A weak jobs picture is raising expectations that the Fed may take new measures the economy.The Fed's one-day meeting Tuesday trumps everything else for markets in the week ahead, as the earnings season winds down. Retail sales, trade and inflation data are also on the calendar, but the Fed's perception of the economy and any hint it may reconsider quantitative easing have the markets on edge, particularly after Friday's disappointing July jobs report.
Stock traders, meanwhile, are debating whether the summer rally has run its course, now that earnings season is coming to a close and the economic data remains weak. By Friday, about 90 percent of S&P 500 companies had reported. Seventy-five percent of the companies reporting beat earnings estimates. Among the companies reporting in the coming week are Cisco, Disney and some of the major retailers, like Macy's. CNBC's Sue Herera looks ahead to what are likely to be next week's top business and financial stories.
During regular trading hours, there were many stocks that continued to break up to the upside or down side.Here's my Small-cap Watch list (subject to change; not a "buy" or "sell" recommendation). You can find Daily Hot Stocks to Watch- Right Here
Company / Symbol / Market Cap ($)
General Electric Capital Corp (GEC) 999.20M
iShares Trust iShares MSCI EAFE Small Cap Index Fund ETF (SCZ) 999.05M
Swift Energy Company (SFY) 998.81M
Wintrust Financial Corporation (WTFC) 997.84M
Allied Irish Banks, plc. ADR (AIB) 997.51M
Century Aluminum Company (CENX) 996.10M
Steven Madden, Ltd. (SHOO) 995.71M
TiVo Inc. TIVO 995.45M
Kronos Worldwide, Inc. KRO 994.59M
AFP Provida SA (ADR) PVD 993.95M
Integra LifeSciences Holdings Corp. IART 993.92M
Cubic Corporation CUB 993.26M
EZCORP, Inc. EZPW 991.62M
Barclays Bank Plc PRFD 'C' BCS-C 989.60M
SPDR S&P Retail (ETF) XRT 988.45M
EV Energy Partners, LP EVEP 987.16M
Select Medical Holdings Corporation SEM 984.03M
A123 Systems, Inc. AONE 982.89M
Cepheid CPHD 982.66M
Par Pharmaceutical Companies, Inc. PRX 981.74M
Healthcare Services Group, Inc. HCSG 981.04M
Deluxe Corporation DLX 978.00M
Franklin Street Properties Corp. FSP 976.89M
HealthSpring, Inc HS 975.76M
KB Home KBH 975.57M
Momenta Pharmaceuticals, Inc. MNTA 974.72M
Diamond Foods, Inc. DMND 974.68M
Aegean Marine Petroleum Network Inc. ANW 974.29M
Texas Roadhouse, Inc. TXRH 974.09M
iShares S&P Global Energy Sector (ETF) IXC 971.33M
AnnTaylor Stores Corp. ANN 970.09M
The Corporate Executive Board Company EXBD 968.57M
TransAtlantic Petroleum Ltd. TAT 967.88M
McMoRan Exploration Co. MMR 967.51M
GT Solar International, Inc. SOLR 966.07M
HB Fuller Company FUL 965.59M
Wells Fargo Capital XI 6.25% Enhanced Trust Preferred Securities (Enhanced TruPS) FWF 964.40M
SPDR Nuveen Barclays Capital Municpl Bnd TFI 964.10M
Generac Holdings Inc. GNRC 963.77M
iGATE Corporation IGTE 963.64M
Eaton Vance Tax-Advantaged Global Dvd. ETG 963.24M
Bridgepoint Education, Inc. BPI 961.34M
Argo Group International Holdings, Ltd. AGII 960.69M
MicroStrategy Incorporated MSTR 960.27M
EastGroup Properties Inc. EGP 960.13M
China Lodging Group, Ltd HTHT 959.93M
TEKELEC TKLC 959.20M
ISIS Pharmaceuticals, Inc. ISIS 959.17M
Sovran Self Storage, Inc. SSS 958.68M
The Boston Beer Company, Inc. SAM 957.90M
Greenlight Capital Re, Ltd. GLRE 956.28M
Grail American Beacon Large Cap Value ETF Value ETF GVT 955.78M
Tower Group, Inc. TWGP 953.42M
The Brink's Company BCO 952.68M
Nelnet, Inc. NNI 949.60M
Blue Coat Systems, Inc. BCSI 949.27M
JP Morgan Chase & Co. Cap Secs Ser K 5.875% JPM-K 947.60M
RealD RLD 946.64M
Savient Pharmaceuticals, Inc. SVNT 945.10M
DCT Industrial Trust Inc. DCT 943.88M
Sunstone Hotel Investors, Inc SHO 943.83M
Citigroup, Inc. CITIGROUP CAPITAL VII 7.125% CAPITAL SECURITIES C-V 941.60M
Old National Bancorp ONB 939.60M
Blackrock Muniyield Insured Fund Inc. MYI 939.55M
Coherent, Inc. COHR 939.49M
Citigroup Capital XV 6.50% Enhanced Trust Preferred Securities (Enhanced TRUPS) C-U 939.40M
Leap Wireless International, Inc. LEAP 939.38M
Scholastic Corporation SCHL 937.21M
Vale Cap Ltd 6.75% Guaranteed Notes due June 15, 2012 Series VALE.P-2012 CJT 936.93M
Texas Industries, Inc. TXI 935.03M
Enbridge Energy Management, LLC EEQ 934.65M
Minerals Technologies Inc MTX 933.26M
Templeton Dragon Fund Inc TDF 932.81M
Schweitzer-Mauduit International, Inc. SWM 932.07M
Morgan Stanley Capital Trust VII Cap Secs MSZ 931.20M
Insituform Technologies, Inc. INSU 929.56M
EarthLink, Inc. ELNK 929.18M
Putnam Premier Income Trust PPT 927.96M
SYNNEX Corporation SNX 927.75M
Artio Global Investors Inc. ART 927.30M
Weis Markets, Inc. WMK 926.65M
Orbital Sciences Corp. ORB 923.61M
STR Holdings, Inc. STRI 922.10M
Mueller Industries, Inc. MLI 921.07M
Steelcase Inc. SCS 920.16M
First Midwest Bancorp, Inc. FMBI 918.95M
Nuveen Quality Pref. Inc. Fund II JPS 918.69M
Websense Inc. WBSN 917.62M
FNB Corporation FNB 916.38M
Nuveen Premium Income Municipal Fund Inc NPI 915.63M
CoStar Group, Inc. CSGP 915.26M
El Paso Electric Company EE 914.62M
Barnes Group Inc. B 912.31M
iShares MSCI BRIC Index Fund (ETF) BKF 912.25M
American Capital Agency Corp. AGNC 911.39M
TeleTech Holdings, Inc. TTEC 910.67M
Stanley, Inc. SXE 910.59M
ValueClick, Inc. VCLK 910.03M
Synutra International, Inc. SYUT 909.37M
Six Flags Entertainment Corporation New Common Stock SIX 908.22M
Tortoise Energy Infrastructure Corp. TYG 908.21M
Spansion Inc. CODE 907.33M
inVentiv Health Inc. VTIV 906.45M
Dole Food Company, Inc. DOLE 905.21M
SAVVIS, Inc. SVVS 905.21M
Vanguard Energy ETF VDE 901.84M
Power-One, Inc. PWER 901.69M
Infinera Corp. INFN 901.03M
Eaton Vance Municipal Bond Fund EIM 900.83M
Tutor Perini Corporation TPC 899.05M
Corinthian Colleges, Inc. COCO 898.89M
ViroPharma Incorporated VPHM 896.47M
Industrias Bachoco, SAB de CV (ADR) IBA 895.50M
ProShares UltraShort QQQ (ETF) QID 894.10M
athenahealth, Inc ATHN 893.95M
Unisys Corporation UIS 893.64M
IMAX Corporation (USA) IMAX 892.47M
Briggs & Stratton Corporation BGG 891.07M
Pioneer Southwest Energy Partners LP PSE 890.43M
JinkoSolar Holding Co., Ltd. JKS 890.23M
The Ultimate Software Group, Inc. ULTI 889.81M
The Timberland Company TBL 889.72M
MB Financial, Inc. MBFI 889.58M
Cathay General Bancorp CATY 889.55M
Louisiana-Pacific Corporation LPX 888.92M
Encore Energy Partners LP ENP 888.05M
Granite Construction Inc. GVA 887.42M
Integrated Device Technology, Inc. IDTI 886.84M
Take-Two Interactive Software, Inc. TTWO 886.53M
optionsXpress Holdings, Inc. OXPS 886.14M
Penn Virginia Corporation PVA 884.06M
Nuveen Performance Plus Municipal Fund NPP 882.53M
EnerNOC, Inc. ENOC 881.63M
Harleysville Group Inc. HGIC 881.06M
Permian Basin Royalty Trust PBT 880.91M
Odyssey HealthCare, Inc. ODSY 880.37M
WisdomTree India Earnings Fund (ETF) EPI 880.33M
NetGear, Inc. NTGR 878.33M
Orient-Express Hotels Ltd. OEH 875.09M
Gruma SAB de CV (ADR) GMK 873.66M
ArcSight Inc. ARST 873.63M
Allegiant Travel Company ALGT 872.98M
UniFirst Corporation UNF 872.31M
RAIT Financial Trust PRFD 'A' RAS-A 871.59M
SPDR DB Int'l Govt Infl Pro Bond (ETF) WIP 871.40M
MGE Energy, Inc. MGEE 869.30M
Prudential Financial, Inc. PHR 867.52M
iPath S&P GSCI Crude Oil Total Return OIL 866.13M
NetSuite Inc. N 865.61M
Energy XXI (Bermuda) Limited EXXI 864.77M
Globe Specialty Metals, Inc. GSM 864.38M
Northgate Minerals Corporation (USA) NXG 863.80M
First Financial Bancorp FFBC 863.70M
Anworth Mortgage Asset Corporation ANH 863.67M
Flagstone Reinsurance Holdings SA FSR 860.81M
Netezza Corporation NZ 860.74M
iShares MSCI United Kingdom Index (ETF) EWU 860.20M
Mahanagar Telephone Nigam Limited (ADR) MTE 859.95M
International Coal Group, Inc. ICO 857.80M
Tessera Technologies, Inc. TSRA 857.59M
HeartWare International Inc HTWR 857.37M
Government Properties Income Trust GOV 854.24M
GEROVA Financial Group, Ltd. GFC 852.43M
Calamos Convertible & Hi Income Fund CHY 851.32M
Eaton Vance Tax Managed Buy Write Opport ETV 850.98M
Diodes Incorporated DIOD 850.87M
Cohen & Steers, Inc. CNS 849.57M
Ameristar Casinos, Inc. ASCA 849.01M
Cogent, Inc. COGT 847.66M
Invesco Van Kampen Dyn Cr Opp Fund VTA 846.71M
American Public Education, Inc. APEI 846.00M
Kayne Anderson Energy Total Return Fund KYE 844.91M
Bank of America Corporation BAC Capital Trust II Gtd Cap Secs 7% BAC-V 844.56M
The Hain Celestial Group, Inc. HAIN 843.56M
RBS Capital Funding Trust VII RBS-G 840.84M
PolyOne Corporation POL 840.32M
Beneficial Mutual Bancorp, Inc. BNCL 839.82M
Forward Air Corporation FWRD 839.23M
US Bancorp (DE) PRFD 'H' USB-H 838.80M
AEGON NV AEF 837.56M
Dex One Corporation DEXO 836.76M
Merrill Lynch & Co., Inc. 6.45% Trust Preferred Securities MER-K 835.20M
Capstead Mortgage Corporation CMO 835.08M
Mine Safety Appliances MSA 834.38M
Bank of America Corp. PRFD 'J' BAC-J 832.68M
PAA Natural Gas Storage, LP PNG 830.67M
Citigroup, Inc. 6% Trust Pfd Secs C-S 830.00M
Adams Express Company ADX 829.69M
Citigroup Inc. Citigroup Capital XVII 6.35% Enhanced Trust Preferred Securities (Enhanced TRuPS) C-E 827.20M
TTM Technologies, Inc. TTMI 826.75M
hhgregg, Inc. HGG 826.70M
Nuveen Equity Premium Opportunity Fund JSN 826.40M
BreitBurn Energy Partners LP BBEP 826.06M
Genesis Energy, LP GEL 825.76M
NxStage Medical, Inc. NXTM 824.20M
Beacon Roofing Supply, Inc. BECN 823.99M
China Nuokang Bio-Pharmaceutical Inc. NKBP 823.78M
The Finish Line, Inc. FINL 822.57M
MetLife Inc MLG 821.68M
Gabelli Equity Trust Inc GAB 821.12M
Dorchester Minerals LP DMLP 820.57M
Selective Insurance Group SIGI 820.08M
National Penn Bancshares, Inc. NPBC 817.86M
Rite Aid Corporation RAD 816.85M
PrivateBancorp, Inc. PVTB 814.97M
Pharmasset, Inc. VRUS 814.39M
iShares MSCI EMU Index (ETF) EZU 810.83M
CommVault Systems, Inc. CVLT 810.25M
GMAC LLC GOM 810.00M
Starwood Property Trust, Inc. STWD 809.39M
Lexington Realty Trust LXP 809.20M
ING Prime Rate Trust PPR 806.11M
Sonus Networks, Inc. SONS 805.77M
AMCOL International Corporation ACO 803.60M
Vanguard Extended Market ETF VXF 803.08M
VimpelCom Ltd. VIP 802.55M
Western Asset High Income Fund II Inc. HIX 801.24M
ING Groep NV INZ 801.20M
Invesco Van Kampen Senior Income Trust VVR 801.00M
LDK Solar Co., Ltd. LDK 800.36M
PriceSmart, Inc. PSMT 799.53M
Euronet Worldwide, Inc. EEFT 797.81M
MasTec, Inc. MTZ 796.95M
MFS Intermediate Income Trust MIN 796.71M
Westport Innovations Inc. (USA) WPRT 796.46M
Pier 1 Imports, Inc. PIR 795.50M
Nuveen Quality Income Municipal Fund Inc NQU 794.85M
UIL Holdings Corporation UIL 793.65M
Merrill Lynch Preferred Capital Trust V MER-F 793.42M
AMAG Pharmaceuticals, Inc. AMAG 793.18M
Littelfuse, Inc. LFUS 793.00M
Cabot Microelectronics Corporation CCMP 792.20M
Meridian Bioscience, Inc. VIVO 791.48M
SPDR KBW Regional Banking (ETF) KRE 790.36M
Hugoton Royalty Trust HGT 790.00M
Invesco Van Kampen Trust For Inv Grd Mun VGM 789.96M
Northern Oil & Gas, Inc. NOG 789.54M
Bob Evans Farms, Inc. BOBE 789.31M
STEC, Inc. STEC 787.76M
Emulex Corporation ELX 786.81M
Dominion Resources Inc DRU 786.39M
J&J Snack Foods Corp. JJSF 786.13M
SPDR KBW Bank (ETF) KBE 785.88M
Goldman Sachs Group, Inc. (The) Depositary Share repstg 1/1000th Preferred Series B GS-B 785.60M
KBW, Inc. KBW 784.99M
Aurizon Mines Ltd.(USA) AZK 784.65M
Hibbett Sports, Inc. HIBB 784.18M
Tri-Continental Corporation TY 784.16M
National CineMedia, Inc. NCMI 784.13M
Regis Corporation RGS 783.98M
Community Bank System, Inc. CBU 783.43M
The Empire District Electric Company EDE 782.37M
Universal Display Corporation PANL 782.29M
Grupo Financiero Galicia SA (ADR) GGAL 782.09M
Team Health Holdings, Inc. Team Health Holdings, Inc. TMH 781.16M
Arch Chemicals, Inc. ARJ 781.04M
American Greetings Corporation AM 779.95M
Bank of America Corporation Market Index Target Term Securities Linked to S&P 500 Index SCT 779.57M
Kaiser Aluminum Corp. KALU 779.49M
Wachovia Corporation 7.85% Trust Preferred Securities WB-D 777.00M
rue21, inc. - rue21, inc. common stock RUE 776.58M
Central Gold-Trust GTU 775.96M
Gammon Gold, Inc. GRS 775.18M
Morgan Stanley PRFD 'A' MS-A 774.00M
Taseko Mines Limited (USA) TGB 773.27M
Bank of America Corporation BAC Capital Trust X 6 1/4% Capital Securities BAC-B 772.54M
Monro Muffler Brake, Inc. MNRO 771.26M
Lions Gate Entertainment Corp. (USA) LGF 771.25M
NTELOS Holdings Corp. NTLS 771.06M
Ancestry.com Inc ACOM 769.01M
Higher One Holdings, Inc ONE 766.15M
ProShares Ultra QQQ (ETF) QLD 765.52M
TETRA Technologies, Inc. TTI 765.10M
CEC Entertainment, Inc. CEC 764.02M
iShares S&P Global Mat. Sector Inde(ETF) MXI 762.96M
Sabine Royalty Trust SBR 762.94M
Amtrust Financial Services, Inc. AFSI 762.69M
Buffalo Wild Wings BWLD 762.51M
The Laclede Group, Inc. LG 760.68M
TAL International Group, Inc. TAL 759.13M
iShares S&P Global 100 Index (ETF) IOO 757.69M
MF Global Holdings Ltd MF 757.64M
Merrill Lynch & Co., Inc. 6.45% Trust Preferred Securities MER-M 757.62M
Whitney Holding Corp. WTNY 757.24M
Saul Centers, Inc. BFS 755.80M
ARGON ST, Inc. STST 755.31M
Liberty All-Star Equity Fund USA 752.63M
California Water Service Group CWT 752.26M
L-1 Identity Solutions, Inc. ID 752.24M
OM Group, Inc. OMG 752.20M
Wachovia Corporation Wachovia Capital Trust IV 6.375% Trust Preferred Securities WB-B 751.99M
RTI International Metals, Inc. RTI 751.61M
Penn Virginia GP Holdings, LP PVG 751.40M
Royal Bank of Scotland Group Plc PRFD 'T' RBS-T 751.10M
IPG Photonics Corporation IPGP 750.97M
Robbins & Myers, Inc. RBN 750.86M
Viacom Inc VNV 750.52M
Safety First Trust Series 2007-4 AKN 750.06M
Newcastle Investment Corp PRFD 'B' NCT-B 750.01M
PowerShares VRDO Tax Free Weekly Por ETF PVI 750.00M
Forrester Research, Inc. FORR 749.25M
NBT Bancorp Inc. NBTB 749.17M
Griffon Corporation GFF 748.33M
Repsol YPF SA Preferred Stock REP-A 748.20M
PacWest Bancorp PACW 747.90M
FEI Company FEIC 747.70M
ScanSource, Inc. SCSC 747.46M
General Electric Capital Corp. GED 747.00M
Balchem Corporation BCPC 746.49M
Wstrn Ast Clymr Infltn Lkd Opts & Inc Fd WIW 746.44M
Provident Financial Services, Inc. PFS 745.98M
Sykes Enterprises, Incorporated SYKE 745.89M
Cohen & Steers Quality Income Realty Inc RQI 745.58M
Citigroup Cap XX Enhanced Tr Pfd Secs Trups C-G 744.90M
Lance, Inc. LNCE 744.82M
Applied Micro Circuits Corporation AMCC 743.62M
PICO Holdings, Inc. PICO 742.27M
NACCO Industries, Inc. NC 741.18M
Checkpoint Systems, Inc. CKP 740.26M
Interval Leisure Group, Inc. IILG 739.97M
GeoEye Inc. GEOY 739.20M
Blue Nile, Inc. NILE 739.03M
First Cash Financial Services, Inc. FCFS 738.66M
Interface, Inc. IFSIA 738.33M
Templeton Emerging Markets Income Fund TEI 738.01M
Morgan Stanley Cap Tr III Capital Trust Securities MWR 736.96M
MannKind Corporation MNKD 736.32M
Phase Forward Incorporated PFWD 735.79M
Barnes & Noble, Inc. BKS 733.35M
Cognex Corporation CGNX 733.15M
Otter Tail Corporation OTTR 733.01M
The Talbots, Inc. TLB 732.71M
U-Store-It Trust YSI 731.72M
K12 Inc. LRN 731.62M
Cedar Fair, LP FUN 731.39M
Nuveen Multi-Strategy Income & Growth Fd JPC 730.18M
Molina Healthcare, Inc. MOH 729.45M
SPDR S&P Metals and Mining (ETF) XME 729.03M
Global Crossing Ltd. GLBC 728.81M
Domino's Pizza, Inc. DPZ 727.88M
GFI Group Inc. GFIG 727.21M
American Science & Engineering, Inc. ASEI 726.62M
Merrill Lynch & Co., Inc. Merrill Lynch Capital Trust III 7.375% Trust Preferred Securities MER-P 726.00M
Volterra Semiconductor Corporation VLTR 725.58M
Franklin Electric Co. FELE 725.44M
The Navigators Group, Inc NAVG 725.07M
Advanced Energy Industries, Inc. AEIS 724.30M
ING Groep NV ISF 724.00M
Helen of Troy Limited HELE 723.63M
Fronteer Gold Inc. FRG 722.53M
The Ryland Group, Inc. RYL 721.58M
Contango Oil & Gas Company MCF 721.50M
Iridium Communications Inc. IRDM 720.74M
Royce Value Trust Inc RVT 718.99M
Fifrth Third Cap Tr VI 7.250 Gtd Tr Pfd Secs FTB-B 718.78M
CNA Surety Corporation SUR 718.60M
Wachovia Preferred Funding Corp PRFD WNA- 718.50M
GulfMark Offshore, Inc. GLF 718.24M
ArthroCare Corporation ARTC 716.50M
Biotech HOLDRs (ETF) BBH 715.53M
Rubicon Minerals Corp. (USA) RBY 715.07M
NutriSystem Inc. NTRI 714.47M
Verint Systems Inc. VRNT 713.27M
PDL BioPharma Inc. PDLI 713.26M
Calgon Carbon Corporation CCC 712.81M
Iridium Communications Inc - GHL ACQUISITION CP - One (1) share of common stock and one (1) warrant IRDMU 712.78M
GMAC LLC GKM 712.15M
Apco Oil & Gas International Inc. APAGF 711.59M
Employers Holdings, Inc. EIG 710.10M
SMART Technologies Inc. SMT 709.39M
Martek Biosciences Corp. MATK 709.36M
Astec Industries, Inc. ASTE 707.88M
Arbitron Inc. ARB 707.76M
Cal-Maine Foods, Inc. CALM 706.83M
National City Corporation 6.625% Trust Pfd Sec NCC-A 705.75M
Morgan Stanley Cap Trust VI Cap Securities MSJ 705.30M
RSC Holdings Inc. RRR 705.29M
KeyCorp KEYCORP CAPITAL X 8.000% Enhanced Trust Preferred Securities KEY-F 702.80M
BAC Capital Trust XII 6 7/8% Capital Securities BAC-C 702.30M
US Bancorp 6.60% Pfd Securities USB-J 701.68M
Golar LNG Limited (USA) GLNG 701.45M
Papa John's Int'l, Inc. PZZA 701.40M
Home BancShares, Inc. HOMB 700.37M
SkyWest, Inc. SKYW 700.32M
Ixia XXIA 699.82M
BLDRS Emerging Markets 50 ADR Index(ETF) ADRE 699.76M
B Communications Ltd. BCOM 699.70M
Wachovia Cap Tr IX 6.375 Guaranteed Trust Preferred Securities 06/15/2047 WB-C 699.60M
WisdomTree Dreyfus Chinese Yuan Fd (ETF) CYB 699.16M
Deutsche Bk Contingent Cap TR II Tr Pfd Sec DXB 694.08M
Radian Group Inc. RDN 693.76M
AEGON NV AEH 693.75M
Shutterfly, Inc. SFLY 693.67M
ESCO Technologies Inc. ESE 693.42M
Atlantic Tele-Network, Inc. ATNI 693.07M
Acadia Realty Trust AKR 692.49M
Stepan Company SCL 690.57M
BJ's Restaurants, Inc. BJRI 688.59M
Interactive Brokers Group, Inc. IBKR 688.32M
Aircastle Limited AYR 688.02M
W&T Offshore, Inc. WTI 687.98M
General American Investors Co. Inc. GAM 685.12M
Insight Enterprises, Inc. NSIT 685.07M
ProShares UltraShort Telecom (ETF) TLL 684.36M
Selective Insurance Group Inc SGZ 684.16M
HSBC Finance Corp HTN 683.54M
Morgan Stanley Cap TR VIII GDT Cap Securities MSK 682.80M
Nevsun Resources (USA) NSU 681.93M
Nicholas-Applegate Cv. & inc. Fund NCV 681.88M
The Cato Corporation CATO 681.71M
The Advisory Board Company ABCO 680.98M
Seaspan Corporation SSW 680.66M
Graham Packaging Company Inc GRM 680.61M
Boyd Gaming Corporation BYD 679.73M
ING Clarion Global Real Estate Income Fd IGR 679.40M
ReneSola Ltd. (ADR) SOL 678.88M
Pimco Corporate Income Fund PIMCO Enhanced Short Maturity Strategy Fund MINT 678.51M
Lattice Semiconductor LSCC 675.95M
Wells Fargo Adv Inc Opport Fund EAD 674.85M
Carrizo Oil & Gas, Inc. CRZO 673.54M
Invacare Corporation IVC 672.64M
Rubicon Technology, Inc. RBCN 672.39M
Hersha Hospitality Trust HT 672.31M
Warner Music Group Corp. WMG 671.52M
iShares MSCI ACWI ex US Index Fund (ETF) ACWX 671.47M
Harte-Hanks, Inc. HHS 671.13M
Rofin-Sinar Technologies RSTI 670.97M
JP Morgan Chase Cap XXIV Gtd Cap Securities Ser X JPM-W 670.80M
Vitamin Shoppe, Inc Common Stock VSI 670.41M
Cyberonics, Inc. CYBX 670.02M
Amedisys, Inc. AMED 670.01M
Vanguard Mid-Cap Growth ETF VOT 669.65M
Pimco Municipal Income Fund II PML 669.49M
Monolithic Power Systems, Inc. MPWR 669.47M
BlackRock Global Energy & Resources Trus BGR 668.84M
Telvent Git, SA TLVT 668.39M
Central Garden & Pet Co. CENTA 668.34M
Deutsche Bk Cap Fdg Tr X Noncumulative Tr Preferred Secs DCE 666.13M
Merrill Lynch & Co., Inc. Preferred Stock MER-D 665.11M
NetScout Systems, Inc. NTCT 665.06M
Enzon Pharmaceuticals, Inc. ENZN 664.28M
AirTran Holdings, Inc. AAI 662.76M
Flaherty & Crumrine/Claymore Preferred S FFC 662.52M
Central Garden & Pet Co. CENT 662.34M
Prospect Capital Corporation PSEC 661.38M
Revlon, Inc. REV 661.14M
DexCom, Inc. DXCM 660.54M
iShares Barclays Credit Bond Fund (ETF) CFT 659.93M
Resolute Energy Corp REN 659.72M
Aga Medical Holdings, Inc AGAM 659.39M
Solar Capital Ltd. - $0.01 par value common stock SLRC 659.29M
Multi-Fineline Electronix, Inc. MFLX 658.72M
CSG Systems International, Inc. CSGS 657.92M
Calumet Specialty Products Partners, LP CLMT 657.62M
Quanex Building Products Corporation NX 657.19M
RBC Bearings Incorporated ROLL 656.75M
Newpark Resources, Inc. NR 656.75M
Altisource Portfolio Solutions SA ASPS 656.67M
Administaff, Inc. ASF 655.82M
LogMeIn, Inc. LOGM 655.13M
Whiting Petroleum Corp PRFD 'A' WLL-A 655.02M
Northern Dynasty Minerals Ltd. (USA) NAK 654.11M
Cresud Inc. (ADR) CRESY 653.97M
Vanguard High Dividend Yield ETF VYM 653.65M
Blackrock Muniyield Fund Inc. MYD 653.25M
Barclays Bank Plc PRFD BCS- 652.50M
Raven Industries, Inc. RAVN 652.10M
Wells Fargo Cap XIV GTD Enhanced Tr Pfd Secs-TRUPS % WCO 652.08M
National Presto Industries Inc. NPK 651.66M
FBL Financial Group FFG 651.59M
Genesco Inc. GCO 651.28M
National Beverage Corp. FIZZ 650.80M
Niska Gas Storage Partners LLC NKA 650.74M
DealerTrack Holdings, Inc. TRAK 649.70M
OCLARO INC OCLRE 649.25M
ION Geophysical Corporation IO 648.71M
Investors Real Estate Trust IRET 648.13M
Investment Technology Group ITG 647.98M
World Acceptance Corp. WRLD 646.84M
American States Water Company AWR 646.58M
Jaguar Mining Inc. JAG 646.49M
BlackRock Real Asset Trust BCF 646.47M
Nuveen Munpl Markt Opp Fund, Inc. (ADR) NMO 646.18M
ACI Worldwide Inc ACIW 645.50M
RBS Capital Funding Trust V RBS-E 645.50M
MDS Inc. (USA) MDZ 645.46M
Ferro Corporation FOE 645.11M
Halozyme Therapeutics, Inc. HALO 645.07M
Legg Mason, Inc. LMI 644.46M
Net 1 UEPS Technologies, Inc. UEPS 643.92M
Alnylam Pharmaceuticals, Inc. ALNY 643.68M
Inland Real Estate Corporation IRC 643.63M
Cousins Properties Inc CUZ 643.53M
Wells Fargo Adv Multi-Sector Inco Fund ERC 643.02M
Intermec Inc. IN 642.48M
Bank of the Ozarks, Inc. OZRK 642.46M
Direxion Small Cap Bear 3X Shares (ETF) TZA 642.33M
Ford Motor Credit Company LLC FCZ 642.32M
Entegris, Inc. ENTG 642.24M
Manhattan Associates, Inc. MANH 641.46M
CVR Energy, Inc. CVI 641.43M
DTS Inc. DTSI 640.80M
Luminex Corporation LMNX 640.74M
Neogen Corporation NEOG 640.51M
Ivanhoe Energy Inc. (USA) IVAN 640.11M
BB&T Corporation Enhanced Trust Preferred Securities BBT-B 640.09M
PowerShares Emerging Markets Sovere(ETF) PCY 639.85M
CH Energy Group, Inc. CHG 639.65M
State Auto Financial STFC 639.15M
United Rentals, Inc. URI 638.88M
Infinity Property and Casualty Corp. IPCC 638.11M
Nuveen Municipal Advantage Fund, Inc. NMA 637.91M
The Andersons, Inc. ANDE 637.74M
Group 1 Automotive, Inc. GPI 637.71M
iShares MSCI Malaysia Index Fund (ETF) EWM 635.97M
Vicor Corporation VICR 635.68M
Calamos Conv. Opptys. & Income Fund CHI 634.23M
FirstService Corporation (USA) FSRV 634.09M
IRSA Inversiones Representaciones (ADR) IRS 633.65M
SonicWALL, Inc. SNWL 633.64M
Darling International Inc. DAR 633.17M
iShares Dow Jones US Energy Sector (ETF) IYE 631.06M
Kraton Performance Polymers Inc KRA 629.57M
51job, Inc. (ADR) JOBS 629.42M
AutoNavi Holdings Ltd AMAP 628.93M
True Religion Apparel, Inc. TRLG 628.88M
Kearny Financial Corp. KRNY 628.83M
Vanguard Total World Stock Idx Fd (ETF) VT 628.83M
China Yuchai International Limited CYD 627.96M
Clearwater Paper Corp CLW 627.73M
Piper Jaffray Companies PJC 627.32M
Mobile Mini, Inc. MINI 627.13M
BlackRock Credit All Inc Trust IV BTZ 626.08M
Micrel, Incorporated MCRL 625.95M
AAR Corp. AIR 625.39M
Brown Shoe Company, Inc. BWS 625.00M
Tennessee Valley Authority Common Stock TVC 623.30M
Belo Corp. BLC 622.79M
CurrencyShares Canadian Dollar Trust FXC 622.31M
Compass Diversified Holdings CODI 622.26M
Art Technology Group, Inc. ARTG 621.77M
Tennant Company TNC 619.76M
Knoll, Inc. KNL 618.97M
A. Schulman, Inc. SHLM 618.64M
Synchronoss Technologies, Inc. SNCR 617.02M
Exterran Partners, LP EXLP 616.87M
Constant Contact, Inc. CTCT 616.15M
Banco Santander, SA 6.50% Non-Cumulative Series 5 Guaranteed Preferred Securities STD-C 615.60M
Comtech Telecomm. Corp. CMTL 615.17M
Corriente Resources Inc. CRRRF 614.86M
Horace Mann Educators Corporation HMN 614.63M
Vanguard Mid-Cap Value ETF VOE 614.04M
Pinnacle Entertainment, Inc PNK 613.25M
Universal Forest Products, Inc. UFPI 613.15M
China Fund Inc. (The) CHN 612.83M
BancFirst Corporation BANF 612.80M
Alpine Global Premier Properties Fund AWP 612.57M
Clough Global Opportunities Fund GLO 612.57M
Martin Midstream Partners LP MMLP 612.22M
BlackRock MuniVest Fund Inc. MVF 611.94M
Barclays Bank PLC Exchnage Traded Note VXZ 611.92M
DineEquity, Inc. DIN 611.46M
Korn/Ferry International KFY 611.29M
General Electric Capital Corp. GEG 610.32M
Financial Engines Inc FNGN 609.93M
iShares Dow Jones US Basic Mater. (ETF) IYM 608.75M
Parkway Properties, Inc. PKY-D 608.42M
USANA Health Sciences, Inc. USNA 607.48M
Allos Therapeutics, Inc. ALTH 607.17M
XL Capital Ltd. PRFD 'Y' XL-Y 606.74M
SunTrust Banks, Inc. Suntrust Capital IX 7.875% Trust Preferred Securities STI-Z 606.48M
Nuveen Multi-Currency Short-Term Government Income Fund Nuveen Multi-Currency Short-Term Government Income Fund Common Shares of Beneficial Interest JGT 606.46M
Deutsche Bank AG DB Gold Double Long ETN DGP 606.39M
Innophos Holdings, Inc. IPHS 606.38M
WD-40 Company WDFC 605.89M
Ruby Tuesday, Inc. RT 605.60M
BlackRock Ltd. Duration Income Trust BLW 605.36M
Opko Health Inc. OPK 604.90M
Eaton Vance Enhanced Equity Incm. Fd. II EOS 604.22M
Wright Medical Group, Inc. WMGI 603.96M
Macquarie Infrastructure Company LLC MIC 602.88M
MWI Veterinary Supply, Inc. MWIV 601.96M
Blackrock Municipal Income Trust BFK 601.81M
Safety Insurance Group, Inc. SAFT 600.92M
Harmonic Inc. HLIT 600.91M
Glimcher Realty Trust PRFD 'G' GRT-G 600.80M
iShares Dow Jones US Index Fund (ETF) IYY 600.51M
Superior Well Services, Inc. SWSI 599.07M
Steiner Leisure Limited STNR 598.58M
Sauer-Danfoss Inc. SHS 598.58M
Arena Pharmaceuticals, Inc. ARNA 598.25M
iShares Dow Jones US Healthcare (ETF) IYH 597.73M
Transportadora de Gas del Sur SA (ADR) TGS 597.46M
Lumber Liquidators Holdings, Inc. LL 596.39M
Cal Dive International, Inc. DVR 596.28M
Targacept , Inc. TRGT 596.21M
Triple-S Management Corp. GTS 595.43M
American Equity Investment Life Holding AEL 595.38M
Analogic Corporation ALOG 595.27M
Hanger Orthopedic Group, Inc. HGR 595.11M
ProShares UltraShort Financials (ETF) SKF 594.57M
Quicksilver Gas Services LP KGS 594.41M
Kaman Corporation KAMN 593.68M
Vanguard Consumer Staples ETF VDC 593.38M
Cincinnati Bell Inc. CBB 593.36M
InterMune, Inc. ITMN 592.38M
SPDR S&P Emerging Asia Pacific (ETF) GMF 592.35M
Santander BanCorp SBP 591.85M
ProShares UltraShort Russell2000 (ETF) TWM 591.64M
Badger Meter, Inc. BMI 590.63M
Solarfun Power Holdings Co., Ltd. (ADR) SOLF 590.14M
Blackrock Kelso Capital Corp. BKCC 590.12M
Zumiez Inc. ZUMZ 589.77M
LTC Properties, Inc. LTC 589.39M
Goldman Sachs Group, Inc. (The) Depositary Shares each representing 1/1000th Interest in a Share of Floating Rate Non-Cumulative Preferred Stock Series A GS-A 588.90M
BlackRock Enhanced Capital and Income Fd CII 588.41M
Nuveen Div Adv Muni Fd 3 Ben Int NZF 587.90M
Emergent BioSolutions Inc. EBS 587.60M
Ebix, Inc. EBIX 586.92M
QuinStreet Inc QNST 586.27M
Harbin Electric, Inc. HRBN 585.93M
Mueller Water Products, Inc. MWA 585.42M
Emeritus Corporation ESC 585.03M
Great Basin Gold Ltd. (USA) GBG 584.95M
Bio-Reference Laboratories, Inc. BRLI 584.51M
Comcast Corp CCT 584.16M
Hilltop Holdings Inc. HTH 584.12M
Gentiva Health Services, Inc. GTIV 583.33M
EnPro Industries, Inc. NPO 581.65M
American Axle & Manufact. Holdings, Inc. AXL 580.08M
Landauer, Inc. LDR 579.14M
ETFS Gold Trust ETF SGOL 578.25M
Getty Realty Corp. GTY 577.80M
Churchill Downs, Inc. CHDN 577.79M
Internet Initiative Japan Inc. (ADR) IIJI 577.66M
PAETEC Holding Corp. PAET 577.56M
AmSurg Corp. AMSG 577.00M
3PAR Inc. PAR 576.89M
Brookline Bancorp, Inc. BRKL 576.21M
Arkansas Best Corporation ABFS 576.19M
MI Developments Inc. (USA) MIM 574.98M
Gulfport Energy Corporation GPOR 574.89M
Gabelli Global Gold, Natural Res &Income GGN 574.83M
Canadian Solar Inc. CSIQ 574.53M
Resources Connection, Inc. RECN 573.97M
Interline Brands, Inc. IBI 573.21M
PowerShares WilderHill Clean Energy(ETF) PBW 573.05M
RailAmerica, Inc. RA 572.32M
SPDR S&P International Small Cap (ETF) GWX 572.01M
McGrath RentCorp MGRC 571.38M
Petroleum Development Corporation PETD 570.96M
Atlas Pipeline Partners, LP APL 570.96M
Northfield Bancorp, Inc. NFBK 570.76M
Speedway Motorsports, Inc. TRK 570.36M
USEC Inc. USU 569.04M
Systemax Inc. SYX 568.35M
Questcor Pharmaceuticals, Inc. QCOR 568.34M
PIMCO Corporate Income Fund PCN 568.31M
Blackrock MuniHoldings CA Insrd Fnd Inc. MUC 568.15M
American International Group, Inc. AIG-A 567.36M
Texas Capital Bancshares, Inc. TCBI 566.65M
Grupo Aeroportuario del Centro Nort(ADR) OMAB 565.97M
Genco Shipping & Trading Limited GNK 565.90M
COMSCORE, Inc. SCOR 565.87M
Pampa Energia SA (ADR) PAM 565.68M
FormFactor, Inc. FORM 565.03M
Kforce Inc. KFRC 564.49M
JPMORGAN CAP XXIV JPM-WD 564.46M
BlackRock Enhanced Dividend Achievers Tr BDJ 563.11M
Celera Corporation CRA 562.44M
Nuveen Premium Income Muni Fd 4 NPT 561.65M
US Gold Corporation UXG 561.28M
Lincoln Educational Services Corporation LINC 561.26M
Nuveen Insured Quality Muncipal Fund Inc NQI 559.97M
Ameron International Corporation AMN 559.13M
Vanguard Health Care ETF VHT 559.10M
Babcock Common Stock BWC* 558.67M
Insulet Corporation PODD 558.55M
AutoChina International Limited AUTC 558.43M
Global Industries, Ltd. GLBL 558.42M
Eaton Vance Floating-Rate Income Trust EFT 558.05M
Vanguard Short-Term Corporate Bond ETF VCSH 557.28M
Mellanox Technologies, Ltd. MLNX 557.19M
Forestar Group Inc. FOR 557.17M
Sycamore Networks, Inc. SCMR 556.69M
Brightpoint, Inc. CELL 556.52M
iShares MSCI South Africa Index (ETF) EZA 556.20M
Minefinders Corp. Ltd. (USA) MFN 555.87M
Winn-Dixie Stores, Inc. WINN 555.82M
Westar Energy Inc WRS 554.49M
ExlService Holdings, Inc. EXLS 554.21M
Blackrock Muni Intermediate Drtn Fnd Inc MUI 553.79M
Micromet Inc. MITI 553.70M
Rush Enterprises, Inc. RUSHA 553.68M
Western Asset Emerging Mrkts Dbt Fnd Inc ESD 552.71M
Crosstex Energy, LP XTEX 551.22M
Ceradyne, Inc. CRDN 551.17M
Terremark Worldwide, Inc. TMRK 550.79M
Comcast Corp CCS 550.66M
Rush Enterprises, Inc. RUSHB 550.63M
First Potomac Realty Trust FPO 550.20M
S&T Bancorp, Inc. STBA 550.00M
Universal Technical Institute, Inc. UTI 549.86M
Sonic Corporation SONC 549.79M
Van Kampen Advantage Muni Incm Tr II VKI 549.74M
Nuveen Div. Advantage Muni. Fund NAD 549.63M
Chiquita Brands International, Inc. CQB 549.35M
Invesco Van Kampen Municipal Trust VKQ 549.15M
Hughes Communications Inc. HUGH 548.99M
Super Micro Computer, Inc. SMCI 548.96M
United Online, Inc. UNTD 548.94M
Sealy Corp. ZZC 548.73M
US Bancorp (DE) PRFD 'L' USB-L 548.40M
Western Asset Managed Municipals Fnd Inc MMU 548.26M
Oritani Financial Corp. ORITD 547.98M
Bank of America Corp. PRFD 'I' BML-I 546.78M
Torm A/S (ADR) TRMD 545.69M
Tredegar Corporation TG 545.58M
Deltic Timber Corporation DEL 545.47M
CurrencyShares Australian Dollar Trust FXA 545.06M
Hartford Financial Services Group Inc. PRFD 'A' HIG-A 544.14M
MetLife Inc PRFD 'A' MET-A 543.60M
PIMCO ETF TRUST 1-5 YR US TIPS INDEX STPZ 542.85M
John Hancock Patriot Premium Div Fund II PDT 542.67M
CAMAC Energy Inc CAK 542.49M
Tsakos Energy Navigation Ltd. TNP 542.23M
Heartland Payment Systems, Inc. HPY 541.38M
Stone Energy Corporation SGY 540.84M
Tyler Technologies, Inc. TYL 540.54M
Brooks Automation, Inc.(USA) BRKS 539.45M
PowerShares FTSE RAFI US 1000 (ETF) PRF 539.37M
Republic Bancorp, Inc. KY RBCAA 538.24M
BlackRock MuniHolding Insured Investm MFL 537.53M
United Fire & Casualty UFCS 537.11M
Kelly Services, Inc. KELYA 537.00M
7 DAYS GROUP HOLDINGS LIMITED(ADR) SVN 536.58M
Black Box Corporation BBOX 536.30M
iShares Dow Jones US Telecom (ETF) IYZ 536.11M
Quiksilver, Inc. ZQK 535.69M
Cohen & Steers REIT/Pfd Inc Fd RNP 534.84M
JP Morgan Chase & Co. Preferred Stock Series N JPM-Y 534.82M
National Western Life Insurance Company NWLI 534.25M
Park Electrochemical Corp. PKE 533.34M
Himax Technologies, Inc. (ADR) HIMX 533.30M
Oriental Financial Group, Inc. PRFD 'A' OFG-A 532.90M
AeroVironment, Inc. AVAV 532.74M
Vanguard Natural Resources, LLC VNR 532.74M
Peet's Coffee & Tea, Inc. PEET 532.66M
Deltek Inc. PROJ 532.26M
Meritage Homes Corporation MTH 532.25M
The PMI Group, Inc. PMI 532.15M
Cardtronics, Inc. CATM 531.05M
Chart Industries, Inc. GTLS 530.61M
ZOLL Medical Corporation ZOLL 530.29M
PH Glatfelter Company GLT 529.72M
Invesco Mortgage Capital Inc IVR 528.88M
SPDR S&P Homebuilders (ETF) XHB 528.81M
Standard Microsystems Corporation SMSC 528.55M
SPDR S&P China (ETF) GXC 528.18M
General Maritime Corporation GMR 528.10M
RCN Corporation RCNI 527.44M
Clayton Williams Energy, Inc. CWEI 527.36M
RehabCare Group, Inc. RHB 527.34M
John Hancock Tax-Advantage Dvd Incom Fd. HTD 526.20M
Greatbatch Inc. GB 525.59M
Tesco Corporation (USA) TESO 525.57M
ImmunoGen, Inc. IMGN 525.20M
CONMED Corporation CNMD 524.96M
Sourcefire, Inc. FIRE 524.75M
Chemical Financial Corporation CHFC 524.46M
ProShares UltraShort Dow30 (ETF) DXD 524.45M
EZchip Semiconductor Ltd. EZCH 524.36M
BlackRock MuniYield New York Insured Fnd MYN 524.24M
iShares Dow Jones Transport. Avg. (ETF) IYT 523.71M
Oclaro, Inc. OCLR 523.49M
bebe stores, inc. BEBE 523.42M
Fifth Third Bancorp - Depositary Shares representing 1/250th of 8.5% Series G Non-Cum Perp Conv Preferred Stock FITBP 523.42M
PowerShares DB Oil Fund (ETF) DBO 523.37M
RightNow Technologies RNOW 523.32M
Nuveen Investment Quality Munl Fund (ADR NQM 522.99M
Public Storage PRFD 'I' PSA-I 522.68M
Layne Christensen Company LAYN 522.22M
Eaton Vance Enhanced Equity Income Fund EOI 522.19M
Bank of America Corp. PRFD 'D' BAC-D 522.07M
Navios Maritime Holdings Inc. NM 521.60M
Western Alliance Bancorporation WAL 521.49M
Hollysys Automation Technologies Ltd HOLI 521.28M
Globalstar, Inc. GSAT 521.04M
WisdomTree Emerging Markets Eq Inc (ETF) DEM 519.27M
Sun Communities, Inc. SUI 518.35M
ProShares Ultra Real Estate (ETF) URE 518.21M
Consolidated Communications Holdings Inc CNSL 518.02M
CKX Inc. CKXE 517.60M
Rosetta Stone Inc. RST 516.95M
Protalix BioTherapeutics Inc. PLX 516.77M
MFS Multimarket Income Trust MMT 516.51M
Petroleum & Resources Corporation PEO 516.48M
B&G Foods, Inc. BGS 516.19M
TransMontaigne Partners LP TLP 516.18M
Orthofix International NV OFIX 515.20M
Sterling Bancshares, Inc. SBIB 514.45M
SunPower Corporation SPWRB 514.06M
Morgan Stanley Cap Tr IV Gtd Cap Secs MWG 514.05M
Nicholas-Applegate Conv. & Inc Fund II NCZ 513.82M
HSBC Finance Corp PRFD 'B' HFC-B 512.67M
ASA Limited ASA 512.44M
Dreyfus Strategic Muni. LEO 512.41M
Royal Bank of Scotland Group Plc PRFD 'L' RBS-L 512.38M
OSI Systems, Inc. OSIS 512.37M
AZZ Incorporated AZZ 511.52M
Verigy Ltd. VRGY 510.92M
MFS Charter Income Trust MCR 510.31M
Morgan Stanley India Investment Fund Inc IIF 510.04M
Nuveen Floating Rate Income Fund JFR 510.02M
Entropic Communications, Inc. ENTR 509.71M
iShares S&P Global Healthcare Sect.(ETF) IXJ 509.41M
Pennsylvania REIT PEI 509.34M
Eagle Rock Energy Partners,LP, EROC 508.48M
Nuveen Select Quality Municipal Fund Inc NQS 508.28M
iRobot Corporation IRBT 508.17M
General Electric Capital Corp. GER 508.00M
Radiant Systems, Inc. RADS 507.46M
Internet Brands, Inc. INET 507.37M
Deutsche Bank Cap Fdg Tr VIII 6.375% Tr Pfd Secs DUA 507.34M
James River Coal Company JRCC 506.07M
ICU Medical, Incorporated ICUI 505.62M
Avid Technology, Inc. AVID 505.47M
Stratasys, Inc. SSYS 505.39M
Independent Bank Corp. (MA) INDB 504.94M
Eaton Vance Senior Floating Rate Fund EFR 504.59M
Bank One Corporation Bank One Capital VI 7.20% Pfd JPM-O 504.40M
Albany International Corp. AIN 504.12M
Tortoise Energy Capital Corporation TYY 503.81M
Telephone and Data Systems, Inc. TDA 503.60M
Kindred Healthcare, Inc. KND 502.99M
Kulicke and Soffa Industries Inc. KLIC 502.77M
Cott Corporation (USA) COT 502.63M
M & F Worldwide Corp. MFW 502.49M
Blount International, Inc. BLT 502.27M
Marten Transport, Ltd MRTN 501.76M
Putnam Municipal Opportunities Trust PMO 501.59M
Stewart Enterprises, Inc. STEI 501.21M
Zoran Corporation ZRAN 501.19M
The Gorman-Rupp Company GRC 501.15M
Maidenform Brands, Inc. MFB 501.15M
Boise Inc. BZ 500.93M
China Automotive Systems, Inc. CAAS 500.63M
Fuel Systems Solutions, Inc. FSYS 500.60M
Heckmann Corporation HEK 500.25M
Columbia Banking System, Inc. COLB 499.61M
ATP Oil & Gas Corporation ATPG 499.55M
Nash-Finch Company NAFC 499.32M
North American Palladium Ltd. PAL 498.34M
Charming Shoppes, Inc. CHRS 498.22M
Electronics For Imaging, Inc. EFII 498.06M
Navios Maritime Partners LP NMM 496.63M
Energy Partners, Ltd. EPL 496.40M
Lexicon Pharmaceuticals, Inc. LXRX 495.98M
FelCor Lodging Trust Incorporated FCH 494.96M
Mediacom Communications Corporation MCCC 494.56M
ATMI, Inc. ATMI 494.39M
JPMorgan Chase Capital XIX 6.625% Capital Securities, Series S JPM-S 494.20M
Citi Trends, Inc. CTRN 494.01M
US Bancorp USB Capital XII 6.37% Trust Preferred Securities USB-K 493.60M
JP Morgan Chase & Co. JPMorgan Chase Capital XVI 6.35% Capital Securities, Series P JPM-P 493.20M
CARDIOME PHARMA CORP CRME 492.97M
DWS Municipal Income Trust KTF 492.62M
Citigroup, Inc. Citigroup Capital VI 6 7/8% Capital Securities (TruPS) Preferred Stock C-Q 492.00M
TransGlobe Energy Corporation (USA) TGA 490.85M
USB Cap X Preferred Stock USB-I 490.60M
Epicor Software Corporation EPIC 490.48M
Banco Santander, SA 6.80% Non-cumulative Series 4 Guaranteed Preferred Securities STD-A 490.20M
Given Imaging Ltd. GIVN 489.83M
iShares Brclys Intrdte Gov/Crt Bd Fd GVI 489.78M
RealNetworks, Inc. RNWK 489.61M
John Hancock Preferred Income Fund III HPS 489.18M
MTS Systems Corporation MTSC 488.72M
Fifth Street Finance Corp. FSC 488.60M
Sprott Physical Gold Trust PHYS 487.90M
iShares S&P Global Technology Sect.(ETF) IXN 487.56M
Boston Private Financial Holdings Inc BPFH 486.75M
iShares Dow Jones US Utilities (ETF) IDU 486.55M
Geron Corporation GERN 486.00M
ATC Technology Corp. ATAC 485.30M
Flagstar Bancorp, Inc. FBC 484.43M
BB&T Capital Trust V Enhanced Tr Pfd Secs BBT-A 484.20M
TNS, Inc. TNS 482.97M
National HealthCare Corporation NHC 482.57M
SPDR S&P Oil & Gas Explore & Prod. (ETF) XOP 482.06M
ZHONGPIN INC. HOGS 481.64M
Shuffle Master, Inc. SHFL 481.22M
KapStone Paper and Packaging Corp. KS 481.13M
Sonic Automotive, Inc. SAH 480.80M
Nuveen Insured Premium Incm. Mun. Fnd II NPX 479.63M
Nuveen California Dividend Advantage Municipal Fund 2 NVX 479.58M
Urstadt Biddle Properties Inc PRFD 'D' UBP-D 479.40M
Coca-Cola Bottling Co. Consolidated COKE 479.31M
Inter Parfums, Inc. IPAR 478.63M
Ford Motor Credit Company LLC FCJ 478.00M
Vanguard Utilities ETF VPU 476.98M
Blue Square-Israel Ltd. (ADR) BSI 476.98M
KeyCorp Capital IX 6.750% Enhanced Trust Preferred Securities KEY-E 476.80M
CIRCOR International, Inc. CIR 476.17M
Invesco Van Kampen Muni Opp Trust VMO 476.06M
Huron Consulting Group HURN 476.01M
Fifth Third Cap Tr V Guarenteed Tr Preferred Securities FTB-A 476.00M
Kelly Services, Inc. KELYB 475.78M
Public Storage PRFD 'M' PSA-M 475.48M
Kimco Realty Corp. PRFD 'G' KIM-G 475.27M
Simmons First National Corporation SFNC 475.20M
Blackrock Dividend Achievers Trust BDV 474.93M
CorVel Corporation CRVL 474.80M
Rex Energy Corporation REXX 474.77M
Duoyuan Global Water Inc DGW 474.51M
Maiden Holdings, Ltd. MHLD 474.47M
EPIQ Systems, Inc. EPIQ 474.30M
Safe Bulkers, Inc. SB 473.59M
Bank of America Corporation BAC Capital Trust I 7% Capital Securities BAC-W 473.20M
Constellation Energy Group, Inc. PRFD 'A' CEG-A 472.86M
National City Corporation 6.625% Trust Preferred Securities NCC-B 472.80M
Exponent, Inc. EXPO 472.61M
Simcere Pharmaceutical Group SCR 472.60M
TrueBlue, Inc. TBI 472.52M
Volcom, Inc. VLCM 472.13M
The Medicines Company MDCO 471.71M
Meadowbrook Insurance Group, Inc. MIG 471.10M
Dime Community Bancshares, Inc. DCOM 470.11M
Encore Wire Corporation WIRE 469.81M
Blackrock Muniyield California Ins Fund MCA 469.54M
NIC Inc. EGOV 469.51M
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