) have a choice where to put their money. In contract, insiders have no choice where to put their money, but only when to time their transactions.

New Filings

This table lists new 13D filings in the last week. A new filing does not necessarily indicate a new position, as investors frequently accumulate in advance before reaching the filing threshold.
Date Form Company Investor Shares Ownership Change
08‑31 13D NXEO / Nexeo Solutions, Inc. Legion Partners Asset Management, LLC 4,737,139 5.04%
08‑31 13D SLTK / Solis Tek Inc. Lien Alan 12,689,594 26.71%
08‑31 13D ANW / Aegean Marine Petroleum Network, Inc. Mercuria Asset Holdings (hong Kong) Ltd 17,458,038 30.0%
08‑31 13D VERI / Veritone, Inc. Acacia Research Corp 4,239,952 21.8%
08‑31 13D MOG.B / Moog Inc., Class B Moog Inc. Supplemental Retirement Plan Trust 8,825,972 21.15%
08‑31 13D SING / Singlepoint, Inc. Lofdahl Eric 237,030,000 17.3%
08‑31 13D OBLN / Obalon Therapeutics, Inc. DOMAIN PARTERS VII L P 5,654,178 24.3% 1.67
08‑31 13D SCPD / Star Century Pandaho Corporation Zhang Wei 12,100,000 23.1%
08‑31 13D NAVG / Navigators Group, Inc. (The) Hartford Financial Services Group Inc/de 6,718,150 22.57%
08‑31 13D HFFG / HF Foods Group Inc. Irrevocable Trust For Raymond Ni 5,591,553 25.0%
08‑31 13D HFFG / HF Foods Group Inc. Lam Wah 1,397,888 6.0%
08‑31 13D HFFG / HF Foods Group Inc. Ni Zhou Min 6,689,896 30.0%
08‑31 13D HFFG / HF Foods Group Inc. Ht Group Holding, L.l.c. 1,897,134 8.6%
08‑30 13D LBCC / Long Blockchain Corp. Court Cavendish Ltd 9,616,045 34.7%
08‑30 13D MOG.B / Moog Inc., Class B MOOG INC. STOCK EMPLOYEE COMPENSATION TRUST 10,617,282 25.45% 54.15
08‑30 13D BEAG / Blue Eagle Lithium, Inc. Ireland Rupert 40,000,000 53.3%
08‑29 13D MCHX / Marchex, Inc. HARBERT MICROCAP PARTNERS FUND, LP 1,917,978 5.2%
08‑29 13D PFSW / PFSweb, Inc. Engine Capital, L.P. 1,075,329 5.6% 12.22
08‑29 13D CSIQ / Canadian Solar Inc. Lion Point Capital, LP 3,548,327 6.0%
08‑29 13D AEEI / American Environmental Energy, Inc. Yu Wenyi 54,612,422 54.0%
08‑28 13D XSPT / XSport Global, Inc. Bosch Devin 3,750,000 4.1%
08‑28 13D XSPT / XSport Global, Inc. Fickle Kevin 3,750,000 4.1%
08‑27 13D CTXR / Citius Pharmaceuticals Inc. Mazur Leonard L 11,074,173 54.2%
08‑27 13D CTXR / Citius Pharmaceuticals Inc. Holubiak Myron Z 2,149,236 12.6%

Amended Filings

This table lists amended filings in the last week, and is useful for monitoring changes in existing investments or when a fund closes a position. I have eliminated all filings with less than a 5% change in ownership.
Date Form Company Investor Shares Ownership Change
08‑31 13D/A WHF / WhiteHorse Finance, Inc. MNAYMNEH SAMI 10,795,638 52.5% -17.84
08‑31 13D/A WHF / WhiteHorse Finance, Inc. TAMER ANTHONY 10,785,839 52.5% -17.84
08‑31 13D/A GCO / Genesco Inc. Legion Partners Asset Management, LLC 865,144 4.34% -13.72
08‑31 13D/A INFU / InfuSystems Holdings, Inc. Shuda Scott 3,419,313 17.35%
08‑31 13D/A ANY / Sphere 3D Corp. CYRUS CAPITAL PARTNERS, L.P. 22,049,401 14.4% -11.11
08‑31 13D/A SMTX / SMTC Corp. Red Oak Partners, LLC 5,598,666 24.3% 29.46
08‑31 13D/A KAMN / Kaman Corp. GAMCO INVESTORS, INC. ET AL 3,074,240 10.98% -6.79
08‑31 13D/A VRAY / ViewRay, Inc. ORBIMED ADVISORS LLC 6,515,891 6.91% -15.53
08‑31 13D/A IOTS / Adesto Technologies Corporation ARCH VENTURE FUND VI LP 2,291,002 7.8% -29.09
08‑31 13D/A SMI / Semiconductor Manufacturing International Corp. Xinxin (hong Kong) Capital Co., Ltd 980,233,304 18.2% 21.33
08‑30 13D/A GGP / General Growth Properties, Inc. BROOKFIELD ASSET MANAGEMENT INC. 0 0.0% -100.00
08‑30 13D/A PGLC / Pershing Gold Corporation Honig Barry C 14,280,390 42.46% 27.16
08‑30 13D/A RNET / RigNet, Inc. KKR Fund Holdings L.P. 4,968,239 25.7%
08‑30 13D/A WMS / Advanced Drainage Systems Inc. Berkshire Partners Holdings LLC 10,513,775 18.5% 15.62
08‑30 13D/A USAC / USA Compression Partners LP USA Compression Holdings, LLC 0 0.0% -100.00
08‑30 13D/A CMG / Chipotle Mexican Grill, Inc. Pershing Square Capital Management, L.P. 2,059,106 7.4% -26.00
08‑30 13D/A RDUS / Radius Health, Inc. MPM BIOVENTURES III-QP L.P. 100,000 0.0% -100.00
08‑30 13D/A RLH / Red Lion Hotels Corp. Columbia Pacific Opportunity Fund, L.P. 1,177,213 4.8% -8.40
08‑29 13D/A NWL / Newell Brands Inc. ICAHN CARL C 38,304,111 8.1%
08‑29 13D/A UPLD / Upland Software, Inc. ESW Capital, LLC 1,803,574 8.4% -37.78
08‑29 13D/A EYES / Second Sight Medical Products, Inc. Williams Gregg 36,837,722 47.77% 5.85
08‑28 13D/A HALO / Halozyme Therapeutics, Inc. KIRK RANDAL J 14,092,771 9.8% -10.91
08‑28 13D/A SUMR / Summer Infant, Inc. Privet Fund LP 1,068,485 5.7% -35.96
08‑28 13D/A H / Hyatt Hotels Corp. Linn Lewis M. 5,434,544 4.9%
08‑28 13D/A BPY / Brookfield Property Partners L.P. BROOKFIELD ASSET MANAGEMENT INC. 507,977,632 63.1% -10.88
08‑28 13D/A ARCI / Appliance Recycling Centers of America, Inc. Isaac Capital Group, LLC 805,169 %
08‑28 13D/A RHE / Regional Health Properties, Inc. Frischer Charles 321,974 11.45% 32.98
08‑28 13D/A CRNX / Crinetics Pharmaceuticals, Inc. PERCEPTIVE ADVISORS LLC 2,587,953 11.2% 13.13
08‑27 13D/A AMRS / Amyris, Inc. DOERR L JOHN 7,419,340 14.0% 31.58
08‑27 13D/A PBSK / Poage Bankshares, Inc. STILWELL JOSEPH 152,895 4.4% -25.42
08‑27 13D/A MEDP / Medpace Holdings, Inc. Cinven Capital Management (V) General Partner Ltd 0 0.0% -100.00
08‑27 13D/A AYX / Alteryx Inc. Insight Venture Partners VIII, L.P. 11,594,099 27.1% -5.90
08‑27 13D/A USAC / USA Compression Partners LP Argonaut Private Equity, L.L.C. 1,957,678 2.18% -72.41
08‑27 13D/A MDGS / Medigus Ltd. L.i.a. Pure Capital Ltd 5,647,920 8.8% 22.22
08‑27 13D/A TCI / Transcontinental Realty Investors, Inc. American Realty Investors Inc 7,375,402 84.6%
08‑27 13D/A CBPO / China Biologic Products, Inc. Pw Medtech Group Ltd 5,521,000 14.8% -11.38
08‑27 13D/A CBPO / China Biologic Products, Inc. CITIC Capital Holdings Ltd 2,680,863 6.82% 33.73
Source: Fintel.io/activists
submitted by badpauly to StockMarket [link] [comments]

2018.06.01 00:08 4a4a2 Complete list of all 1,217 stock holdings worth $1 Million or more.

*edit - thank you for the reddit gold. I will drink a beer to commemorate the happy occasion.
This is a simplified but expanded version of a table I posted as a comment in the main thread yesterday.
I had to limit it to no decimals or ticker symbols based on Reddit's max of 40,000 characters. So everything is rounded to the nearest million. Nothing below $1M (an additional 418 companies) is listed.
Stock Amt
Apple, Inc. $1005M
Alphabet Inc. $787M
Microsoft Corp. $782M
Intel Corp. $594M
Express Scripts Holding Co. $589M
Johnson & Johnson $560M
Facebook, Inc. $463M
Mednax, Inc. $462M
Amazon.com, Inc. $454M
Celgene Corp. $452M
Snap-On Inc. $405M
Marriott International, Inc. $386M
Wells Fargo & Co. $353M
Visa, Inc. $352M
Enterprise Products Partners L.P. $343M
The Walt Disney Co. $343M
Stryker Corp. $326M
Wal-Mart Stores, Inc. $325M
JPMorgan Chase & Co. $312M
Bank of New York Mellon Corp. (The) $311M
Adobe Systems, Inc. $306M
Berkshire Hathaway, Inc. $295M
Chevron Corp. $289M
LKQ Corp. $281M
UnitedHealth Group Inc. $278M
Fastenal Co. $278M
Home Depot, Inc. (The) $259M
Danaher Corp. $255M
Bank of America Corp. $252M
U.S. Bancorp $238M
Applied Materials, Inc. $237M
O'Reilly Automotive, Inc. $229M
Kinder Morgan, Inc. $224M
Abbott Laboratories $221M
Cognizant Technology Solutions Corp. $220M
MasterCard Incorporated $219M
Thermo Fisher Scientific, Inc. $216M
Schlumberger Ltd. $215M
TJX Companies, Inc. (The) $209M
Citigroup, Inc. $209M
Union Pacific Corp. $207M
Intercontinental Exchange, Inc. $201M
CME Group, Inc. $193M
American Tower Corp. (REIT) $191M
Nike, Inc. $190M
NextEra Energy, Inc. $183M
Illinois Tool Works, Inc. $178M
Texas Instruments Inc. $177M
Oracle Corp. $177M
Southern Co. (The) $167M
Prologis, Inc. $167M
Zions Bancorporation $166M
Royal Bank of Canada (Montreal, PQ) $165M
Boeing Company (The) $158M
iShares Core S&P 500 ETF $158M
Xilinx, Inc. $154M
Knight-Swift Transportation $154M
Best Buy Co., Inc. $150M
Ritchie Bros. Auctioneers Inc. $139M
Valero Energy Corp. $137M
First Republic Bank (San Francisco, California) $135M
Southwest Airlines Co. $134M
Praxair, Inc. $132M
Stericycle, Inc. $131M
Intuitive Surgical, Inc. $123M
Henry Schein, Inc. $122M
PayPal Holdings, Inc. $117M
MSC Industrial Direct Co., Inc. $116M
Exxon Mobil Corp. $116M
EXACT Sciences Corp. $114M
Dow Chemical Co. (The) $114M
Suncor Energy Inc. $112M
Aon Plc $111M
Lincoln National Corp. $110M
Alphabet Inc. Class C $109M
Gilead Sciences, Inc. $107M
Humana, Inc. $106M
United Rentals, Inc. $105M
Costco Wholesale Corp. $103M
Robert Half International, Inc $99M
International Flavors & Fragrances, Inc $97M
Cummins, Inc. $95M
Fortive Corporation $95M
NetApp, Inc. $95M
Toronto-Dominion Bank (ON) $92M
United Technologies Corp. $90M
TC Pipelines, LP $88M
World Fuel Services Corporation $88M
Anthem, Inc. $87M
NVIDIA Corp. $85M
Northern Trust Corp. $84M
Regions Financial Corp. $83M
Accenture plc $81M
Ameriprise Financial, Inc. $80M
Air Products & Chemicals, Inc. $80M
Kraft Heinz Company $79M
ConAgra Foods, Inc. $78M
Johnson Controls International plc $78M
Pfizer, Inc. $75M
Affiliated Managers Group, Inc. $74M
HP Inc. $73M
Skyworks Solutions, Inc. $72M
Capital One Financial Corp. $72M
Dorman Products, Inc. $72M
Steel Dynamics, Inc. $70M
Michael Kors Holdings Ltd. $69M
Marathon Petroleum Corp. $67M
Prudential Financial, Inc. $65M
CVS Health Corporation $65M
MarketAxess Holdings, Inc. $64M
SPDR Consumer Discretionary Select Sector ETF $63M
Western Digital Corp. $62M
Healthcare Services Group, Inc. $62M
F5 Networks, Inc. $60M
AT & T, Inc. $59M
Clorox Company (The) $59M
Owens Corning, Inc. $58M
Archer-Daniels-Midland Co. $58M
Tractor Supply Co. $57M
Ross Stores, Inc. $56M
Carnival Corp. $56M
Darden Restaurants, Inc. $55M
Tyson Foods, Inc. $55M
Biogen Inc. $55M
Procter & Gamble Co. (The) $54M
Vertex Pharmaceuticals Inc. $54M
American Electric Power Company, Inc. $54M
Freeport-McMoRan Inc. $53M
Cisco Systems, Inc. $52M
AFLAC, Inc. $52M
Canadian National Railway Co. $51M
Morgan Stanley $50M
Hunt (J.B.) Transport Services, Inc. $50M
Wellcare Health Plans, Inc. $50M
DXC Technology Company $50M
Host Hotels & Resorts, Inc. $50M
Allstate Corp. (The) $50M
Lam Research Corp. $50M
Monro Muffler Brake, Inc. $49M
Hartford Financial Services Group, Inc. (The) $49M
Caterpillar, Inc. $49M
Colgate-Palmolive Co. $48M
Corning, Inc. $47M
Amgen Inc. $47M
Target Corp. $46M
Motorola Solutions, Inc. $46M
Lear Corp. $45M
LyondellBasell Industries NV $44M
Walgreens Boots Alliance, Inc. $44M
DaVita HealthCare Partners Inc. $43M
Dominion Resources, Inc. $43M
SPDR Consumer Staples Select Sector ETF $43M
Thor Industries, Inc. $42M
Smith (A.O.) Corp. $42M
Wyndham Worldwide Corp. $42M
United Continental Holdings, Inc. $40M
Chemours Company (The) $40M
Akamai Technologies, Inc. $39M
Synchrony Financial $39M
Discover Financial Services $38M
PPL Corp. $38M
Duke Energy Corp. (Holding Co.) $38M
Everest RE Group, Ltd. (Holding Co.) $37M
AbbVie Inc. $37M
Goldman Sachs Group, Inc. (The) $37M
Ally Financial Inc. $37M
Lazard Ltd. $36M
Westrock Company $36M
Pinnacle West Capital Corp. $36M
Micron Technology, Inc. $36M
Delta Air Lines, Inc. $35M
Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF $35M
Travelers Companies, Inc. (The) $34M
McDonald's Corp. $34M
Verizon Communications, Inc. $34M
Goldman Sachs ActiveBeta Japan Equity ETF $34M
Quest Diagnostics, Inc. $33M
Legg Mason, Inc. $33M
Goldman Sachs ActiveBeta International Equity ETF $33M
Packaging Corp. of America $33M
SYSCO Corp. $33M
Eastman Chemical Company $33M
Jabil Circuit, Inc. $33M
Cadence Design Systems, Inc. $33M
Ryder System, Inc. $32M
CA, Inc. $32M
Eaton Corporation $32M
Goldman Sachs ActiveBeta Europe Equity ETF $32M
Prosperity Bancshares, Inc. $31M
Assured Guaranty Ltd. $31M
Coherent, Inc. $31M
iShares Core S&P MidCap ETF $31M
eBay, Inc. $31M
E*TRADE Financial, Inc. $31M
Domator Corp. $30M
Vanguard FTSE All-World ex US Small Cap Index Fund ETF $30M
Assurant, Inc. $30M
Kimberly-Clark Corp. $30M
NVR, Inc. $30M
NorthWestern Corp. $29M
Ameren Corp. $29M
EPAM Systems Inc. $29M
General Motors Company $29M
Copa Holdings, S.A. $28M
ManpowerGroup $28M
ON Semiconductor Corporation $28M
ANSYS, Inc. $28M
PNC Financial Services Group, Inc. (The) $28M
Old Republic International Corp. $28M
Consolidated Edison, Inc. $28M
Trinity Industries, Inc. $28M
Centene Corp. $27M
Kroger Co. $27M
Vanguard Small-Cap ETF $27M
HollyFrontier Corp. $27M
Teradata Corp. $26M
Newfield Exploration Company $26M
Old Dominion Freight Line, Inc. $26M
Bemis Co., Inc. $26M
Juniper Networks, Inc. $26M
Royal Caribbean Cruises Ltd. $26M
Fifth Third Bancorp $26M
Cimpress N.V. $26M
Grainger (W.W.), Inc. $25M
Becton Dickinson & Co. $25M
Kohl's Corp. $25M
ARRIS International plc $25M
Duke Realty Corp. $25M
Nu Skin Enterprises, Inc. $25M
Murphy Oil Corp. $24M
WNS Holdings Ltd. $24M
Hormel Foods Corp. $24M
Dollar General Corp. $24M
Bunge Ltd. $24M
PG&E Corp. $24M
American Express Co. $24M
SVB Financial Group $23M
Nordson Corp. $23M
Comcast Corp. $23M
Cigna Corp. $23M
HEICO Corp. $23M
JetBlue Airways Corp. $23M
Xcel Energy, Inc. $22M
Huntington Ingalls Industries, Inc. $22M
Varian Medical Systems, Inc. $22M
Arista Networks, Inc. $22M
Take-Two Interactive Software, Inc. $22M
Harris Corp. $22M
VeriSign, Inc. $22M
Electronic Arts Inc. $22M
Ford Motor Co. $22M
International Business Machines Corp. $21M
American Airlines Group Inc. $21M
Clovis Oncology, Inc. $21M
Macy's, Inc. $21M
Simon Property Group, Inc. $21M
XL Group Ltd. $21M
Mettler Toledo International, Inc. $21M
Graphic Packaging Holding Co. $21M
Cardinal Health, Inc. $20M
CBRE Group, Inc. $20M
Exelon Corp. $20M
People's United Financial, Inc. $20M
HMS Holdings Corp. $20M
Teradyne, Inc. $20M
Alaska Air Group, Inc. $20M
AmerisourceBergen Corp. $20M
Teladoc, Inc. $20M
Discovery Communications, Inc. $20M
QEP Resources, Inc. $19M
National Fuel Gas Co. $19M
Air Methods Corp. $19M
Comerica, Inc. $19M
PACCAR, Inc. $19M
State Street Corp. $19M
Unum Group $19M
Ingersoll-Rand plc $19M
Merck & Co., Inc. $19M
Toll Brothers, Inc. $18M
Sprouts Farmers Market, Inc. $18M
Universal Health Services, Inc. $18M
Spirit Aerosystems Holdings, Inc. $18M
Pilgrim's Pride Corp. $18M
Omnicom Group, Inc. $18M
Teva Pharmaceutical Fin Llc Bond $18M
Welltower Inc. $18M
NCR Corp. $18M
Popular, Inc. $17M
Waste Management, Inc. $17M
Discovery Communications, Inc. $17M
Spirit Airlines, Inc. $17M
Kansas City Southern $17M
Progressive Corp. (The) $17M
The Priceline Group Inc. $17M
HCA Holdings Inc. $17M
Eli Lilly & Co. $17M
Newmont Mining Corp. $17M
Casey's General Stores, Inc. $17M
IAC/InterActiveCorp. $16M
Pegasystems, Inc. $16M
InnerWorkings, Inc. $16M
HCP, Inc. $16M
Allison Transmission Holdings, Inc. $16M
Santander Consumer USA Holdings Inc. $16M
FactSet Research Systems, Inc. $16M
Northrop Grumman Corp. $16M
Raytheon Co. $16M
Carlisle Companies, Inc. $16M
Huntsman Corp. $16M
PulteGroup, Inc. $16M
Equinix, Inc. $15M
Oshkosh Corporation (Holding Company) $15M
Paychex, Inc. $15M
3M Co. $15M
IPG Photonics Corp. $15M
Devon Energy Corp. $15M
Vistra Energy Corp. $15M
QUALCOMM Incorporated $15M
General Electric Co. $15M
HealthEquity, Inc. $15M
Apache Corp. $14M
Leidos Holdings, Inc. $14M
Citizens Financial Group, Inc. $14M
Signet Jewelers Ltd. $14M
SCANA Corp. $14M
Cerner Corp. $14M
Alcoa Corp. $14M
Nielsen Holdings PLC $14M
Honeywell International, Inc. $14M
SunTrust Banks, Inc. $13M
Liberty Interactive Corp. Series A QVC Group $13M
AutoZone, Inc. $13M
Citrix Systems, Inc. $13M
Westlake Chemical Corp. $13M
iShares MSCI EAFE ETF $13M
Drew Industries, Inc. $13M
Edison International $13M
Norfolk Southern Corp. $13M
Celanese Corp. $13M
Inphi Corp. $13M
Hewlett Packard Enterprise Company $13M
Republic Services, Inc. $13M
McGraw Hill Financial, Inc. $13M
Lowe's Companies, Inc. $13M
Littelfuse, Inc. $13M
Proto Labs, Inc. $13M
Vocera Communications, Inc. $13M
Meridian Bioscience, Inc. $12M
Hospitality Properties Trust $12M
Chimera Investment Corp. $12M
bluebird bio, Inc. $12M
Switch Inc $12M
Principal Financial Group, Inc. $12M
General Mills, Inc. $12M
Medtronic plc $12M
Red Hat, Inc. $12M
Palo Alto Networks, Inc. $12M
KLA-Tencor Corp. $12M
Gulfport Energy Corp. $12M
Neogen Corp. $11M
Gap, Inc. (The) $11M
Teleflex, Inc. $11M
Zoetis Inc. $11M
Baxter International, Inc. $11M
KeyCorp $11M
Broadcom Limited $11M
Liberty Interactive Ventures Corp Series A $11M
Michaels Companies Inc. (The) $11M
Franklin Resources, Inc. $11M
Public Storage $11M
Sherwin-Williams Co. (The) $11M
Tyler Technologies, Inc. $11M
Deere & Co. $11M
Athene Holding Ltd $11M
Lamb Weston Holdings, Inc. $11M
Vanguard FTSE All-World ex-US ETF $11M
Regal-Beloit Corp. $11M
Torchmark Corp. $11M
Automatic Data Processing, Inc. $11M
American Financial Group, Inc. (Holding Co.) $11M
Reinsurance Group of America, Inc. $11M
Cabot Corp. $11M
AvalonBay Communities, Inc. $11M
Costar Group, Inc. $11M
Amdocs Ltd. $10M
Leucadia National Corp. $10M
Lockheed Martin Corp. $10M
Church & Dwight Co., Inc. $10M
McKesson Corp. $10M
GameStop Corp. $10M
Berry Plastics Group, Inc. $10M
Prospect Capital Corp. 4.75% Bond due 2020-04-15 $10M
LifePoint Health, Inc. $10M
Bed Bath & Beyond Inc. $10M
Trex Co., Inc. $10M
Phillips 66 $10M
Bristol-Myers Squibb Co. $10M
CSX Corp. $10M
Symantec Corp. $10M
Norwegian Cruise Line Holdings Ltd $10M
SPDR S&P Regional Banking ETF $9M
East West Bancorp, Inc. $9M
Barnes Group, Inc. $9M
Laboratory Corp. of America Holdings $9M
Foot Locker, Inc. $9M
Quanta Services, Inc. $9M
Baker Hughes, a GE company $9M
Hd Supply Inc. $9M
JELD-WEN Holding, Inc. $9M
Entergy Corp. $9M
Amphenol Corp. $9M
CoreCivic Inc $9M
FLIR Systems, Inc. $9M
First Trust Senior Loan Fund ETF $9M
Fidelity National Information Services, Inc. $9M
Equity Lifestyles Properties, Inc. $9M
ASML Holding N.V. (ADR) $9M
Sonoco Products Co. $9M
Microchip Technology Inc. $9M
Cintas Corp. $9M
Toyota Motor Corp. $8M
Crown Holdings, Inc. $8M
Hawaiian Electric Industries, Inc. $8M
Zebra Technologies Corp. $8M
Envestnet, Inc. $8M
Antero Resources Corporation $8M
PVH Corp. $8M
Pinnacle Foods, Inc. $8M
Dick's Sporting Goods, Inc. $8M
AXIS Capital Holdings Ltd. $8M
Proofpoint, Inc. $8M
M & T Bank Corp. $8M
Jones Lang LaSalle Inc. $8M
United Parcel Service, Inc. $8M
CVB Financial Corp. $8M
Carriage Services, Inc. $8M
Avery Dennison Corp. $8M
Tahoe Resources Inc. $8M
Salesforce.com, Inc. $8M
McCormick & Co., Inc. $8M
Total System Services, Inc. $8M
Block (H.&R.), Inc. $8M
Auris Medical Holding AG $8M
Visteon Corp. $8M
Mondelez International, Inc. $7M
Parker-Hannifin Corp. $7M
FMC Corp. $7M
Kirby Corp. $7M
Cabot Oil & Gas Corp. $7M
EOG Resources, Inc. $7M
Hill-Rom Holdings, Inc. $7M
CMS Energy Corp. $7M
BlackRock, Inc. $7M
ConocoPhillips $7M
Schwab Charles Corp $7M
D.R. Horton, Inc. $7M
Chubb Ltd $7M
First Data Corporation $7M
FedEx Corp. $7M
Westamerica Bancorporation $7M
Raymond James Financial, Inc. $7M
Micro Focus International plc $7M
Echo Global Logistics, Inc. $7M
Allergan plc $7M
Patrick Industries, Inc. $7M
Staar Surgical Co. $7M
Jacobs Engineering Group, Inc. $7M
Oceaneering International, Inc. $7M
American Water Works Co., Inc. $7M
Burlington Stores, Inc. $7M
L-3 Communications Holdings, Inc. $7M
General Dynamics Corp. $7M
CBS Corp. $7M
Veeva Systems Inc. $7M
Rockwell Automation, Inc. $7M
Toro Company (The) $7M
Unilever N.V. $7M
Cullen/Frost Bankers, Inc. $7M
Fiserv, Inc. $7M
Realogy Holdings Corp. $7M
American Campus Communities, Inc. $7M
Estee Lauder Companies, Inc. (THE) $6M
Core Laboratories N.V. $6M
Ventas, Inc. $6M
Occidental Petroleum Corp. $6M
SLM Corp. (Sallie Mae) $6M
SBA Communications Corp. $6M
LPL Financial Holdings Inc. $6M
MSCI, Inc. $6M
Halliburton Co. (Holding Company) $6M
Cincinnati Financial Corp. $6M
Sony Corp. $6M
PowerShares International Corporate Bond Portfolio $6M
AAON, Inc. $6M
Sanfilippo (JOHN B) & Son, Inc. $6M
Extended Stay America, Inc. $6M
Marsh & McLennan Companies, Inc. $6M
Fidelity National Financial, Inc. $6M
Netflix, Inc. $6M
Boston Scientific Corp. $6M
Cooper Companies, Inc. (The) $6M
Q2 Holdings, Inc. $6M
Generac Holding Inc. $6M
Pioneer Natural Resources Co. $6M
Polaris Industries, Inc $6M
iShares iBoxx $ Investment Grade Corporate Bond ETF $6M
Emerson Electric Co. $6M
Intuit Inc. $6M
Abaxis, Inc. $6M
Power Integrations, Inc. $6M
CyrusOne Inc. $6M
Charles River Laboratories International, Inc. $6M
Expeditors International of Washington, Inc. $6M
MetLife, Inc. $6M
Hasbro, Inc. $6M
Textron, Inc. $6M
American International Group, Inc. $6M
United Therapeutics Corp. $6M
Zimmer Biomet Holdings, Inc $6M
Patterson Companies, Inc. $6M
Goodyear Tire & Rubber Co. (The) $5M
Nucor Corp. $5M
Ecolab, Inc. $5M
Hershey Company (The) $5M
Align Technology, Inc. $5M
Liquidity Services, Inc. $5M
Broadridge Financial Solutions, Inc. $5M
BHP Billiton Ltd. $5M
Regeneron Pharmaceuticals, Inc. $5M
BB&T Corp. $5M
Mitsubishi UFJ Financial Group, Inc. $5M
Cognex Corp. $5M
NextEra Energy Partners LP $5M
Coresite Realty Corp $5M
Whirlpool Corp. $5M
Novartis AG $5M
Cable One Inc. $5M
Waters Corp. $5M
South Jersey Industries, Inc. $5M
Kellogg Co. $5M
Financial Engines, Inc. $5M
Trimble Navigation Ltd. $5M
Analog Devices, Inc. $5M
Keysight Technologies Inc. $5M
Atmos Energy Corp. $5M
Alliant Energy Corp. $5M
IDEX Corp. $5M
Activision Blizzard, Inc. $5M
Buckeye Partners, L.P. $5M
Eversource Energy $5M
Gardner Denver Holdings, Inc. $5M
Honda Motor Co., Ltd. $5M
Vectren Corp. $5M
PPG Industries, Inc. $5M
PacWest Bancorp $5M
CenturyLink, Inc. $5M
Teledyne Technologies Inc. $5M
BlackLine, Inc. $5M
Copart, Inc. $5M
Bofi Holding, Inc. $5M
Yum! Brands, Inc. $5M
Nektar Therapeutics $5M
Alibaba Group Holding Limited $5M
Crown Castle International Corp. $5M
CDK Global, Inc. $5M
IDEXX Laboratories, Inc. $5M
Alleghany Corp. $5M
Park Hotels & Resorts Inc. $5M
SEI Investments Co. $5M
Equity Residential $5M
ABB Ltd. $5M
Martin Marietta Materials, Inc. $5M
BorgWarner, Inc. $5M
Gentex Corp. $5M
EQT Midstream Partners LP $5M
Urban Outfitters, Inc. $5M
Henry (JACK) & Associates, Inc. $5M
Masco Corp. $5M
Tallgrass Energy Partners, LP $5M
News Corp $5M
Boston Properties, Inc. $5M
Dominos Pizza Inc. $5M
Dollar Tree, Inc. $5M
TEGNA Inc. $5M
First American Financial Corp. (The) $5M
Market Vectors International High Yield Bond ETF $4M
TE Connectivity Ltd. $4M
Anadarko Petroleum Corp. $4M
Illumina, Inc. $4M
Camden Property Trust $4M
US Foods Holding Corp. $4M
UGI Corp. $4M
ICU Medical, Inc. $4M
Virtusa Corp. $4M
QAD, Inc. $4M
Liberty Expedia Holdings, Inc. Series B $4M
ExlService Holdings, Inc. $4M
Newell Brands Inc. $4M
Graco Inc. $4M
Bank of the Ozarks, Inc. $4M
Realty Income Corp. $4M
Essex Property Trust, Inc. $4M
Charter Communications, Inc. $4M
WEC Energy Group, Inc. $4M
Arrow Electronics, Inc. $4M
Sumitomo Mitsui Financial Group Inc. $4M
International Paper Company $4M
Alexion Pharmaceuticals, Inc. $4M
Roper Technologies, Inc. $4M
Murphy USA Inc. $4M
Monolithic Power Systems, Inc. $4M
Westar Energy, Inc. $4M
STERIS Corp. $4M
Albemarle Corp. $4M
Williams Companies, Inc. (The) $4M
Genuine Parts Co. $4M
Vornado Realty Trust $4M
Fortress Transportation and Infrastructure Investors LLC $4M
Mohawk Industries, Inc. $4M
Fresenius Medical Care AG & Co KGaA $4M
Verisk Analytics, Inc. $4M
Stanley Black & Decker, Inc. $4M
Interpublic Group of Companies, Inc. (The) $4M
Education Realty Trust, Inc. $4M
Lennox International, Inc. $4M
Mylan N.V. $4M
Edwards Lifesciences Corp. $4M
Campbell Soup Co. $4M
HSBC Holdings Plc $4M
Signature Bank $4M
Qualys, Inc. $4M
Eagle Materials, Inc. $4M
Aqua America, Inc. $4M
Service Corp. International $4M
DST Systems, Inc. $4M
DTE Energy Co. $4M
Concho Resources, Inc. $4M
SPS Commerce, Inc. $4M
West Pharmaceutical Services, Inc. $4M
Moody's Corp. $4M
Flowers Foods, Inc. $4M
Hubbell Inc $4M
OGE Energy Corp. $4M
RPM International, Inc. $4M
CF Industries Holding, Inc. $4M
Kilroy Realty Corp. $4M
LogMein, Inc. $4M
Weyerhaeuser Co. $4M
Lamar Advertising Co. REIT $4M
Versum Materials, Inc. $4M
Agilent Technologies, Inc. $4M
Berkley (W.R.) Corp. $4M
PTC Inc. $4M
Public Service Enterprise Group, Inc. $4M
Microsemi Corp. $4M
Autodesk, Inc. $4M
New York Community Bancorp, Inc. $4M
Janus Henderson Group plc $4M
Metro One Telecommunications, Inc. $4M
Ametek, Inc. $4M
National Grid Plc $4M
Sempra Energy $4M
Wabtec Corp. $4M
Harley-Davidson, Inc. $4M
ONEOK, Inc. $4M
Vulcan Materials Co. (Holding Co.) $3M
Reliance Steel & Aluminum Co., Inc. $3M
Novo-Nordisk A/S $3M
NICE Systems Ltd. $3M
Navient Corporation $3M
Total S.A. $3M
Brixmor Property Group Inc. $3M
Willis Towers Watson Public Limited Company $3M
Canon, Inc. $3M
Synovus Financial Corp. $3M
Fortinet, Inc. $3M
Helmerich & Payne, Inc. $3M
Eaton Vance Corp. $3M
Price (T.) Rowe Group, Inc. $3M
Equifax, Inc. $3M
V.F. Corp. $3M
National Retail Properties, Inc. $3M
Digital Realty Trust, Inc. $3M
TechnipFMC $3M
Andeavor Corp. $3M
Douglas Emmett, Inc. $3M
Alliance Data Systems Corp. $3M
CSRA Inc. $3M
Aptiv PLC $3M
Yum China Holdings, Inc. $3M
Liberty Property Trust $3M
Marathon Oil Corp. $3M
CNA Financial Corp. $3M
Synopsys, Inc. $3M
Pool Corp. $3M
Fluor Corp. $3M
Ultimate Software Group, Inc. (The) $3M
Donaldson Co., Inc. $3M
Bioverativ Inc. $3M
Brookfield Asset Management, Inc. $3M
Oxford Immunotec Global PLC $3M
Global Payments, Inc. $3M
Terex Corp. $3M
T-Mobile US, Inc. $3M
Sportsman's Warehouse Holdings, Inc. $3M
Westpac Banking Corp. Ltd. $3M
Noble Energy, Inc. $3M
Catalent Inc. $3M
Commerce Bancshares, Inc. $3M
Post Holdings, Inc. $3M
Syngenta AG $3M
National Oilwell Varco, Inc. $3M
Dover Corp. $3M
Curtiss-Wright Corp. $3M
Brown & Brown, Inc. $3M
Ralph Lauren Corp. $3M
Nordstrom, Inc. $3M
Royal Dutch Shell Plc $3M
Expedia, Inc. $3M
Hanesbrands, Inc. $3M
Hologic, Inc. $3M
NxStage Medical, Inc. $3M
Seagate Technology PLC $3M
Transdigm Group, Inc. $3M
United States Steel Corp. $3M
C.H. Robinson Worldwide, Inc. $3M
CIT Group, Inc. (The) $3M
Olin Corp. $3M
Hess Corp. $3M
Invesco Ltd. $3M
DCT Industrial Trust, Inc. $3M
Loews Corp. $3M
Cimarex Energy Co. $3M
Six Flags Entertainment Corp $3M
Sterling Bancorp $3M
Twenty-First Century Fox, Inc. $3M
Lennar Corp. $3M
Highwoods Properties, Inc. $3M
MDU Resources Group, Inc. $3M
Sanofi $3M
Incyte Corp. $3M
CenterPoint Energy, Inc. $3M
Gartner, Inc. $3M
AptarGroup, Inc. $3M
Sun Communities, Inc. $3M
Lincoln Electric Holdings, Inc. $3M
Energen Corp. $3M
WEX Inc. $3M
Coty, Inc. $3M
Live Nation Entertainment, Inc. $3M
Sealed Air Corp. $3M
Viacom, Inc. $3M
Transocean, Inc. $3M
Nasdaq, Inc. $3M
InterContinental Hotels Group Plc $3M
Omega HealthCare Investors, Inc. $3M
WPX Energy, Inc. $3M
EQT Corp. $3M
Blackbaud, Inc. $3M
Prestige Brands Holdings, Inc. $3M
Crane Co. $3M
Carter's, Inc. $3M
Ulta Salon, Cosmetics & Fragrance, Inc. $3M
Mosaic Company (The) (Holding Company) $3M
Huntington Bancshares, Inc. $3M
Extra Space Storage, Inc. $3M
First Solar, Inc. $3M
Federal Realty Investment Trust $3M
Royal Gold, Inc. $3M
Tiffany & Co. $3M
Zayo Group Holdings, Inc. $3M
UDR, Inc. $3M
Alexandria Real Estate Equities, Inc. $3M
Pentair plc. $3M
Mid-America Apartment Communities, Inc. $3M
Ball Corp. $3M
Aetna, Inc. $3M
Acuity Brands, Inc. (Holding Company) $3M
Snyders-Lance, Inc. $3M
RenaissanceRe Holdings Ltd. $3M
CBOE Holdings, Inc. $3M
Valvoline Inc. $3M
FirstEnergy Corp. $3M
MKS Instruments, Inc. $3M
Western Union Co. (The) $3M
Webster Financial Corp. $3M
Hilton Worldwide Holdings Inc. $3M
DISH Network Corp. $3M
UBS Group AG $3M
Bio-Techne Corp $3M
Skechers U.S.A. Inc. $3M
Macerich Company (THE) $3M
Syndax Pharmaceuticals, Inc. $3M
Advanced Micro Devices, Inc. $3M
Bio-Rad Laboratories, Inc. $3M
Gallagher (ARTHUR J.) & Co. $3M
Medical Properties Trust Inc. $3M
Watsco, Inc. $3M
Prudential PLC $3M
Garmin Ltd. $3M
Cinemark Holdings, Inc. $3M
Cypress Semiconductor Corp. $3M
Xerox Corp. $3M
Patterson-UTI Energy, Inc. $3M
L Brands, Inc. $3M
Xylem, Inc. $3M
ResMed Inc. $3M
Qorvo, Inc. $2M
Fortune Brands Home & Security, Inc. $2M
NRG Energy, Inc. $2M
PerkinElmer, Inc. $2M
Pinnacle Financial Partners, Inc. $2M
Chipotle Mexican Grill, Inc. $2M
Advance Auto Parts, Inc. $2M
Brunswick Corp. $2M
Iron Mountain Incorporated. (REIT) $2M
CarMax, Inc. $2M
Leggett & Platt, Inc. $2M
Avnet, Inc. $2M
AES Corp. (The) $2M
First Horizon National Corp. $2M
Umpqua Holdings Corp. $2M
Fair Isaac Corp. $2M
Wintrust Financial Corp. $2M
Owens-Illinois, Inc. $2M
Cracker Barrel Old Country Store, Inc. $2M
EMCOR Group, Inc. $2M
SL Green Realty Corp. $2M
NiSource, Inc. $2M
CDW Corporation $2M
Apartment Investment & Management Co. $2M
Brighthouse Financial, Inc. $2M
Hanover Insurance Group, Inc. (The) $2M
Genesee & Wyoming, Inc. $2M
Regency Centers Corp. $2M
AGCO Corp. $2M
F.N.B. Corp. $2M
Under Armour, Inc., Class C $2M
Energizer Holdings, Inc. $2M
Envision Healthcare Holdings, Inc. $2M
Ingredion, Inc. $2M
Primerica, Inc. $2M
Flowserve Corp. $2M
Senior Housing Properties Trust $2M
Allegion Public Limited $2M
ITT Inc. $2M
Scotts Miracle-Gro Company (The) $2M
TripAdvisor, Inc. $2M
Kimco Realty Corporation $2M
Dana Holding Corp. $2M
Texas Capital Bancshares, Inc. $2M
Chesapeake Energy Corp. $2M
ALLETE, Inc. $2M
Dun & Bradstreet Corp. (THE) $2M
Coach, Inc. $2M
Range Resources Corp. $2M
Under Armour, Inc. $2M
Rollins, Inc. $2M
National Instruments Corp. $2M
Interactive Brokers Group, Inc. $2M
AstraZeneca Plc $2M
ViaSat, Inc. $2M
CNO Financial Group, Inc. $2M
Hancock Holding Co. $2M
ONE Gas, Inc. $2M
Intersect ENT, Inc. $2M
Mattel, Inc. $2M
TCF Financial Corp. $2M
Landstar System, Inc. $2M
Vodafone Group Plc $2M
Sabre Corporation $2M
Sovran Self Storage, Inc. $2M
Williams-Sonoma, Inc. $2M
Chemed Corp. $2M
EPR Properties $2M
Stifel Financial Corp. $2M
Woodward, Inc $2M
Banco Bilbao Vizcaya Argentaria, S.A. $2M
Southwest Gas Corp. $2M
Masimo Corp. $2M
Bank of Hawaii Corp. $2M
Louisiana-Pacific Corp. $2M
CoreLogic, Inc. $2M
Banco Santander S.A. $2M
Rayonier, Inc. (REIT) $2M
Healthcare Realty Trust, Inc. $2M
GlaxoSmithKline plc $2M
Associated Banc-Corp. $2M
Spire Corp. $2M
Amber Road, Inc. $2M
Texas Roadhouse, Inc. $2M
KLX Inc. $2M
PBF Energy, Inc. $2M
Smith & Nephew PLC $2M
Kennametal Inc. $2M
BP Plc $2M
SYNNEX Corp. $2M
PNM Resources, Inc. $2M
TreeHouse Foods, Inc. $2M
Weingarten Realty Investors $2M
Brink's Company (The) $2M
Two Harbors Investment Corp. $2M
j2 Global, Inc $2M
Cousins Properties, Inc. $2M
The Wendy's Company $2M
Medidata Solutions, Inc. $2M
MB Financial, Inc. $2M
First Industrial Realty Trust, Inc. $2M
Chemical Financial Corp. $2M
SPDR Energy Select Sector ETF $2M
Taubman Centers, Inc. $2M
J & J Snack Foods Corp. $2M
Deluxe Corp. $2M
Washington Federal, Inc. $2M
Cantel Medical Corp. $2M
Marriott Vacations Worldwide Corp $2M
Ligand Pharmaceuticals Incorporated $2M
PolyOne Corp. $2M
New Jersey Resources Corp. $2M
Five Below, Inc. $2M
Silicon Laboratories, Inc. $2M
Integrated Device Technology, Inc. $2M
ING Groep N.V. $2M
LivaNova PLC $2M
NewMarket Corp. (Holding Company) $2M
Home BancShares, Inc. $2M
Valmont Industries, Inc. $2M
aTyr Pharma, Inc. $2M
United Bankshares, Inc. $2M
Apple Hospitality REIT, Inc. $2M
Orange $2M
Edgewell Personal Care Company $2M
Interval Leisure Group, Inc. $2M
Old National Bancorp $2M
Jack in the Box, Inc. $2M
Evercore Partners, Inc. $2M
Black Hills Corp. (Holding Co.) $2M
Matador Resources Co. $2M
Glaukos Corp. $2M
Dell Technologies Inc. $2M
Haemonetics Corp. $2M
VMWare, Inc. $2M
Selective Insurance Group, Inc. $2M
Forestar Group Inc $2M
John Bean Technologies Corp. $2M
El Paso Electric Co. $2M
Koninklijke Philips N.V $2M
Molina Healthcare, Inc. $2M
Tech Data Corp. $2M
Federated Investors, Inc. $2M
Globus Medical, Inc. $2M
General Growth Properties, Inc. $2M
Manhattan Associates, Inc. $2M
Dycom Industries, Inc. $2M
Cree, Inc. $2M
Heska Corp. $2M
Moog Inc. $2M
Columbia Banking System, Inc. $2M
First Midwest Bancorp, Inc. $2M
Science Applications International Corp. $2M
Wolverine World Wide, Inc. $2M
CACI International, Inc. $2M
PDC Energy, Inc. $2M
Timken Co. (THE) $2M
AutoNation, Inc. $2M
Cathay General Bancorp $2M
Maillinckrodt plc. $2M
Sabra Healthcare REIT, Inc. $2M
Glacier Bancorp, Inc. $2M
Tupperware Brands Corp. $2M
Darling Ingredients Inc. $2M
Kemper Corporation $2M
JBG SMITH Properties $2M
Lancaster Colony Corp. $2M
Belden, Inc. $2M
OneMain Holdings, Inc. $2M
American Eagle Outfitters, Inc. $2M
Valley National Bancorp $2M
Exponent, Inc. $2M
Sanderson Farms, Inc. $2M
Fulton Financial Corp. $2M
On Assignment, Inc. $2M
EastGroup Properties, Inc. $2M
UMB Financial Corp. $2M
TransUnion $2M
TopBuild Corp. $2M
Integra LifeSciences Holdings Corp. $2M
Telephone and Data Systems, Inc. $2M
LaSalle Hotel Properties $2M
Cirrus Logic, Inc. $2M
NetScout Systems, Inc. $2M
Hillenbrand, Inc. $2M
Lumentum Holdings Inc. $2M
ProAssurance Corp. $2M
Tri Pointe Homes, Inc. $2M
IQVIA Holdings Inc. $2M
Ciena Corp. $2M
Graham Holdings Company $2M
Green Dot Corp. $2M
Trustmark Corp. $2M
NuVasive, Inc. $2M
Wiley (JOHN) & Sons, Inc. $2M
Avis Budget Group, Inc. $2M
KB Home $2M
Rogers Corp. $2M
Tempur Sealy International, Inc. $2M
Telefonica S.A. $2M
Esperion Therapeutics, Inc. $2M
Allscripts Healthcare Solutions Inc. $2M
Ericsson (L.M.) Telephone Co. $2M
Mercury Systems, Inc. $2M
American Equity Investment Life Holding Co. $2M
InterDigital, Inc. $2M
Applied Industrial Technologies, Inc. $2M
Ingevity Corporation $2M
DeVry Education Group Inc. $2M
Corporate Office Properties Trust $2M
Obalon Therapeutics, Inc. $2M
Communications Sales & Leasing, Inc. $2M
Unifirst Corp. $2M
Ollie's Bargain Outlet Holdings, Inc. $2M
Sally Beauty Holdings, Inc. $2M
EnerSys $2M
Southwestern Energy Co. $1M
Urban Edge Properties $1M
Fuller (H.B.) Co. $1M
United Natural Foods, Inc. $1M
Stamps.com, Inc. $1M
Clean Harbors, Inc. $1M
B&G Foods, Inc. $1M
Rio Tinto plc $1M
Vishay Intertechnology, Inc. $1M
Helen of Troy Ltd. $1M
Platform Specialty Products Corp. $1M
Geo Group, Inc. (The) $1M
Community Bank System, Inc. $1M
SkyWest, Inc. $1M
BBCN Bancorp Inc. $1M
United Community Banks, Inc. $1M
Big Lots, Inc. $1M
Adient plc $1M
Minerals Technologies, Inc. $1M
Cheesecake Factory Incorporated (THE) $1M
Tetra Tech, Inc. $1M
Meredith Corp. $1M
First Financial Bankshares, Inc. $1M
Monsanto Co. $1M
Northwest Bancshares, Inc. $1M
Credit Suisse Group $1M
Deckers Outdoor Corp. $1M
International Bancshares Corp. $1M
Acadia Healthcare Company, Inc. $1M
AMC Networks Inc. $1M
Allegheny Technologies, Inc. $1M
Lithia Motors, Inc. $1M
ACI Worldwide, Inc. $1M
Dave & Buster's Entertainment, Inc. $1M
Compass Minerals Group, Inc. $1M
Tanger Factory Outlet Centers, Inc. $1M
LendingTree, Inc. $1M
GATX Corp. $1M
Steven Madden Ltd. $1M
PS Business Parks, Inc. $1M
Balchem Corp. $1M
Lexington Corporate Properties Trust $1M
Commercial Metals Co. $1M
Great Western Bancorp, Inc. $1M
MSA Safety Inc. $1M
Children's Place, Inc. (The) $1M
U.S. Silica Holdings, Inc. $1M
RLI Corp. $1M
ICON plc $1M
Herman Miller, Inc. $1M
Korn/Ferry International $1M
Retail Opportunity Investments Corp. $1M
KBR, Inc. $1M
II-VI Inc. $1M
Atlassian Corporation Plc $1M
Myriad Genetics, Inc. $1M
Carpenter Technology Corp. $1M
Callon Petroleum Co. $1M
Aaron's, Inc. $1M
Simmons First National Corporation $1M
WageWorks Inc. $1M
American States Water Co. (Holding Co.) $1M
Simpson Manufacturing Co., Inc. $1M
Aspen Insurance Holdings, Ltd. $1M
Sanmina Corp. $1M
BancorpSouth, Inc. $1M
Banner Corp. $1M
Magellan Health, Inc. $1M
Advanced Energy Industries, Inc. $1M
Brinker International, Inc. $1M
Acadia Realty Trust $1M
Granite Construction, Inc. $1M
Lloyds Banking Group plc $1M
Itron, Inc. $1M
California Water Service Group $1M
Esterline Technologies Corp. $1M
Cabot Microelectronics Corp. $1M
Progress Software Corp. $1M
Meritage Homes Corp. $1M
Northwest Natural Gas Co. $1M
Diamond Rock Hospitality Co. $1M
Statoil ASA $1M
STMicroelectronics N.V. $1M
Aerojet Rocketdyne Holdings, Inc. $1M
New York Times Co. $1M
Halyard Health, Inc. $1M
Annaly Capital Management, Inc. $1M
Shire Plc. $1M
Silgan Holdings, Inc. $1M
U.S. Physical Therapy, Inc. $1M
Merit Medical Systems, Inc. $1M
Convergys Corp. $1M
AMN Healthcare Services, Inc. $1M
Sotheby's $1M
Plexus Corp. $1M
SPDR Gold Shares $1M
Nomura Holdings, Inc. $1M
Four Corners Property Trust, Inc. $1M
CommVault Systems, Inc. $1M
Semtech Corp. $1M
Watts Water Technologies, Inc. $1M
Mack-Cali Realty Corp. $1M
Inogen, Inc. $1M
ABM Industries Inc. $1M
Acxiom Corp. $1M
Quaker Chemical Corp. $1M
NovoCure Limited $1M
Vonage Holdings Corp. $1M
SM Energy Co $1M
Cara Therapeutics, Inc. $1M
Independent Bank Corp. $1M
Universal Forest Products, Inc. $1M
WD-40 Co. $1M
BGC Partners, Inc. $1M
Emergent Biosolutions, Inc. $1M
Rowan Companies plc $1M
Plantronics, Inc. $1M
Potlatch Holdings, Inc. $1M
Viavi Solutions Inc. $1M
LegacyTexas Financial Group Inc. $1M
Aegon N.V. ADR $1M
Cars.com Inc $1M
Canadian Pacific Railway Ltd. $1M
Synergy Resources Corp. $1M
Anixter International, Inc. $1M
Kaiser Aluminum Corp. $1M
Supernus Pharmaceuticals, Inc. $1M
Callidus Software, Inc. $1M
American Assets Trust Inc $1M
KapStone Paper & Packaging Corp. $1M
ServisFirst Bancshares, Inc. $1M
MercadoLibre, Inc. $1M
LTC Properties, Inc. $1M
Hawaiian Holdings, Inc. $1M
Pitney Bowes, Inc. $1M
Kaman Corp. $1M
iRobot Corp. $1M
Mercury General Corp. $1M
Worthington Industries, Inc. $1M
ENI S.p.A. $1M
SPX Flow, Inc. $1M
VeriFone Systems, Inc $1M
Mueller Industries, Inc. $1M
Insperity, Inc. $1M
Nabors Industries Ltd. $1M
Ameris Bancorp $1M
Government Properties Income Trust $1M
BT Group Plc $1M
EnPro Industries, Inc. $1M
Omnicell, Inc. $1M
HFF, Inc. $1M
Agree Realty Corp. $1M
Brady Corp. $1M
Healthways, Inc. $1M
Cooper-Standard Holdings Inc. $1M
Cogent Communications Holdings, Inc. $1M
Albany International Corp. $1M
M.D.C. Holdings, Inc. $1M
American Woodmark Corp. $1M
McDermott International, Inc. $1M
Dril-Quip, Inc. $1M
Innospec, Inc. $1M
Gildan Activewear, Inc. $1M
Waddell & Reed Financial, Inc. $1M
Shutterfly, Inc. $1M
Papa John's International, Inc. $1M
Horace Mann Educators Corp. $1M
Neenah Paper, Inc. $1M
Allegiant Travel Company $1M
Select Medical Holdings Corp. $1M
Forward Air Corp. $1M
Kite Realty Group Trust $1M
Chesapeake Lodging Trust $1M
Restoration Hardware Holdings, Inc. $1M
Medicines Company $1M
Central Garden & Pet Co. $1M
TiVo Inc. $1M
FTI Consulting, Inc. $1M
Calavo Growers, Inc. $1M
CareTrust REIT, Inc. $1M
Saia, Inc. $1M
submitted by 4a4a2 to exmormon [link] [comments]

2017.01.24 22:00 Robot_of_Sherwood Daily Stock Discussion - 01/25/2017

The /Robinhood Fund

Join the year-long stock picking game today!
Full and current standings can be found in the wiki. A breakdown of stats is over here. Updates show up every hour! Check it out!
Total Investors 106
Initial Investment $1059997.99
Current Value $1092561.40
Change 2.980%

Current Standings

# Investor Value Percent Change
1 opanasinmynose $15139.37 51.39%
2 bruv64 $12562.45 25.62%
3 Clipssu $12418.29 24.18%
4 samsthetics $12259.26 22.59%
5 daglol $12197.08 21.97%
6 jbirdjustin $11717.70 17.18%
7 gnomesaijin $11662.99 16.63%
8 SplitEndsSuck $11408.40 14.08%
9 Bypz $11391.08 13.91%
10 soxrock1369 $11150.10 11.50%

Upcoming Ex-Div Dates

Expected Earnings Reports

Symbol Name EPS Estimate When
ABT Abbott Laboratories 0.65 Before Market Open
ACFC Atlantic Coast Financial Corp 0.09 Time Not Supplied
AF Astoria Financial Corp 0.15 4:45 pm ET
APH Amphenol Corp 0.72 Before Market Open
BA Boeing Co 2.35 Before Market Open
BANR Banner Corp 0.73 After Market Close
BGG Briggs & Stratton Corp 0.28 After Market Close
BKU BankUnited Inc 0.54 Before Market Open
BOKF Bok Financial Corp 0.96 Before Market Open
BRKL Brookline Bancorp Inc 0.19 After Market Close
BWFG Bankwell Financial Group Inc 0.43 Time Not Supplied
BXS BancorpSouth Inc 0.37 After Market Close
CACB Cascade Bancorp 0.08 After Market Close
CATY Cathay General Bancorp 0.6 After Market Close
CCI Crown Castle International Corp 0.27 After Market Close
CFR Cullen/Frost Bankers Inc 1.22 Before Market Open
CHFC Chemical Financial Corp 0.7 After Market Close
CMO Capstead Mortgage Corp 0.2 After Market Close
CNOB ConnectOne Bancorp Inc N/A Time Not Supplied
CPF Central Pacific Financial Corp 0.37 Before Market Open
CSFL CenterState Banks Inc 0.32 After Market Close
CSII Cardiovascular Systems Inc -0.06 After Market Close
CTXS Citrix Systems Inc 1.5 After Market Close
CVLT CommVault Systems Inc 0.26 Before Market Open
CVTI Covenant Transportation Group Inc 0.33 After Market Close
DLB Dolby Laboratories Inc 0.39 After Market Close
DRE Duke Realty Corp 0.07 After Market Close
DWCH Datawatch Corp -0.08 4:00 pm ET
EAT Brinker International Inc 0.74 Before Market Open
EBAY eBay Inc 0.54 After Market Close
EFII Electronics For Imaging Inc 0.73 After Market Close
EGHT 8x8 Inc 0.04 After Market Close
ESBK Elmira Savings Bank N/A Time Not Supplied
ESSA ESSA Bancorp Inc 0.17 Time Not Supplied
ETH Ethan Allen Interiors Inc 0.38 After Market Close
EWBC East West Bancorp Inc 0.71 After Market Close
FBNK First Connecticut Bancorp Inc 0.25 After Market Close
FCB FCB Financial Holdings Inc 0.61 After Market Close
FCF First Commonwealth Financial Corp 0.17 07:00 am ET
FCX Freeport-McMoRan Inc 0.33 Before Market Open
FFIV F5 Networks Inc 1.94 4:00 pm ET
FMNB Farmers National Banc Corp 0.2 Time Not Supplied
FSBK First South Bancorp Inc N/A Time Not Supplied
FTK Flotek Industries Inc -0.04 After Market Close
GBNK Guaranty Bancorp 0.32 Time Not Supplied
GWW W W Grainger Inc 2.36 Before Market Open
HBAN Huntington Bancshares Inc 0.22 Before Market Open
HES Hess Corp -1.1 Before Market Open
HMNF HMN Financial Inc N/A Time Not Supplied
HXL Hexcel Corp 0.63 After Market Close
IBTX Independent Bank Group Inc 0.8 5:00 pm ET
INVN InvenSense Inc 0.02 After Market Close
ITW Illinois Tool Works Inc 1.37 08:00 am ET
KNX Knight Transportation Inc 0.3 After Market Close
LKFN Lakeland Financial Corp 0.52 08:00 am ET
LOB Live Oak Bancshares Inc 0.13 After Market Close
LRCX Lam Research Corp 2.19 After Market Close
LUB Luby's Inc N/A After Market Close
LVS Las Vegas Sands Corp 0.66 After Market Close
MCK McKesson Corp 2.92 After Market Close
MDP Meredith Corp 1.2 Before Market Open
MGCD MGC Diagnostics Corp N/A After Market Close
MKC McCormick & Company Inc 1.27 Before Market Open
MKTX MarketAxess Holdings Inc 0.84 Before Market Open
MLVF Malvern Bancorp Inc 0.18 Before Market Open
MPX Marine Products Corp 0.16 Before Market Open
MSTR MicroStrategy Inc 2.5 After Market Close
MUR Murphy Oil Corp -0.15 After Market Close
NAP Navios Maritime Midstream Partners LP 0.31 Time Not Supplied
NFBK Northfield Bancorp Inc 0.16 Time Not Supplied
NOW ServiceNow Inc 0.23 After Market Close
NSC Norfolk Southern Corp 1.36 08:00 am ET
NVR NVR Inc 33.09 Before Market Open
NYCB New York Community Bancorp Inc 0.26 Before Market Open
OIIM O2Micro International Ltd -0.03 Before Market Open
OSBC Old Second Bancorp Inc 0.15 After Market Close
OSIS OSI Systems Inc 0.61 After Market Close
PB Prosperity Bancshares Inc 0.98 Before Market Open
PBIB Porter Bancorp Inc N/A Time Not Supplied
PFBX Peoples Financial Corp N/A Time Not Supplied
PGR Progressive Corp 0.51 Before Market Open
PUB People's Utah Bancorp 0.33 After Market Close
QCOM Qualcomm Inc 1.18 After Market Close
QSII Quality Systems Inc 0.2 After Market Close
QTM Quantum Corp 0.03 After Market Close
RES RPC Inc -0.13 Before Market Open
RJF Raymond James Financial Inc 1.01 After Market Close
RLI RLI Corp 0.45 After Market Close
ROK Rockwell Automation Inc 1.45 Before Market Open
ROL Rollins Inc 0.17 Before Market Open
SBCP Sunshine Bancorp Inc -0.33 Time Not Supplied
SC Santander Consumer USA Holdings Inc 0.3 Before Market Open
SEIC SEI Investments Co 0.51 After Market Close
SIFY Sify Technologies Ltd N/A Before Market Open
SLG SL Green Realty Corp 0.24 After Market Close
SMED Sharps Compliance Corp 0.03 Before Market Open
STT State Street Corp 1.32 Before Market Open
T AT&T Inc 0.66 After Market Close
TCBI Texas Capital Bancshares Inc 0.89 4:00 pm ET
TEL TE Connectivity Ltd 1 Before Market Open
TER Teradyne Inc 0.22 5:00 pm ET
TRCB Two River Bancorp 0.22 Time Not Supplied
TSC TriState Capital Holdings Inc 0.24 After Market Close
TXT Textron Inc 0.87 Before Market Open
UCBI United Community Banks Inc 0.39 Before Market Open
UFI Unifi Inc 0.32 Time Not Supplied
UMPQ Umpqua Holdings Corp 0.28 After Market Close
URI United Rentals Inc 2.24 After Market Close
USAP Universal Stainless & Alloy Products Inc -0.07 Time Not Supplied
UTX United Technologies Corp 1.56 Before Market Open
VAR Varian Medical Systems Inc 1.05 After Market Close
VIVO Meridian Bioscience Inc 0.2 Before Market Open
VLY Valley National Bancorp 0.18 Before Market Open
VRTS Virtus Investment Partners Inc 1.8 Before Market Open
VRTX Vertex Pharmaceuticals Inc 0.29 After Market Close
WASH Washington Trust Bancorp Inc 0.68 After Market Close
WBB Westbury Bancorp Inc N/A Time Not Supplied
WDC Western Digital Corp 2.13 After Market Close
WNEB Western New England Bancorp Inc -0.08 Time Not Supplied

NYSE Events

Standard disclaimer: The content in this thread is for information and illustrative purposes only and should not be regarded as investment advice or as a recommendation of any particular security or course of action. Opinions expressed herein are the opinions of the poster and are subject to change without notice. Reasonable people may disagree about the opinions expressed herein. In the event any of the assumptions used herein do not prove to be true, results are likely to vary substantially. All investments entail risks. There is no guarantee that investment strategies will achieve the desired results under all market conditions and each investor should evaluate their ability to invest for a long term especially during periods of a market downturn. Have a nice day.
submitted by Robot_of_Sherwood to RobinHood [link] [comments]

2011.09.23 18:02 MeddygKeegan Ruan Fangfu. Sex in China: Studies in Sexology in Chinese Culture Plenum Press, 1991.

Poor Jan Fong (Ngan) has a most unusual problem: whenever she becomes sexually excited, an electrical charge is generated, frying her partner. Swearing off men, Jan now uses light bulbs to stimulate herself (but not florescent -- too big). Her new boss, Leo (Jimmy Wong Shu-kei, who has been in almost many Category-IIIers as Elvis Tsui Kam-kong and now bears a distracting resemblance to Raymond Wong Pak-ming), seems to be an ideal match for Jan, much to the delight of the other office secretaries (Teresa Mak Kar-kei, Crystal Cheung Yee-tung, and Grace Lam Nga-sze). Leo claims that he does not believe in inter-office fraternization, though he still goes out of his way to spend as much time with Jan as possible.In an effort to cure her rather unique malady, Jan visits a lecherous MD (Charlie Cho Cha-lei, another actor who has been in far too many of these things) who makes love with her, while dressed head-to-foot in rubber and wearing several condoms. His sai lo gets barbecued but Jan discovers a new ability: during orgasm, she can predict the numbers in the Mark Six lottery draw. Her desire for a stud is even more pressing now but Leo keeps turning her down because he is actually impotent. Desperate, Jan gets a job as a club girl but still cannot find the right man. Of course, he is right under her nose all along and just needs a little "electric therapy."
submitted by MeddygKeegan to LibraryofBabel [link] [comments]

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Raymond Lam - Owner - One-Connect Int'l Pte Ltd LinkedIn

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