Environment=PROD|Report Date=2022-11-01|Record Count=99 Symbol|Issue Name|Issue Type|Currency|Outstanding Shares|Corporate Action Type|Corporate Action ID|Corporate Action Status|Cancellation Reason|Declaration Date|Updated Date|Frequency|Ex-Date|Record Date|Payment Date|Cash Amount|Stock Amount|Rights Exercise Price|Rights Expiration Date|Notes ARCM|Arrow Reserve Capital Management ETF|ETF|USD|n/a|Cash Dividend|12607|Unchanged||2022-10-28|2022-10-28|Monthly|2022-10-31|2022-11-01|2022-11-07|0.1394|||| BBSA|JPMorgan BetaBuilders 1-5 Year U.S. Aggregate Bond ETF |ETF|USD|n/a|Cash Dividend|12654|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.07795|||| CEMB|iShares J.P Morgan EM Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12624|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.148427|||| EAOK|iShares ESG Aware Conservative Allocation ETF|ETF|USD|n/a|Cash Dividend|12682|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-08|0.033994|||| EMHY|iShares J.P. Morgan EM High Yield Bond ETF|ETF|USD|n/a|Cash Dividend|12625|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.203881|||| EMTL|SPDR DoubleLine Emerging Markets Fixed Income ETF|ETF|USD|n/a|Cash Dividend|12665|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.166091|||| EPRF|Innovator S&P Investment Grade Preferred ETF|ETF|USD|n/a|Cash Dividend|12604|Unchanged||2022-10-27|2022-10-27|Monthly|2022-10-28|2022-10-31|2022-11-01|0.09|||| ESCR|Xtrackers Bloomberg US Investment Grade Corporate ESG ETF|ETF|USD|n/a|Cash Dividend|12613|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-08|0.04857|||| ESEB|Xtrackers J.P. Morgan ESG Emerging Markets Sovereign ETF|ETF|USD|n/a|Cash Dividend|12614|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-08|0.06667|||| ESHY|Xtrackers J.P. Morgan ESG USD High Yield Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12615|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-08|0.10476|||| FIBR|iShares U.S. Fixed Income Balanced Risk Factor ETF|ETF|USD|n/a|Cash Dividend|12626|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.278248|||| FLBL|Franklin Senior Loan ETF|ETF|USD|n/a|Cash Dividend|12618|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.12741|||| FLDR|Fidelity Low Duration Bond Factor ETF|ETF|USD|n/a|Cash Dividend|12599|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.14|||| FLHY|Franklin High Yield Corporate ETF |ETF|USD|n/a|Cash Dividend|12619|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.111431|||| FLIA|Franklin International Aggregate Bond ETF|ETF|USD|n/a|Cash Dividend|12620|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.12908|||| FLOT|iShares Floating Rate Bond ETF|ETF|USD|n/a|Cash Dividend|12627|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.171355|||| FLTN|Rareview Inflation/Deflation ETF|ETF|USD|n/a|Cash Dividend|12688|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-04|0.062762|||| FMAG|Fidelity Magellan ETF|ETF|USD|n/a|Cash Dividend|11113|Unchanged||2022-03-17|2022-03-17|Quarterly|2022-03-18|2022-03-21|2022-03-23|0.001|||| FMAG|Fidelity Magellan ETF|ETF|USD|n/a|Cash Dividend|11718|Unchanged||2022-06-16|2022-06-16|Quarterly|2022-06-17|2022-06-21|2022-06-23|0.011000|||| FMAG|Fidelity Magellan ETF|ETF|USD|n/a|Cash Dividend|12271|Unchanged||2022-09-15|2022-09-15|Quarterly|2022-09-16|2022-09-19|2022-09-21|0.013|||| FPFD|Fidelity Preferred Securities & Income ETF|ETF|USD|n/a|Cash Dividend|12600|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.079|||| GEMD|Goldman Sachs Access Emerging Markets USD Bond ETF|ETF|USD|n/a|Cash Dividend|12621|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.17766|||| GHYG|iShares US & Intl High Yield Corp Bond ETF|ETF|USD|n/a|Cash Dividend|12628|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.161863|||| GOVT|iShares U.S. Treasury Bond ETF|ETF|USD|n/a|Cash Dividend|12629|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.049996|||| GOVZ|iShares 25+ Year Treasury STRIPS Bond ETF|ETF|USD|n/a|Cash Dividend|12630|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.039782|||| GSST|Goldman Sachs Access Ultra Short Bond ETF|ETF|USD|n/a|Cash Dividend|12622|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.13227|||| GTIP| Goldman Sachs Access Inflation Protected USD Bond ETF|ETF|USD|n/a|Cash Dividend|12623|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0|||| GVI|iShares Intermediate Government/Credit Bond ETF|ETF|USD|n/a|Cash Dividend|12631|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.17863|||| HCRB|Hartford Core Bond ETF|ETF|USD|n/a|Cash Dividend|12601|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.06871|||| HSRT|Hartford Short Duration ETF|ETF|USD|n/a|Cash Dividend|12602|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.086814|||| HSUN|Hartford Sustainable Income ETF|ETF|USD|n/a|Cash Dividend|12603|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.109511|||| HYBL|SPDR Blackstone High Income ETF|ETF|USD|n/a|Cash Dividend|12666|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.15|||| HYD|VanEck High Yield Muni ETF|ETF|USD|n/a|Cash Dividend|12671|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.1768||||​Tax-Exempt HYDB|iShares High Yield Bond Factor ETF|ETF|USD|n/a|Cash Dividend|12632|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.24348|||| HYGW|iShares High Yield Corporate Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|12683|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-08|0.698495|||| HYHG|ProShares High Yield-Interest Rate Hedged ETF|ETF|USD|n/a|Cash Dividend|12662|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-08|0.287882|||| HYMU|BlackRock High Yield Muni Income Bond ETF|ETF|USD|n/a|Cash Dividend|12633|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.076844|||| IBHB|iShares iBonds 2022 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12634|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.053468|||| IBHC|iShares iBonds 2023 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12635|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.061483|||| IBHD|iShares iBonds 2024 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12636|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.09524|||| IBHE|iShares iBonds 2025 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12637|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.113939|||| IBHF|iShares iBonds 2026 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12638|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.118912|||| IBHG|iShares iBonds 2027 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12639|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.112323|||| IBHH|iShares iBonds 2028 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12640|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.122394|||| IBHI|iShares iBonds 2029 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|12641|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.119228|||| IBML|iShares iBonds Dec 2023 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|12642|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.024097|||| IBMM|iShares iBonds Dec 2024 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|12643|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.028053|||| IBMN|iShares iBonds Dec 2025 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|12644|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.025897|||| IBMO|iShares iBonds Dec 2026 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|12645|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.023083|||| IBMP|iShares iBonds Dec 2027 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|12646|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.034482|||| IBMQ|iShares iBonds Dec 2028 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|12647|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.027018|||| ICSH|BlackRock Ultra Short-Term Bond ETF|ETF|USD|n/a|Cash Dividend|12648|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.119924|||| ICVT|iShares Convertible Bond ETF|ETF|USD|n/a|Cash Dividend|12649|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.11937|||| IGEB|iShares Investment Grade Bond Factor ETF|ETF|USD|n/a|Cash Dividend|12650|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.145813|||| IGHG|ProShares Investment Grade-Interest Rate Hedged|ETF|USD|n/a|Cash Dividend|12663|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-08|0.242952|||| IGLD|FT Cboe Vest Gold Strategy Target Income ETF|ETF|USD|n/a|Cash Dividend|12616|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-03|0.0955|||| ITM|VanEck Intermediate Muni ETF|ETF|USD|n/a|Cash Dividend|12672|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0782||||​Tax-Exempt IYLD|iShares Morningstar Multi-Asset Income ETF|ETF|USD|n/a|Cash Dividend|12684|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-08|0.054833|||| JBBB|Janus Henderson B-BBB CLO ETF|ETF|USD|n/a|Cash Dividend|12661|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.24555|||| JCPB|JPMorgan Core Plus Bond ETF|ETF|USD|n/a|Cash Dividend|12655|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.13285|||| JCPI|JPMorgan Inflation Managed Bond ETF|ETF|USD|n/a|Cash Dividend|12656|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.07157|||| JMST|JPMorgan Ultra-Short Municipal Income ETF|ETF|USD|n/a|Cash Dividend|12657|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.08806|||| JMUB|JPMorgan Municipal ETF|ETF|USD|n/a|Cash Dividend|12658|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.1282|||| JPHY|JPMorgan High Yield Research Enhanced ETF|ETF|USD|n/a|Cash Dividend|12659|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.20092|||| JPIB|JPMorgan International Bond Opportunities ETF|ETF|USD|n/a|Cash Dividend|12660|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.07772|||| LKOR|FlexShares Credit-Scored US Long Corporate Bond Index Fund|ETF|USD|n/a|Cash Dividend|12617|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.174298|||| LQDI|iShares Inflation Hedged Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12685|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-08|0.074020|||| LQDW|iShares Investment Grade Corporate Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|12686|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-08|0.975281|||| MAAX|VanEck Muni Allocation ETF|ETF|USD|n/a|Cash Dividend|12673|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0626||||​Tax-Exempt MBBB|VanEck Moody's Analytics BBB Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12674|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.064|||| MBND|SPDR Nuveen Municipal Bond ETF|ETF|USD|n/a|Cash Dividend|12667|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.048312|||| MBNE|SPDR Nuveen Municipal Bond ESG ETF |ETF|USD|n/a|Cash Dividend|12668|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0628|||| MEAR|BlackRock Short Maturity Municipal Bond ETF|ETF|USD|n/a|Cash Dividend|12651|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.075291|||| MIG|VanEck Moody's Analytics IG Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12675|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0592|||| MLN|VanEck Long Muni ETF|ETF|USD|n/a|Cash Dividend|12676|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0423||||​Tax-Exempt NEAR|BlackRock Short Maturity Bond ETF|ETF|USD|n/a|Cash Dividend|12652|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.132248|||| OBND|SPDR Loomis Sayles Opportunistic Bond ETF|ETF|USD|n/a|Cash Dividend|12669|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.107814|||| OEUR|ALPS - O'Shares Europe Quality Dividend ETF|ETF|USD|n/a|Cash Dividend|12595|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.04261|||| OGIG|ALPS - O'Shares Global Internet Giants ETF|ETF|USD|n/a|Cash Dividend|12596|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0|||| OILK|ProShares K-1 Free Crude Oil Strategy ETF|ETF|USD|n/a|Cash Dividend|12664|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-08|0|||| OUSA|ALPS - O'Shares U.S. Quality Dividend ETF|ETF|USD|n/a|Cash Dividend|12597|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.07042|||| OUSM|ALPS - O'Shares U.S. Small-Cap Quality Dividend ETF|ETF|USD|n/a|Cash Dividend|12598|Unchanged||2022-10-26|2022-10-26|Monthly|2022-10-27|2022-10-28|2022-11-01|0.05404|||| QCON|American Century Quality Convertible Securities ETF|ETF|USD|n/a|Cash Dividend|12610|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.0514|||| QPFF|American Century Quality Preferred ETF|ETF|USD|n/a|Cash Dividend|12611|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.1432|||| RDFI|Rareview Dynamic Fixed Income ETF|ETF|USD|n/a|Cash Dividend|12689|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-04|0.075846|||| RTAI|Rareview Tax Advantaged Income ETF|ETF|USD|n/a|Cash Dividend|12690|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-04|0.068871|||| SHYD|VanEck Short High Yield Muni ETF|ETF|USD|n/a|Cash Dividend|12677|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0529||||​Tax-Exempt SMB|VanEck Short Muni ETF|ETF|USD|n/a|Cash Dividend|12678|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0215||||​Tax-Exempt SMI|VanEck HIP Sustainable Muni ETF|ETF|USD|n/a|Cash Dividend|12679|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0604||||​Tax-Exempt STOT|SPDR DoubleLine Short Duration Total Return Tactical ETF|ETF|USD|n/a|Cash Dividend|12670|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.126032|||| TLTW|iShares 20+ Year Treasury Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|12687|Added||2022-11-01|2022-11-01|Monthly|2022-11-02|2022-11-03|2022-11-08|0.620718|||| TUSI|Touchstone Ultra Short Income ETF|ETF|USD|n/a|Cash Dividend|12605|Unchanged||2022-10-27|2022-10-27|Monthly|2022-10-28|2022-10-31|2022-11-01|0.07261|||| USHY|iShares Broad USD High Yield Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12653|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.194999|||| VCEB|Vanguard ESG U.S. Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|12608|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.1644|||| VUSB|Vanguard Ultra-Short Bond ETF|ETF|USD|n/a|Cash Dividend|12609|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-04|0.1029|||| XEMD|BondBloxx JP Morgan USD Emerging Markets 1-10 Year Bond ETF|ETF|USD|n/a|Cash Dividend|12612|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.19149|||| XMPT|VanEck CEF Muni Income ETF|ETF|USD|n/a|Cash Dividend|12680|Updated||2022-10-31|2022-10-31|Monthly|2022-11-01|2022-11-02|2022-11-07|0.0819||