13F-HR 1 m13f_3q10.txt HOLDINGS FOR THIRD QUARTER 2010 UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 ____________________ FORM 13F FORM 13F COVER PAGE Report for the Quarter Ended : September 30, 2010 Check here if Amendment [ ]; Amendment number: This amendment (check only one): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Mid-Continent Capital, LLC Address: 150 South Wacker Drive Suite 400 Chicago, IL 60606-4101 13F File Number: 28-5684 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all infomation contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Name: Edwin Bruere Title: Co-Chief Executive Officer Phone: 312-551-8204 Signature, Place, and Date of Signing: Lawrence Brottman Chicago, IL October 28, 2010 Report Type (check only one): [x ] 13f Holdings Report [ ] 13f Notice [ ] 13f Combination Report List of Other Managers Reporting for this Manager: none I am signing this report as required by the Securities and Exchange Act of 1934. 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: none Form 13F Information Table Entry Total: 326 Form 13f Information Table Value Total: 978146 FORM 13F INFORMATION TABLE VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- Calamos Conv Opp Inc ETF 128117108 12084 939453.892SH SOLE 351667.725 587786.167 2289 177930.466SH OTHER 88900.000 89030.466 Duff & Phelp Util Bd ETF 26432K108 1324 103400.000SH SOLE 28950.000 74450.000 77 6000.000 SH OTHER 5000.000 1000.000 Fidelity Strategic Income Fd ETF 31638r303 293 25620.611SH SOLE 25620.611 IShr 1-3 Yr Credit Bd ETF 464288646 10836 103160.000SH SOLE 33570.000 69590.000 2539 24175.000SH OTHER 7425.000 16750.000 IShr Aggregrate Bd ETF 464287226 782 7200.000 SH SOLE 3150.000 4050.000 54 500.000 SH OTHER 500.000 IShr Barclays Agcy Bd Fd ETF 464288166 228 2050.000 SH SOLE 2050.000 555 4980.000 SH OTHER 400.000 4580.000 IShr Iboxx Inv Gr Corp Bd ETF 464287242 1105 9773.000 SH SOLE 2800.000 6973.000 857 7577.000 SH OTHER 400.000 7177.000 IShr Int Credit Bond ETF 464288638 1604 14800.000SH SOLE 1200.000 13600.000 241 2225.000 SH OTHER 450.000 1775.000 IShr Int Gov/Credit Bd ETF 464288612 1543 13950.000SH SOLE 13950.000 IShr S&P Natl Muni Bd Fd ETF 464288414 456 4270.000 SH SOLE 2350.000 1920.000 IShr S&P S/T Ntl Amt-free ETF 464288158 302 2850.000 SH OTHER 2850.000 PwrShr Gbl ETF Tr Sovereign De ETF 73936T573 533 19100.000SH SOLE 10900.000 8200.000 311 11150.000SH OTHER 10150.000 1000.000 SPDR Barclays Cap HY ETF 78464A417 1289 32210.000SH SOLE 13750.000 18460.000 360 9000.000 SH OTHER 5500.000 3500.000 SPDR Series Trust Brclys Shrt ETF 78464A425 227 9325.000 SH SOLE 9325.000 80 3300.000 SH OTHER 3300.000 AES Tr Cvt Pfd Ser C 6.75% Pfd 00808N202 5242 107469 SH SOLE 47979 59490 1885 38650 SH OTHER 7700 30950 BAC Pfd Ser Q 8.625% Pfd 060505559 4582 174550 SH SOLE 18200 156350 518 19750 SH OTHER 19750 BB&T Pfd Ser C 8.1% Pfd 05531H208 470 17000 SH SOLE 17000 Blackrock Credit Allocation In Pfd 092508100 8746 666094 SH SOLE 136764 529330 1175 89486 SH OTHER 31900 57586 Blackrock Income Strategies Pf Pfd 09255H105 2890 276300 SH SOLE 7000 269300 364 34800 SH OTHER 27200 7600 Citigrp Pfd Ser E 6.35% Pfd 17311H209 288 12400 SH SOLE 1000 11400 Citigrp Pfd Ser F 7.25% Pfd 17311U200 209 8400 SH SOLE 8400 Citigrp Pfd Ser J 8.5% Pfd 17315D204 9993 378365 SH SOLE 83825 294540 Citigrp Pfd Ser Q 6% Pfd 17307Q205 233 10000 SH SOLE 10000 Citigrp Pfd Ser S 6% Pfd 173066200 1082 47200 SH SOLE 2000 45200 Citigrp Pfd Ser U 6.5% Pfd 17310G202 892 37675 SH SOLE 4200 33475 Citigrp Pfd Ser Z 6.95% Pfd 17306R204 1610 66350 SH SOLE 1500 64850 Cntrywde Pfd Ser B 7% Pfd 222388209 3335 135400 SH SOLE 6800 128600 Fleet Cap Trust Ser M 7.2% Pfd 33889X203 375 15000 SH SOLE 15000 JPM Pfd Ser B 7.2% Pfd 48124Y204 2577 96000 SH SOLE 8500 87500 13 500 SH OTHER 500 JPM Pfd Ser Z 8% Pfd 48124G104 2190 81025 SH SOLE 75400 5625 Key Pfd Ser D 7% Pfd 49327C205 462 18300 SH SOLE 18300 Key Pfd Ser E 6.75% Pfd 49327Q204 205 8200 SH SOLE 8200 Morgan Stanley Pfd, MSZ, 6.60% Pfd 61750K208 1314 53050 SH SOLE 3700 49350 Nuveen Qty Pfd Inc Fd 2 Pfd 67072C105 86 10000 SH SOLE 10000 PwrShr Pfd Port Tr Pfd 73936T565 1316 91000 SH SOLE 75000 16000 Wells Fargo Pfd Ser J 8.00% Pfd 949746879 1399 51175 SH SOLE 2500 48675 Apache Corp Pfd Conv Ser D Pfd. Conv. 037411808 232 4000 SH OTHER 4000 3M Company Com 88579Y101 1109 12793 SH OTHER 12793 AAR Corp Com 000361105 131 7000 SH SOLE 7000 93 5000 SH OTHER 5000 ABB Ltd Spons ADR Com 000375204 19996 946780 SH SOLE 519970 426810 4631 219270 SH OTHER 42125 177145 AES Corp Com 00130H105 6462 569296 SH SOLE 256644 312652 4612 406307 SH OTHER 95123 311184 AFLAC Inc Com 001055102 49 950 SH SOLE 950 442 8548 SH OTHER 8548 AMR Corp Com 001765106 76 12200 SH SOLE 12200 AT&T Inc Com 00206R102 1090 38118 SH SOLE 6850 31268 773 27034 SH OTHER 4903 22131 Abbott Labs Com 002824100 24928 477179 SH SOLE 242545 234634 4834 92525 SH OTHER 17225 75300 Accenture PLC Cl A Com G1151C101 4362 102670 SH SOLE 46650 56020 Acorn Energy Inc Com Com 004848107 477 95050 SH SOLE 95050 87 17300 SH OTHER 17300 Agrium Inc Com Com 008916108 19113 254875 SH SOLE 172010 82865 4320 57610 SH OTHER 14125 43485 Altria Group Com 02209S103 589 24513 SH SOLE 7020 17493 1034 43028 SH OTHER 1175 41853 America Movil Adr Com 02364W105 3941 73890 SH SOLE 40625 33265 978 18345 SH OTHER 4000 14345 American Express Co Com 025816109 76 1800 SH SOLE 1800 126 3000 SH OTHER 3000 Annaly Cap Mgmt Com 035710409 3036 172475 SH SOLE 23100 149375 Anworth Mortgage Com 037347101 241 33800 SH SOLE 3000 30800 Aon Corp. Com 037389103 18 460 SH SOLE 460 504 12885 SH OTHER 12885 Apache Corp Com 037411105 7827 80061 SH SOLE 63250 16811 196 2000 SH OTHER 2000 Apple Inc Com 037833100 22067 77768 SH SOLE 37536 40232 3895 13726 SH OTHER 2675 11051 Automatic Data Proc Com 053015103 128 3050 SH SOLE 3050 147 3500 SH OTHER 3500 BP Plc Spons Adr Com 055622104 28 674 SH SOLE 674 322 7831 SH OTHER 4004 3827 Bank of America Com 060505104 10553 805413 SH SOLE 500930 304483 1852 141380 SH OTHER 25900 115480 Baxter Internatl Com 071813109 274 5750 SH SOLE 5750 8 172 SH OTHER 172 Baytex Energy Tr Com 073176109 2662 73260 SH SOLE 21475 51785 Berkshire Hathaway Cl A Com 084670108 747 6 SH SOLE 6 747 6 SH OTHER 2 4 Berkshire Hathaway Cl B Com 084670702 847 10241 SH SOLE 4234 6007 200 2414 SH OTHER 216 2198 Boeing Co Com 097023105 2553 38375 SH SOLE 6400 31975 Bridge Cap Holdings Com 108030107 195 22300 SH SOLE 22300 CH Robinson Ww Com 12541w209 958 13700 SH SOLE 5300 8400 CVS Caremark Corp Com 126650100 24867 790173 SH SOLE 424298 365875 2701 85835 SH OTHER 6200 79635 Camino Minerals Corp Com 138050109 38 100000 SH SOLE 100000 Capital One Finl Com 14040H105 1919 48525 SH SOLE 12725 35800 Capstead Mtg Corp Com 14067E506 322 29650 SH SOLE 2000 27650 Cel-Sci Corp Com 150837409 6 10000 SH SOLE 10000 Chevron Corp Com 166764100 567 7000 SH SOLE 2250 4750 240 2963 SH OTHER 2963 Chimera Corp Com 16934Q109 3996 1011625 SH SOLE 206350 805275 Cisco Systems Inc Com 17275R102 10536 481111 SH SOLE 262550 218561 1517 69275 SH OTHER 7000 62275 Citigroup Inc Com 172967101 3838 981587 SH SOLE 405703 575884 1891 483508 SH OTHER 76705 406803 Coca-Cola Co Com 191216100 1280 21879 SH SOLE 3475 18404 222 3800 SH OTHER 3800 Columbia Banking Sys Com 197236102 346 17600 SH SOLE 17600 Comcast Cl A-Spec Com 20030N200 3081 181152 SH SOLE 30075 151077 1325 77924 SH OTHER 14450 63474 Comcast Corp Cl A Com 20030N101 223 12315 SH SOLE 12315 217 12000 SH OTHER 12000 Compass Div Hldgs Com 20451Q104 766 47420 SH SOLE 4000 43420 253 15675 SH OTHER 15675 Conoco Phillips Com 20825C104 16964 295391 SH SOLE 169480 125911 2207 38430 SH OTHER 3500 34930 Corning Inc Com 219350105 5545 303312 SH SOLE 144951 158361 253 13851 SH OTHER 1500 12351 Costco Whsl Corp Com 22160K105 18084 280415 SH SOLE 151875 128540 129 2000 SH OTHER 2000 DCP Midstream Ptr LP Com 23311P100 1028 30675 SH SOLE 30675 Danaher Corp Com 235851102 4729 116446 SH SOLE 53950 62496 DeVry Inc Com 251893103 14133 287195 SH SOLE 163400 123795 133 2700 SH OTHER 2700 Devon Energy Corp Com 25179M103 1286 19870 SH SOLE 5825 14045 DirecTV Com 25490A101 3785 90912 SH SOLE 48160 42752 4222 101413 SH OTHER 22126 79287 Donaldson Company Com 257651109 331 7025 SH SOLE 7025 146 3100 SH OTHER 3100 Duke Energy Com 26441C105 469 26505 SH SOLE 3300 23205 EMC Corp Com 268648102 25441 1252622 SH SOLE 743555 509067 6636 326720 SH OTHER 63975 262745 EOG Resources Inc Com 26875P101 177 1900 SH SOLE 1900 372 4000 SH OTHER 4000 Ebay Inc Com 278642103 9999 409775 SH SOLE 307325 102450 73 3000 SH OTHER 3000 Enbridge Energy Com 29250X103 4030 73040 SH SOLE 10984 62056 Energy Trans Ptr LP Com 29273R109 1418 29375 SH SOLE 29375 Enerplus Resources Com 29274d604 1588 61675 SH SOLE 13500 48175 Enterprise Prods Com 293792107 1908 48100 SH SOLE 48100 Ericsson LM Com 294821608 7790 710100 SH SOLE 248275 461825 4082 372070 SH OTHER 61800 310270 Exelon Corp Com 30161N101 399 9380 SH SOLE 600 8780 Exxon Mobil Corp Com 30231G102 4462 72211 SH SOLE 23100 49111 1379 22321 SH OTHER 4920 17401 Fifth Third Bancorp Com 316773100 120 10000 SH SOLE 10000 First Savings Com 33621E109 334 25500 SH SOLE 25500 Ford Motor NEW Com 345370860 14757 1205635 SH SOLE 723855 481780 1679 137200 SH OTHER 27200 110000 Franklin Str Pptys Com 35471R106 3929 316350 SH SOLE 193900 122450 931 75000 SH OTHER 75000 General Electric Com 369604103 9165 564013 SH SOLE 172545 391468 841 51726 SH OTHER 5750 45976 Gentex Corp Com 371901109 5310 271960 SH SOLE 160000 111960 165 8450 SH OTHER 8450 Goodrich Corp Com 382388106 4042 54825 SH SOLE 22575 32250 2616 35480 SH OTHER 9130 26350 Google Inc Com 38259P508 18178 34572 SH SOLE 18483 16089 4537 8629 SH OTHER 1455 7174 HJ Heinz Co Com 423074103 2134 45042 SH SOLE 12025 33017 Hess Corp Com 42809H107 266 4500 SH SOLE 4500 Honeywell Intl Inc Com 438516106 461 10500 SH SOLE 10500 101 2300 SH OTHER 300 2000 Hudson City Bancorp Com 443683107 3847 313800 SH SOLE 75775 238025 IShr Biotech Com 464287556 3811 44196 SH SOLE 21775 22421 52 600 SH OTHER 600 IShr DJ US Real Estate Com 464287739 26 500 SH SOLE 250 250 299 5650 SH OTHER 5650 Illinois Tool Works Com 452308109 261 5541 SH SOLE 5541 Intel Corp Com 458140100 5700 296882 SH SOLE 113222 183660 2249 117150 SH OTHER 9600 107550 Intl Bus Machines Com 459200101 28063 209207 SH SOLE 123075 86132 2684 20012 SH OTHER 1500 18512 Intuit Com 461202103 7018 160200 SH SOLE 130000 30200 79 1800 SH OTHER 1800 JPMorgan Chase Com 46625H100 19221 505010 SH SOLE 267535 237475 522 13708 SH OTHER 9578 4130 Johnson & Johnson Com 478160104 17034 274923 SH SOLE 115370 159553 3634 58655 SH OTHER 11700 46955 Kellogg Com 487836108 4 75 SH SOLE 75 212 4190 SH OTHER 4190 Kimberly/Clark Com 494368103 1231 18925 SH SOLE 13400 5525 Kinder Morgan LLC Com 49455U100 23344 387455 SH SOLE 223763 163691 4123 68439 SH OTHER 19652 48786 Kraft Foods Inc Com 50075N104 2024 65587 SH SOLE 4067 61520 140 4522 SH OTHER 4522 Lab Corp of America Com 50540R409 774 9875 SH SOLE 2675 7200 Lazard Ltd Shs A Com G54050102 4421 126025 SH SOLE 49750 76275 Liberty Capital Com 53071M302 9322 179058 SH SOLE 83795 95263 3283 63067 SH OTHER 22150 40917 Liberty Interactive Ser A Com 53071M104 533 38874 SH OTHER 7501 31373 Liberty Media-Starz Com 53071M708 276 4247 SH SOLE 915 3332 449 6922 SH OTHER 1410 5512 Lockheed Martin Com 539830109 328 4606 SH SOLE 30 4576 Lowes Co Com 548661107 146 6544 SH SOLE 6544 657 29465 SH OTHER 29465 Market Vctrs Agribus Com 57060U605 354 7710 SH SOLE 2925 4785 10 225 SH OTHER 225 Markwest Energy Partnr Com 570759100 324 9025 SH SOLE 9025 Mastercard Inc Com 57636Q104 14664 65465 SH SOLE 40735 24730 688 3070 SH OTHER 1480 1590 McDonalds Corp Com 580135101 22109 296725 SH SOLE 161825 134900 75 1000 SH OTHER 1000 Medtronic Inc Com 585055106 2510 74755 SH SOLE 36840 37915 2139 63700 SH OTHER 5650 58050 Merck & Co Com 58933Y105 2048 55642 SH SOLE 11850 43792 757 20556 SH OTHER 20556 Metlife Inc Com 59156R108 25037 651148 SH SOLE 369300 281848 319 8300 SH OTHER 2000 6300 Microsoft Corp Com 594918104 397 16205 SH SOLE 110 16095 133 5450 SH OTHER 3060 2390 Mlp Pipeline Fund Com 31647Q106 223 11500 SH SOLE 1500 10000 NYSE Euronext Com 629491101 10235 358260 SH SOLE 236185 122075 2217 77605 SH OTHER 15375 62230 Neutral Tandem Inc Com 64128B108 281 23480 SH SOLE 23480 Northern Trust Com 665859104 3318 68780 SH SOLE 16845 51935 598 12405 SH OTHER 12405 NuStar Energy LP Com 67058h102 278 4500 SH SOLE 4500 Occidental Pete Corp Com 674599105 13428 171495 SH SOLE 108650 62845 Oracle Systems Corp Com 68389X105 2248 83730 SH SOLE 20350 63380 54 2000 SH OTHER 2000 PAA Pipeline LP Com 726503105 189 3000 SH SOLE 3000 79 1250 SH OTHER 1250 PNC Finl Services Grp Com 693475105 313 6023 SH SOLE 4300 1723 592 11411 SH OTHER 3435 7976 Peabody Energy Corp Com 704549104 4580 93460 SH SOLE 44785 48675 1628 33220 SH OTHER 12625 20595 Pengrowth Energy Tr Com 706902509 1662 150250 SH SOLE 8200 142050 Penn Natl Gaming Com 707569109 444 15000 SH SOLE 15000 Peoples United Fincl Com 712704105 2984 227963 SH SOLE 75425 152538 Pepsico Com 713448108 29228 439915 SH SOLE 235530 204385 4293 64610 SH OTHER 9350 55260 Philip Morris Intl Com 718172109 1424 25428 SH SOLE 11055 14373 1632 29139 SH OTHER 1825 27314 Praxair Com 74005P104 621 6880 SH SOLE 6880 Procter & Gamble Co Com 742718109 10626 177186 SH SOLE 67280 109906 3940 65702 SH OTHER 9100 56602 Prudential Finl Com 744320102 5270 97265 SH SOLE 40185 57080 1862 34375 SH OTHER 9550 24825 Quest Diagnostics Com 74834L100 2023 40077 SH SOLE 18350 21727 Royal Dutch Shell A Com 780259206 109 1800 SH SOLE 1800 187 3100 SH OTHER 2000 1100 Schein Henry Inc Com 806407102 1065 18175 SH SOLE 5150 13025 Schlumberger Ltd Com 806857108 3884 63037 SH SOLE 26911 36126 3080 49985 SH OTHER 6000 43985 Schwab Charles Corp Com 808513105 2933 211005 SH SOLE 100570 110435 2199 158190 SH OTHER 46400 111790 Seaspan Corp Com Y75638109 137 11075 SH SOLE 11075 20 1600 SH OTHER 1600 Sirius XM Radio Com 82967N108 37 30800 SH SOLE 30800 4 3000 SH OTHER 3000 Southern Co Com 842587107 330 8850 SH SOLE 1750 7100 Southwest Airlines Co Com 844741108 1205 92175 SH SOLE 27350 64825 St Jude Medical Inc Com 790849103 1257 31950 SH SOLE 7375 24575 Staar Surgical Co Com Par $0.0 Com 852312305 126 23200 SH SOLE 23200 11 2000 SH OTHER 2000 Stericycle Com 858912108 18171 261531 SH SOLE 140460 121071 417 6000 SH OTHER 6000 Suncor Energy, Inc. Com 867224107 5837 179332 SH SOLE 83995 95337 1749 53735 SH OTHER 11900 41835 Talisman Energy Com 87425E103 1495 85450 SH SOLE 7000 78450 7 400 SH OTHER 400 Thornburg Mortgage Com 885218800 0 12751 SH SOLE 11400 1351 Torchmark Corp Com 891027104 616 11596 SH SOLE 400 11196 160 3016 SH OTHER 1516 1500 US Bancorp Com 902973304 9656 446630 SH SOLE 321225 125405 Ultra Petroleum Com 903914109 4282 102000 SH SOLE 45100 56900 Union Pacific Corp Com 907818108 553 6762 SH SOLE 5178 1584 211 2575 SH OTHER 2575 United Parcel Service Com 911312106 340 5100 SH SOLE 75 5025 Vodafone Group ADR Com 92857W209 696 28049 SH SOLE 5975 22074 1214 48913 SH OTHER 7434 41479 Walgreen Co Com 931422109 2286 68225 SH SOLE 11424 56801 67 2000 SH OTHER 2000 Walt Disney Co Com 254687106 18501 558942 SH SOLE 355375 203567 33 1000 SH OTHER 1000 Wells Fargo & Co Com 949746101 289 11490 SH SOLE 11490 171 6800 SH OTHER 6800 Western Union Com 959802109 216 12200 SH OTHER 9800 2400 Alerian MLP ETF ETF 00162Q866 745 48250 SH SOLE 10000 38250 Guggenheim BRIC ETF ETF 18383M100 353 7900 SH SOLE 300 7600 Guggenheim Spin-Off ETF ETF 18383M605 192 9200 SH SOLE 2500 6700 142 6800 SH OTHER 6800 IShr Australia ETF 464286103 9200 387520 SH SOLE 282550 104970 663 27940 SH OTHER 12550 15390 IShr Brazil ETF 464286400 423 5500 SH SOLE 5500 IShr DJ US Total ETF 464287846 597 10440 SH SOLE 7500 2940 51 900 SH OTHER 900 IShr EAFE ETF 464287465 1689 30755 SH SOLE 3750 27005 IShr Emerging Mkt ETF 464287234 5517 123230 SH SOLE 56255 66975 656 14650 SH OTHER 12750 1900 IShr MSCI ACWI Index ETF 464288240 10260 248000 SH SOLE 169650 78350 21 500 SH OTHER 500 IShr MSCI Chile ETF 464286640 381 5150 SH SOLE 2225 2925 11 150 SH OTHER 150 IShr MSCI Turkey ETF 464286715 410 5860 SH SOLE 2750 3110 11 150 SH OTHER 150 IShr Russell 2000 ETF 464287655 299 4425 SH SOLE 4425 IShr S&P 500 ETF 464287200 3332 29100 SH SOLE 29100 IShr S&P MidCap ETF 464287507 460 5750 SH SOLE 5750 IShr S&P Sm Cap ETF 464287804 227 3850 SH SOLE 3300 550 10 175 SH OTHER 175 Intl All World Ex-US ETF 922042775 871 19175 SH SOLE 3750 15425 Ipath MSCI India Index ETF 06739F291 363 4785 SH SOLE 1965 2820 11 150 SH OTHER 150 Proshares Ultra 400 ETF 74347R404 550 11075 SH SOLE 3075 8000 11 225 SH OTHER 225 PwrShr Fund 1000 ETF 73935X583 559 11100 SH SOLE 1000 10100 PwrShr Fund Dev Mkt ETF 73936T789 210 5575 SH SOLE 5575 PwrShr Fund Next 1500 ETF 73935X567 250 4500 SH SOLE 2050 2450 11 200 SH OTHER 200 S&P 500 ETF ETF 78462F103 296 2595 SH SOLE 400 2195 148 1300 SH OTHER 1300 Schwab Strategic Tr US Lg Cp E ETF 808524201 249 9178 SH SOLE 4678 4500 Vanguard Emerging Mkt ETF ETF 922042858 209 4602 SH SOLE 4602 Vanguard Tot Stk Mkt ETF 922908769 480 8230 SH SOLE 4230 4000 Wisdomtree Emerging Mkt ETF 97717w315 228 4100 SH SOLE 1100 3000