Wednesday, August 25, 2010

More M&A Coming in soon ? What Cramer think?

Here the clip CNBC Cramer ponders whether takeovers and acquisitions is what this market needs.



During regular trading hours, there were many stocks that continued to break up to the upside or down side.These are the Best-Performing Year-to-Date Stocks on August 25, 2010.Watch list (subject to change; not a "buy" or "sell" recommendation). You can find  Daily Hot Stocks to Watch- Right Here

No. Ticker Company Sector Performance (Month)

1 XOMAD XOMA Ltd. Healthcare 767.74%

2 BOFL Bank of Florida Corporation Financial 200.00%

3 PAR 3PAR, Inc. Technology 175.31%

4 UNCA Unica Corporation Technology 134.34%

5 ICOP ICOP Digital Inc. Consumer Goods 131.11%

6 XJT ExpressJet Holdings Inc. Services 129.31%

7 AAU Almaden Minerals Ltd. Basic Materials 127.96%

8 BSDM BSD Medical Corp. Healthcare 106.48%

9 KGJI Kingold Jewelry, Inc. Basic Materials 100.00%

10 CCBP Comm Bancorp Inc. Financial 84.69%

11 INTX Intersections Inc. Services 80.95%

12 OSTE Osteotech, Inc. Healthcare 80.79%

13 PDL-B Presidential Realty Corp. Financial 75.70%

14 VGZ Vista Gold Corp. Basic Materials 73.68%

15 BAYN Bay National Corp. Financial 71.43%

16 SUF Sulphco Inc. Basic Materials 66.67%

17 INUV Inuvo, Inc. Services 64.71%

18 WXCO WHX Corp. Industrial Goods 64.29%

19 RPRX Repros Therapeutics Inc. Healthcare 62.16%

20 JKS JinkoSolar Holding Co., Ltd. Industrial Goods 60.54%

21 TRBN Trubion Pharmaceuticals Inc. Healthcare 56.14%

22 HABC Habersham Bancorp Financial 56.00%

23 ICH Investors Capital Holdings, Ltd. Financial 52.87%

24 EFOI Energy Focus, Inc. Consumer Goods 51.08%

25 VIAP VIA Pharmaceuticals, Inc. Healthcare 50.00%

26 POT Potash Corp. of Saskatchewan, Inc. Basic Materials 49.77%

27 BDR Blonder Tongue Laboratories Inc. Technology 49.59%

28 HSFT hiSoft Technology International Ltd. Technology 49.48%

29 ALY Allis-Chalmers Energy, Inc. Basic Materials 48.85%

30 MFE McAfee, Inc. Technology 47.31%

31 NANO Nanometrics Incorporated Technology 47.04%

32 PPCO Penwest Pharmaceuticals Co. Healthcare 46.76%

33 FVE Five Star Quality Care Inc. Healthcare 46.58%

34 HSWI HSW International, Inc. Technology 45.67%

35 DATA DATATRAK International, Inc. Technology 43.94%

36 ASB AdvanSource Biomaterials Corporation Healthcare 43.48%

37 PRXI Premier Exhibitions Inc. Services 42.74%

38 SHZ China Shen Zhou Mining & Resources, Inc. Basic Materials 42.67%

39 AHD Atlas Pipeline Holdings LP Basic Materials 42.55%

40 AMTY Amerityre Corp. Consumer Goods 42.42%

41 SOXS Direxion Daily Semicondct Bear 3X Shares Financial 41.81%

42 RDCM Radcom Ltd. Technology 41.58%

43 ANV Allied Nevada Gold Corp. Basic Materials 39.81%

44 CYAN Cyanotech Corp. Healthcare 39.78%

45 MGH Minco Gold Corporation Basic Materials 39.62%

46 BORN China New Borun Corporation Consumer Goods 39.62%

47 SOFO Sonic Foundry Inc. Technology 38.91%

48 APL Atlas Pipeline Partners LP Basic Materials 38.62%

49 CACB Cascade Bancorp Financial 37.78%

50 HLCS Helicos BioSciences Corporation Healthcare 37.50%

51 MKTY Mechanical Technology Inc. Technology 37.25%

52 WTU Williams Coal Seam Gas Royalty Trust Financial 34.05%

53 DEPO DepoMed Inc. Healthcare 33.94%

54 BOSC B.O.S. Better Online Solutions Ltd. Technology 33.66%

55 LPTH LightPath Technologies Inc. Technology 33.49%

56 KRO Kronos Worldwide Inc. Basic Materials 33.48%

57 NSU Nevsun Resources Ltd. Basic Materials 33.43%

58 HAUP Hauppauge Digital Inc. Technology 33.33%

59 TLR Timberline Resources Corp. Basic Materials 33.26%

60 CAGC China Agritech Inc. Services 33.16%

61 AZC Augusta Resource Corp. Basic Materials 32.57%

62 ASYS Amtech Systems Inc. Technology 32.52%

63 GBNK Guaranty Bancorp Financial 32.35%

64 RBY Rubicon Minerals Corporation Basic Materials 32.20%

65 TMM Grupo TMM S.A.B. Services 31.84%

66 CUO Continental Materials Corp. Industrial Goods 31.82%

67 PCLN priceline.com Incorporated Services 31.63%

68 CHTP Chelsea Therapeutics International Ltd. Healthcare 31.60%

69 RSCR Res-Care Inc. Services 31.36%

70 PCBC Pacific Capital Bancorp Financial 31.06%

71 SVN 7 Days Group Holdings Limited Services 30.94%

72 FLXS Flexsteel Industries Inc. Consumer Goods 30.49%

73 DYN Dynegy Inc. Utilities 30.48%

74 NNBR NN Inc. Industrial Goods 29.86%

75 UPG Universal Power Group Inc. Services 29.58%

76 USBI United Security Bancshares Inc. Financial 29.54%

77 IPGP IPG Photonics Corporation Technology 29.49%

78 AZK Aurizon Mines Ltd. Basic Materials 29.26%

79 TMF Direxion Daily 30 Yr Trs Bull 3X Shares Financial 29.26%

80 NLTX Nile Therapeutics, Inc Healthcare 29.17%

81 ERI Emrise Corp. Consumer Goods 28.90%

82 HGRD Health Grades Inc. Technology 28.86%

83 GNBT Generex Biotechnology Corp. Healthcare 28.82%

84 HTHT China Lodging Group, Limited Services 28.72%

85 HOOK Craft Brewers Alliance, Inc. Consumer Goods 28.66%

86 MMR McMoRan Exploration Co. Basic Materials 28.59%

87 FRG Fronteer Gold Inc Basic Materials 28.52%

88 FFNM First Federal of Northern Michigan Bancorp, Inc. Financial 28.50%

89 LGL The LGL Group, Inc. Technology 28.21%

90 ENTN Entorian Technologies, Inc. Technology 27.86%

91 FOLD Amicus Therapeutics, Inc. Healthcare 27.82%

92 AMRN Amarin Corporation plc Healthcare 27.27%

93 ZSTN ZST Digital Networks, Inc. Technology 27.25%

94 HCKT The Hackett Group, Inc. Services 26.86%

95 SKH Skilled Healthcare Group, Inc. Healthcare 26.77%

96 SMMF Summit Financial Group Inc. Financial 26.77%

97 SRTY ProShares UltraPro Short Russell2000 Financial 26.72%

98 TZA Direxion Daily Small Cap Bear 3X Shares Financial 26.71%

99 ORNG Orange 21 Inc. Consumer Goods 26.67%

100 URRE Uranium Resources, Inc. Basic Materials 26.60%

101 CMKG mktg, inc. Services 26.47%

102 SSG UltraShort Semiconductor ProShares Financial 26.38%

103 HWK Hawk Corp. Industrial Goods 26.30%

104 CBIN Community Bank Shares of Indiana Inc. Financial 25.90%

105 MDCO Medicines Co. Healthcare 25.77%

106 WLDN Willdan Group, Inc. Services 25.48%

107 MOS Mosaic Co. Basic Materials 25.42%

108 KGN Keegan Resources Inc. Basic Materials 25.20%

109 CHRM Charm Communications Inc. Services 25.20%

110 GBG Great Basin Gold Ltd. Basic Materials 25.15%

111 WWWW Web.com Group, Inc. Technology 25.07%

112 ALDA Aldila Inc. Consumer Goods 25.06%

113 CAPS Capstone Therapeutics Corp. Healthcare 25.00%

114 TYP Direxion Daily Technology Bear 3X Shares Financial 24.80%

115 PTEC Phoenix Technologies Ltd. Technology 24.75%

116 CML Compellent Technologies, Inc. Technology 24.71%

117 MVG Mag Silver Corp. Basic Materials 24.70%

118 FAZ Direxion Daily Financial Bear 3X Shares Financial 24.46%

119 GGAL Grupo Financiero Galicia S.A. Financial 24.41%

120 SPEX Spherix Inc. Healthcare 24.41%

121 CSCX Cardiac Science Corporation Healthcare 24.00%

122 NGD New Gold, Inc. Basic Materials 23.55%

123 CVLT CommVault Systems, Inc. Technology 23.54%

124 VHI Valhi, Inc. Basic Materials 23.42%

125 TNH Terra Nitrogen Company, L.P. Basic Materials 23.41%

126 PZZ Prospect Medical Holdings Inc. Healthcare 23.31%

127 CCM Concord Medical Services Holdings Limited Healthcare 23.24%

128 ZGEN ZymoGenetics, Inc. Healthcare 23.23%

129 AVCA Advocat Inc. Healthcare 22.85%

130 MKTX MarketAxess Holdings Inc. Financial 22.71%

131 GPR GeoPetro Resources Company Basic Materials 22.50%

132 GRS Gammon Gold, Inc. Basic Materials 22.20%

133 EGO Eldorado Gold Corp. Basic Materials 22.14%

134 MRTI Maxus Realty Trust Inc. Financial 22.09%

135 SOMX Somaxon Pharmaceuticals, Inc. Healthcare 21.91%

136 CNR China Metro-Rural Holdings Limited Services 21.58%

137 ONSM Onstream Media Corp. Technology 21.51%

138 HNRG Hallador Energy Company Basic Materials 21.09%

139 GENT Gentium S.p.A Healthcare 20.87%

140 BKRS Bakers Footwear Group Inc. Consumer Goods 20.83%

141 SWIR Sierra Wireless Inc. Technology 20.71%

142 CTXS Citrix Systems, Inc. Technology 20.58%

143 CHNR China Natural Resources Inc. Basic Materials 20.44%

144 TA TravelCenters of America LLC Services 20.22%

145 VSCI Vision-Sciences Inc. Healthcare 20.17%

146 VRNM Verenium Corporation Basic Materials 20.16%

147 DMC Document Security Systems, Inc. Services 20.06%

148 KBX Kimber Resources Inc. Basic Materials 20.00%

149 CFW Cano Petroleum, Inc. Basic Materials 20.00%

150 TTHI Transition Therapeutics Inc. Healthcare 20.00%

151 CRTX Cornerstone Therapeutics Inc. Healthcare 19.96%

152 AIQ Alliance Healthcare Services, Inc. Healthcare 19.84%

153 PRPH ProPhase Labs, Inc. Healthcare 19.79%

154 STC Stewart Information Services Corp. Financial 19.68%

155 PFBX Peoples Financial Corp. Financial 19.66%

156 FTK Flotek Industries Inc. Basic Materials 19.66%

157 TAM TAM S.A. Services 19.55%

158 SDIX Strategic Diagnostics Inc. Healthcare 19.39%

159 NFLX Netflix, Inc. Services 19.37%

160 HRAY Hurray! Holding Co. Ltd., Prior to Reverse Merger with Ku6(Beijing) Information Technology Ltd. Technology 19.20%

161 PEDH Peoples Educational Holdings, Inc. Services 19.00%

162 ISTA ISTA Pharmaceuticals Inc. Healthcare 18.99%

163 UBT ProShares Ultra 20+ Year Treasury Financial 18.94%

164 SLW Silver Wheaton Corp. Basic Materials 18.86%

165 ENDP Endo Pharmaceuticals Holdings Inc. Healthcare 18.84%

166 CIMT Cimatron Ltd. Technology 18.80%

167 FCGS Direxion Funds ETF Financial 18.77%

168 MGT MGT Capital Investments, Inc. Technology 18.75%

169 SJH UltraShort Russell2000 Value ProShares Financial 18.69%

170 SMDD ProShares UltraPro Short MidCap400 Financial 18.68%

171 ABVA Alliance Bankshares Corporation Financial 18.58%

172 NETC Net Serviços de Comunicação Services 18.54%

173 TXCC TranSwitch Corp. Technology 18.38%

174 LMAT LeMaitre Vascular, Inc. Healthcare 18.35%

175 OMEX Odyssey Marine Exploration Inc. Services 18.32%

176 MDM Mountain Province Diamonds Inc. Basic Materials 18.28%

177 FN Fabrinet Consumer Goods 18.26%

178 SA Seabridge Gold, Inc. Basic Materials 18.26%

179 INMD Integramed America Inc. Healthcare 18.22%

180 SDD UltraShort SmallCap600 ProShares Financial 18.20%

181 PNBK Patriot National Bancorp Inc. Financial 18.13%

182 TSBK Timberland Bancorp Inc. Financial 18.06%

183 BKS Barnes & Noble, Inc. Services 17.89%

184 HCII Homeowners Choice, Inc. Financial 17.88%

185 LONG eLong Inc. Services 17.87%

186 EMIS Emisphere Technologies, Inc. Healthcare 17.86%

187 AVII AVI Biopharma, Inc. Healthcare 17.84%

188 CART Carolina Trust Bank Financial 17.83%

189 TWM UltraShort Russell2000 ProShares Financial 17.71%

190 IAG IAMGOLD Corp. Basic Materials 17.70%

191 ACTG Acacia Research Corporation Services 17.65%

192 KV-A KV Pharmaceutical Co. Healthcare 17.36%

193 TRGL Toreador Resources Corp. Basic Materials 17.33%

194 PHMD PhotoMedex, Inc. Healthcare 17.29%

195 CWTR Coldwater Creek Inc. Consumer Goods 17.28%

196 SKK UltraShort Russell2000 Growth ProShares Financial 17.28%

197 AXU Alexco Resource Corporation Basic Materials 17.25%

198 CWBS Commonwealth Bankshares Inc. Financial 17.18%

199 SKF UltraShort Financials ProShares Financial 17.12%

200 ACLI American Commercial Lines Inc. Services 17.09%

201 VPG Vishay Precision Group, Inc. Consumer Goods 16.95%

202 PRTS U.S. Auto Parts Network, Inc. Services 16.74%

203 VRTA Vestin Realty Mortgage I, Inc Financial 16.67%

204 PCGR PC Group, Inc. Healthcare 16.67%

205 WCRX Warner Chilcott plc Healthcare 16.64%

206 RJET Republic Airways Holdings Inc. Services 16.58%

207 EONC eOn Communications Corp. Technology 16.56%

208 ATRC AtriCure, Inc. Healthcare 16.51%

209 SXCI SXC Health Solutions, Corp. Technology 16.50%

210 REW UltraShort Technology ProShares Financial 16.48%

211 MIPS MIPS Technologies Inc. Technology 16.40%

212 LFL LAN Airlines S.A. Services 16.34%

213 CHSI Catalyst Health Solutions, Inc. Financial 16.24%

214 AEM Agnico-Eagle Mines Ltd. Basic Materials 16.22%

215 AGP AMERIGROUP Corporation Healthcare 16.18%

216 NKBP China Nuokang Bio-Pharmaceutical Inc. Healthcare 16.12%

217 REXI Resource America Inc. Financial 16.01%

218 KRA Kraton Performance Polymers Inc. Basic Materials 15.92%

219 ENMD EntreMed Inc. Healthcare 15.85%

220 MWN Direxion Daily Mid Cap Bear 3X Shares Financial 15.81%

221 DISK Image Entertainment, Inc. Services 15.79%

222 PLX Protalix BioTherapeutics, Inc. Healthcare 15.79%

223 ISSC Innovative Solutions & Support Inc. Technology 15.78%

224 ATX A.T. Cross Company Consumer Goods 15.77%

225 BXDD Barclays Short D Lvgd Inv S&P 500 TR ETN Financial 15.71%

226 API Advanced Photonix Inc. Technology 15.69%

227 ZROZ PIMCO 25+ Yr Zero Cpn U.S. Trsy Idx ETF Financial 15.65%

228 PHC PHC Inc. Healthcare 15.60%

229 ISIG Insignia Systems Inc. Services 15.56%

230 MGLN Magellan Health Services Inc. Healthcare 15.51%

231 SQQQ ProShares UltraPro Short QQQ Financial 15.45%

232 SVM Silvercorp Metals Inc. Basic Materials 15.45%

233 SQM Chemical & Mining Co. of Chile Inc. Basic Materials 15.33%

234 BGZ Direxion Daily Large Cap Bear 3X Shares Financial 15.22%

235 GDXJ Market Vectors Junior Gold Miners ETF Financial 15.21%

236 FSYS Fuel Systems Solutions, Inc. Consumer Goods 15.17%

237 XRA Exeter Resource Corporation Basic Materials 15.12%

238 SIJ UltraShort Industrials ProShares Financial 15.11%

239 SPXU UltraPro Short S&P500 ProShares Financial 15.09%

240 ALRN American Learning Corporation Services 15.00%

241 AQQ American Spectrum Realty Inc. Financial 14.95%

242 KFFB Kentucky First Federal Bancorp, Inc. Financial 14.81%

243 N NetSuite Inc. Technology 14.78%

244 DTPI Diamond Management & Technology Consultants, Inc. Services 14.71%

245 WSTL Westell Technologies Inc. Technology 14.61%

246 CASH Meta Financial Group, Inc. Financial 14.52%

247 INXI INX Inc. Services 14.44%

248 RGLD Royal Gold, Inc. Basic Materials 14.43%

249 ISLN Isilon Systems, Inc. Technology 14.42%

250 SIMG Silicon Image, Inc. Technology 14.33%

251 AGU Agrium Inc. Basic Materials 14.32%

252 XBKS Xenith Bankshares, Inc. Financial 14.31%

253 GSLA GS Financial Corp. Financial 14.27%

254 TYD Direxion Daily 10 Yr Trs Bull 3X Shares Financial 14.23%

255 BCAR Bank of the Carolinas Corp. Financial 14.20%

256 DGP PowerShares DB Gold Double Long ETN Financial 14.18%

257 TTM Tata Motors Ltd. Consumer Goods 14.15%

258 MARPS Marine Petroleum Trust Financial 14.14%

259 IVA ValueRich, Inc. Services 14.12%

260 WMCO Williams Controls Inc. Consumer Goods 14.10%

261 SWSI Superior Well Services Inc. Basic Materials 14.04%

262 CTCH Commtouch Software Ltd. Technology 13.97%

263 ERY Direxion Daily Energy Bear 3X Shares Financial 13.96%

264 CRWN Crown Media Holdings Inc. Services 13.89%

265 UGL Ultra Gold ProShares Financial 13.89%

266 CLW Clearwater Paper Corporation Consumer Goods 13.89%

267 EDV Vanguard Extended Dur Trs Idx ETF Financial 13.86%

268 CMFO China Marine Food Group Limited Consumer Goods 13.84%

269 RMTI Rockwell Medical Technologies Inc. Healthcare 13.79%

270 ADGF Adams Golf Inc. Consumer Goods 13.78%

271 TGE TGC Industries Inc. Basic Materials 13.77%

272 CXM Cardium Therapeutics Inc. Healthcare 13.71%

273 RVR White River Capital Inc Financial 13.69%

274 ESCC Evans & Sutherland Computer Corp. Technology 13.64%

275 CF CF Industries Holdings, Inc. Basic Materials 13.62%

276 KRS ProShares Short KBW Regional Banking Financial 13.62%

277 AGQ Ultra Silver ProShares Financial 13.59%

278 GSS Golden Star Resources, Ltd. Basic Materials 13.58%

279 CRM Salesforce.com Technology 13.55%

280 PCYO Pure Cycle Corp. Industrial Goods 13.46%

281 SPIR Spire Corp. Technology 13.41%

282 TCL Tata Communications Limited Technology 13.25%

283 ESMC Escalon Medical Corp. Healthcare 13.25%

284 DPK Direxion Daily Dev Mkts Bear 3X Shrs Financial 13.24%

285 PEIX Pacific Ethanol, Inc. Basic Materials 13.21%

286 LVS Las Vegas Sands Corp. Services 13.09%

287 TBAC Tandy Brands Accessories Inc. Consumer Goods 13.07%

288 SILC Silicom Ltd. Technology 13.01%

289 AREX Approach Resources, Inc. Basic Materials 12.98%

290 IRS IRSA Investments and Representations Inc. Financial 12.91%

291 ESA Energy Services of America Corporation Basic Materials 12.91%

292 WWON Westwood One Inc. Services 12.86%

293 CSII Cardiovascular Systems Inc. Healthcare 12.77%

294 ABX Barrick Gold Corporation Basic Materials 12.74%

295 IT Gartner Inc. Services 12.70%

296 RGS Regis Corp. Services 12.70%

297 MZZ UltraShort MidCap400 ProShares Financial 12.59%

298 SDOW ProShares UltraPro Short Dow30 Financial 12.57%

299 NG NovaGold Resources Inc. Basic Materials 12.56%

300 SCO UltraShort DJ-UBS Crude Oil ProShares Financial 12.56%

301 UG United-Guardian Inc. Consumer Goods 12.51%

302 VPF Valpey Fisher Corp. Technology 12.50%

303 FIRE Sourcefire, Inc. Technology 12.44%

304 SEM Select Medical Holdings Corporation Healthcare 12.39%

305 ARLP Alliance Resource Partners LP Basic Materials 12.37%

306 MGN Mines Management Inc. Basic Materials 12.26%

307 BAK Braskem S.A. Basic Materials 12.20%

308 DTO PowerShares DB Crude Oil Dble Short ETN Financial 12.04%

309 FCTY 1st Century Bancshares, Inc. Financial 12.04%

310 RADS Radiant Systems Inc. Technology 11.95%

311 SVT Servotronics Inc. Industrial Goods 11.91%

312 SYNL Synalloy Corp. Basic Materials 11.90%

313 WCAA WCA Waste Corporation Industrial Goods 11.81%

314 BFED Beacon Federal Bancorp, Inc. Financial 11.75%

315 RINO RINO International Corporation Industrial Goods 11.71%

316 BERK Berkshire Bancorp Inc. Financial 11.66%

317 FPTB First Pactrust Bancorp Inc. Financial 11.65%

318 SJL UltraShort Russell MidCap Val ProShares Financial 11.64%

319 LABL Multi-Color Corp. Services 11.51%

320 STV China Digital TV Holding Co., Ltd. Technology 11.48%

321 CAEI China Architectural Engineering, Inc. Industrial Goods 11.39%

322 RFMD RF Micro Devices Inc. Technology 11.37%

323 IIG Imergent Inc. Technology 11.31%

324 TWQ UltraShort Russell3000 ProShares Financial 11.29%

325 PTRY Pantry Inc. Services 11.28%

326 RAE RAE Systems Inc. Technology 11.27%

327 BIDZ BIDZ.com, Inc. Services 11.27%

328 FFCO FedFirst Financial Corp. Financial 11.21%

329 CHBT China-Biotics, Inc. Healthcare 11.20%

330 SOLR GT Solar International, Inc. Technology 11.20%

331 HTCO Hickory Tech Corp. Technology 11.17%

332 ARGN Amerigon Inc. Consumer Goods 11.17%

333 LAZ Lazard Ltd. Financial 11.14%

334 RGEN Repligen Corporation Healthcare 11.08%

335 SMK UltraShort MSCI Mexico InvstMt ProShares Financial 11.05%

336 HS HealthSpring Inc. Healthcare 11.02%

337 YTEC Yucheng Technologies Limited Technology 11.00%

338 BMTI BioMimetic Therapeutics Inc. Healthcare 11.00%

339 RCRC RC2 Corp. Consumer Goods 10.99%

340 EPV UltraShort MSCI Europe ProShares Financial 10.97%

341 TACT TransAct Technologies Incorporated Technology 10.96%

342 BAL iPath DJ-UBS Cotton TR Sub-Idx ETN Financial 10.93%

343 AMAP AutoNavi Holdings Limited Technology 10.92%

344 DGI DigitalGlobe, Inc. Industrial Goods 10.87%

345 KOF Coca-Cola FEMSA S.A.B de C.V. Consumer Goods 10.85%

346 AUY Yamana Gold, Inc. Basic Materials 10.78%

347 HIHO Highway Holdings Ltd. Industrial Goods 10.77%

348 AMCN AirMedia Group Inc. Services 10.71%

349 CBRX Columbia Laboratories Inc. Healthcare 10.64%

350 PPD Pre-Paid Legal Services, Inc. Services 10.61%

351 CRDC Cardica Inc. Healthcare 10.58%

352 WGA Wells-Gardner Electronics Corp. Technology 10.58%

353 OTT Otelco Inc. Technology 10.58%

354 VRTS Virtus Investment Partners, Inc. Financial 10.53%

355 TRE Tanzanian Royalty Exploration Corp. Basic Materials 10.48%

356 FFKT Farmers Capital Bank Corp. Financial 10.48%

357 UPFC United Panam Financial Corp. Financial 10.47%

358 VPHM ViroPharma Inc. Healthcare 10.45%

359 GDX Market Vectors Gold Miners ETF Financial 10.43%

360 SJF UltraShort Russell1000 Value ProShares Financial 10.42%

361 PSBH PSB Holdings Inc. Financial 10.41%

362 CADX Cadence Pharmaceuticals Inc. Healthcare 10.40%

363 BXDC Barclays Short C Lvgd Inv S&P 500 TR ETN Financial 10.32%

364 AMP Ameriprise Financial Inc. Financial 10.32%

365 NMRX Numerex Corp. Technology 10.31%

366 LXU LSB Industries Inc. Consumer Goods 10.24%

367 EC Ecopetrol SA Basic Materials 10.21%

368 UHAL AMERCO Services 10.19%

369 SLS SLS International Inc. Financial 10.19%

370 ABBC Abington Bancorp Inc. Financial 10.13%

371 MWIV MWI Veterinary Supply, Inc. Services 10.13%

372 SDS UltraShort S&P500 ProShares Financial 10.11%

373 ASCA Ameristar Casinos Inc. Services 10.10%

374 SDK UltraShort Russell MidCap Gr ProShares Financial 10.10%

375 NTE Nam Tai Electronics, Inc. Technology 10.09%

376 EBAY eBay Inc. Services 10.08%

377 RSW Rydex Inverse 2x S&P 500 Financial 10.07%

378 AUXL Auxilium Pharmaceuticals Inc. Healthcare 10.07%

379 RC Grupo Radio Centro, S.A.B. de C.V. Services 10.06%

380 MFB Maidenform Brands, Inc. Consumer Goods 10.06%

381 CDE Coeur d`Alene Mines Corporation Basic Materials 10.05%

382 CACC Credit Acceptance Corp. Financial 10.04%

383 FOSL Fossil, Inc. Consumer Goods 10.04%

384 QID UltraShort QQQ ProShares Financial 10.01%

385 ARNA Arena Pharmaceuticals, Inc. Healthcare 10.00%

386 HYGS Hydrogenics Corp. Industrial Goods 10.00%

387 TSTF TeamStaff, Inc. Services 10.00%

388 GLA Clark Holdings Inc. Financial 10.00%

389 NSYS Nortech Systems Inc. Technology 10.00%

390 WSCI WSI Industries Inc. Consumer Goods 9.90%

391 NTES Netease.com Inc. Technology 9.80%

392 EBIX Ebix Inc. Technology 9.74%

393 PWRD Perfect World Co., Ltd. Technology 9.72%

394 HRC Hill-Rom Holdings, Inc. Healthcare 9.70%

395 SBLK Star Bulk Carriers Corp. Services 9.69%

396 OPEN OpenTable, Inc. Services 9.68%

397 ARL American Realty Investors Inc. Financial 9.65%

398 SHS Sauer-Danfoss Inc. Industrial Goods 9.61%

399 MTXX Matrixx Initiatives Inc. Healthcare 9.59%

400 MFN Minefinders Corp. Ltd. Basic Materials 9.54%

401 MDW Midway Gold Corp. Basic Materials 9.52%

402 DAG PowerShares DB Agriculture Dble Long ETN Financial 9.52%

403 COT Cott Corporation Consumer Goods 9.49%

404 EDZ Direxion Daily Emrg Mkts Bear 3X Shares Financial 9.47%

405 IPSU Imperial Sugar Co. Consumer Goods 9.43%

406 CWBC Community West Bancshares Financial 9.41%

407 WLB Westmoreland Coal Co. Basic Materials 9.38%

408 MBND Multiband Corporation Technology 9.37%

409 BZ Boise Inc. Consumer Goods 9.36%

410 EROC Eagle Rock Energy Partners, L.P. Basic Materials 9.35%

411 UGP Ultrapar Holdings Inc. Basic Materials 9.33%

412 BRKR Bruker Corporation Technology 9.31%

413 JJS iPath DJ-UBS Softs TR Sub-Idx ETN Financial 9.28%

414 TLT iShares Barclays 20+ Year Treas Bond Financial 9.23%

415 OXBT Oxygen Biotherapeutics, Inc. Services 9.20%

416 JOBS 51job Inc. Services 9.18%

417 UFI Unifi Inc. Industrial Goods 9.16%

418 JADE LJ International Inc. Consumer Goods 9.15%

419 SIX Six Flags Entertainment Corp. Services 9.15%

420 ALIM Alimera Sciences, Inc. Healthcare 9.14%

421 BBEP Breitburn Energy Partners LP Basic Materials 9.09%

422 RIC Richmont Mines Inc. Basic Materials 9.09%

423 GSL Global Ship Lease, Inc. Services 9.09%

424 SUPG SuperGen Inc. Healthcare 9.09%

425 DGW Duoyuan Global Water Inc. Industrial Goods 9.09%

426 SSRI Silver Standard Resources Inc. Basic Materials 9.05%

427 RE Everest Re Group Ltd. Financial 9.02%

428 RIG Transocean Ltd. Basic Materials 9.01%

429 DUG UltraShort Oil & Gas ProShares Financial 9.00%

430 EFU UltraShort MSCI EAFE ProShares Financial 8.99%

431 RMTR Ramtron International Corp. Technology 8.97%

432 ANCI American Caresource Holdings, Inc. Healthcare 8.97%

433 GEOY GeoEye, Inc. Technology 8.95%

434 MNOV MediciNova Inc. Healthcare 8.93%

435 PVD Administradora de Fondos de Pensiones Provida SA Financial 8.92%

436 EML Eastern Co. Industrial Goods 8.91%

437 INFA Informatica Corporation Technology 8.90%

438 SFK UltraShort Russell1000 Growth ProShares Financial 8.90%

439 GAP The Great Atlantic & Pacific Tea Company, Inc. Services 8.89%

440 WILC G. Willi Food-International Ltd. Consumer Goods 8.87%

441 NWFL Norwood Financial Corp. Financial 8.86%

442 PKI PerkinElmer Inc. Healthcare 8.84%

443 RAMR RAM Holdings Ltd. Financial 8.82%

444 TLK Perusahaan Perseroan (Persero) PT Telekomunikasi Indonesia Tbk. Technology 8.81%

445 RWM Short Russell2000 ProShares Financial 8.80%

446 CGR Claude Resources, Inc. Basic Materials 8.74%

447 JGBO Jiangbo Pharmaceuticals, Inc Healthcare 8.72%

448 LIHR Lihir Gold Ltd. Basic Materials 8.70%

449 EXXI Energy XXI (Bermuda) Limited Basic Materials 8.70%

450 ADM Archer Daniels Midland Company Consumer Goods 8.70%

451 SBB Short SmallCap 600 ProShares Financial 8.68%

452 FRD Friedman Industries Inc. Basic Materials 8.66%

453 DFR Deerfield Capital Corp. Financial 8.65%

454 NOX Neuberger Berman Income Opportunity Fund Inc. Financial 8.64%

455 KOSS Koss Corp. Consumer Goods 8.54%

456 AU AngloGold Ashanti Ltd. Basic Materials 8.54%

457 HGSI Human Genome Sciences Inc. Healthcare 8.52%

458 CORN Teucrium Corn Fund ETV Financial 8.50%

459 FDO Family Dollar Stores Inc. Services 8.49%

460 WBMD WebMD Health Corp. Technology 8.47%

461 MOD Modine Manufacturing Company Consumer Goods 8.44%

462 MTLK Metalink, Ltd. Technology 8.42%

463 LHB Direxion Daily Latin America Bear 3X Shs Financial 8.41%

464 DXD UltraShort Dow30 ProShares Financial 8.40%

465 MCBI Metrocorp Bancshares Inc. Financial 8.39%

466 WVFC WVS Financial Corp. Financial 8.38%

467 CEF Central Fund of Canada Limited Financial 8.37%

468 MEDW Mediware Information Systems Inc. Technology 8.35%

469 ANDE The Andersons, Inc. Consumer Goods 8.35%

470 NSFC Northern States Financial Corporation Financial 8.33%

471 LSTZA Liberty Starz Group Services 8.31%

472 AMZN Amazon.com Inc. Services 8.30%

473 MSN Emerson Radio Corp. Consumer Goods 8.30%

474 SEF Short Financials ProShares Financial 8.29%

475 DRCO Dynamics Research Corp. Technology 8.28%

476 GFI Gold Fields Ltd. Basic Materials 8.28%

477 VRTB Vestin Realty Mortgage II, Inc. Financial 8.27%

478 CBM Cambrex Corp. Healthcare 8.24%

479 KXM Kobex Minerals, Inc. Basic Materials 8.24%

480 UST ProShares Ultra 7-10 Year Treasury Financial 8.24%

481 NECB Northeast Community Bancorp, Inc. Financial 8.18%

482 NAL New Alliance Bancshares Inc. Financial 8.18%

483 JCS Communications Systems Inc. Technology 8.16%

484 TYL Tyler Technologies, Inc. Technology 8.16%

485 HWKN Hawkins Inc. Basic Materials 8.16%

486 GG Goldcorp Inc. Basic Materials 8.12%

487 ALTI Altair Nanotechnologies, Inc. Basic Materials 8.11%

488 CCNE CNB Financial Corp. Financial 8.10%

489 PT Portugal Telecom SGPS SA Technology 8.10%

490 AFCE AFC Enterprises Inc. Services 8.06%

491 JJG iPath DJ-UBS Grains TR Sub-Idx ETN Financial 8.04%

492 PAAS Pan American Silver Corp. Basic Materials 8.04%

493 MHLD Maiden Holdings, Ltd. Financial 8.01%

494 GRU ELEMENTS MLCX Grains Index TR ETN Financial 8.00%

495 SGG iPath DJ-UBS Sugar TR Sub-Idx ETN Financial 7.99%

496 FNDT Fundtech Ltd. Technology 7.98%

497 NOVA NovaMed Inc. Services 7.98%

498 BSTC BioSpecifics Technologies Corp. Healthcare 7.97%

499 PAGG PowerShares Global Agriculture Financial 7.96%

500 FRM Furmanite Corporation Services 7.91%

501 SCMR Sycamore Networks Inc. Technology 7.87%

502 LAB LaBranche & Co. Inc. Financial 7.83%

503 QCOR Questcor Pharmaceuticals, Inc. Healthcare 7.83%

504 ECHO Echo Global Logistics, Inc. Services 7.83%

505 GTU Central GoldTrust Basic Materials 7.83%

506 LORL Loral Space & Communications, Inc. Technology 7.80%

507 MDSO Medidata Solutions, Inc. Technology 7.74%

508 DOM Dominion Resources Black Warrior Trust Financial 7.73%

509 PAY VeriFone Systems, Inc Consumer Goods 7.71%

510 INTU Intuit Inc. Technology 7.68%

511 SMN UltraShort Basic Materials ProShares Financial 7.68%

512 QSFT Quest Software Inc. Technology 7.63%

513 HL Hecla Mining Co. Basic Materials 7.63%

514 GHI Global High Income Fund, Inc. Financial 7.61%

515 VASC Vascular Solutions Inc. Healthcare 7.58%

516 TLO SPDR Barclays Capital Long Term Treasury Financial 7.57%

517 VGLT Vanguard Long-Term Govt Bd Idx ETF Financial 7.53%

518 CPL CPFL Energia S.A. Utilities 7.53%

519 QMM Quaterra Resources Inc. Basic Materials 7.52%

520 TPL Texas Pacific Land Trust Financial 7.49%

521 BTA BlackRock LT Municipal Advantage Trust Financial 7.47%

522 ANGN Angeion Corp. Healthcare 7.39%

523 TSON TranS1, Inc. Healthcare 7.33%

524 MNTX Manitex International, Inc. Industrial Goods 7.32%

525 YCL Ultra Yen ProShares Financial 7.31%

526 HHH Internet HOLDRs Financial 7.29%

527 CFX Colfax Corporation Industrial Goods 7.29%

528 IMT Invesco Insured Municipal Trust Financial 7.28%

529 UNTY Unity Bancorp Inc. Financial 7.27%

530 NPV Nuveen Virginia Premium Income Municipal Fund Financial 7.22%

531 KNSY Kensey Nash Corporation Healthcare 7.19%

532 MELA MELA Sciences, Inc. Healthcare 7.19%

533 SLV iShares Silver Trust Financial 7.17%

534 SIVR ETFS Physical Silver Shares Financial 7.16%

535 TIBB TIB Financial Corp. Financial 7.14%

536 PEBK Peoples Bancorp of North Carolina Inc. Financial 7.14%

537 NEXS Nexxus Lighting, Inc. Technology 7.14%

538 WLFC Willis Lease Finance Corp. Services 7.14%

539 SAB Grupo Casa Saba SAB de CV Services 7.11%

540 AXMT iShares MSCI ACWI ex US Materia Financial 7.11%

541 FXP UltraShort FTSE/Xinhua China25 Proshares Financial 7.10%

542 GMCR Green Mountain Coffee Roasters Inc. Consumer Goods 7.09%

543 SSN Samson Oil & Gas Limited Basic Materials 7.08%

544 FUR Winthrop Realty Trust Financial 7.07%

545 LCRY LeCroy Corp. Technology 7.03%

546 GKNT Geeknet, Inc. Technology 7.03%

547 DVA DaVita, Inc. Healthcare 7.01%

548 BLV Vanguard Long-Term Bond ETF Financial 7.00%

549 PRM PRIMEDIA Inc. Services 6.97%

550 AEE Ameren Corporation Utilities 6.97%

551 HAFC Hanmi Financial Corp. Financial 6.97%

552 ROME Rome Bancorp Inc. Financial 6.95%

553 LXRX Lexicon Pharmaceuticals, Inc. Healthcare 6.94%

554 SGOL ETFS Physical Swiss Gold Shares Financial 6.93%

555 GLD SPDR Gold Shares Financial 6.92%

556 CVH Coventry Health Care Inc. Healthcare 6.91%

557 JJP iPath DJ-UBS Prec Metals TR Sub-Idx ETN Financial 6.91%

558 GSZ GlobalShares FTSE All-Cap Asia Pac exJpn Financial 6.91%

559 UFPT UFP Technologies Inc. Consumer Goods 6.89%

560 ARST ArcSight, Inc. Technology 6.89%

561 DGL PowerShares DB Gold Financial 6.86%

562 DNDN Dendreon Corp. Healthcare 6.86%

563 DBP PowerShares DB Precious Metals Financial 6.84%

564 DBS PowerShares DB Silver Financial 6.84%

565 HSTM Healthstream Inc. Technology 6.83%

566 JJA iPath DJ-UBS Agriculture TR Sub-Idx ETN Financial 6.83%

567 EXPE Expedia Inc. Services 6.82%

568 LPSB Laporte Bancorp, Inc. Financial 6.82%

569 RJA ELEMENTS Rogers Intl Commodity Agri ETN Financial 6.81%

570 MAV Pioneer Municipal High Income Advantage Trust Financial 6.81%

571 STKL SunOpta Inc. Consumer Goods 6.79%

572 IAU iShares COMEX Gold Trust Financial 6.77%

573 FLML Flamel Technologies SA Healthcare 6.77%

574 AXTI AXT Inc. Technology 6.74%

575 PSUN Pacific Sunwear of California Inc. Services 6.74%

576 DCM NTT DOCOMO, Inc. Technology 6.71%

577 TGB Taseko Mines Ltd. Basic Materials 6.70%

578 ARR ARMOUR Residential REIT, Inc. Financial 6.70%

579 EMJ Eaton Vance New Jersey Municipal Bond Fund Financial 6.70%

580 CLFD Clearfield, Inc. Technology 6.69%

581 ECLP Eclipsys Corporation Technology 6.68%

582 CIZN Citizens Holding Company Financial 6.68%

583 UPI Uroplasty Inc. Healthcare 6.67%

584 ZBB ZBB Energy Corporation Utilities 6.67%

585 ARTW Art's-Way Manufacturing Co. Inc. Industrial Goods 6.64%

586 CRWS Crown Crafts Inc. Consumer Goods 6.64%

587 DNO United States Short Oil Financial 6.61%

588 SCC UltraShort Consumer Services ProShares Financial 6.60%

589 EEV UltraShort MSCI Emerging Mkts ProShares Financial 6.59%

590 WACLY Wacoal Holdings Corporation Services 6.58%

591 LOOK LookSmart, Ltd. Technology 6.58%

592 CMS CMS Energy Corp. Utilities 6.58%

593 AEO American Eagle Outfitters, Inc. Services 6.56%

594 TTF Thai Fund Inc. Financial 6.56%

595 LEO Dreyfus Strategic Municipals Inc. Financial 6.54%

596 THM International Tower Hill Mines Ltd. Basic Materials 6.52%

597 GHDX Genomic Health Inc. Healthcare 6.50%

598 UFS Domtar Corporation Consumer Goods 6.48%

599 NHI National Health Investors Inc. Financial 6.47%

600 VCBI Virginia Commerce Bancorp Inc. Financial 6.46%

601 BASI Bioanalytical Systems Inc. Services 6.45%

602 CBLI Cleveland BioLabs, Inc. Services 6.42%

603 DDE Dover Downs Gaming & Entertainment Inc. Services 6.41%

604 VXZ iPath S&P 500 VIX Mid-Term Futures ETN Financial 6.41%

605 CHRW CH Robinson Worldwide Inc. Services 6.41%

606 BCA CorpBanca S.A. Financial 6.40%

607 ILMN Illumina Inc. Healthcare 6.40%

608 AWI Armstrong World Industries, Inc. Industrial Goods 6.39%

609 IKNX Ikonics Corp. Consumer Goods 6.36%

610 NNI Nelnet Inc. Financial 6.33%

611 IQI Invesco Quality Municipal Income Trust Financial 6.33%

612 CTSH Cognizant Technology Solutions Corp. Technology 6.30%

613 TKR Timken Co. Industrial Goods 6.27%

614 TEAM TechTeam Global Inc. Technology 6.26%

615 BLE BlackRock Municipal Income Trust II Financial 6.25%

616 CEU China Education Alliance Inc. Services 6.25%

617 WTW Weight Watchers International, Inc. Services 6.23%

618 MHI Pioneer Municipal High Income Trust Financial 6.22%

619 MYY Short MidCap400 ProShares Financial 6.22%

620 SZO PowerShares DB Crude Oil Short ETN Financial 6.21%

621 HLF Herbalife Ltd. Healthcare 6.19%

622 CLY iShares 10+ Year Credit Bond Financial 6.18%

623 ACOM Ancestry.com Inc. Technology 6.17%

624 AGF PowerShares DB Agriculture Long ETN Financial 6.16%

625 AUBN Auburn National Bancorporation, Inc. Financial 6.16%

626 CZWI Citizens Community Bancorp, Inc. Financial 6.15%

627 GDF Western Asset Global Partners Income Fund Inc. Financial 6.15%

628 NCTY The9 Limited Services 6.13%

629 GTIV Gentiva Health Services Inc. Healthcare 6.12%

630 TLH iShares Barclays 10-20 Year Treasury Bd Financial 6.12%

631 NPG Nuveen Georgia Premium Income Municipal Fund Financial 6.12%

632 BPS BlackRock Pennsylvania Strategic Municipal Trust Fund Financial 6.11%

633 EXAS Exact Sciences Corporation Healthcare 6.11%

634 TF Thai Capital Fund Inc. Financial 6.10%

635 VCLT Vanguard Long-Term Corp Bond Idx ETF Financial 6.09%

636 JPX UltraShort MSCI Pacific ex-Jpn ProShares Financial 6.08%

637 AWC Alumina Ltd. Basic Materials 6.07%

638 SZK UltraShort Consumer Goods ProShares Financial 6.06%

639 PATK Patrick Industries Inc. Industrial Goods 6.06%

640 IBNK Integra Bank Corporation Financial 6.06%

641 CLCT Collectors Universe Inc. Services 6.05%

642 CLDT Chatham Lodging Trust Financial 6.04%

643 TITN Titan Machinery, Inc. Services 6.04%

644 ZAGG ZAGG Incorporated Services 6.02%

645 JJT iPath DJ-UBS Tin TR Sub-Idx ETN Financial 6.01%

646 TEAR TearLab Corporation Healthcare 5.99%

647 OVRL Overland Storage Inc. Technology 5.99%

648 LFT Longtop Financial Technologies Limited Technology 5.98%

649 GLJ iShares 10+ Year Government/Credit Bond Financial 5.97%

650 FISV Fiserv, Inc. Services 5.94%

651 EMD Western Asset Emerging Markets Income Fund Inc. Financial 5.94%

652 USMO USA Mobility, Inc. Technology 5.93%

653 MF MF Global Holdings Ltd. Financial 5.93%

654 PMT PennyMac Mortgage Investment Trust Financial 5.90%

655 ATML Atmel Corporation Technology 5.90%

656 PFE Pfizer Inc. Healthcare 5.89%

657 NOBH Nobility Homes Inc. Industrial Goods 5.89%

658 FMX Fomento Económico Mexicano, S.A.B de C.V Consumer Goods 5.89%

659 LNN Lindsay Corporation Industrial Goods 5.89%

660 MEAD Meade Instruments Corp. Technology 5.88%

661 UXG US Gold Corporation Basic Materials 5.88%

662 SAL Salisbury Bancorp Inc. Financial 5.88%

663 SUNH Sun Healthcare Group Inc. Healthcare 5.87%

664 CATM Cardtronics Inc. Services 5.87%

665 TEI Templeton Emerging Markets Income Fund Financial 5.86%

666 TSP Telecomunicacoes de Sao Paulo S.A. - TELESP Technology 5.86%

667 DAKT Daktronics Inc. Industrial Goods 5.86%

668 CRBA Jefferies TR/J CRB Global Agriculture Eq Financial 5.86%

669 OLBK Old Line Bancshares Inc. Financial 5.86%

670 MNRO Monro Muffler Brake Inc. Services 5.86%

671 STON Stonemor Partners LP Services 5.85%

672 VOLT Voltaire Limited Technology 5.84%

673 SIL Global X Silver Miners ETF Financial 5.84%

674 MUH BlackRock MuniHoldings Fund II, Inc. Financial 5.83%

675 WSTG Wayside Technology Group, Inc. Services 5.83%

676 GTE Gran Tierra Energy, Inc. Basic Materials 5.83%

677 NBH Neuberger Berman Intermediate Municipal Fund Inc. Financial 5.80%

678 SBM ProShares Short Basic Materials Financial 5.78%

679 VAZ Delaware Investments Arizona Municipal Income Fund Financial 5.77%

680 IQM Invesco Quality Municipal Securities Financial 5.76%

681 MOO Market Vectors Agribusiness ETF Financial 5.76%

682 HMY Harmony Gold Mining Co. Ltd. Basic Materials 5.74%

683 WRLS Telular Corp. Technology 5.73%

684 UTMD Utah Medical Products Inc. Healthcare 5.72%

685 GIGM GigaMedia Ltd. Technology 5.71%

686 DAVE Famous Dave's of America Inc. Services 5.71%

687 MAY Malaysia Fund Inc. Financial 5.71%

688 ONCY Oncolytics Biotech, Inc. Healthcare 5.69%

689 CRED Credo Petroleum Corp. Basic Materials 5.68%

690 EDU New Oriental Education & Technology Group Services 5.68%

691 IBN ICICI Bank Ltd. Financial 5.68%

692 ASA ASA Limited Financial 5.67%

693 HCCI Heritage-Crystal Clean, Inc Industrial Goods 5.66%

694 CHN The China Fund, Inc. Financial 5.65%

695 CNET ChinaNet Online Holdings, Inc. Services 5.65%

696 CBG CB Richard Ellis Group, Inc. Financial 5.65%

697 MGA Magna International, Inc. Consumer Goods 5.64%

698 BAF BlackRock Insured Municipal Income Investment Trust Financial 5.63%

699 CBNJ Cape Bancorp, Inc. Financial 5.62%

700 AKAM Akamai Technologies Inc. Technology 5.62%

701 BABS SPDR Nuveen Barclays Cap Build Amer Bd Financial 5.62%

702 BKYF Bank of Kentucky Financial Corp. Financial 5.61%

703 GES Guess? Inc. Services 5.61%

704 HMC Honda Motor Co., Ltd. Consumer Goods 5.60%

705 TWN The Taiwan Fund, Inc. Financial 5.60%

706 PLW PowerShares 1-30 Laddered Treasury Financial 5.60%

707 PBIO Pressure BioSciences, Inc. Healthcare 5.59%

708 NCI Navigant Consulting Inc. Services 5.59%

709 DRV Direxion Daily Real Estate Bear 3X Shrs Financial 5.58%

710 AHGP Alliance Holdings GP, L.P. Basic Materials 5.58%

711 TW Towers Watson & Co. Services 5.58%

712 LOR Lazard World Dividend & Income Fund Inc. Financial 5.56%

713 ASUR Asure Software, Inc. Technology 5.56%

714 JAXB Jacksonville Bancorp, Inc. Financial 5.56%

715 TRS TriMas Corporation Industrial Goods 5.56%

716 WZE Wizzard Software Corporation Technology 5.56%

717 TCLP TC Pipelines LP Basic Materials 5.54%

718 LWC SPDR Barclays Capital Long Crdt Term Bd Financial 5.53%

719 PIA Invesco Municipal Premium Income Trust Financial 5.53%

720 IFSIA Interface Inc. Industrial Goods 5.49%

721 THD iShares MSCI Thailand Invest Mkt Index Financial 5.47%

722 BHK BlackRock Core Bond Trust Financial 5.46%

723 IHC Independence Holding Co. Financial 5.45%

724 UAG UBS E-TRACS CMCI Agriculture TR ETN Financial 5.43%

725 PMX PIMCO Municipal Income Fund III Financial 5.41%

726 MLP Maui Land & Pineapple Co. Inc. Financial 5.41%

727 BTZ BlackRock Credit Allocation Income Trust IV Financial 5.41%

728 TKC Turkcell Iletisim Hizmetleri AS Technology 5.41%

729 BNA BlackRock Income Opportunity Trust, Inc. Financial 5.40%

730 YORW York Water Co. Utilities 5.39%

731 CXW Corrections Corporation of America Financial 5.38%

732 DRR Market Vectors Double Short Euro ETN Financial 5.37%

733 CSBC Citizens South Banking Corp. Financial 5.36%

734 JHP Nuveen Quality Preferred Income Fund 3 Financial 5.36%

735 FGP Ferrellgas Partners LP Services 5.34%

736 PALL ETFS Physical Palladium Shares Financial 5.33%

737 NEM Newmont Mining Corp. Basic Materials 5.31%

738 NQN Nuveen New York Investment Quality Municipal Fund, Inc. Financial 5.30%

739 IMS Invesco Insured Municipal Securities Financial 5.29%

740 MFRI MFRI Inc. Industrial Goods 5.28%

741 NRP Natural Resource Partners LP Basic Materials 5.26%

742 EHI Western Asset Global High Income Fund Inc. Financial 5.26%

743 TREE Tree.Com, Inc. Financial 5.26%

744 DTF DTF Tax-Free Income Inc. Financial 5.26%

745 SONA Southern National Bancorp of Virginia Inc. Financial 5.26%

746 CALD Callidus Software Inc. Technology 5.25%

747 CCI Crown Castle International Corp. Technology 5.23%

748 RDWR Radware Ltd. Technology 5.22%

749 PMM Putnam Managed Municipal Income Trust Financial 5.20%

750 ASPS Altisource Portfolio Solutions S.A. Financial 5.20%

751 EWM iShares MSCI Malaysia Index Financial 5.19%

752 MITSY Mitsui & Co. Ltd. Conglomerates 5.19%

753 PFO Flaherty & Crumrine Preferred Income Opportunity Fund Incorporated Financial 5.18%

754 EUO UltraShort Euro ProShares Financial 5.18%

755 MVF BlackRock MuniVest Fund, Inc. Financial 5.16%

756 NKO Nuveen Insured New York Dividend Advantage Municipal Fund Financial 5.14%

757 CLF Cliffs Natural Resources Inc. Basic Materials 5.13%

758 PFD Flaherty & Crumrine Preferred Income Fund Inc. Financial 5.11%

759 RAX Rackspace Hosting, Inc Technology 5.11%

760 LTPZ PIMCO 15+ Year US TIPS Index ETF Financial 5.08%

761 MBI MBIA Inc. Financial 5.07%

762 SH Short S&P500 ProShares Financial 5.06%

763 BXDB Barclays Short B Lvgd Inv S&P 500 TR ETN Financial 5.05%

764 SBW Western Asset Worldwide Income Fund Inc. Financial 5.05%

765 PSY BlackRock Credit Allocation Income Trust II, Inc. Financial 5.04%

766 ESD Legg Mason Partners Income Trust - Western Asset Emerging Markets Debt Portfolio Financial 5.04%

767 AIRM Air Methods Corp. Services 5.04%

768 TYC Tyco International Ltd. Industrial Goods 5.03%

769 LSE CapLease, Inc. Financial 5.03%

770 NVY Nuveen Pennsylvania Dividend Advantage Municipal Fund 2 Financial 5.03%

771 SB Safe Bulkers, Inc. Services 5.03%

772 NQS Nuveen Select Quality Municipal Fund, Inc. Financial 5.02%

773 TFCO Tufco Technologies Inc. Consumer Goods 5.02%

774 JFBC Jeffersonville Bancorp Financial 5.01%

775 GRN iPath Global Carbon ETN Financial 5.01%

776 BZC Breeze-Eastern Corporation Industrial Goods 5.00%

777 SABA Saba Software Inc. Technology 5.00%

778 IFON Infosonics Corp. Services 5.00%

779 PGP PIMCO Global Stocksplus & Income Fund Financial 4.98%

780 MOCO MOCON Inc. Technology 4.97%

781 PSQ Short QQQ ProShares Financial 4.96%

782 AXUT iShares MSCI ACWI ex US Utiliti Financial 4.95%

783 BHB Bar Harbor Bankshares Financial 4.95%

784 POPE Pope Resources LP Industrial Goods 4.95%

785 MES Market Vectors Gulf States ETF Financial 4.95%

786 VVTV ValueVision Media Inc. Services 4.95%

787 CERP Cereplast, Inc. Basic Materials 4.94%

788 CFN CareFusion Corporation Healthcare 4.93%

789 WUHN Wuhan General Group (China) Inc. Industrial Goods 4.92%

790 NMO Nuveen Municipal Market Opportunity Fund, Inc. Financial 4.91%

791 NAD Nuveen Dividend Advantage Municipal Fund Financial 4.91%

792 BZQ UltraShort MSCI Brazil ProShares Financial 4.90%

793 BIS ProShares UltraShort Nasdaq Biotech Financial 4.90%

794 MSD Morgan Stanley Emerging Markets Debt Fund Inc. Financial 4.88%

795 MZF Managed Duration Investment Grade Municipal Fund Financial 4.87%

796 SWI SolarWinds, Inc. Technology 4.86%

797 ISRL Isramco Inc. Basic Materials 4.86%

798 BPP BlackRock Credit Allocation Income Trust III Financial 4.86%

799 EDD Morgan Stanley Emerging Markets Financial 4.85%

800 XTEX Crosstex Energy LP Basic Materials 4.85%

801 MCA Blackrock MuniYield California Insured Fund, Inc. Financial 4.84%

802 BSD BlackRock Strategic Municipal Trust Financial 4.84%

803 USV UBS E-TRACS CMCI Silver TR ETN Financial 4.82%

804 ID L-1 Identity Solutions Inc. Services 4.82%

805 EURX Eurand N.V. Healthcare 4.81%

806 TOMO TomoTherapy Incorporated Healthcare 4.81%

807 BFK BlackRock Municipal Income Trust Financial 4.81%

808 PRFT Perficient Inc. Technology 4.81%

809 PPT Putnam Premier Income Trust Financial 4.81%

810 ELOY eLoyalty Corp. Services 4.80%

811 ESRX Express Scripts Inc. Services 4.79%

812 PCK PIMCO California Municipal Income Fund II Financial 4.79%

813 IIM Invesco Insured Municipal Income Trust Financial 4.79%

814 ASRV AmeriServ Financial, Inc. Financial 4.79%

815 MHD Blackrock MuniHoldings Fund, Inc. Financial 4.79%

816 MPV MassMutual Participation Investors Financial 4.78%

817 ICS Invesco Insured California Municipal Securities Financial 4.78%

818 BIE BlackRock Municipal Bond Investment Trust Financial 4.77%

819 AWK American Water Works Company, Inc. Utilities 4.76%

820 NAZ Nuveen Arizona Premium Income Municipal Fund, Inc. Financial 4.76%

821 BZM BlackRock Maryland Municipal Bond Trust Financial 4.76%

822 NXJ Nuveen New Jersey Dividend Advantage Municipal Fund Financial 4.76%

823 CTC IFM Investments Limited Financial 4.75%

824 GLBC Global Crossing Ltd. Technology 4.75%

825 EMITF Elbit Medical Imaging Ltd. Financial 4.74%

826 OIB Invesco Municipal Income Opportunities Trust II Financial 4.73%

827 EFZ Short MSCI EAFE ProShares Financial 4.71%

828 NNJ Nuveen New Jersey Premium Income Municipal Fund, Inc. Financial 4.71%

829 DOVR Dover Saddlery, Inc. Services 4.71%

830 PZE Petrobras Energía SA Basic Materials 4.69%

831 NNP Nuveen New York Performance Plus Municipal Fund, Inc. Financial 4.69%

832 JPS Nuveen Quality Preferred Income Fund 2 Financial 4.68%

833 PSW BlackRock Credit Allocation Income Trust I, Inc. Financial 4.68%

834 MPB Mid Penn Bancorp Inc. Financial 4.67%

835 GSK GlaxoSmithKline plc Healthcare 4.67%

836 TLGD Tollgrade Communications Inc. Technology 4.64%

837 DDG Short Oil & Gas ProShares Financial 4.62%

838 NGB Nuveen Virginia Dividend Advantage Municipal Fund Financial 4.62%

839 NRT North European Oil Royalty Trust Financial 4.62%

840 BQR BlackRock Ecosolutions Investme Financial 4.62%

841 FFC Flaherty & Crumrine/Claymore Preferred Securities Income Fund Inc. Financial 4.60%

842 IQN Invesco New York Quality Municipal Securities Financial 4.59%

843 NQM Nuveen Investment Quality Municipal Fund, Inc. Financial 4.58%

844 TAI Transamerica Income Shares Inc. Financial 4.58%

845 OME Omega Protein Corp. Consumer Goods 4.58%

846 MIY BlackRock MuniYield Michigan Insured Fund, Inc. Financial 4.57%

847 SGL Strategic Global Income Fund Inc. Financial 4.57%

848 ENR Energizer Holdings Inc. Consumer Goods 4.56%

849 CGNX Cognex Corp. Technology 4.55%

850 BRNC Bronco Drilling Co. Inc. Basic Materials 4.55%

851 IIC Invesco California Insured Municipal Income Trust Financial 4.54%

852 CPHI China Pharma Holdings, Inc. Healthcare 4.53%

853 EIP Eaton Vance Pennsylvania Municipal Bond Fund Financial 4.49%

854 FLO Flowers Foods, Inc. Consumer Goods 4.49%

855 HWG The Hallwood Group Incorporated Industrial Goods 4.49%

856 HEP Holly Energy Partners L.P Basic Materials 4.47%

857 RDEN Elizabeth Arden, Inc. Consumer Goods 4.47%

858 CNTF China Techfaith Wireless Communication Technology Ltd. Technology 4.46%

859 PBIP Prudential Bancorp Inc. Of Pennsylvania Financial 4.46%

860 DSPG DSP Group Inc. Technology 4.45%

861 VTN Invesco Van Kampen Trust for Investment Grade New York Municipals Financial 4.45%

862 MDRX Allscripts-Misys Healthcare Solutions, Inc. Technology 4.43%

863 PNF PIMCO New York Municipal Income Fund Financial 4.43%

864 PHI Philippine Long Distance Telephone Co. Technology 4.43%

865 BID Sotheby's Services 4.42%

866 BVN Compania de Minas Buenaventura SA Basic Materials 4.40%

867 MYN BlackRock MuniYield New York Insured Fund, Inc. Financial 4.39%

868 FPT Federated Premier Intermediate Municipal Income Fund Financial 4.38%

869 GIM Templeton Global Income Fund, Inc. Financial 4.38%

870 AIM Aerosonic Corp. Industrial Goods 4.37%

871 HUM Humana Inc. Healthcare 4.37%

872 MAIL IncrediMail, Ltd. Technology 4.37%

873 PMO Putnam Municipal Opportunities Trust Financial 4.36%

874 AXEN iShares MSCI ACWI ex US Energy Financial 4.36%

875 DMF Dreyfus Municipal Income Inc. Financial 4.34%

876 SRT StarTek, Inc. Services 4.34%

877 CXE MFS High Income Municipal Trust Financial 4.33%

878 TIK Tel-Instrument Electronics Corp. Technology 4.33%

879 PNI PIMCO New York Municipal Income Fund II Financial 4.33%

880 BRF Market Vectors Brazil Small-Cap ETF Financial 4.32%

881 YUII Yuhe International, Inc. Consumer Goods 4.30%

882 RFA BlackRock Investment Quality Municipal Income Trust Financial 4.27%

883 AYN Alliance New York Municipal Income Fund Inc. Financial 4.27%

884 JQC Nuveen Multi-Strategy Income & Growth Fund 2 Financial 4.26%

885 NPC Nuveen Insured California Premium Income Municipal Fund, Inc. Financial 4.26%

886 PCY PowerShares Emerging Mkts Sovereign Debt Financial 4.25%

887 IX ORIX Corp. Conglomerates 4.25%

888 TENZ PIMCO 7-15 Year U.S. Treasury Index ETF Financial 4.25%

889 MNE BlackRock Muni New York Intermediate Duration Fund, Inc. Financial 4.24%

890 WNI Schiff Nutrition International Inc. Healthcare 4.23%

891 TLL UltraShort Telecommunications ProShares Financial 4.21%

892 CTEL City Telecom HK Ltd. Technology 4.21%

893 RAA BlackRock California Investment Quality Municipal Trust Financial 4.21%

894 DOG Short Dow30 ProShares Financial 4.21%

895 JRS Nuveen Real Estate Income Fund Financial 4.21%

896 MUI BlackRock Muni Intermediate Duration Fund, Inc. Financial 4.20%

897 CEDU ChinaEdu Corporation Services 4.19%

898 HANS Hansen Natural Corporation Consumer Goods 4.18%

899 BVF Biovail Corporation Healthcare 4.17%

900 PCCC PC Connection, Inc. Services 4.17%

901 CXZ Crosshair Exploration & Mining Corp. Basic Materials 4.17%

902 NVJ Nuveen Ohio Dividend Advantage Municipal Fund 3 Financial 4.15%

903 AOL AOL, Inc. Technology 4.14%

904 SKBI Skystar Bio Pharmaceutical Company Healthcare 4.12%

905 BRIS Direxion Daily BRIC Bear 2X Shares Financial 4.12%

906 OIC Invesco Municipal Income Opportunities Trust III Financial 4.11%

907 NBTF NB&T Financial Group Inc. Financial 4.11%

908 HTM US Geothermal Inc. Utilities 4.11%

909 SRS UltraShort Real Estate ProShares Financial 4.11%

910 EMMS Emmis Communications Corp. Services 4.10%

911 IEF iShares Barclays 7-10 Year Treasury Financial 4.10%

912 MIGP Mercer Insurance Group Inc. Financial 4.10%

913 DSM Dreyfus Strategic Municipal Bond Fund Inc. Financial 4.09%

914 SFD Smithfield Foods Inc. Consumer Goods 4.08%

915 SOL ReneSola Ltd. Technology 4.08%

916 AGAM AGA Medical Holdings, Inc. Healthcare 4.08%

917 IFN India Fund, Inc. Financial 4.08%

918 BAB PowerShares Build America Bond Financial 4.07%

919 YXI ProShares Short FTSE/Xinhua China 25 Financial 4.07%

920 LBF DWS Global High Income Fund, Inc. Financial 4.07%

921 VLNC Valence Technology Inc. Industrial Goods 4.07%

922 NPT Nuveen Premium Income Municipal Fund 4, Inc. Financial 4.06%

923 ECH iShares MSCI Chile Investable Mkt Idx Financial 4.04%

924 PRE PartnerRe Ltd. Financial 4.04%

925 NMA Nuveen Municipal Advantage Fund, Inc. Financial 4.04%

926 BNJ BlackRock New Jersey Municipal Income Trust Financial 4.04%

927 MCI MassMutual Corporate Investors Financial 4.02%

928 PSAU PowerShares Global Gold & Prec Metals Financial 4.02%

929 OVBC Ohio Valley Banc Corp. Financial 4.00%

930 GLRP Glen Rose Petroleum Corp. Basic Materials 4.00%

931 NPM Nuveen Premium Income Municipal Fund 2, Inc. Financial 3.99%

932 MYGN Myriad Genetics Inc. Healthcare 3.99%

933 SHI Sinopec Shanghai Petrochemical Co. Ltd. Basic Materials 3.99%

934 VCV Invesco Van Kampen California Value Municipal Income Trust Financial 3.98%

935 ARCC Ares Capital Corporation Financial 3.97%

936 VKQ Invesco Van Kampen Municipal Trust Financial 3.97%

937 MCD McDonald's Corp. Services 3.96%

938 ARIA Ariad Pharmaceuticals Inc. Healthcare 3.95%

939 NUM Nuveen Michigan Quality Income Municipal Fund, Inc. Financial 3.95%

940 NVS Novartis AG Healthcare 3.95%

941 BSET Bassett Furniture Industries Inc. Consumer Goods 3.94%

942 PCG PG & E Corp. Utilities 3.93%

943 CDNS Cadence Design Systems Inc. Technology 3.93%

944 BBSI Barrett Business Services Inc. Services 3.93%

945 MSG Madison Square Garden, Inc. Services 3.92%

946 UBG UBS E-TRACS CMCI Gold TR ETN Financial 3.90%

947 CIF MFS Intermediate High Income Fund Financial 3.90%

948 CHKP Check Point Software Technologies Ltd. Technology 3.89%

949 STRN Sutron Corp. Technology 3.88%

950 MYD Blackrock MuniYield Fund, Inc. Financial 3.88%

951 AGN Allergan Inc. Healthcare 3.87%

952 DXCM DexCom, Inc. Healthcare 3.87%

953 IQT Invesco Quality Municipal Investment Trust Financial 3.85%

954 OTEX Open Text Corp. Technology 3.85%

955 CNIC Copernic Inc. Technology 3.85%

956 EDUC Educational Development Corp. Services 3.84%

957 UNH Unitedhealth Group, Inc. Healthcare 3.83%

958 PETM PetSmart, Inc. Services 3.83%

959 APSA Alto Palermo S.A. Financial 3.83%

960 BYFC Broadway Financial Corp. Financial 3.82%

961 FXY CurrencyShares Japanese Yen Trust Financial 3.81%

962 NKX Nuveen Insured California Tax Free Advantage Municipal Fund Financial 3.80%

963 CEL Cellcom Israel Ltd. Technology 3.79%

964 BAP Credicorp Ltd. Financial 3.79%

965 TEO Telecom Argentina S A Technology 3.78%

966 JLL Jones Lang Lasalle Inc. Financial 3.78%

967 FSFG First Savings Financial Group, Inc. Financial 3.77%

968 NNB Nuveen Virginia Dividend Advantage Municipal Fund 2 Financial 3.76%

969 FMY First Trust/Fidac Mortgage Income Fund Financial 3.76%

970 PMU Pacific Rim Mining Corporation Basic Materials 3.75%

971 VZ Verizon Communications Inc. Technology 3.74%

972 NVC Nuveen California Select Quality Municipal Fund, Inc. Financial 3.74%

973 FAX Aberdeen Asia-Pacific Income Fund Inc. Financial 3.73%

974 MVT BlackRock MuniVest Fund II, Inc. Financial 3.73%

975 NTC Nuveen Connecticut Premium Income Municipal Fund Financial 3.72%

976 ESEA Euroseas, Ltd. Services 3.71%

977 HPF John Hancock Preferred Income Fund II Financial 3.71%

978 MRVL Marvell Technology Group Ltd. Technology 3.70%

979 COW iPath DJ-UBS Livestock TR Sub-Idx ETN Financial 3.70%

980 ALXN Alexion Pharmaceuticals, Inc. Healthcare 3.69%

981 VSBN VSB Bancorp Inc. Financial 3.69%

982 SDTH Shengdatech, Inc. Basic Materials 3.69%

983 APX BlackRock Apex Municipal Fund Inc. Financial 3.68%

984 AIP Hadera Paper Ltd. Consumer Goods 3.68%

985 FTNT Fortinet Inc. Technology 3.68%

986 DNBF DNB Financial Corp. Financial 3.67%

987 FNGN Financial Engines, Inc. Financial 3.66%

988 IDIX Idenix Pharmaceuticals Inc. Healthcare 3.65%

989 TWGP Tower Group Inc. Financial 3.65%

990 TRW TRW Automotive Holdings Corp. Consumer Goods 3.65%

991 VKI Invesco Van Kampen Advantage Municipal Income Trust II Financial 3.63%

992 MO Altria Group Inc. Consumer Goods 3.63%

993 PGF PowerShares Financial Preferred Financial 3.63%

994 TAIT Taitron Components Inc. Services 3.62%

995 CSLS Credit Suisse Long/Short Liquid Idx ETN Financial 3.62%

996 MEN BlackRock MuniEnhanced Fund, Inc. Financial 3.62%

997 NLP NTS Realty Holdings LP Financial 3.61%

998 THRD TF Financial Corporation Financial 3.61%

999 GEL Genesis Energy LP Basic Materials 3.60%

1000 CXA SPDR Barclays Capital California Muni Bd Financial 3.60%

1001 OIA Invesco Municipal Income Opportunities Trust Financial 3.60%

1002 MG Mistras Group, Inc. Services 3.60%

1003 ACHN Achillion Pharmaceuticals, Inc. Healthcare 3.59%

1004 KKR Kohlberg Kravis Roberts & Co. Financial 3.58%

1005 TPCG TPC Group Inc Basic Materials 3.57%

1006 CVR Chicago Rivet & Machine Co. Consumer Goods 3.57%

1007 FWV First West Virginia Bancorp Inc. Financial 3.57%

1008 LQD iShares iBoxx $ Invest Grade Corp Bond Financial 3.56%

1009 NBIX Neurocrine Biosciences Inc. Healthcare 3.56%

1010 DUC Duff & Phelps Utility & Corporate Bond Trust Inc. Financial 3.55%

1011 STMP Stamps.com Inc. Services 3.54%

1012 ERIE Erie Indemnity Co. Financial 3.54%

1013 NAN Nuveen New York Dividend Advantage Municipal Fund Financial 3.54%

1014 ESE ESCO Technologies Inc. Technology 3.53%

1015 PML PIMCO Municipal Income Fund II Financial 3.52%

1016 MQY BlackRock MuniYield Quality Fund, Inc. Financial 3.52%

1017 PWX Providence & Worcester Railroad Co. Services 3.52%

1018 SDP UltraShort Utilities ProShares Financial 3.51%

1019 SYT Syngenta AG Basic Materials 3.51%

1020 HPI John Hancock Preferred Income Fund Financial 3.51%

1021 TIS Orchids Paper Products Company Consumer Goods 3.51%

1022 NFC Nuveen Connecticut Dividend Advantage Municipal Fund Financial 3.51%

1023 NPF Nuveen Premier Municipal Income Fund, Inc. Financial 3.51%

1024 IQC Invesco California Quality Municipal Securities Financial 3.50%

1025 CZI Direxion Daily China Bear 3X Shares Financial 3.50%

1026 CHDX Chindex International Inc. Services 3.50%

1027 NQP Nuveen Pennsylvania Investment Quality Municipal Fund Inc. Financial 3.50%

1028 MUJ BlackRock MuniHoldings New Jersey Insured Fund, Inc. Financial 3.49%

1029 SBAC SBA Communications Corp. Services 3.49%

1030 EUM Short MSCI Emerging Mkts ProShares Financial 3.49%

1031 BLT Blount International Inc. Consumer Goods 3.49%

1032 PDEX Pro-Dex Inc. Healthcare 3.49%

1033 SHMR Shamir Optical Industry, Ltd. Healthcare 3.49%

1034 JGG Nuveen Global Government Enhanc Financial 3.48%

1035 NMP Nuveen Michigan Premium Income Municipal Fund, Inc. Financial 3.48%

1036 MPA BlackRock Muniyield Pennsylvania Insured Fund Financial 3.47%

1037 SLTC Selectica Inc. Technology 3.47%

1038 NCO Nuveen California Municipal Market Opportunity Fund, Inc. Financial 3.47%

1039 FALC Falconstor Software Inc. Technology 3.46%

1040 EMB iShares JPMorgan USD Emerg Markets Bond Financial 3.46%

1041 EEH ELEMENTS SPECTRUM Lg Cap U.S. Sector ETN Financial 3.46%

1042 ACEL Tamir Biotechnology, Inc. Healthcare 3.45%

1043 SNPS Synopsys Inc. Technology 3.43%

1044 EE El Paso Electric Co. Utilities 3.42%

1045 UNFI United Natural Foods, Inc. Services 3.42%

1046 NZW Nuveen Michigan Dividend Advantage Municipal Fund Financial 3.41%

1047 FDP Fresh Del Monte Produce Inc. Consumer Goods 3.41%

1048 ICB Morgan Stanley Income Securities Inc. Financial 3.41%

1049 CAMP CalAmp Corp. Technology 3.40%

1050 MGYR Magyar Bancorp, Inc. Financial 3.40%

1051 AMT American Tower Corp. Technology 3.40%

1052 RCON Recon Technology, Ltd. Technology 3.40%

1053 PNRG PrimeEnergy Corp. Basic Materials 3.40%

1054 DX Dynex Capital Inc. Financial 3.40%

1055 CFT iShares Barclays Credit Bond Financial 3.38%

1056 GRVY Gravity Co., Ltd Technology 3.38%

1057 CKX CKX Lands Inc. Basic Materials 3.37%

1058 AFSI AmTrust Financial Services, Inc. Financial 3.37%

1059 FUEL SMF Energy Corporation Services 3.36%

1060 FDML Federal-Mogul Corp. Consumer Goods 3.35%

1061 ALLT Allot Communications Ltd. Technology 3.35%

1062 JPC Nuveen Multi-Strategy Income & Growth Fund Financial 3.35%

1063 BKN BlackRock Investment Quality Municipal Trust Inc. Financial 3.34%

1064 MQT BlackRock MuniYield Quality Fund II, Inc. Financial 3.34%

1065 CYPB Cypress Bioscience, Inc. Healthcare 3.33%

1066 FAM First Trust/Aberdeen Global Opportunity Income Fund Financial 3.33%

1067 KMM DWS Multi-Market Income Trust Financial 3.33%

1068 AMLN Amylin Pharmaceuticals, Inc. Healthcare 3.32%

1069 VMO Invesco Van Kampen Municipal Opportunity Trust Financial 3.31%

1070 VRX Valeant Pharmaceuticals International Healthcare 3.31%

1071 JTP Nuveen Quality Preferred Income Fund Financial 3.30%

1072 MZA BlackRock Muniyield Arizona Fund, Inc. Financial 3.30%

1073 SJR Shaw Communications, Inc. Services 3.29%

1074 NUN Nuveen New York Quality Income Municipal Fund, Inc. Financial 3.28%

1075 BFO BlackRock Florida Municipal 2020 Term Trust Financial 3.28%

1076 NZF Nuveen Dividend Advantage Municipal Fund 3 Financial 3.28%

1077 KNOL Knology, Inc. Technology 3.27%

1078 PMF PIMCO Municipal Income Fund Financial 3.27%

1079 EIM Eaton Vance Municipal Bond Fund Financial 3.26%

1080 FDI Fort Dearborn Income Securities Inc. Financial 3.25%

1081 GPM Guggenheim Enhanced Equity Income Fund Financial 3.25%

1082 GOF Claymore/Guggenheim Strategic O Financial 3.24%

1083 MLN Market Vectors Long Municipal ETF Financial 3.24%

1084 NXK Nuveen New York Dividend Advantage Municipal Fund 2 Financial 3.23%

1085 FMN Federated Premier Municipal Income Fund Financial 3.23%

1086 BDL Flanigan's Enterprises Inc. Services 3.23%

1087 MDCA MDC Partners Inc. Services 3.22%

1088 JDD Nuveen Diversified Dividend & Income Fund Financial 3.22%

1089 PTV Pactiv Corp. Consumer Goods 3.21%

1090 VIM Invesco Van Kampen Trust for Insured Municipals Financial 3.21%

1091 KCAP Kohlberg Capital Corporation Financial 3.21%

1092 NYMT New York Mortgage Trust Inc. Financial 3.19%

1093 PDT John Hancock Patriot Premium Dividend Fund II Financial 3.19%

1094 MFLR Mayflower Bancorp, Inc. Financial 3.16%

1095 MUC BlackRock MuniHoldings California Insured Fund, Inc. Financial 3.16%

1096 KEYN Keynote Systems Inc. Technology 3.16%

1097 NAC Nuveen California Dividend Advantage Municipal Fund Financial 3.16%

1098 EPB El Paso Pipeline Partners, L.P. Basic Materials 3.15%

1099 VFL Delaware Investments National Municipal Income Fund Financial 3.15%

1100 CREG China Recycling Energy Corp Industrial Goods 3.14%

1101 IIF Morgan Stanley India Investment Fund, Inc. Financial 3.14%

1102 BFZ BlackRock California Municipal Income Trust Financial 3.13%

1103 PINN Pinnacle Gas Resources, Inc. Basic Materials 3.13%

1104 BCSB BCSB Bankcorp Inc. Financial 3.12%

1105 ADC Agree Realty Corp. Financial 3.12%

1106 BIV Vanguard Intermediate-Term Bond ETF Financial 3.12%

1107 CPK Chesapeake Utilities Corporation Utilities 3.11%

1108 NMR Nomura Holdings Inc. Financial 3.11%

1109 LDK LDK Solar Co., Ltd. Technology 3.10%

1110 DWSN Dawson Geophysical Co. Basic Materials 3.09%

1111 VBF Invesco Van Kampen Bond Fund Financial 3.08%

1112 KGS Quicksilver Gas Services LP Basic Materials 3.08%

1113 BBK BlackRock Municipal Bond Trust Financial 3.08%

1114 HSM Helios Strategic Mortgage Income Fund, Inc. Financial 3.07%

1115 FRN Claymore/BNY Mellon Frontier Markets Financial 3.07%

1116 DST DST Systems Inc. Technology 3.07%

1117 UWN Nevada Gold & Casinos Inc. Services 3.06%

1118 NKG Nuveen Georgia Dividend Advantage Municipal Fund 2 Financial 3.06%

1119 FTF Franklin Templeton Limited Duration Income Trust Financial 3.05%

1120 AFB AllianceBernstein National Municipal Income Fund, Inc Financial 3.03%

1121 MTS Montgomery Street Income Securities Inc. Financial 3.02%

1122 VGM Invesco Van Kampen Trust for Investment Grade Municipals Financial 3.02%

1123 NNF Nuveen Insured New York Premium Income Municipal Fund, Inc. Financial 3.02%

1124 FTI FMC Technologies, Inc. Basic Materials 3.02%

1125 GPRO Gen-Probe Inc. Services 3.02%

1126 FAC First Acceptance Corp. Financial 3.01%

1127 STWD Starwood Property Trust, Inc. Financial 3.01%

1128 TICC TICC Capital Corp. Financial 3.01%

1129 HOGS Zhongpin, Inc. Consumer Goods 3.01%

1130 BFR BBVA Banco Frances S.A. Financial 3.01%

1131 BMY Bristol-Myers Squibb Company Healthcare 3.00%

1132 RCKY Rocky Brands, Inc. Consumer Goods 3.00%

1133 XAA American Municipal Income Portfolio Inc. Financial 3.00%

1134 KHI DWS High Income Trust Financial 2.99%

1135 PCM PCM Fund Inc. Financial 2.99%

1136 EOD Wells Fargo Advantage Global Di Financial 2.99%

1137 PWZ PowerShares Insured California Muni Bond Financial 2.99%

1138 COO The Cooper Companies Inc. Healthcare 2.99%

1139 NPX Nuveen Insured Premium Income Municipal Fund 2 Financial 2.99%

1140 NCA Nuveen California Municipal Value Fund, Inc. Financial 2.99%

1141 PPO Polypore International Inc. Basic Materials 2.99%

1142 SYNX SYNERGX Systems Inc. Technology 2.99%

1143 KNM Konami Corp. Technology 2.98%

1144 SCR Simcere Pharmaceutical Group. Healthcare 2.97%

1145 ITM Market Vectors Intermediate Muni ETF Financial 2.97%

1146 NTL Nortel Inversora S.A. Technology 2.97%

1147 PZA PowerShares Insured National Muni Bond Financial 2.97%

1148 KSM DWS Strategic Municipal Income Trust Financial 2.97%

1149 VIT VanceInfo Technologies Inc. Technology 2.96%

1150 MNP Western Asset Municipal Partners Fund Inc. Financial 2.96%

1151 NNN National Retail Properties, Inc. Financial 2.95%

1152 CFP Cornerstone Progressive Return Financial 2.95%

1153 FMFC First M&F Corp. Financial 2.95%

1154 MYI Blackrock MuniYield Insured Fund, Inc. Financial 2.94%

1155 NCU Nuveen California Premium Income Municipal Fund Financial 2.93%

1156 HDB HDFC Bank Ltd. Financial 2.93%

1157 CNK Cinemark Holdings Inc. Services 2.92%

1158 UBA Urstadt Biddle Properties Inc. Financial 2.92%

1159 MIN MFS Intermediate Income Trust Financial 2.92%

1160 NXE Nuveen Arizona Dividend Advantage Municipal Fund 3 Financial 2.91%

1161 HSF Hartford Income Shares Fund, Inc. Financial 2.91%

1162 VCIT Vanguard Interm-Tm Corp Bd Idx ETF Financial 2.90%

1163 LARK Landmark Bancorp Inc. Financial 2.89%

1164 SVNT Savient Pharmaceuticals, Inc. Healthcare 2.89%

1165 NNC Nuveen North Carolina Premium Income Municipal Fund Financial 2.89%

1166 JLA Nuveen Equity Premium Advantage Fund Financial 2.89%

1167 CMM China Mass Media Corp. Services 2.88%

1168 EPU iShares MSCI All Peru Capped Index Financial 2.88%

1169 CXH MFS Investment Grade Municipal Trust Financial 2.88%

1170 WPI Watson Pharmaceuticals Inc. Healthcare 2.88%

1171 BFY BlackRock New York Municipal Income Trust II Financial 2.87%

1172 GLOI GlobalOptions Group, Inc. Services 2.87%

1173 BDF Rivus Bond Fund Financial 2.87%

1174 VYFC Valley Financial Corporation Financial 2.86%

1175 BWA BorgWarner Inc. Consumer Goods 2.86%

1176 NBJ Nuveen Ohio Dividend Advantage Municipal Fund 2 Financial 2.84%

1177 KST DWS Strategic Income Trust Financial 2.84%

1178 AEZ American Oil & Gas Inc. Basic Materials 2.84%

1179 NQJ Nuveen New Jersey Investment Quality Municipal Fund, Inc. Financial 2.84%

1180 T AT&T, Inc. Technology 2.83%

1181 TWON IQ Taiwan Small Cap ETF Financial 2.82%

1182 OAS Oasis Petroleum Inc. Basic Materials 2.82%

1183 CH Aberdeen Chile Fund, Inc. Financial 2.82%

1184 FXF CurrencyShares Swiss Franc Trust Financial 2.82%

1185 MFV MFS Special Value Trust Financial 2.82%

1186 CNMD CONMED Corporation Healthcare 2.79%

1187 NXC Nuveen California Select Tax-Free Income Portfolio Financial 2.79%

1188 AHL Aspen Insurance Holdings Ltd. Financial 2.79%

1189 MUS BlackRock MuniHoldings Insured Fund, Inc. Financial 2.78%

1190 NVG Nuveen Insured Dividend Advantage Municipal Fund Financial 2.78%

1191 IACI IAC/InterActiveCorp. Services 2.78%

1192 HAST Hastings Entertainment Inc. Services 2.78%

1193 FEFN iShares MSCI Far East Financials Index Financial 2.78%

1194 MIW Eaton Vance Michigan Municipal Bond Fund Financial 2.77%

1195 EMI Eaton Vance Michigan Municipal Income Trust Financial 2.77%

1196 IPG Interpublic Group of Companies, Inc. Services 2.76%

1197 MCR MFS Charter Income Trust Financial 2.76%

1198 PRSC Providence Service Corp. Healthcare 2.76%

1199 BKBK Britton & Koontz Capital Corp. Financial 2.75%

1200 CII BlackRock Enhanced Capital and Income Fund, Inc. Financial 2.75%

1201 BBF BlackRock Municipal Income Investment Trust Financial 2.75%

1202 HOLI Hollysys Automation Technologies, Ltd Industrial Goods 2.75%

1203 CLWT Euro Tech Holdings Co. Ltd. Industrial Goods 2.74%

1204 UTG Reaves Utility Income Fund Financial 2.74%

1205 BJGP BMP Sunstone Corporation Healthcare 2.73%

1206 MHN BlackRock MuniHoldings New York Insured Fund, Inc. Financial 2.73%

1207 ACL Alcon Inc. Healthcare 2.73%

1208 DBA PowerShares DB Agriculture Financial 2.73%

1209 FPP Fieldpoint Petroleum Corp. Basic Materials 2.71%

1210 BNHNA Benihana Inc. Services 2.71%

1211 NUC Nuveen California Quality Income Municipal Fund, Inc. Financial 2.70%

1212 PZZI Pizza Inn, Inc. Services 2.70%

1213 IMC Invesco Insured Municipal Bond Trust Financial 2.70%

1214 IF Aberdeen Indonesia Fund, Inc. Financial 2.70%

1215 SOLF Solarfun Power Holdings Co. Ltd. Technology 2.70%

1216 NTT Nippon Telegraph & Telephone Corp. Technology 2.70%

1217 MYM BlackRock MuniYield Michigan Insured Fund II, Inc. Financial 2.70%

1218 JAKK JAKKS Pacific, Inc. Consumer Goods 2.69%

1219 MEMS MEMSIC, Inc. Technology 2.69%

1220 BSCH Claymore BulletShares 2017 Corp Financial 2.69%

1221 CFK CE Franklin Ltd. Services 2.69%

1222 TU TELUS Corporation Technology 2.69%

1223 CEA China Eastern Airlines Corp. Ltd. Services 2.68%

1224 PZT PowerShares Insured New York Muni Bond Financial 2.68%

1225 NEWT Newtek Business Services Inc. Financial 2.65%

1226 GRV Mars Hill Global Relative Value Financial 2.65%

1227 GFY Western Asset Variable Rate Strategic Fund Inc. Financial 2.65%

1228 JGV Nuveen Global Value Opportuniti Financial 2.65%

1229 GGN The Gabelli Global Gold, Natural Resources & Income Trust Financial 2.63%

1230 VTJ Invesco Van Kampen Trust for Investment Grade New Jersey Municipals Financial 2.63%

1231 RHT Red Hat, Inc. Technology 2.62%

1232 FMCN Focus Media Holding Ltd. Services 2.62%

1233 TYW TS&W/Claymore Tax-Advantaged Balanced Fund Financial 2.62%

1234 NRO Neuberger Berman Real Estate Securities Income Fund Inc. Financial 2.62%

1235 EDGW Edgewater Technology Inc. Technology 2.61%

1236 SINO Sino-Global Shipping America, Ltd. Services 2.61%

1237 TFI SPDR Barclays Capital Municipal Bond Financial 2.60%

1238 GCS DWS Enhanced Commodity Strategy Fund, Inc. Financial 2.59%

1239 CHIQ Global X China Consumer ETF Financial 2.58%

1240 NVX Nuveen California Dividend Advantage Municipal Fund 2 Financial 2.57%

1241 GOLD Randgold Resources Ltd. Basic Materials 2.57%

1242 ACG AllianceBernstein Income Fund, Inc. Financial 2.57%

1243 VGIT Vanguard Interm-Tm Govt Bd Idx ETF Financial 2.57%

1244 CISG Cninsure Inc. Financial 2.57%

1245 NQC Nuveen California Investment Quality Municipal Fund, Inc. Financial 2.56%

1246 NVN Nuveen New York Select Quality Municipal Fund, Inc. Financial 2.56%

1247 GMTB Grail McDonnell Core Taxable Bond ETF Financial 2.56%

1248 SNH Senior Housing Properties Trust Financial 2.56%

1249 FUNC First United Corporation Financial 2.55%

1250 CNVO Convio, Inc. Technology 2.55%

1251 TCX Tucows Inc. Technology 2.54%

1252 KTF DWS Municipal Income Trust Financial 2.54%

1253 INY SPDR Barclays Capital New York Muni Bond Financial 2.54%

1254 CI CIGNA Corporation Healthcare 2.54%

1255 FFDF FFD Financial Corp. Financial 2.53%

1256 ZBRA Zebra Technologies Corp. Technology 2.53%

1257 CMU MFS High Yield Municipal Trust Financial 2.52%

1258 BSCG Claymore BulletShares 2016 Corp Financial 2.52%

1259 OII Oceaneering International, Inc. Basic Materials 2.51%

1260 VMED Virgin Media, Inc. Services 2.51%

1261 VOXW Voxware Inc. Technology 2.50%

1262 CNP CenterPoint Energy, Inc. Utilities 2.50%

1263 ATHN Athenahealth, Inc. Services 2.50%

1264 SPRD Spreadtrum Communications Inc. Technology 2.49%

1265 INDZ Direxion Daily India Bear 2X Shares Financial 2.49%

1266 GBF iShares Barclays Government/Credit Bond Financial 2.49%

1267 NPP Nuveen Performance Plus Municipal Fund, Inc. Financial 2.49%

1268 BLJ BlackRock New Jersey Municipal Bond Trust Financial 2.48%

1269 PYN PIMCO New York Municipal Income Fund III Financial 2.48%

1270 FHI First Trust Strategic High Income Fund Financial 2.48%

1271 NBW Neuberger Berman California Intermediate Municipal Fund Inc. Financial 2.48%

1272 EIDO iShares MSCI Indonesia Invstble Mkt Idx Financial 2.47%

1273 CBMX CombiMatrix Corporation Healthcare 2.47%

1274 POM Pepco Holdings, Inc. Utilities 2.47%

1275 IXYS IXYS Corp. Technology 2.47%

1276 ENX Eaton Vance New York Municipal Bond Fund Financial 2.46%

1277 EBI Evergreen International Balanced Income Fund Financial 2.45%

1278 MUAF iShares 2017 S&P AMT-Free Municipal Ser Financial 2.45%

1279 NDN 99¢ Only Stores Services 2.45%

1280 DRAM Dataram Corporation Technology 2.45%

1281 FMS Fresenius Medical Care AG & Co. KGAA Healthcare 2.45%

1282 CASY Casey's General Stores Inc. Services 2.45%

1283 VR Validus Holdings, Ltd. Financial 2.44%

1284 GASS StealthGas, Inc. Services 2.43%

1285 ZOLL ZOLL Medical Corp. Healthcare 2.42%

1286 MMP Magellan Midstream Partners LP Basic Materials 2.42%

1287 LATM Market Vectors LatAm Small-Cap Index ETF Financial 2.42%

1288 NIO Nuveen Insured Municipal Opportunity Fund, Inc. Financial 2.41%

1289 ELP Companhia Paranaense de Energia Utilities 2.40%

1290 KG King Pharmaceuticals Inc. Healthcare 2.39%

1291 GHL Greenhill & Co., Inc. Financial 2.39%

1292 IPE SPDR Barclays Capital TIPS Financial 2.39%

1293 PCF Putnam High Income Securities Fund Financial 2.39%

1294 VIFL Food Technology Service Inc. Services 2.38%

1295 NXQ Nuveen Select Tax-Free Income Portfolio 2 Financial 2.38%

1296 THI Tim Hortons Inc. Services 2.37%

1297 NGG National Grid plc Utilities 2.36%

1298 BGH Buckeye GP Holdings L.P. Basic Materials 2.36%

1299 ZNH China Southern Airlines Co. Ltd. Services 2.36%

1300 PICB PowerShares International Corpo Financial 2.36%

1301 BNY BlackRock New York Municipal Income Trust Financial 2.36%

1302 EVY Eaton Vance New York Municipal Income Trust Financial 2.35%

1303 RJZ ELEMENTS Rogers Intl Commodity Metal ETN Financial 2.35%

1304 FUD UBS E-TRACS CMCI Food TR ETN Financial 2.35%

1305 BKK BlackRock Municipal 2020 Term Trust Financial 2.34%

1306 SAFT Safety Insurance Group Inc. Financial 2.34%

1307 PCN PIMCO Corporate Income Fund Financial 2.33%

1308 PLUS ePlus Inc. Technology 2.32%

1309 MFL BlackRock MuniHoldings Insured Investment Fund Financial 2.32%

1310 NII Nuveen North Carolina Dividend Advantage Municipal Fund 3 Financial 2.32%

1311 PENN Penn National Gaming Inc. Services 2.32%

1312 PFL PIMCO Income Strategy Fund Financial 2.31%

1313 CMF iShares S&P CA AMT-Free Municipal Bd Financial 2.31%

1314 PGX PowerShares Preferred Financial 2.29%

1315 BQH BlackRock New York Municipal Bond Trust Financial 2.29%

1316 DEI Douglas Emmett Inc Financial 2.28%

1317 HSA Helios Strategic Income Fund, Inc. Financial 2.28%

1318 OPHC OptimumBank Holdings Inc. Financial 2.27%

1319 SGF The Singapore Fund, Inc. Financial 2.27%

1320 NUO Nuveen Ohio Quality Income Municipal Fund, Inc. Financial 2.26%

1321 CSFS The Cash Store Financial Services, Inc. Services 2.26%

1322 BWX SPDR Barclays Capital Intl Treasury Bond Financial 2.26%

1323 BWLD Buffalo Wild Wings Inc. Services 2.25%

1324 PSK SPDR Wells Fargo Preferred Stock Financial 2.24%

1325 TIPZ PIMCO Broad U.S. TIPS Index ETF Financial 2.24%

1326 STH Claymore/Sabrient Stealth Financial 2.24%

1327 NCP Nuveen California Performance Plus Municipal Fund, Inc. Financial 2.22%

1328 NQU Nuveen Quality Income Municipal Fund, Inc. Financial 2.22%

1329 BSE BlackRock New York Insured Municipal Income Trust Financial 2.22%

1330 REK ProShares Short Real Estate Financial 2.20%

1331 FABK First Advantage Bancorp. Financial 2.19%

1332 BDX Becton, Dickinson and Company Healthcare 2.18%

1333 CCIX Coleman Cable, Inc. Industrial Goods 2.17%

1334 JYF WisdomTree Dreyfus Japanese Yen Financial 2.17%

1335 TSL Trina Solar Ltd. Technology 2.17%

1336 LH Laboratory Corp. of America Holdings Healthcare 2.16%

1337 COH Coach Inc. Consumer Goods 2.16%

1338 ODSY Odyssey Healthcare Inc. Healthcare 2.16%

1339 IEI iShares Barclays 3-7 Year Treasury Bond Financial 2.16%

1340 PKO Pimco Income Opportunity Fund C Financial 2.14%

1341 SUMR Summer Infant, Inc. Consumer Goods 2.14%

1342 NSANY Nissan Motor Co., Ltd. Consumer Goods 2.14%

1343 STRC SRI Surgical Express Inc. Healthcare 2.13%

1344 MFM MFS Municipal Income Trust Financial 2.13%

1345 EGT Entertainment Gaming Asia Inc. Services 2.13%

1346 NCL Nuveen Insured California Premium Income Municipal Fund 2, Inc. Financial 2.13%

1347 SSBI Summit State Bank Financial 2.13%

1348 MUB iShares S&P National AMT-Free Muni Bd Financial 2.12%

1349 AKP Alliance California Municipal Income Fund Inc. Financial 2.12%

1350 FIVZ PIMCO 3-7 Year U.S. Treasury Index ETF Financial 2.12%

1351 FT Franklin Universal Trust Financial 2.11%

1352 GRM Graham Packaging Company, Inc. Consumer Goods 2.11%

1353 HPS John Hancock Preferred Income Fund III Financial 2.10%

1354 IBA Industrias Bachoco S.A.B. de C.V. Consumer Goods 2.10%

1355 FCM First Trust/Four Corners Senior Floating Rate Income Fund Financial 2.10%

1356 ANCX Access National Corp. Financial 2.10%

1357 OTIX Otix Global, Inc. Healthcare 2.09%

1358 ETW Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund Financial 2.09%

1359 TIP iShares Barclays TIPS Bond Financial 2.09%

1360 NMZ Nuveen Municipal High Income Opportunity Fund Financial 2.08%

1361 NHWK NightHawk Radiology Holdings, Inc. Healthcare 2.08%

1362 PFF iShares S&P U.S. Preferred Stock Index Financial 2.08%

1363 PVSW Pervasive Software Inc. Technology 2.08%

1364 ARK BlackRock Senior High Income Fund, Inc. Financial 2.08%

1365 AATI Advanced Analogic Technologies, Inc. Technology 2.07%

1366 FUE ELEMENTS MLCX Biofuels Index TR ETN Financial 2.07%

1367 TRID Trident Microsystems Inc. Technology 2.07%

1368 MYJ BlackRock MuniYield New Jersey Fund, Inc. Financial 2.07%

1369 CIG Companhia Energetica de Minas Gerais Utilities 2.06%

1370 TI-A Telecom Italia S.P.A. New Technology 2.06%

1371 QSII Quality Systems Inc. Technology 2.05%

1372 NAFC Nash Finch Co. Services 2.05%

1373 WIP SPDR DB Intl Govt Infl-Protected Bond Financial 2.04%

1374 NSL Nuveen Senior Income Fund Financial 2.04%

1375 HIW Highwoods Properties Inc. Financial 2.02%

1376 NIF Nuveen Premier Insured Municipal Income Fund, Inc. Financial 2.02%

1377 MUNI PIMCO Intermediate Muni Bond Strgy ETF Financial 2.02%

1378 HMIN Home Inns & Hotels Management Inc. Services 2.02%

1379 BBG Bill Barrett Corp. Basic Materials 2.02%

1380 EGBN Eagle Bancorp, Inc. Financial 2.02%

1381 GXG Global X/InterBolsa FTSE Colombia 20 ETF Financial 2.01%

1382 FONR Fonar Corp. Healthcare 2.01%

1383 IDX Market Vectors Indonesia ETF Financial 2.01%

1384 GPX GP Strategies Corp. Services 2.01%

1385 TDG TransDigm Group Incorporated Industrial Goods 2.01%

1386 TSFG South Financial Group Inc. Financial 2.00%

1387 MUE BlackRock MuniHoldings Insured Fund II, Inc. Financial 2.00%

1388 ACGL Arch Capital Group Ltd. Financial 2.00%

1389 WYN Wyndham Worldwide Corporation Services 1.99%

1390 VMM Delaware Investments Minnesota Municipal Income Fund II Financial 1.98%

1391 NZH Nuveen California Dividend Advantage Municipal Fund 3 Financial 1.96%

1392 NRK Nuveen Insured New York Tax-Free Advantage Municipal Fund Financial 1.96%

1393 NKL Nuveen Insured California Dividend Advantage Municipal Fund Financial 1.96%

1394 ITR SPDR Barclays Cap Interm Term Credit Bnd Financial 1.96%

1395 HDY Hyperdynamics Corporation Basic Materials 1.95%

1396 EVM Eaton Vance California Municipal Bond Fund Financial 1.95%

1397 RXD UltraShort Health Care ProShares Financial 1.95%

1398 MPEL Melco Crown Entertainment Ltd. Services 1.94%

1399 TEN Tenneco Inc. Consumer Goods 1.94%

1400 NXR Nuveen Select Tax-Free Income Portfolio 3 Financial 1.93%

1401 CRESY Cresud Inc. Consumer Goods 1.92%

1402 DORM Dorman Products, Inc. Consumer Goods 1.91%

1403 NUV Nuveen Municipal Value Fund, Inc. Financial 1.91%

1404 JTA Nuveen Tax Advantaged Total Return Strategy Fund Financial 1.89%

1405 MUA BlackRock MuniAssets Fund, Inc. Financial 1.89%

1406 MACC MACC Private Equities Inc. Financial 1.89%

1407 KUB Kubota Corporation Industrial Goods 1.88%

1408 SBI Western Asset Intermediate Muni Fund Inc. Financial 1.88%

1409 TAXI Medallion Financial Corp. Financial 1.87%

1410 LAG SPDR Barclays Capital Aggregate Bond Financial 1.87%

1411 OPLK Oplink Communications Inc. Technology 1.87%

1412 ED Consolidated Edison Inc. Utilities 1.87%

1413 BCH Banco de Chile Financial 1.86%

1414 INPH Interphase Corp. Technology 1.86%

1415 MMV Eaton Vance Massachusetts Municipal Income Trust Financial 1.86%

1416 IGOV iShares S&P/Citi Intl Treasury Bond Financial 1.86%

1417 BSMD BioSphere Medical Inc. Healthcare 1.86%

1418 MJI BlackRock Muniyield New Jersey Insured Fund, Inc. Financial 1.86%

1419 EGPT Market Vectors Egypt Index ETF Financial 1.86%

1420 CYTX Cytori Therapeutics, Inc. Healthcare 1.86%

1421 DMAN DemandTec, Inc. Technology 1.85%

1422 TWER TowerStream Corporation Technology 1.85%

1423 MBA CIBT Education Group Inc. Services 1.85%

1424 CROX CROCS Inc. Consumer Goods 1.85%

1425 WLK Westlake Chemical Corp. Basic Materials 1.85%

1426 CLDA Clinical Data, Inc. Healthcare 1.84%

1427 DLTR Dollar Tree, Inc. Services 1.84%

1428 CRF Cornerstone Total Return Fund Inc. Financial 1.83%

1429 GPW Georgia Power Company Sr Public Utilities 1.83%

1430 AWF AllianceBernstein Global High Income Fund, Inc. Financial 1.81%

1431 CCU Compania Cervecerias Unidas S.A. Consumer Goods 1.81%

1432 SAN Banco Santander-Chile Financial 1.80%

1433 NMY Nuveen Maryland Premium Income Municipal Fund Financial 1.80%

1434 RNP Cohen & Steers REIT & Preferred Income Fund Inc. Financial 1.80%

1435 CIU iShares Barclays Intermediate Credit Bd Financial 1.79%

1436 BJZ BlackRock California Municipal 2018 Term Trust Financial 1.79%

1437 USHS US Home Systems Inc. Consumer Goods 1.77%

1438 FCT First Trust/Four Corners Senior Floating Rate Income Fund II Financial 1.77%

1439 VRTX Vertex Pharmaceuticals Incorporated Healthcare 1.77%

1440 WIA Western Asset/Claymore Inflation-Linked Securities & Income Fund Financial 1.76%

1441 WMT Wal-Mart Stores Inc. Services 1.76%

1442 EVO Eaton Vance Ohio Municipal Income Trust Financial 1.76%

1443 TSH Teche Holding Company Financial 1.75%

1444 BND Vanguard Total Bond Market ETF Financial 1.75%

1445 NBO Neuberger Berman New York Intermediate Municipal Fund Inc. Financial 1.75%

1446 AV Aviva plc Financial 1.73%

1447 TGH Textainer Group Holdings Limited Services 1.73%

1448 AZN AstraZeneca PLC Healthcare 1.73%

1449 NYF iShares S&P NY AMT-Free Municipal Bd Financial 1.71%

1450 MGF MFS Government Markets Income Trust Financial 1.71%

1451 DVD Dover Motorsports Inc. Services 1.69%

1452 SNDA Shanda Interactive Entertainment Ltd. Technology 1.69%

1453 TTH Telecom HOLDRs Financial 1.68%

1454 TUC Mac-Gray Corp. Services 1.68%

1455 MRF American Income Fund Inc. Financial 1.68%

1456 ITE SPDR Barclays Capital Interm Term Trs Financial 1.68%

1457 PRPX Portec Rail Products Inc. Services 1.68%

1458 HOC Holly Corporation Basic Materials 1.67%

1459 MUAE iShares 2016 S&P AMT-Free Municipal Ser Financial 1.66%

1460 DHY Credit Suisse High Yield Bond Fund Financial 1.66%

1461 VGR Vector Group Ltd. Consumer Goods 1.65%

1462 WEA Western Asset Premier Bond Fund Financial 1.64%

1463 APD Air Products & Chemicals Inc. Basic Materials 1.63%

1464 BHV BlackRock Virginia Municipal Bond Trust Financial 1.63%

1465 VCF Delaware Investments Colorado Municipal Income Fund, Inc. Financial 1.61%

1466 CRBQ Jefferies TR/J CRB Global Commodity Eq Financial 1.61%

1467 NXZ Nuveen Dividend Advatage Municipal Fund 2 Financial 1.61%

1468 DCS Claymore Dividend & Income Fund Financial 1.61%

1469 BGT BlackRock Floating Rate Income Trust Financial 1.60%

1470 PAA Plains All American Pipeline LP Basic Materials 1.60%

1471 EBSB Meridian Interstate Bancorp, Inc. Financial 1.59%

1472 ERC Wells Fargo Advantage Multi-Sector Income Fund Financial 1.59%

1473 GVI iShares Barclays Interm Govt/Credit Bond Financial 1.59%

1474 NXM Nuveen Pennsylvania Dividend Advantage Municipal Fund Financial 1.58%

1475 PVG Penn Virginia GP Holdings LP Basic Materials 1.58%

1476 SFST Southern First Bancshares, Inc. Financial 1.58%

1477 MXWL Maxwell Technologies Inc. Technology 1.58%

1478 ITC ITC Holdings Corp. Utilities 1.56%

1479 BSCF Claymore BulletShares 2015 Corp Financial 1.54%

1480 RL Polo Ralph Lauren Corp. Consumer Goods 1.54%

1481 MRX Medicis Pharmaceutical Corp. Healthcare 1.53%

1482 IG IGI, Laboratories, Inc. Healthcare 1.53%

1483 CHL China Mobile Limited Technology 1.52%

1484 SNAK Inventure Foods, Inc. Consumer Goods 1.52%

1485 TAC TransAlta Corp. Utilities 1.51%

1486 MBR Mercantile Bancorp Inc. Financial 1.50%

1487 AVK Advent Claymore Convertible Securities and Income Fund Financial 1.50%

1488 PCEF PowerShares CEF Income Composite Financial 1.50%

1489 GCC GreenHaven Continuous Commodity Index Financial 1.49%

1490 EWV UltraShort MSCI Japan ProShares Financial 1.48%

1491 GCF Global Income & Currency Fund I Financial 1.48%

1492 MYC Blackrock MuniYield California Fund, Inc. Financial 1.48%

1493 MMT MFS Multimarket Income Trust Financial 1.47%

1494 SSW Seaspan Corp. Services 1.47%

1495 KYE Kayne Anderson Energy Total Return Fund Financial 1.46%

1496 AXHE iShares MSCI ACWI ex US Health Financial 1.46%

1497 ARCW ARC Wireless Solutions Inc. Technology 1.45%

1498 KSWS K-Swiss Inc. Consumer Goods 1.45%

1499 CMK MFS InterMarket Income Trust I Financial 1.45%

1500 EAD Wells Fargo Advantage Income Opportunities Fund Financial 1.44%

1501 UVE Universal Insurance Holdings Inc. Financial 1.43%

1502 MAS Masco Corporation Industrial Goods 1.42%

1503 SWZ The Swiss Helvetia Fund Inc. Financial 1.42%

1504 TI Telecom Italia SpA Technology 1.42%

1505 CPB Campbell Soup Co. Consumer Goods 1.42%

1506 TWO Two Harbors Investment Corp. Financial 1.41%

1507 AGG iShares Barclays Aggregate Bond Financial 1.41%

1508 VKL Invesco Van Kampen Select Sector Municipal Trust Financial 1.41%

1509 CPII CPI International, Inc. Technology 1.41%

1510 AMSWA American Software, Inc. Technology 1.41%

1511 UNB Union Bankshares Inc. Financial 1.41%

1512 SLRY Salary.com, Inc. Technology 1.40%

1513 SLA American Select Portfolio Inc. Financial 1.40%

1514 TTIL TTI Team Telecom International Ltd. Technology 1.39%

1515 LSBK Lake Shore Bancorp Inc. Financial 1.39%

1516 CJBK Central Jersey Bancorp Financial 1.38%

1517 NYH Eaton Vance New York Municipal Bond Fund II Financial 1.38%

1518 TISI Team Inc. Services 1.37%

1519 LABC Louisiana Bancorp, Inc. Financial 1.37%

1520 CAC Camden National Corp. Financial 1.37%

1521 QPSA Quepasa Corp. Technology 1.37%

1522 BYM BlackRock Insured Municipal Income Trust Financial 1.37%

1523 NXN Nuveen New York Select Tax-Free Income Portfolio Financial 1.36%

1524 MAB Eaton Vance Massachusetts Municipal Bond Fund Financial 1.35%

1525 GNI Great Northern Iron Ore Properties Basic Materials 1.34%

1526 NVSL Naugatuck Valley Financial Corp. Financial 1.34%

1527 TYG Tortoise Energy Infrastructure Corp. Financial 1.34%

1528 MBRG Middleburg Financial Corporation Financial 1.34%

1529 TOD Todd Shipyards Corp. Industrial Goods 1.33%

1530 XPH SPDR S&P Pharmaceuticals Financial 1.33%

1531 UNFY Unify Corp. Technology 1.33%

1532 NWI Nuveen Maryland Dividend Advantage Municipal Fund 3 Financial 1.33%

1533 FCO Aberdeen Global Income Fund Inc. Financial 1.33%

1534 QEP QEP Resources, Inc. Basic Materials 1.33%

1535 CRT Cross Timbers Royalty Trust Basic Materials 1.33%

1536 EIV Eaton Vance Municipal Bond Fund II Financial 1.32%

1537 CLD Cloud Peak Energy Inc. Basic Materials 1.32%

1538 EVJ Eaton Vance New Jersey Municipal Income Trust Financial 1.32%

1539 HNT Health Net Inc. Healthcare 1.31%

1540 EVV Eaton Vance Limited Duration Income Fund Financial 1.31%

1541 ARTX Arotech Corp. Industrial Goods 1.31%

1542 ETE Energy Transfer Equity, L.P. Basic Materials 1.31%

1543 MICC Millicom International Cellular SA Technology 1.31%

1544 PNNW Pennichuck Corp. Utilities 1.30%

1545 EMCF Emclaire Financial Corp. Financial 1.29%

1546 MHY Western Asset Managed High Income Fund Inc. Financial 1.28%

1547 HIT Hitachi Ltd. Consumer Goods 1.28%

1548 MYF BlackRock MuniYield Investment Fund Financial 1.28%

1549 EFII Electronics for Imaging, Inc. Technology 1.27%

1550 SLP Simulations Plus Inc. Technology 1.27%

1551 GBLI Global Indemnity plc Financial 1.27%

1552 FHO First Trust First Trust Strate Financial 1.26%

1553 GBDC Golub Capital BDC, Inc. Financial 1.26%

1554 EIS iShares MSCI Israel Cap Invest Mkt Index Financial 1.25%

1555 ACIW ACI Worldwide, Inc. Technology 1.25%

1556 HBE Henry Bros. Electronics, Inc. Services 1.25%

1557 BSCE Claymore BulletShares 2014 Corp Financial 1.23%

1558 SUP Superior Industries International, Inc. Consumer Goods 1.23%

1559 MDVN Medivation, Inc. Healthcare 1.23%

1560 AYT Barclays GEMS Asia-8 ETN Financial 1.22%

1561 MUAD iShares 2015 S&P AMT-Free Municipal Ser Financial 1.22%

1562 HARL Harleysville Savings Financial Corporation Financial 1.21%

1563 MGIC Magic Software Enterprises Ltd. Technology 1.20%

1564 CB The Chubb Corporation Financial 1.20%

1565 PESI Perma-Fix Environmental Services Inc. Industrial Goods 1.20%

1566 INT World Fuel Services Corp. Basic Materials 1.19%

1567 PRB Market Vectors Pre-Refunded Muni ETF Financial 1.18%

1568 JPZ Nuveen Equity Premium Income Fund Financial 1.18%

1569 NDSN Nordson Corporation Industrial Goods 1.18%

1570 BKCC BlackRock Kelso Capital Corporation Financial 1.18%

1571 EVG Eaton Vance Short Duration Diversified Income Fund Financial 1.18%

1572 UUP PowerShares DB US Dollar Index Bullish Financial 1.17%

1573 COY BlackRock Corporate High Yield Fund, Inc. Financial 1.17%

1574 ALOY Alloy Inc. Services 1.16%

1575 EVP Eaton Vance Pennsylvania Municipal Income Trust Financial 1.15%

1576 MHF Western Asset Municipal High Income Fund Inc. Financial 1.15%

1577 NFM Nuveen Maryland Dividend Advantage Municipal Fund Financial 1.15%

1578 DJCO Daily Journal Corp. Services 1.14%

1579 CEV Eaton Vance California Municipal Income Trust Financial 1.14%

1580 EWH iShares MSCI Hong Kong Index Financial 1.13%

1581 ENTR Entropic Communications, Inc. Technology 1.13%

1582 ABT Abbott Laboratories Healthcare 1.12%

1583 UNAM Unico American Corp. Financial 1.11%

1584 TCI Transcontinental Realty Investors Inc. Financial 1.11%

1585 LBCP Liberty Bancorp, Inc. Financial 1.11%

1586 MUAC iShares 2014 S&P AMT-Free Municipal Ser Financial 1.11%

1587 HYD Market Vectors High-Yield Muni ETF Financial 1.10%

1588 GULF WisdomTree Middle East Dividend Financial 1.10%

1589 WLL Whiting Petroleum Corp. Basic Materials 1.10%

1590 ATPG ATP Oil & Gas Corp. Basic Materials 1.10%

1591 MDR McDermott International Inc. Industrial Goods 1.10%

1592 EVN Eaton Vance Municipal Income Trust Financial 1.10%

1593 PMIC Penn Millers Holding Corporation Financial 1.10%

1594 NKR Nuveen Arizona Dividend Advantage Municipal Fund 2 Financial 1.08%

1595 USNA USANA Health Sciences Inc. Healthcare 1.08%

1596 ACC American Campus Communities Inc. Financial 1.08%

1597 EXG Eaton Vance Tax-Managed Global Financial 1.08%

1598 RIVR River Valley Bancorp Financial 1.08%

1599 RETS Direxion Daily Retail Bear 2X S Financial 1.07%

1600 M Macy's, Inc. Services 1.07%

1601 CHT Chunghwa Telecom Co. Ltd. Technology 1.07%

1602 WEC Wisconsin Energy Corp. Utilities 1.07%

1603 HTD John Hancock Tax Advantaged Dividend Income Fund Financial 1.07%

1604 VCSH Vanguard Short-Term Corp Bd Idx ETF Financial 1.06%

1605 GTY Getty Realty Corp. Financial 1.06%

1606 AMS American Shared Hospital Services Healthcare 1.05%

1607 CNAF Commercial National Financial Corp. Financial 1.05%

1608 HAR Harman International Industries Inc. Consumer Goods 1.05%

1609 IOSP Innospec Inc. Basic Materials 1.04%

1610 ACTI ActivIdentity Corporation Technology 1.04%

1611 ETV Eaton Vance Tax-Managed Buy-Write Opportunities Fund Financial 1.04%

1612 WCG WellCare Health Plans, Inc. Healthcare 1.04%

1613 RDY Dr. Reddy's Laboratories Ltd. Healthcare 1.03%

1614 NNY Nuveen New York Municipal Value Fund, Inc. Financial 1.02%

1615 GRF Eagle Capital Growth Fund, Inc. Financial 1.02%

1616 HTWR Heartware International Inc. Healthcare 1.02%

1617 SMB Market Vectors Short Municipal ETF Financial 1.01%

1618 TEVA Teva Pharmaceutical Industries Limited Healthcare 1.00%

1619 BVL ELEMENTS BG Large Cap ETN Financial 1.00%

1620 CPI IQ CPI Inflation Hedge ETF Financial 1.00%

1621 MERC Mercer International Inc. Consumer Goods 0.99%

1622 CAW CCA Industries Inc. Consumer Goods 0.97%

1623 WIW Western Asset/Claymore Inflation- Linked Opportunities & Income Fund Financial 0.97%

1624 SCD LMP Capital and Income Fund Inc. Financial 0.97%

1625 BRAQ Global X/InterBolsa FTSE ETF Financial 0.97%

1626 CFNB California First National Bancorp Financial 0.96%

1627 JJC iPath DJ-UBS Copper TR Sub-Idx ETN Financial 0.96%

1628 NI Nisource Inc. Utilities 0.96%

1629 AGZ iShares Barclays Agency Bond Financial 0.95%

1630 LXP Lexington Realty Trust Financial 0.95%

1631 ARG Airgas Inc. Services 0.94%

1632 GSO GlobalShares FTSE All-World ex US Financial 0.94%

1633 EGI Entree Gold Inc. Basic Materials 0.93%

1634 VPV Invesco Van Kampen Pennsylvania Value Municipal Income Trust Financial 0.93%

1635 VTA Invesco Van Kampen Dynamic Cred Financial 0.93%

1636 CCK Crown Holdings Inc. Consumer Goods 0.93%

1637 FFIV F5 Networks, Inc. Technology 0.93%

1638 AWH Allied World Assurance Company Holdings Ltd. Financial 0.93%

1639 HPP Hudson Pacific Properties, Inc. Financial 0.92%

1640 HEW Hewitt Associates Inc. Services 0.92%

1641 TPC Tutor Perini Corporation Industrial Goods 0.92%

1642 HCN Health Care REIT Inc. Financial 0.91%

1643 PNW Pinnacle West Capital Corp. Utilities 0.91%

1644 MMUS MakeMusic Inc. Technology 0.91%

1645 GLG GLG Partners, Inc. Financial 0.91%

1646 YUM Yum! Brands, Inc. Services 0.91%

1647 NRB Nuveen North Carolina Dividend Advantage Municipal Fund Financial 0.90%

1648 ISL Aberdeen Israel Fund Inc. Financial 0.90%

1649 CHU China Unicom (Hong Kong) Limited Technology 0.89%

1650 HME Home Properties Inc. Financial 0.89%

1651 ACPW Active Power Inc. Utilities 0.88%

1652 WRE Washington Real Estate Investment Trust Financial 0.88%

1653 IART Integra LifeSciences Holdings Corporation Healthcare 0.88%

1654 BSV Vanguard Short-Term Bond ETF Financial 0.88%

1655 KINS Kingstone Companies, Inc. Financial 0.88%

1656 IGR ING Clarion Global Real Estate Income Fund Financial 0.87%

1657 FBMS First Bancshares Inc. Financial 0.87%

1658 NMT Nuveen Massachusetts Premium Income Municipal Fund Financial 0.87%

1659 MXN First American Minnesota Municipal Income Fund II Inc. Financial 0.87%

1660 MFT BlackRock MuniYield Insured Investment Fund Financial 0.86%

1661 DNP DNP Select Income Fund Inc. Financial 0.85%

1662 CLMS Calamos Asset Management Inc. Financial 0.85%

1663 SPG Simon Property Group Inc. Financial 0.85%

1664 ABAT Advanced Battery Technologies, Inc. Industrial Goods 0.84%

1665 TFC Taiwan Greater China Fund Financial 0.83%

1666 HNZ HJ Heinz Co. Consumer Goods 0.83%

1667 ALKS Alkermes, Inc. Healthcare 0.82%

1668 JO iPath DJ-UBS Coffee TR Sub-Idx ETN Financial 0.82%

1669 GCBC Greene County Bancorp, Inc. Financial 0.82%

1670 GUID Guidance Software, Inc. Technology 0.82%

1671 NAI Nicholas-Applegate International & Premium Strategy Fund Financial 0.81%

1672 RUBO Rubio's Restaurants Inc. Services 0.81%

1673 HBNK Hampden Bancorp, Inc. Financial 0.81%

1674 CCUR Concurrent Computer Corporation Technology 0.80%

1675 NOR Noranda Aluminum Holding Corp. Basic Materials 0.80%

1676 LO Lorillard, Inc. Consumer Goods 0.80%

1677 AAME Atlantic American Corp. Financial 0.80%

1678 ERH Wells Fargo Advantage Utilities and High Income Fund Financial 0.80%

1679 IRY SPDR S&P International HealthCare Sector Financial 0.79%

1680 OKS ONEOK Partners, L.P. Basic Materials 0.79%

1681 CIM Chimera Investment Corporation Financial 0.78%

1682 DGS WisdomTree Emerging Mkts Small Cap Div Financial 0.78%

1683 BLW BlackRock Limited Duration Income Trust Financial 0.78%

1684 FPIC FPIC Insurance Group Inc. Financial 0.77%

1685 EIA Eaton Vance California Municipal Bond Fund II Financial 0.77%

1686 EZCH EZchip Semiconductor Ltd. Technology 0.76%

1687 IHT Innsuites Hospitality Trust Financial 0.76%

1688 BLD Baldwin Technology Co. Inc. Industrial Goods 0.76%

1689 AWX Avalon Holdings Corp. Industrial Goods 0.76%

1690 ATSI ATS Medical Inc. Healthcare 0.76%

1691 JHS John Hancock Income Securities Trust Financial 0.75%

1692 NHP Nationwide Health Properties Inc. Financial 0.75%

1693 FEO First Trust/Aberdeen Emerging Opportunity Fund Financial 0.74%

1694 PEB Pebblebrook Hotel Trust Financial 0.74%

1695 SWWC Southwest Water Co. Utilities 0.73%

1696 LCM Advent/Claymore Enhanced Growth & Income Fund Financial 0.73%

1697 PAI Western Asset Income Fund Financial 0.73%

1698 NU Northeast Utilities Utilities 0.73%

1699 BSCD Claymore BulletShares 2013 Corp Financial 0.73%

1700 NEA Nuveen Insured Tax-Free Advantage Municipal Fund Financial 0.73%

1701 ATAX America First Tax Exempt Investors LP Financial 0.73%

1702 VOQ Invesco Van Kampen Ohio Quality Municipal Trust Financial 0.72%

1703 EPAX Ambassadors Group Inc. Services 0.72%

1704 HYT BlackRock Corporate High Yield Fund VI, Inc. Financial 0.71%

1705 EGHT 8x8 Inc. Technology 0.71%

1706 PTP Platinum Underwriters Holdings Ltd. Financial 0.70%

1707 RNY BlackRock New York Investment Quality Municipal Trust Financial 0.70%

1708 BHD BlackRock Strategic Bond Trust Financial 0.69%

1709 FPFC First Place Financial Corp. Financial 0.69%

1710 BGY Blackrock International Growth and Income Trust Financial 0.69%

1711 MEND Micrus Endovascular Corp. Healthcare 0.69%

1712 PNQI PowerShares NASDAQ Internet Financial 0.69%

1713 IOC InterOil Corporation Basic Materials 0.68%

1714 NFJ NFJ Dividend, Interest & Premium Strategy Fund Financial 0.68%

1715 AVEO AVEO Pharmaceuticals, Inc. Healthcare 0.67%

1716 NGX Nuveen Insured Massachusetts Tax-Free Advantage Municipal Fund Financial 0.67%

1717 AI Arlington Asset Investment Corp. Financial 0.67%

1718 CTL CenturyLink, Inc. Technology 0.67%

1719 SYMS Syms Corp. Services 0.67%

1720 PDO Pyramid Oil Company Basic Materials 0.67%

1721 VVR Invesco Van Kampen Senior Income Trust Financial 0.67%

1722 ICO International Coal Group, Inc. Basic Materials 0.66%

1723 IMF Western Asset Inflation Management Fund Inc. Financial 0.66%

1724 SZR WisdomTree Dreyfus South African Rand Financial 0.65%

1725 RCS PIMCO Strategic Global Government Fund Inc. Financial 0.63%

1726 OSIS OSI Systems, Inc. Technology 0.62%

1727 KO The Coca-Cola Company Consumer Goods 0.62%

1728 APB Asia Pacific Fund Inc. Financial 0.61%

1729 AON Aon Corporation Financial 0.61%

1730 NXP Nuveen Select Tax-Free Income Portfolio Financial 0.61%

1731 RAP RMR Asia Pacific Real Estate Fu Financial 0.60%

1732 EEE Evergreen Energy, Inc. Utilities 0.60%

1733 SRV The Cushing MLP Total Return Fu Financial 0.60%

1734 PFN PIMCO Income Strategy Fund II Financial 0.59%

1735 PUK Prudential plc Financial 0.59%

1736 DGAS Delta Natural Gas Co. Inc. Utilities 0.59%

1737 DTV DIRECTV Services 0.59%

1738 ENB Enbridge Inc. Basic Materials 0.59%

1739 AAP Advance Auto Parts Inc. Services 0.59%

1740 AXS Axis Capital Holdings Ltd. Financial 0.58%

1741 NGT Eastern American Natural Gas Trust Financial 0.57%

1742 SRCL Stericycle, Inc. Industrial Goods 0.57%

1743 CYBI Cybex International Inc. Consumer Goods 0.56%

1744 HSIC Henry Schein Inc. Services 0.56%

1745 PMNA PowerShares MENA Frontier Countries Financial 0.56%

1746 QAI IQ Hedge Multi-Strategy Tracker ETF Financial 0.55%

1747 DEM WisdomTree Emerging Markets Equity Inc Financial 0.55%

1748 BZF WisdomTree Dreyfus Brazilian Real Financial 0.55%

1749 PPR ING Prime Rate Trust Financial 0.55%

1750 CSJ iShares Barclays 1-3 Year Credit Bond Financial 0.55%

1751 ALSK Alaska Communications Systems Group Inc. Technology 0.53%

1752 PLK PowerShares Active Low Duration Financial 0.53%

1753 UUU Universal Security Instruments Inc. Services 0.52%

1754 EWX SPDR S&P Emerging Markets Small Cap Financial 0.51%

1755 HAO Claymore/AlphaShares China Small Cap Financial 0.50%

1756 DROOY DRDGOLD Ltd. Basic Materials 0.49%

1757 ST Sensata Technologies Holding NV Consumer Goods 0.49%

1758 BDG PowerShares DB Base Metals Long ETN Financial 0.48%

1759 BJK Market Vectors Gaming ETF Financial 0.48%

1760 TIF Tiffany & Co. Services 0.48%

1761 IBND SPDR Barclays Capital Intl Corp Bond Financial 0.47%

1762 YPF YPF S.A. Basic Materials 0.47%

1763 MUAB iShares 2013 S&P AMT-Free Municipal Ser Financial 0.47%

1764 PTY PIMCO Corporate Opportunity Fund Financial 0.47%

1765 RNJ BlackRock New Jersey Investment Quality Municipal Trust Financial 0.46%

1766 RPQ RP Technology ETF Financial 0.46%

1767 DRP DWS RREEF World Estate Fund Inc Financial 0.46%

1768 MMU Western Asset Managed Municipals Fund Inc. Financial 0.46%

1769 SPH Suburban Propane Partners LP Services 0.46%

1770 GIGA Giga-tronics Inc. Technology 0.45%

1771 FO Fortune Brands Inc. Consumer Goods 0.44%

1772 PCQ PIMCO California Municipal Income Fund Financial 0.43%

1773 ESIC EasyLink Services International Corporation Technology 0.43%

1774 EMS Emergency Medical Services Corp. Services 0.43%

1775 SUB iShares S&P S/T Natnl AMT-Free Muni Bd Financial 0.42%

1776 PNRA Panera Bread Co. Services 0.42%

1777 DENT Dent Tactical ETF Financial 0.42%

1778 MCRO IQ Hedge Macro Tracker ETF Financial 0.42%

1779 TUZ PIMCO 1-3 Year US Treasury Index ETF Financial 0.41%

1780 NPI Nuveen Premium Income Municipal Fund, Inc. Financial 0.41%

1781 ESCA Escalade Inc. Consumer Goods 0.41%

1782 NUJ Nuveen New Jersey Dividend Advantage Municipal Fund 2 Financial 0.41%

1783 SHM SPDR Barclays Capital Short Term Muni Bd Financial 0.41%

1784 TEG Integrys Energy Group, Inc. Utilities 0.41%

1785 POR Portland General Electric Company Utilities 0.40%

1786 LIA Liberty Acquisition Holdings Corp. Financial 0.40%

1787 TSI TCW Strategic Income Fund, Inc. Financial 0.40%

1788 PRGX PRGX Global, Inc. Services 0.39%

1789 MNRK Monarch Financial Holdings, Inc. Financial 0.39%

1790 TDD TDX Independence 2010 ETF Financial 0.39%

1791 SHY iShares Barclays 1-3 Year Treasury Bond Financial 0.38%

1792 JFC JF China Region Fund, Inc. Financial 0.36%

1793 SMMU PIMCO Short Term Muni Bond Strgy ETF Financial 0.36%

1794 WWVY Warwick Valley Telephone Company Technology 0.36%

1795 PRLS Peerless Systems Corp. Services 0.36%

1796 GYRO Gyrodyne Co. of America Inc. Financial 0.35%

1797 AEY ADDvantage Technologies Group Inc. Services 0.35%

1798 PM Philip Morris International, Inc. Consumer Goods 0.35%

1799 SXE Stanley, Inc. Technology 0.35%

1800 BSCB Claymore BulletShares 2011 Corp Financial 0.35%

1801 SGMA SigmaTron International Inc. Technology 0.34%

1802 NMB Nuveen Massachusetts Dividend Advantage Municipal Fund Financial 0.34%

1803 NCZ Nicholas-Applegate Convertible & Income Fund II Financial 0.34%

1804 NQI Nuveen Insured Quality Municipal Fund, Inc. Financial 0.34%

1805 WEL Boots & Coots, Inc. Basic Materials 0.34%

1806 VIRL Virage Logic Corporation Technology 0.33%

1807 PSYS Psychiatric Solutions, Inc. Healthcare 0.33%

1808 VGSH Vanguard Short-Term Govt Bd Idx ETF Financial 0.33%

1809 FEN Energy Income & Growth Fund Financial 0.33%

1810 CLRO ClearOne Communications Inc. Technology 0.32%

1811 RAH Ralcorp Holdings Inc. Consumer Goods 0.32%

1812 MINT PIMCO Enhanced Short Maturity Strgy ETF Financial 0.32%

1813 AT Atlantic Power Corporation Utilities 0.31%

1814 PPH Pharmaceutical HOLDRs Financial 0.31%

1815 JSN Nuveen Equity Premium Opportunity Fund Financial 0.31%

1816 APKT Acme Packet, Inc. Technology 0.31%

1817 MHH Mastech Holdings, Inc. Services 0.30%

1818 SCPB SPDR Barclays Capital Short Term Corp Bd Financial 0.30%

1819 SCMP Sucampo Pharmaceuticals, Inc. Healthcare 0.29%

1820 HAV Helios Advantage Income Fund, Inc. Financial 0.29%

1821 MBG SPDR Barclays Cap Mortgage Backed Bond Financial 0.29%

1822 STPZ PIMCO 1-5 Year US TIPS Index ETF Financial 0.29%

1823 GGP General Growth Properties Inc. Financial 0.29%

1824 KMR Kinder Morgan Management LLC Basic Materials 0.29%

1825 CHSCP CHS Inc. Consumer Goods 0.28%

1826 CHI Calamos Convertible Opportunities & Income Fund Financial 0.28%

1827 PGN Progress Energy Inc. Utilities 0.28%

1828 CIK Credit Suisse Asset Management Income Fund Inc. Financial 0.28%

1829 DOD ELEMENTS DJ High Yield Select 10 ETN Financial 0.28%

1830 FFA First Trust Enhanced Equity Income Fund Financial 0.27%

1831 ACAP American Physicians Capital, Inc. Financial 0.27%

1832 AZO AutoZone Inc. Services 0.26%

1833 PETS PetMed Express Inc. Healthcare 0.25%

1834 AMCF Andatee China Marine Fuel Services Corporation Basic Materials 0.25%

1835 GCE Claymore CEF GS Connect ETN Financial 0.25%

1836 UCI UBS E-TRACS CMCI TR ETN Financial 0.25%

1837 BSCC Claymore BulletShares 2012 CB E Financial 0.24%

1838 ASBI Ameriana Bancorp Financial 0.24%

1839 DUK Duke Energy Corporation Utilities 0.23%

1840 TLCR Talecris Biotherapeutics Holdings Corp. Healthcare 0.23%

1841 EPI WisdomTree India Earnings Financial 0.21%

1842 DNY The Denali Fund Inc. Financial 0.21%

1843 DBB PowerShares DB Base Metals Financial 0.21%

1844 ZN Zion Oil & Gas, Inc. Basic Materials 0.21%

1845 NYM Nymagic Inc. Financial 0.20%

1846 CMED China Medical Technologies Inc. Healthcare 0.19%

1847 ARMH ARM Holdings plc Technology 0.19%

1848 DVF BlackRock Diversified Income Strategies Fund, Inc. Financial 0.19%

1849 DTG Dollar Thrifty Automotive Group Inc. Services 0.19%

1850 JFR Nuveen Floating Rate Income Fund Financial 0.18%

1851 EIX Edison International Utilities 0.18%

1852 SRE Sempra Energy Utilities 0.18%

1853 HTY John Hancock Tax-Advantaged Glo Financial 0.16%

1854 BDD PowerShares DB Base Metals Dble Long ETN Financial 0.16%

1855 BHY BlackRock High Yield Trust Financial 0.16%

1856 LGI Lazard Global Total Return and Income Fund, Inc. Financial 0.14%

1857 BKT BlackRock Income Trust, Inc. Financial 0.14%

1858 VXX iPath S&P 500 VIX Short-Term Futures ETN Financial 0.14%

1859 INDY iShares S&P India Nifty 50 Index Financial 0.14%

1860 ORRF Orrstown Financial Services Inc. Financial 0.14%

1861 TGA TransGlobe Energy Corp. Basic Materials 0.14%

1862 BCE BCE, Inc. Technology 0.13%

1863 ACF AmeriCredit Corp. Financial 0.12%

1864 KID Kid Brands, Inc. Consumer Goods 0.12%

1865 COST Costco Wholesale Corporation Services 0.12%

1866 PX Praxair Inc. Basic Materials 0.12%

1867 BFIN BankFinancial Corp. Financial 0.11%

1868 TDF Templeton Dragon Fund Inc. Financial 0.11%

1869 GENZ Genzyme Corp. Healthcare 0.10%

1870 DJP iPath DJ-UBS Commodity Index TR ETN Financial 0.10%

1871 ACU Acme United Corp. Consumer Goods 0.10%

1872 BPL Buckeye Partners LP Basic Materials 0.10%

1873 JACK Jack in the Box Inc. Services 0.10%

1874 MAT Mattel Inc. Consumer Goods 0.09%

1875 GNA Gerdau Ameristeel Corp. Basic Materials 0.09%

1876 TLI LMP Corporate Loan Fund Inc. Financial 0.09%

1877 PVI PowerShares VRDO Tax-Free Weekly Financial 0.08%

1878 CHY Calamos Convertible & High Income Fund Financial 0.08%

1879 RLOC ReachLocal, Inc. Services 0.08%

1880 MRNA MDRNA, Inc. Healthcare 0.07%

1881 RCNI RCN Corp. Technology 0.07%

1882 NST NSTAR Utilities 0.05%

1883 BIL SPDR Barclays Capital 1-3 Month T-Bill Financial 0.04%

1884 EMLC Market Vectors Emerging Markets Financial 0.04%

1885 AIPC American Italian Pasta Co. Consumer Goods 0.04%

1886 VRD SPDR Nuveen S&P VRDO Municipal Bond Financial 0.03%

1887 INP iPath MSCI India Index ETN Financial 0.03%

1888 IIVI II-VI Inc. Technology 0.03%

1889 SO Southern Company Utilities 0.03%

1890 NOV National Oilwell Varco, Inc. Basic Materials 0.03%

1891 GBB iPath GBP/USD Exchange Rate ETN Financial 0.02%

1892 ULQ Claymore U.S. Capital Mkts Micro-Trm F/I Financial 0.02%

1893 MUAA iShares 2012 S&P AMT-Free Municipal Ser Financial 0.02%

1894 NTY NBTY, Inc. Healthcare 0.02%

1895 PLPC Preformed Line Products Co. Industrial Goods 0.02%

1896 SHW Sherwin-Williams Co. Services 0.01%

1897 SHV iShares Barclays Short Treasury Bond Financial 0.01%

1898 PTO PowerShares Autonomic Gr NFA Glbl Asset Financial 0.00%

1899 WTT Wireless Telecom Group Inc. Technology 0.00%

1900 WLBC Western Liberty Bancorp Financial 0.00%

1901 VOLC Volcano Corporation Healthcare 0.00%

1902 TSCC Technology Solutions Company Technology 0.00%

1903 TGIC Triad Guaranty Inc. Financial 0.00%

1904 TGEN Targeted Genetics Corp. Healthcare 0.00%

1905 SVLF Silverleaf Resorts Inc. Financial 0.00%

1906 SENO SenoRx, Inc. Healthcare 0.00%

1907 RPTP Raptor Pharmaceuticals Corp. Healthcare 0.00%

1908 ROFO Rockford Corp. Consumer Goods 0.00%

1909 RJI ELEMENTS Rogers Intl Commodity ETN Financial 0.00%

1910 RCC Small Cap Premium & Dividend Income Fund Inc. Financial 0.00%

1911 QSND QSound Labs Inc. Consumer Goods 0.00%

1912 Q Qwest Communications International Inc. Technology 0.00%

1913 PSSI PSS World Medical Inc. Services 0.00%

1914 PLNR Planar Systems Inc. Technology 0.00%

1915 PBHC Pathfinder Bancorp Inc. Financial 0.00%

1916 PBCI Pamrapo Bancorp Inc. Financial 0.00%

1917 OPMR Optimal Group Inc. Consumer Goods 0.00%

1918 OMNI OMNI Energy Services Corp. Basic Materials 0.00%

1919 NWF Nuveen Insured Florida Tax Free Advantage Municipal Fund Financial 0.00%

1920 NGO Nuveen Connecticut Dividend Advantage Municipal Fund 3 Financial 0.00%

1921 NEP China North East Petroleum Holdings Limited Basic Materials 0.00%

1922 NAVI NaviSite Inc. Technology 0.00%

1923 MGS MetroGAS S.A. Utilities 0.00%

1924 MAG Magnetek Inc. Industrial Goods 0.00%

1925 LSBX LSB Corp. Financial 0.00%

1926 KSW KSW Inc. Industrial Goods 0.00%

1927 IVD IVAX Diagnostics Inc. Healthcare 0.00%

1928 IPT iParty Corp. Services 0.00%

1929 INBP Integrated BioPharma, Inc. Healthcare 0.00%

1930 IGA ING Global Advantage and Premium Opportunity Fund Financial 0.00%

1931 HMH Helios Multi-Sector High Income Fund, Inc Financial 0.00%

1932 HIH Helios High Income Fund, Inc Financial 0.00%

1933 GIW Wilber Corp. Financial 0.00%

1934 FOH Frederick's of Hollywood Group, Inc. Consumer Goods 0.00%

1935 FLL Full House Resorts Inc. Services 0.00%

1936 FEIM Frequency Electronics Inc. Technology 0.00%

1937 FCFC FirstCity Financial Corp. Financial 0.00%

1938 FCAL First California Financial Group, Inc. Financial 0.00%

1939 EWL iShares MSCI Switzerland Index Financial 0.00%

1940 ENG ENGlobal Corp. Services 0.00%

1941 DYNT Dynatronics Corp. Healthcare 0.00%

1942 CTZN Citizens First Bancorp Inc. Financial 0.00%

1943 CSQ Calamos Strategic Total Return Fund Financial 0.00%

1944 CLUB Town Sports International Holdings Inc. Services 0.00%

1945 CCA MFS California Insured Municipal Fund Financial 0.00%

1946 CBST Cubist Pharmaceuticals Inc. Healthcare 0.00%

1947 BMT BlackRock Insured Municipal Term Trust, Inc. Financial 0.00%

1948 BJCT Bioject Medical Technologies In Healthcare 0.00%

1949 BEO Enhanced S&P 500 Covered Call Fund Inc. Financial 0.00%

1950 BELM Bell Microproducts Inc. Services 0.00%

1951 ARD Arena Resources Inc. Basic Materials 0.00%

1952 AERT Advanced Environmental Recycling Technologies, Inc. Industrial Goods 0.00%

1953 ADLS Advanced Life Sciences Holdings, Inc. Healthcare 0.00%

1954 ADLR Adolor Corp. Healthcare 0.00%

1955 ABMC American Bio Medica Corp. Healthcare 0.00%

1956 SCKT Socket Mobile, Inc. Technology 0.00%

1957 EVK Ever-Glory International Group, Inc. Consumer Goods 0.00%

1958 IXJ iShares S&P Global Healthcare Financial -0.04%

1959 CRDN Ceradyne Inc. Industrial Goods -0.04%

1960 KMP Kinder Morgan Energy Partners LP Basic Materials -0.06%

1961 APF Morgan Stanley Asia-Pacific Fund Inc. Financial -0.07%

1962 VRSN VeriSign Inc. Technology -0.07%

1963 ALR Alere Inc. Healthcare -0.07%

1964 ALT iShares Diversified Alternatives Trust Financial -0.08%

1965 BMA Banco Macro S.A. Financial -0.08%

1966 RVBD Riverbed Technology, Inc. Technology -0.08%

1967 JTD Nuveen Tax-Advantaged Dividend Growth Fund Financial -0.09%

1968 HYV BlackRock Corporate High Yield Fund V, Inc. Financial -0.09%

1969 BALT Baltic Trading Limited Services -0.09%

1970 NIM Nuveen Select Maturities Municipal Fund Financial -0.09%

1971 WAIN Wainwright Bank & Trust Co. Financial -0.10%

1972 NHR North Asia Investment Corporation Financial -0.10%

1973 HYB The New America High Income Fund Inc. Financial -0.10%

1974 MD MEDNAX, Inc. Healthcare -0.10%

1975 PCS MetroPCS Communications, Inc. Technology -0.11%

1976 NHC National Healthcare Corp. Healthcare -0.11%

1977 PHF Pacholder High Yield Fund Inc. Financial -0.12%

1978 NTX Nuveen Texas Quality Income Municipal Fund Financial -0.12%

1979 SCI Service Corp. International Services -0.13%

1980 FRT Federal Realty Investment Trust Financial -0.13%

1981 PXP Plains Exploration & Production Company Basic Materials -0.13%

1982 TCAP Triangle Capital Corporation Financial -0.13%

1983 CEO CNOOC Ltd. Basic Materials -0.14%

1984 CYE BlackRock Corporate High Yield Fund III, Inc. Financial -0.15%

1985 ACE ACE Limited Financial -0.15%

1986 SUSS Susser Holdings Corporation Services -0.17%

1987 LOGM LogMeIn, Inc. Technology -0.17%

1988 TRP TransCanada Corp. Utilities -0.17%

1989 IHE iShares Dow Jones US Pharmaceuticals Financial -0.18%

1990 RNOW Rightnow Technologies Inc. Technology -0.18%

1991 BRXX EGS INDXX Brazil Infrastructure Financial -0.19%

1992 CMSB Cms Bancorp, Inc. Financial -0.20%

1993 JNJ Johnson & Johnson Healthcare -0.21%

1994 VMBS Vanguard Mortgage-Backed Sec Idx ETF Financial -0.21%

1995 MBB iShares Barclays MBS Bond Financial -0.22%

1996 HHY Helios High Yield Fund Inc. Financial -0.23%

1997 EQIX Equinix, Inc. Technology -0.23%

1998 ADCT ADC Telecommunications Inc. Technology -0.24%

1999 RDC Rowan Companies Inc. Basic Materials -0.24%

2000 EPIQ EPIQ Systems, Inc. Technology -0.24%