Fails to Deliver

Shares sold that did not arrive at settlement, reported by the SEC twice a month. The file is real and the numbers below are as published — what they are usually said to mean is where it goes wrong.

The number that frames everything else

897 shares is the median fail balance across the 6,067 securities reporting one on 2026-08-14. Not thousands, not millions — a few hundred shares. A fail is ordinarily a clerical break in the settlement plumbing, and at that size it cannot be anything else.

Largest current balance Largest in the window Most dates with a balance SEC CNS · 63 settlement dates 2026-05-15 to 2026-08-14
TickerDates with a balanceLatest balanceLargest in windowAverage
XOM ExxonMobil Holdings Corporation
43 of 63
6,887 320.1M 7.5M
GOOG Alphabet Inc. - Class C Capital Stock
35 of 63
600 249.0M 7.2M
GOOGL Alphabet Inc.
45 of 63
15 199.6M 4.5M
ADTX ADITXT INC COM NEW APRIL 2026
40 of 63
301 191.3M 12.9M
PG The Procter & Gamble Company
27 of 63
9 177.7M 6.6M
HBAN Huntington Bancshares Incorporated
13 of 63
18,003 131.9M 10.2M
AMD Advanced Micro Devices, Inc.
45 of 63
1 112.3M 2.6M
QCOM QUALCOMM Incorporated
30 of 63
2,700 108.7M 3.6M
DVN Devon Energy Corporation
30 of 63
126 89.6M 3.0M
UBQU UBIQUITECH SOFTWARE CORP. COMM
1 of 63
85,185,602 85.2M 85.2M
CCL Carnival Corporation Ltd.
54 of 63
560 80.5M 1.6M
MS Morgan Stanley
26 of 63
24 78.0M 3.0M
HPQ HP Inc.
32 of 63
9,086 69.5M 2.3M
NBND NETBRANDS CORP COM
9 of 63
65,862,763 68.4M 44.5M
HVCW HARRISON VICKERS & WATERMAN IN
2 of 63
5,049,997 67.8M 36.4M
ADM Archer-Daniels-Midland Company
22 of 63
11,916 52.8M 2.4M
CTVA Corteva, Inc.
42 of 63
511 44.5M 1.1M
AEP American Electric Power Company, Inc.
27 of 63
43 43.7M 1.7M
LCDL GRANITESHARES ETF TR 2X LONG L
34 of 63
43,138,543 43.7M 7.7M
UNP Union Pacific Corporation
27 of 63
22,123 42.6M 1.8M
NXGB NXGEN BRANDS INC COM
2 of 63
10 40.0M 20.0M
IVZ Invesco Ltd
11 of 63
261 37.4M 3.4M
FLEX Flex Ltd.
21 of 63
1 27.5M 1.3M
EBAY eBay Inc.
24 of 63
3,168 26.6M 1.1M
RECS Columbia Research Enhanced Core ETF
53 of 63
5,818 26.6M 519,916
IALT BLACKROCK ETF TR ISHARES SYSTE
52 of 63
161,650 25.6M 1.0M
ONCO ONCONETIX INC COM PAR $0.00001
44 of 63
6,042 23.9M 637,399
MPC Marathon Petroleum Corporation
14 of 63
42,326 23.9M 1.7M
SPCX SPACE EXPL TECHNOLOGIES CORP C
41 of 63
62,816 23.1M 2.1M
ZCMD ZHONGCHAO INC. CL A ORD SHS US
54 of 63
5,682 22.9M 1.3M
CDNS Cadence Design Systems, Inc.
31 of 63
7 22.8M 788,679
CBGL CANNABIS GLOBAL INC (NV)
10 of 63
746,672 22.7M 7.2M
GBUX GIVBUX INC
5 of 63
3,750 22.1M 4.7M
UAL United Airlines Holdings, Inc.
31 of 63
3,421 21.3M 689,901
SRXH SRX Global Inc.
47 of 63
24,030 21.0M 1.6M
ONFO ONFOLIO HLDGS INC COM COM PAR
27 of 63
451,890 20.8M 2.7M
CPOP POP CULTURE GROUP CO LTD L A O
33 of 63
78,128 19.9M 849,027
ELAN Elanco Animal Health Incorporated
25 of 63
527,596 19.6M 814,605
PFG Principal Financial Group Inc
13 of 63
14 19.3M 1.5M
RWAX TAP REAL ESTATE TECHNOLOGIES,
31 of 63
8,862,774 19.0M 4.7M
PMI PICARD MED INC COM NEW
32 of 63
1 18.9M 2.6M
GOSS Gossamer Bio, Inc.
55 of 63
206,022 18.4M 738,264
YYAI AIRWA INC COM PAR $0.001 NEW 2
53 of 63
656,678 17.2M 580,395
NUE Nucor Corporation
11 of 63
146 17.0M 1.6M
NCRA NOCERA INC COM PAR $0.001 NEW
48 of 63
67,368 17.0M 2.0M
DTE DTE Energy Company
12 of 63
694 16.8M 1.4M
EOSER EOS ENERGY ENTERPRISES INC RT
2 of 63
16,051,304 16.1M 9.6M
BIEI PREMIER BIOMEDICAL INC COM NEW
6 of 63
599,369 15.6M 3.2M
RDW Redwire Corporation
34 of 63
1,469 15.4M 525,505
BCI abrdn Bloomberg All Commodity Strategy K-1 Free ETF
33 of 63
131,850 15.2M 556,226
ONDS Ondas Inc
60 of 63
14,282,331 14.3M 2.3M
SNDQ INVEST MANAGERS SER TR II TRAD
57 of 63
3,683,199 14.1M 918,650
CPB The Campbell's Company
58 of 63
49,607 13.9M 606,669
BMNU ETF OPPORTUNITIES TR T-REX 2X
56 of 63
10,905 13.5M 1.6M
MSTU T-Rex 2X Long MSTR Daily Target ETF
62 of 63
5,555,945 12.7M 3.7M
VBIO VALION BIO, INC. COMMON STOCK
39 of 63
119,094 12.6M 375,475
FOLGF FALCON OIL & GAS LTD
10 of 63
35,125 12.3M 1.9M
AEFI AMERICAN ECOFUELS INC COMMON S
4 of 63
1,274,725 12.1M 3.9M
CGAC CODE GREEN APPAREL CORP COM
16 of 63
3,449,517 12.0M 2.1M
CISS C3IS INC COM PAR $0.01 MARCH 2
42 of 63
103,429 11.8M 1.2M
INLF INLIF LTD CL A ORD SHS NEW US$
46 of 63
10,942 11.8M 318,648
OPEN Opendoor Technologies Inc
40 of 63
2,301 11.5M 564,120
HUBC HUB CYBER SEC LTD SHS NEW 2026
47 of 63
3,043 11.5M 1.1M
SWKS Skyworks Solutions, Inc.
51 of 63
5,423 11.4M 288,073
HL Hecla Mining Company
20 of 63
215,846 11.3M 616,366
IONZ Defiance Daily Target 2x Short IONQ ETF
55 of 63
3,711,229 11.2M 3.9M
AMH American Homes 4 Rent Common Shares of Beneficial Interest
8 of 63
36 11.2M 1.4M
STLD Steel Dynamics, Inc.
10 of 63
954 11.1M 1.1M
CLBKZZZZ COLUMBIA FINL INC MD COM
1 of 63
10,900,760 10.9M 10.9M
EDBL EDIBLE GARDEN AG INC COM PAR $
40 of 63
22,252 10.8M 367,460
HTZ Hertz Global Holdings, Inc
47 of 63
621,087 10.7M 841,980
CLBK Columbia Financial, Inc.
21 of 63
6,844 10.5M 623,060
NOTV INOTIV INC COM (IN)
19 of 63
1,253,625 10.3M 1.1M
RGTZ TIDAL TR II DEFIANCE DAILY TAR
59 of 63
2,191,637 10.1M 2.2M
DRI Darden Restaurants, Inc.
19 of 63
115,689 10.0M 583,682
FHB First Hawaiian, Inc.
22 of 63
524 10.0M 454,339
CXAI CXAPP INC CL A
41 of 63
60,728 9.9M 864,185
SIXD AIM ETF PRODS TR ALLIANZIM U.S
43 of 63
188 9.8M 256,240
IRDM Iridium Communications Inc
16 of 63
77 9.6M 622,360
VIVS VIVOSIM LABS, INC. COMMON STOC
42 of 63
340,903 9.4M 264,062
SBEV SPLASH BEVERAGE GROUP INC COM
34 of 63
30,164 9.4M 935,029
XLK State Street Technology Select Sector SPDR ETF
34 of 63
623 9.3M 374,231
SPCH THEMES ETF TR LEVERAGE SHS 2X
38 of 63
5,076,216 9.2M 1.9M
UZX LINKAGE GLOBAL INC CL A NEW (C
33 of 63
4,441,716 9.2M 699,110
FUTG Leverage Shares 2x Long FUTU Daily ETF
43 of 63
111,098 9.2M 434,006
SCO ProShares UltraShort Bloomberg Crude Oil
37 of 63
19,990 9.1M 334,974
MTB M&T Bank Corporation
17 of 63
59,217 9.0M 534,872
LCID Lucid Group, Inc.
63 of 63
8,300 9.0M 1.3M
NTCL NETCLASS TECHNOLOGY INC CL A O
48 of 63
1,920 8.9M 524,894
ALGM Allegro MicroSystems, Inc.
25 of 63
10,252 8.7M 399,924
UMAV UAV CORP
22 of 63
282,630 8.7M 2.1M
RAM ETF OPPORTUNITIES TR T-REX 2X
30 of 63
2,012,416 8.6M 1.4M
CATV 4CABLE TV INTERNATIONAL, INC.
2 of 63
2,921,250 8.3M 5.6M
COSM COSMOS HEALTH INC. COM
46 of 63
12,899 8.3M 524,137
DX Dynex Capital, Inc.
20 of 63
12,878 8.3M 454,694
MCK McKesson Corporation
12 of 63
2,027 8.1M 681,159
DRAM ROUNDHILL ETF TR MEMORY ETF
33 of 63
80,305 8.1M 416,942
BNYN BANYAN CORPORATION (OR)COM STK
2 of 63
8,051,157 8.1M 8.1M
SFTX HORIZON FDS HORIZON INTL MANAG
33 of 63
4,417 7.9M 420,368
CWEN Clearway Energy, Inc. Class C
26 of 63
428 7.9M 306,249

Showing 100 of 16,925 securities that reported a balance at some point in the stored window. Balances are in shares. “Dates with a balance” is a count of reported settlement dates, not a run of consecutive days — see below for why that distinction is forced on us by the data.

What a fail to deliver actually is

When you buy a share, the seller has two business days to deliver it. Usually they do. When they do not, the trade is a fail to deliver, and the National Securities Clearing Corporation carries the open balance until it is resolved. The SEC publishes those balances by security, twice a month, going back to 2009.

The reasons are mundane and mostly administrative:

What it is not

A fail balance is not a count of naked short sales, and the SEC says so directly on the page this data comes from. Under Regulation SHO, a fail of any size in any security triggers a mandatory close-out obligation; a security that sustains fails past a threshold goes on the Reg SHO restricted list, which carries harder requirements still. The regime is designed so that fails resolve, and the data shows that they do.

The other frequent error is arithmetic. These are balances, not flows. A security showing a hundred thousand shares on five consecutive reported dates has not failed five hundred thousand shares — it likely has one unresolved position that persisted. Adding the column up produces a number that means nothing, and that sum is the basis of most of the alarming figures that circulate.

Why this page cannot show a streak

The SEC states explicitly that the age of a fail cannot be determined from the file, and that today's balance is not necessarily composed of the same fails as the last report's. So “days of consecutive failing” — a headline metric on sites that publish this same file — is not derivable from it. What is derivable is how many reported dates carried a balance at all, which is the column above. A security at 63 of 63 has had an open balance at every reading; whether that is one long-lived break or many short ones, this data cannot say.

Reading it usefully

Where this comes from

The SEC publishes the CNS fails-to-deliver file free and without restriction. Each archive here is checked against both trailer records the file carries — its record count and its total share quantity — and any archive that does not reconcile on both is skipped rather than partially loaded. A recent window is stored rather than the full archive back to 2009, which runs to tens of millions of rows.

Every security's own page carries its fails alongside its filings, ownership and short interest — see any ticker under security pages, or the rest of the Markets section.