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
LCID Lucid Group, Inc.
63 of 63
8,300 9.0M 1.3M
CRML Critical Metals Corp.
63 of 63
108,083 3.0M 455,119
LAES SEALSQ Corp
63 of 63
379,665 2.1M 474,652
RSHGY RESONA HLDGS INC ADR SPONS LEV
63 of 63
4,781 1.1M 25,425
RGC REGENCELL BIOSCIENCE HLDGS LTD
63 of 63
10,429 938,155 29,635
CHKMF ALTAIR MINERALS LTD ORDINARY F
63 of 63
472,709 660,709 571,495
CGIB CAPITAL GROUP FIXED INCOME ETF
63 of 63
96,789 446,756 39,191
ACYS FIRST TR ETF VEST LADDERED AUT
63 of 63
65,126 408,338 32,101
CGUI CAPITAL GROUP FIXED INCOME ETF
63 of 63
14,525 283,100 13,943
HYZN HYZON MTRS INC CL A NEW (DE)
63 of 63
204,089 204,089 204,089
SZKMY SUZUKI MOTOR CORP UNSPONSORED
63 of 63
36 184,296 3,900
DPRO Draganfly Inc.
63 of 63
526 180,180 28,985
LALT First Trust Multi-Strategy Alternative ETF
63 of 63
7,364 156,014 17,950
TXUE THORNBURG ETF TR INTL EQUITY E
63 of 63
6,017 153,485 19,037
BEP Brookfield Renewable Partners L.P. Limited Partnership Units
63 of 63
1 115,694 2,669
VAIE VEGASHARES ETF TR US EQUITY AU
63 of 63
5,149 107,349 9,610
CTLHF CLEANTECH LITHIUM PLC ORD GBP0
63 of 63
98,221 98,221 98,221
BKNIY Bankinter SA New Sponsored ADR
63 of 63
97,722 97,722 2,044
GTBP GT BIOPHARMA INC COM PAR $0.00
63 of 63
46,673 97,631 17,635
CISO CISO GLOBAL INC COM NEW
63 of 63
22,900 70,295 23,827
PBTHF POINTSBET HLDGS LTD ORDINARY F
63 of 63
14,891 67,651 20,952
UCFI CN HEALTHY FOOD TECH GROUP COR
63 of 63
34,360 34,564 34,366
PJFV PGIM ETF TR JENNISON FOCUSED V
63 of 63
1,311 31,335 7,854
GXPS GLOBAL X FDS PURECAP MSCI CONS
63 of 63
9,631 17,145 3,415
ATMCW ALPHATIME ACQUISITION CORP RED
63 of 63
13,897 13,897 13,897
YLLXF YELLOW CAKE PLC ORD GBP0.01(JE
63 of 63
1,979 11,754 1,357
ALDX Aldeyra Therapeutics, Inc.
63 of 63
3,850 8,165 3,783
OABI OmniAb, Inc.
63 of 63
1,041 6,849 1,005
IPOOF INPLAY OIL CORP COM NEW (CAN)
63 of 63
2,313 4,555 349
BKZHY ERSTE BANK POLSKA S.A. AMERICA
63 of 63
283 4,014 1,500
LXXGQ LEXAGENE HLDGS INC (CANADA)
63 of 63
3,407 3,407 3,407
ISPOW INSPIRATO INC WT EXP 02/09/27
63 of 63
2,885 2,885 2,885
DYCQR DT CLOUD ACQUISITION CORP RT 0
63 of 63
2,423 2,423 2,423
MDEVY MELCO INTL DEV LTD ADR(HONG KO
63 of 63
554 824 675
BDRBF BOMBARDIER INC CL B NEW (CANAD
63 of 63
81 773 187
HCHDY Hochschild Mining PLC, London
63 of 63
742 742 115
SAXJY SA SA INTL HLDGS LTD UNSPON AD
63 of 63
379 738 457
GBCHF METAVERSE CAP CORP (CANADA)
63 of 63
600 600 600
JUKIY Juki Corp Unsponsored ADR (Jap
63 of 63
95 485 137
HLTEF HILAN TECH LTD
63 of 63
362 362 362
FFDF FFD FINL CORP
63 of 63
5 267 21
BKFG BKF CAP GROUP INC COM PAR $0.0
63 of 63
201 201 201
LNNGY Li Ning Company Limited Unspon
63 of 63
26 187 31
CCFLU CCF HLDGS LLC UNIT CL A
63 of 63
118 118 118
FYIRF CADOUX LTD SHS (AUSTRALIA)
63 of 63
98 98 98
SKCBY SHINKIN CENTRAL BANK TOKYO UNS
63 of 63
51 51 51
TXWHY TEXWINCA HLDGS LTD - NEW UNSPO
63 of 63
15 15 15
BCSO BANCORP SOUTHERN INDIANA COMMO
63 of 63
8 10 8
EYUBY ELECTRICITY GENERATING PUB CO
63 of 63
3 7 5
YMZBY YAMAZAKI BAKING LTD ADR
63 of 63
7 7 7
TRUWY TRUSTWORTHS INTL LTD UNSPONSOR
63 of 63
3 3 3
CNGFF CHANGE FINANCIAL LTD. ORDINARY
63 of 63
2 2 2
CRNG CORENERGY INFRASTRUCTURE TR IN
63 of 63
1 1 1
UTDAY UNITED ARROWS LTD (JAPAN)
63 of 63
1 1 1
MSTU T-Rex 2X Long MSTR Daily Target ETF
62 of 63
5,555,945 12.7M 3.7M
MSTX Defiance Daily Target 2x Long MSTR ETF
62 of 63
2,912,301 5.9M 1.7M
DVLT Datavault AI Inc.
62 of 63
131,675 2.3M 396,508
HIVE HIVE Digital Technologies Ltd
62 of 63
1,075,780 1.4M 279,328
BTQ BTQ TECHNOLOGIES CORP COM (CAN
62 of 63
5,092 749,917 87,103
JDVI JOHN HANCOCK ETF TRUST DISCIPL
62 of 63
13 557,182 24,735
GLIX LAZARD ACTIVE ETF TR LISTED IN
62 of 63
373 494,577 10,889
TUSI Touchstone Ultra Short Income ETF
62 of 63
21,588 388,951 32,704
BUFZ FT Vest Laddered Moderate Buffer ETF
62 of 63
10,368 264,810 27,273
FYEE Fidelity Yield Enhanced Equity ETF
62 of 63
7,473 253,828 14,540
HFGO HARTFORD FDS EXCHANGE TRADED T
62 of 63
12,196 98,901 8,456
JHEM JOHN HANCOCK EXCHANGE TRADED
62 of 63
11 75,956 4,682
PBQQ PGIM ROCK ETF TR LADDERED NASD
62 of 63
6,143 72,315 8,406
EDGU ADVISORS INNER CIRCLE FD II 3E
62 of 63
7,265 52,185 9,044
FEMR FIDELITY COVINGTON TR ENHANCED
62 of 63
1,127 36,723 4,315
BUFP PGIM ROCK ETF TR PGIM LADDERED
62 of 63
12,403 32,633 6,705
HDUS LATTICE STRATEGIES TR HARTFORD
62 of 63
1,157 14,767 2,043
YQAI YOUNEEQAI TECHNICAL SVCS INC
62 of 63
346 990 410
SOXL Direxion Daily Semiconductor Bull 3X ETF
61 of 63
94,006 5.2M 391,895
SLS SELLAS Life Sciences Group, Inc.
61 of 63
44,054 1.9M 216,524
ALOY REalloys Inc.
61 of 63
226,066 1.9M 307,831
BBAI BigBear.ai, Inc.
61 of 63
31,773 1.9M 206,538
XNDU XANADU QUANTUM TECHNOLOGIES LI
61 of 63
17,709 1.5M 209,569
ABCL AbCellera Biologics Inc.
61 of 63
320,864 1.4M 166,579
MFSB MFS ACTIVE EXCHANGE TRADED FDS
61 of 63
32,425 1.1M 40,153
ACYN FIRST TR EXCH-TRAD FD VEST LAD
61 of 63
52,089 498,426 109,237
BXSL Blackstone Secured Lending Fund Common Shares of Beneficial Interest
61 of 63
234 450,687 63,265
BITU ProShares Ultra Bitcoin ETF
61 of 63
262 392,473 67,898
AMPU TIDAL TR II DEFIANCE DAILY TAR
61 of 63
158,503 357,824 94,308
TDI Touchstone Dynamic International ETF
61 of 63
2,612 354,801 23,525
SNTH TIDAL TR III MRP SYNTHEQUITY E
61 of 63
6,211 256,095 17,438
FTNJ PUTNAM ETF TR FRANKLIN NEW JER
61 of 63
218,738 218,738 12,439
DDSQ INNOVATOR ETFS TR EQUITY DUAL
61 of 63
1,527 211,466 14,170
GDXD MicroSectors Gold Miners -3X Inverse Leveraged ETNs
61 of 63
67 201,280 38,920
BEDY BNY MELLON ETF TR II ENHANCED
61 of 63
198,322 198,322 21,798
GSID GOLDMAN SACHS ETF TR MARKETBET
61 of 63
1,566 181,434 4,826
SEPI SCM TR SHELTON EQUITY PREMIUM
61 of 63
3,617 171,879 11,790
MFSI MFS ACTIVE EXCHANGE TRADED FDS
61 of 63
200 111,881 12,580
INEQ COLUMBIA ETF TR I INTL EQUITY
61 of 63
1,972 88,450 7,598
KORP American Century Diversified Corporate Bond ETF
61 of 63
5,929 72,324 8,636
GQI Natixis Gateway Quality Income ETF
61 of 63
973 70,299 9,497
FAAA FIDELITY MERRIMACK STR TR AAA
61 of 63
54,091 64,876 12,543
PRFD PIMCO ETF TR PFD & CAP SECS AC
61 of 63
113 41,404 6,296
PGRO PUTNAM ETF TR PUTNAM FOCUSED L
61 of 63
1,278 33,235 2,695
RSPA INVESCO ACTVLY MNGD ETF TR S&P
61 of 63
9,343 31,811 8,651
JUNP PGIM ROCK ETF TR PGIM S&P 500
61 of 63
3,521 27,573 3,948

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.