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 EnergÃa 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%