Wednesday, September 22, 2010

Best-Performing Stocks Year-to-Date (Sept 21, 2010)

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 September 21, 2010. You can find  Daily Hot Stocks to Watch- Right Here

You want to find out more Technical Analysis -Go Here

Ticker    Company    Sector    Performance (Year)
WALK    The Walking Company Holdings, Inc.    Services    828.57%
KGJI    Kingold Jewelry, Inc.    Basic Materials    734.75%
ESCC    Evans & Sutherland Computer Corp.    Technology    600.00%
LGL    The LGL Group, Inc.    Technology    596.05%
BDCO    Blue Dolphin Energy Company    Basic Materials    530.27%
SSN    Samson Oil & Gas Limited    Basic Materials    479.17%
RDCM    Radcom Ltd.    Technology    442.01%
TCH    Technicolor SA    Consumer Goods    423.30%
VHC    VirnetX Holding Corp    Technology    328.57%
SOMX    Somaxon Pharmaceuticals, Inc.    Healthcare    312.04%
CPWM    Cost Plus Inc.    Services    309.80%
ZANE    Zanett Inc.    Services    302.50%
SMTX    SMTC Corp.    Technology    290.91%
ISLN    Isilon Systems, Inc.    Technology    269.68%
WXCO    WHX Corp.    Industrial Goods    265.00%
WNC    Wabash National Corp.    Consumer Goods    260.32%
IDT    IDT Corporation    Technology    256.29%
AERG    Applied Energetics, Inc.    Technology    251.43%
APKT    Acme Packet, Inc.    Technology    241.82%
HOOK    Craft Brewers Alliance, Inc.    Consumer Goods    226.67%
HAUP    Hauppauge Digital Inc.    Technology    216.28%
SYNX    SYNERGX Systems Inc.    Technology    213.64%
ICH    Investors Capital Holdings, Ltd.    Financial    200.72%
ENTR    Entropic Communications, Inc.    Technology    198.37%
CIGX    Star Scientific, Inc.    Consumer Goods    190.00%
NZ    Netezza Corporation    Technology    187.84%
CTIB    CTI Industries Corp.    Consumer Goods    186.73%
MSB    Mesabi Trust    Financial    184.34%
RPC    Radient Pharmaceuticals Corporation    Healthcare    183.33%
DEAR    Dearborn Bancorp Inc.    Financial    182.98%
UPI    Uroplasty Inc.    Healthcare    182.67%
TCCO    Technical Communications Corp.    Technology    182.22%
ROFO    Rockford Corp.    Consumer Goods    182.05%
JKS    JinkoSolar Holding Co., Ltd.    Industrial Goods    179.84%
MHR    Magnum Hunter Resources Corp.    Basic Materials    179.35%
KEM    KEMET Corp.    Technology    178.99%
PAR    3PAR, Inc.    Technology    178.23%
MBI    MBIA Inc.    Financial    176.88%
LEI    Lucas Energy, Inc.    Basic Materials    176.67%
TPCG    TPC Group Inc    Basic Materials    176.39%
EFOI    Energy Focus, Inc.    Consumer Goods    173.44%
UNCA    Unica Corporation    Technology    170.45%
PDL-B    Presidential Realty Corp.    Financial    170.15%
DGSE    DGSE Companies Inc.    Services    169.50%
GENT    Gentium S.p.A    Healthcare    168.14%
NFLX    Netflix, Inc.    Services    167.20%
DLPX    Delphax Technologies Inc.    Industrial Goods    166.67%
TGA    TransGlobe Energy Corp.    Basic Materials    165.47%
WAIN    Wainwright Bank & Trust Co.    Financial    164.57%
PBTH    PROLOR Biotech, Inc.    Healthcare    163.67%
KEI    Keithley Instruments Inc.    Technology    160.87%
OPEN    OpenTable, Inc.    Services    160.53%
DATA    DATATRAK International, Inc.    Technology    157.14%
CPE    Callon Petroleum Co.    Basic Materials    155.33%
ABR    Arbor Realty Trust Inc.    Financial    153.77%
PCYC    Pharmacyclics Inc.    Healthcare    152.87%
ACEL    Tamir Biotechnology, Inc.    Healthcare    150.00%
CJBK    Central Jersey Bancorp    Financial    148.16%
PPO    Polypore International Inc.    Basic Materials    148.07%
AAU    Almaden Minerals Ltd.    Basic Materials    147.62%
SPRD    Spreadtrum Communications Inc.    Technology    145.42%
GRT    Glimcher Realty Trust    Financial    145.21%
CRUS    Cirrus Logic Inc.    Technology    140.76%
ACAS    American Capital, Ltd.    Financial    139.04%
FIGI    Fortress International Group, Inc.    Financial    138.10%
RDWR    Radware Ltd.    Technology    136.18%
KRO    Kronos Worldwide Inc.    Basic Materials    135.45%
PNS    Pinnacle Data Systems Inc.    Technology    134.04%
SOL    ReneSola Ltd.    Technology    131.51%
EQU    Equal Energy Ltd.    Basic Materials    130.39%
ORNG    Orange 21 Inc.    Consumer Goods    130.26%
JSDA    Jones Soda Co.    Consumer Goods    127.91%
JNGW    Jingwei International Limited    Technology    126.50%
BTN    Ballantyne Strong, Inc    Consumer Goods    125.74%
GLRP    Glen Rose Petroleum Corp.    Basic Materials    125.00%
HWK    Hawk Corp.    Industrial Goods    124.30%
MNDO    MIND C.T.I., Ltd.    Technology    124.10%
QPSA    Quepasa Corp.    Technology    123.81%
GRNB    Green Bankshares, Inc.    Financial    123.38%
IDSA    Industrial Services of America, Inc.    Services    122.80%
NBIX    Neurocrine Biosciences Inc.    Healthcare    122.79%
TEAR    TearLab Corporation    Healthcare    122.00%
BIDU    Baidu, Inc.    Technology    121.77%
BEE    Strategic Hotels & Resorts, Inc.    Financial    121.51%
ESCA    Escalade Inc.    Consumer Goods    120.97%
QCOR    Questcor Pharmaceuticals, Inc.    Healthcare    120.84%
NR    Newpark Resources Inc.    Basic Materials    120.57%
FFNM    First Federal of Northern Michigan Bancorp, Inc.    Financial    120.49%
AKRX    Akorn Inc.    Healthcare    118.44%
LCAPA    Liberty Capital Group    Services    117.96%
ARMH    ARM Holdings plc    Technology    117.92%
NXTM    Nxstage Medical, Inc.    Healthcare    117.37%
LSBX    LSB Corp.    Financial    117.19%
OMNI    OMNI Energy Services Corp.    Basic Materials    115.08%
TORM    TOR Minerals International Inc.    Basic Materials    115.00%
TRS    TriMas Corporation    Industrial Goods    114.92%
TRE    Tanzanian Royalty Exploration Corp.    Basic Materials    114.30%
HDY    Hyperdynamics Corporation    Basic Materials    112.64%
UXG    US Gold Corporation    Basic Materials    112.50%
QUIK    QuickLogic Corp.    Technology    112.32%
PROV    Provident Financial Holdings Inc.    Financial    112.04%
LOOK    LookSmart, Ltd.    Technology    111.76%
BOSC    B.O.S. Better Online Solutions Ltd.    Technology    111.43%
LVS    Las Vegas Sands Corp.    Services    111.04%
INHX    Inhibitex Inc.    Healthcare    110.87%
EZCH    EZchip Semiconductor Ltd.    Technology    110.84%
PFSW    PFSweb Inc.    Services    110.07%
NNBR    NN Inc.    Industrial Goods    109.60%
CPEX    CPEX Pharmaceuticals, Inc.    Healthcare    109.53%
SURG    Synergetics USA, Inc.    Healthcare    109.16%
PKOH    Park-Ohio Holdings Corp.    Industrial Goods    108.85%
LCUT    Lifetime Brands, Inc.    Consumer Goods    108.67%
JOBS    51job Inc.    Services    107.82%
HTWR    Heartware International Inc.    Healthcare    107.70%
AKAM    Akamai Technologies Inc.    Technology    106.83%
BDR    Blonder Tongue Laboratories Inc.    Technology    106.14%
ARUN    Aruba Networks, Inc.    Technology    106.00%
ME    Mariner Energy, Inc.    Basic Materials    105.34%
ATSG    Air Transport Services Group, Inc.    Services    104.92%
MDM    Mountain Province Diamonds Inc.    Basic Materials    104.62%
MRVC    MRV Communications Inc.    Technology    104.23%
VMW    VMware, Inc.    Technology    104.01%
KID    Kid Brands, Inc.    Consumer Goods    103.65%
ADCT    ADC Telecommunications Inc.    Technology    103.54%
CHTP    Chelsea Therapeutics International Ltd.    Healthcare    103.33%
NSU    Nevsun Resources Ltd.    Basic Materials    103.29%
CROX    CROCS Inc.    Consumer Goods    103.13%
OTIX    Otix Global, Inc.    Healthcare    102.65%
PZZ    Prospect Medical Holdings Inc.    Healthcare    102.35%
OSTE    Osteotech, Inc.    Healthcare    102.19%
HSWI    HSW International, Inc.    Technology    102.00%
TZOO    Travelzoo Inc.    Technology    101.79%
OCLR    Oclaro, Inc.    Technology    101.50%
VRX    Valeant Pharmaceuticals International    Healthcare    101.48%
SOFO    Sonic Foundry Inc.    Technology    101.03%
CPY    CPI Corp.    Services    100.84%
OLP    One Liberty Properties Inc.    Financial    100.71%
MIPS    MIPS Technologies Inc.    Technology    100.69%
KRA    Kraton Performance Polymers Inc.    Basic Materials    100.44%
PWER    Power-One Inc.    Technology    100.23%
RVBD    Riverbed Technology, Inc.    Technology    99.74%
AMRN    Amarin Corporation plc    Healthcare    99.30%
SLP    Simulations Plus Inc.    Technology    99.28%
RBPAA    Royal Bancshares of Pennsylvania Inc.    Financial    99.23%
ATRO    Astronics Corp.    Industrial Goods    99.06%
HSFT    hiSoft Technology International Ltd.    Technology    99.04%
FPTB    First Pactrust Bancorp Inc.    Financial    98.86%
RES    RPC Inc.    Basic Materials    98.45%
RCMT    RCM Technologies Inc.    Services    98.41%
FNSR    Finisar Corp.    Technology    98.32%
PACR    Pacer International Inc.    Services    98.10%
AHT    Ashford Hospitality Trust Inc.    Financial    97.84%
DTG    Dollar Thrifty Automotive Group Inc.    Services    97.23%
BELM    Bell Microproducts Inc.    Services    97.18%
LCC    US Airways Group, Inc.    Services    97.11%
CMI    Cummins Inc.    Industrial Goods    96.06%
FFIV    F5 Networks, Inc.    Technology    95.17%
RMTR    Ramtron International Corp.    Technology    94.91%
PANL    Universal Display Corp.    Technology    94.42%
CTHR    Charles & Colvard Ltd.    Services    93.97%
WSBF    Waterstone Financial, Inc.    Financial    93.66%
LIOX    Lionbridge Technologies Inc.    Technology    93.48%
SIRI    SIRIUS XM Radio Inc.    Services    93.33%
RGDX    Response Genetics, Inc    Healthcare    92.54%
BVF    Biovail Corporation    Healthcare    92.50%
AXTI    AXT Inc.    Technology    92.31%
IGTE    iGATE Corporation    Technology    92.31%
LPTH    LightPath Technologies Inc.    Technology    92.31%
PPCO    Penwest Pharmaceuticals Co.    Healthcare    92.28%
NC    Nacco Industries Inc.    Industrial Goods    92.17%
SSE    Southern Connecticut Bancorp Inc.    Financial    92.13%
GSAT    Globalstar Inc.    Technology    91.95%
NPSP    NPS Pharmaceuticals, Inc.    Healthcare    91.76%
ZQK    Quiksilver Inc.    Consumer Goods    91.58%
EXAS    Exact Sciences Corporation    Healthcare    91.45%
TAL    TAL International Group, Inc.    Services    91.17%
CMG    Chipotle Mexican Grill, Inc.    Services    90.91%
WSTL    Westell Technologies Inc.    Technology    90.83%
KERX    Keryx Biopharmaceuticals Inc.    Healthcare    90.80%
HGRD    Health Grades Inc.    Technology    90.68%
EXXI    Energy XXI (Bermuda) Limited    Basic Materials    90.39%
MCP    Molycorp, Inc.    Basic Materials    90.27%
LCRY    LeCroy Corp.    Technology    90.14%
INTX    Intersections Inc.    Services    89.83%
MMR    McMoRan Exploration Co.    Basic Materials    89.65%
CVTI    Covenant Transportation Group, Inc.    Services    89.31%
THMD    Thermadyne Holdings Corp.    Industrial Goods    89.13%
ACTG    Acacia Research Corporation    Services    89.13%
GSL    Global Ship Lease, Inc.    Services    88.89%
RUTH    Ruth's Hospitality Group Inc.    Services    87.56%
DDIC    DDI Corp.    Technology    87.55%
SWWC    Southwest Water Co.    Utilities    87.54%
GYRO    Gyrodyne Co. of America Inc.    Financial    87.39%
ABII    Abraxis BioScience, Inc.    Healthcare    86.71%
CIX    CompX International Inc.    Industrial Goods    86.58%
NEWS    NewStar Financial, Inc.    Financial    86.48%
MDF    Metropolitan Health Networks Inc.    Healthcare    86.43%
MSPD    Mindspeed Technologies Inc.    Technology    86.35%
LION    Fidelity Southern Corporation    Financial    86.22%
APL    Atlas Pipeline Partners LP    Basic Materials    85.12%
CERS    Cerus Corporation    Healthcare    84.92%
IG    IGI, Laboratories, Inc.    Healthcare    84.62%
TO    Tech/Ops Sevcon Inc.    Technology    84.31%
VRTS    Virtus Investment Partners, Inc.    Financial    84.09%
TUES    Tuesday Morning Corp.    Services    83.72%
LDSH    Ladish Co. Inc.    Industrial Goods    83.65%
FRG    Fronteer Gold Inc    Basic Materials    83.21%
AEZ    American Oil & Gas Inc.    Basic Materials    83.10%
OKSB    Southwest Bancorp Inc.    Financial    83.00%
CRDC    Cardica Inc.    Healthcare    82.76%
CPRX    Catalyst Pharmaceutical Partners Inc.    Healthcare    82.54%
CRWS    Crown Crafts Inc.    Consumer Goods    82.54%
WEL    Boots & Coots, Inc.    Basic Materials    82.42%
WSCI    WSI Industries Inc.    Consumer Goods    82.30%
ANV    Allied Nevada Gold Corp.    Basic Materials    82.16%
UAUA    UAL Corporation    Services    82.03%
VCI    Valassis Communications Inc.    Services    81.11%
UFPT    UFP Technologies Inc.    Consumer Goods    80.31%
GSB    GlobalScape Inc.    Technology    80.13%
ZNH    China Southern Airlines Co. Ltd.    Services    80.03%
SASR    Sandy Spring Bancorp Inc.    Financial    79.82%
SPRT, Inc.    Technology    79.55%
BCA    CorpBanca S.A.    Financial    79.28%
TICC    TICC Capital Corp.    Financial    79.08%
LFL    LAN Airlines S.A.    Services    78.90%
CVU    CPI Aerostructures Inc.    Industrial Goods    78.87%
TTPA    Trintech Group plc    Technology    78.59%
FORD    Forward Industries Inc.    Consumer Goods    78.57%
CMRG    Casual Male Retail Group, Inc.    Services    78.54%
BSDM    BSD Medical Corp.    Healthcare    77.84%
REDF India Ltd.    Technology    77.69%
LONG    eLong Inc.    Services    77.19%
SPOR    Sport-Haley Inc.    Consumer Goods    77.08%
MDCO    Medicines Co.    Healthcare    76.98%
CVGI    Commercial Vehicle Group Inc.    Consumer Goods    76.96%
CPBC    Community Partners Bancorp    Financial    76.85%
CCBP    Comm Bancorp Inc.    Financial    76.74%
RNN    Rexahn Pharmaceuticals, Inc.    Healthcare    76.47%
MFB    Maidenform Brands, Inc.    Consumer Goods    76.15%
SIMG    Silicon Image, Inc.    Technology    75.97%
SBGI    Sinclair Broadcast Group Inc.    Services    75.93%
FMFC    First M&F Corp.    Financial    75.80%
PAY    VeriFone Systems, Inc    Consumer Goods    75.70%
SHLO    Shiloh Industries Inc.    Industrial Goods    75.66%
RAMR    RAM Holdings Ltd.    Financial    75.51%
HRT    Arrhythmia Research Technology Inc.    Healthcare    75.37%
NAVI    NaviSite Inc.    Technology    75.00%
MERC    Mercer International Inc.    Consumer Goods    74.84%
STAA    STAAR Surgical Company    Services    74.52%
MEAS    Measurement Specialties Inc.    Technology    74.43%
CCIX    Coleman Cable, Inc.    Industrial Goods    74.41%
CHCI    Comstock Homebuilding Companies Inc.    Industrial Goods    74.39%
HT    Hersha Hospitality Trust    Financial    74.03%
AMOT    Allied Motion Technologies Inc.    Technology    74.00%
BNHNA    Benihana Inc.    Services    73.88%
VPHM    ViroPharma Inc.    Healthcare    73.54%
SLRY, Inc.    Technology    73.50%
DTPI    Diamond Management & Technology Consultants, Inc.    Services    73.40%
ABL    American Biltrite Inc.    Consumer Goods    73.33%
STKL    SunOpta Inc.    Consumer Goods    73.21%
SUMR    Summer Infant, Inc.    Consumer Goods    73.05%
OBCI    Ocean Bio-Chem Inc.    Consumer Goods    73.00%
EMAN    eMagin Corp.    Technology    72.87%
MPG    MPG Office Trust, Inc.    Financial    72.85%
RADS    Radiant Systems Inc.    Technology    72.79%
BCH    Banco de Chile    Financial    72.58%
CGL-A    Cagle's Inc.    Consumer Goods    72.50%
EC    Ecopetrol SA    Basic Materials    72.33%
VG    Vonage Holdings Corporation    Technology    72.14%
SILC    Silicom Ltd.    Technology    71.98%
PDII    PDI, Inc.    Services    71.78%
ARWR    Arrowhead Research Corp.    Services    71.70%
INSW    InsWeb Corp.    Services    71.38%
WAVX    Wave Systems Corp.    Technology    71.13%
DXCM    DexCom, Inc.    Healthcare    71.00%
BBEP    Breitburn Energy Partners LP    Basic Materials    70.86%
ARST    ArcSight, Inc.    Technology    70.84%
HTHT    China Lodging Group, Limited    Services    70.62%
RDEA    Ardea Biosciences, Inc.    Healthcare    70.50%
RELL    Richardson Electronics Ltd.    Services    70.50%
TIBX    Tibco Software, Inc.    Technology    70.30%
SQNM    Sequenom Inc.    Healthcare    70.29%
WAL    Western Alliance Bancorporation    Financial    69.84%
NBBC    NewBridge Bancorp    Financial    69.82%
CMFB    Commercefirst Bancorp Inc.    Financial    69.74%
CEA    China Eastern Airlines Corp. Ltd.    Services    69.59%
DORM    Dorman Products, Inc.    Consumer Goods    69.37%
HWKN    Hawkins Inc.    Basic Materials    69.34%
DIN    DineEquity, Inc.    Services    69.12%
LOGM    LogMeIn, Inc.    Technology    68.92%
BNE    Bowne & Co. Inc.    Services    68.75%
PTRY    Pantry Inc.    Services    68.65%
BHO    B+H Ocean Carriers Ltd.    Services    68.54%
ZION    Zions Bancorp.    Financial    68.46%
DUSA    DUSA Pharmaceuticals Inc.    Healthcare    68.42%
SHS    Sauer-Danfoss Inc.    Industrial Goods    68.36%
SLI    SL Industries Inc.    Technology    68.14%
ZIXI    Zix Corp.    Technology    67.84%
INET    Internet Brands, Inc.    Services    67.82%
VPF    Valpey Fisher Corp.    Technology    67.79%
NUHC    Nu Horizons Electronics Corp.    Services    67.48%
SLW    Silver Wheaton Corp.    Basic Materials    67.44%
XRIT    X-Rite, Incorporated    Consumer Goods    67.43%
NGD    New Gold, Inc.    Basic Materials    67.31%
LXK    Lexmark International Inc.    Technology    67.21%
IFSIA    Interface Inc.    Industrial Goods    67.11%
ONCY    Oncolytics Biotech Inc.    Healthcare    67.05%
SUI    Sun Communities Inc.    Financial    66.98%
CBP    Renhuang Pharmaceuticals, Inc.    Healthcare    66.86%
SLXP    Salix Pharmaceuticals Ltd.    Healthcare    66.76%
TGH    Textainer Group Holdings Limited    Services    66.71%
VLCCF    Knightsbridge Tankers Limited    Services    66.69%
ADEP    Adept Technology Inc.    Industrial Goods    66.67%
CTXS    Citrix Systems, Inc.    Technology    66.33%
DPZ    Domino's Pizza, Inc.    Services    65.87%
MOFG    MidWest One Financial Group, Inc.    Financial    65.62%
CATY    Cathay General Bancorp    Financial    65.47%
INTG    InterGroup Corp.    Financial    65.35%
UA    Under Armour, Inc.    Consumer Goods    65.31%
KCP    Kenneth Cole Productions Inc.    Consumer Goods    65.08%
INCB    Indiana Community Bancorp    Financial    64.91%
TKS    Tomkins plc    Consumer Goods    64.60%
CRM    Technology    64.55%
GGAL    Grupo Financiero Galicia S.A.    Financial    64.24%
LSCC    Lattice Semiconductor Corporation    Technology    64.07%
SONS    Sonus Networks, Inc.    Technology    63.98%
TKR    Timken Co.    Industrial Goods    63.95%
MRT    Morton's Restaurant Group Inc.    Services    63.92%
PRXL    Parexel International Corp.    Healthcare    63.69%
INCY    Incyte Corporation    Healthcare    63.56%
TNK    Teekay Tankers Ltd.    Services    63.49%
FFCO    FedFirst Financial Corp.    Financial    63.24%
XXIA    Ixia    Technology    63.22%
SUSS    Susser Holdings Corporation    Services    63.10%
HBAN    Huntington Bancshares Inc.    Financial    63.09%
PIR    Pier 1 Imports Inc.    Services    62.87%
LORL    Loral Space & Communications, Inc.    Technology    62.73%
BFR    BBVA Banco Frances S.A.    Financial    62.63%
KWR    Quaker Chemical Corporation    Basic Materials    62.54%
AGM    Federal Agricultural Mortgage Corp.    Financial    62.52%
MVO    MV Oil Trust    Basic Materials    62.51%
SIMO    Silicon Motion Technology Corp.    Technology    62.46%
MILL    Miller Petroleum Inc.    Basic Materials    62.41%
AI    Arlington Asset Investment Corp.    Financial    62.30%
BHH    B2B Internet HOLDRs    Financial    62.22%
CCUR    Concurrent Computer Corporation    Technology    62.12%
SWC    Stillwater Mining Co.    Basic Materials    61.92%
GORO    Gold Resource Corp    Basic Materials    61.91%
ILMN    Illumina Inc.    Healthcare    61.83%
DNDN    Dendreon Corp.    Healthcare    61.80%
SERV    Servidyne, Inc.    Industrial Goods    61.76%
RBS    Royal Bank of Scotland Group plc    Financial    61.66%
AHGP    Alliance Holdings GP, L.P.    Basic Materials    61.53%
ZUMZ    Zumiez, Inc.    Services    61.32%
UHAL    AMERCO    Services    61.22%
CRXL    Crucell NV    Healthcare    61.20%
CPX    Complete Production Services, Inc.    Basic Materials    61.00%
ARIA    Ariad Pharmaceuticals Inc.    Healthcare    60.96%
TEN    Tenneco Inc.    Consumer Goods    60.86%
BNHN    Benihana Inc.    Services    60.71%
TRIB    Trinity Biotech plc    Healthcare    60.66%
ULTA    Ulta Salon, Cosmetics & Fragrance, Inc.    Services    60.30%
ACOM Inc.    Technology    60.24%
LPSB    Laporte Bancorp, Inc.    Financial    60.23%
WYNN    Wynn Resorts Ltd.    Services    60.18%
RVR    White River Capital Inc    Financial    60.11%
PRGO    Perrigo Co.    Healthcare    60.09%
GNCMA    General Communication Inc.    Technology    60.03%
OPNT    OPNET Technologies Inc.    Technology    59.98%
VCBI    Virginia Commerce Bancorp Inc.    Financial    59.73%
MDCA    MDC Partners Inc.    Services    59.73%
BSRR    Sierra Bancorp    Financial    59.65%
SOLF    Solarfun Power Holdings Co. Ltd.    Technology    59.63%
CAP    CAI International Inc.    Services    59.58%
CVLY    Codorus Valley Bancorp Inc.    Financial    59.57%
MHGC    Morgans Hotel Group Co.    Services    59.52%
ICGE    Internet Capital Group Inc.    Technology    59.40%
PLA    Playboy Enterprises Inc.    Services    59.37%
VIT    VanceInfo Technologies Inc.    Technology    59.29%
AEZS    AEterna Zentaris Inc. (USA)    Healthcare    59.26%
NEBS    New England Bancshares Inc.    Financial    58.99%
GSS    Golden Star Resources, Ltd.    Basic Materials    58.97%
WINA    Winmark Corp.    Services    58.82%
FDO    Family Dollar Stores Inc.    Services    58.65%
ATML    Atmel Corporation    Technology    58.57%
PSYS    Psychiatric Solutions, Inc.    Healthcare    58.56%
JOEZ    Joe's Jeans Inc.    Consumer Goods    58.52%
SMCG    Millennium India Acquisition Company Inc.    Financial    58.28%
CLCT    Collectors Universe Inc.    Services    58.09%
GAIN    Gladstone Investment Corporation    Financial    58.04%
SGA    Saga Communications Inc.    Services    57.97%
QLIK    Qlik Technologies, Inc.    Technology    57.93%
MPAA    Motorcar Parts of America Inc.    Consumer Goods    57.87%
LTS    Ladenburg Thalmann Financial Services Inc.    Financial    57.81%
RT    Ruby Tuesday, Inc.    Services    57.78%
PRTS    U.S. Auto Parts Network, Inc.    Services    57.69%
WBC    WABCO Holdings Inc.    Consumer Goods    57.66%
LBY    Libbey Inc.    Consumer Goods    57.65%
TOF    Tofutti Brands Inc.    Consumer Goods    57.53%
NBN    Northeast Bancorp    Financial    57.38%
SCMR    Sycamore Networks Inc.    Technology    57.15%
HUSA    Houston American Energy Corp.    Basic Materials    57.07%
DEST    Destination Maternity Corporation    Services    57.00%
NFP    National Financial Partners Corp.    Financial    56.98%
TWI    Titan International Inc.    Consumer Goods    56.97%
MFLR    Mayflower Bancorp, Inc.    Financial    56.73%
IT    Gartner Inc.    Services    56.71%
VICR    Vicor Corp.    Utilities    56.64%
PURE    Pure Bioscience    Basic Materials    56.55%
LTM    Life Time Fitness Inc.    Services    56.36%
Q    Qwest Communications International Inc.    Technology    56.22%
PCLN Incorporated    Services    56.14%
NYM    Nymagic Inc.    Financial    55.97%
MEND    Micrus Endovascular Corp.    Healthcare    55.73%
ALKS    Alkermes, Inc.    Healthcare    55.69%
ID    L-1 Identity Solutions Inc.    Services    55.67%
WWON    Westwood One Inc.    Services    55.56%
ZLCS    Zalicus Inc.    Healthcare    55.42%
SPNS    Sapiens International Corp. NV    Technology    55.41%
GLAD    Gladstone Capital Corporation    Financial    55.39%
MGA    Magna International, Inc.    Consumer Goods    55.12%
BGH    Buckeye GP Holdings L.P.    Basic Materials    55.09%
GET    Gaylord Entertainment Co.    Services    55.09%
KFN    KKR Financial Holdings LLC    Financial    55.02%
ADTN    ADTRAN Inc.    Technology    55.02%
AEY    ADDvantage Technologies Group Inc.    Services    54.82%
GMO    General Moly, Inc.    Basic Materials    54.81%
KTCC    Key Tronic Corp.    Technology    54.81%
CUO    Continental Materials Corp.    Industrial Goods    54.71%
CCRT    CompuCredit Holdings Corp.    Financial    54.65%
CASH    Meta Financial Group, Inc.    Financial    54.56%
AMCC    Applied Micro Circuits Corp.    Technology    54.48%
FOSL    Fossil, Inc.    Consumer Goods    54.47%
PEI    Pennsylvania Real Estate Investment Trust    Financial    54.43%
BAP    Credicorp Ltd.    Financial    54.36%
CMSB    Cms Bancorp, Inc.    Financial    54.19%
MTG    MGIC Investment Corp.    Financial    54.15%
EDR    Education Realty Trust Inc.    Financial    54.12%
RPTP    Raptor Pharmaceuticals Corp.    Healthcare    54.10%
NRGP    Inergy Holdings, L.P.    Basic Materials    54.01%
WPRT    Westport Innovations Inc.    Industrial Goods    53.97%
CYT    Cytec Industries Inc.    Basic Materials    53.92%
PPD    Pre-Paid Legal Services, Inc.    Services    53.87%
ANDE    The Andersons, Inc.    Consumer Goods    53.86%
ISSI    Integrated Silicon Solution Inc.    Technology    53.81%
ABBC    Abington Bancorp Inc.    Financial    53.77%
PDEX    Pro-Dex Inc.    Healthcare    53.59%
PEIX    Pacific Ethanol, Inc.    Basic Materials    53.52%
FOE    Ferro Corp.    Basic Materials    53.52%
CBLI    Cleveland BioLabs, Inc.    Services    53.47%
SNAK    Inventure Foods, Inc.    Consumer Goods    53.39%
MWIV    MWI Veterinary Supply, Inc.    Services    53.32%
POL    PolyOne Corporation    Basic Materials    53.28%
TRW    TRW Automotive Holdings Corp.    Consumer Goods    53.22%
SFSF    SuccessFactors, Inc.    Technology    53.14%
AGEN    Antigenics Inc.    Healthcare    53.13%
RLOG    Rand Logistics, Inc.    Services    53.13%
REE    Rare Element Resources Ltd.    Basic Materials    53.09%
SAN    Banco Santander-Chile    Financial    53.00%
NOVL    Novell Inc.    Technology    52.89%
TMF    Direxion Daily 30 Yr Trsy Bull 3X Shares    Financial    52.72%
HAST    Hastings Entertainment Inc.    Services    52.69%
NKTR    Nektar Therapeutics    Healthcare    52.68%
ZGEN    ZymoGenetics, Inc.    Healthcare    52.43%
CNH    CNH Global NV    Industrial Goods    52.40%
AIPC    American Italian Pasta Co.    Consumer Goods    52.34%
CQP    Cheniere Energy Partners LP.    Basic Materials    52.21%
TMRK    Terremark Worldwide, Inc.    Technology    52.19%
IMOS    ChipMOS TECHNOLOGIES (Bermuda) LTD.    Technology    52.11%
FISI    Financial Institutions Inc.    Financial    52.08%
VQ    Venoco, Inc.    Basic Materials    52.07%
UPFC    United Panam Financial Corp.    Financial    52.04%
ADGF    Adams Golf Inc.    Consumer Goods    51.86%
SBBX    Sussex Bancorp    Financial    51.79%
CRWN    Crown Media Holdings Inc.    Services    51.72%
CMT    Core Molding Technologies Inc.    Consumer Goods    51.57%
MNTG    MTR Gaming Group, Inc.    Services    51.54%
OICO    OI Corp.    Technology    51.54%
DFR    Deerfield Capital Corp.    Financial    51.52%
PRS    Primus Guaranty, Ltd.    Financial    51.48%
KNL    Knoll Inc.    Consumer Goods    51.46%
XFN    Xfone, Inc.    Technology    51.43%
CCU    Compania Cervecerias Unidas S.A.    Consumer Goods    51.41%
NOIZ    Micronetics Inc.    Technology    51.21%
CLB    Core Laboratories NV    Basic Materials    51.05%
ARBA    Ariba Inc.    Technology    51.04%
ACLI    American Commercial Lines Inc.    Services    51.01%
USMO    USA Mobility, Inc.    Technology    51.01%
NTL    Nortel Inversora S.A.    Technology    51.00%
CPHD    Cepheid    Technology    50.80%
IPAR    Inter Parfums Inc.    Consumer Goods    50.79%
QLTY    Quality Distribution Inc.    Services    50.63%
TGI    Triumph Group, Inc.    Industrial Goods    50.60%
PRAA    Portfolio Recovery Associates Inc.    Services    50.57%
WBS    Webster Financial Corp.    Financial    50.55%
AVNR    Avanir Pharmaceuticals    Healthcare    50.53%
AGP    AMERIGROUP Corporation    Healthcare    50.52%
SUSQ    Susquehanna Bancshares, Inc.    Financial    50.51%
KKD    Krispy Kreme Doughnuts Inc.    Services    50.51%
LAVA    Magma Design Automation Inc.    Technology    50.43%
HSNI    HSN, Inc.    Services    50.42%
WSM    Williams-Sonoma Inc.    Services    50.32%
PETD    Petroleum Development Corporation    Basic Materials    50.19%
MAPP    MAP Pharmaceuticals, Inc.    Healthcare    50.16%
GXG    Global X/InterBolsa FTSE Colombia 20 ETF    Financial    50.14%
PPS    Post Properties Inc.    Financial    50.05%
DMRC    Digimarc Corporation    Technology    50.03%
LOAN    Manhattan Bridge Capital, Inc.    Financial    50.00%
DAVE    Famous Dave's of America Inc.    Services    49.92%
NVO    Novo Nordisk A/S    Healthcare    49.91%
JDSU    JDS Uniphase Corporation    Technology    49.64%
CALP    Caliper Life Sciences, Inc.    Technology    49.61%
DLTR    Dollar Tree, Inc.    Services    49.47%
HRC    Hill-Rom Holdings, Inc.    Healthcare    49.41%
URRE    Uranium Resources, Inc.    Basic Materials    49.35%
RLH    Red Lion Hotels Corporation    Services    49.19%
FLXS    Flexsteel Industries Inc.    Consumer Goods    49.14%
SIGA    SIGA Technologies, Inc.    Healthcare    49.14%
INTU    Intuit Inc.    Technology    49.14%
EPE    Enterprise GP Holdings L.P.    Basic Materials    49.06%
SVNT    Savient Pharmaceuticals, Inc.    Healthcare    49.01%
FVE    Five Star Quality Care Inc.    Healthcare    48.99%
DCTH    Delcath Systems Inc.    Healthcare    48.92%
WSFS    WSFS Financial Corp.    Financial    48.90%
EQR    Equity Residential    Financial    48.89%
BMA    Banco Macro S.A.    Financial    48.89%
MSFG    Mainsource Financial Group    Financial    48.74%
HLF    Herbalife Ltd.    Healthcare    48.68%
WPZ    Williams Partners L.P.    Basic Materials    48.65%
AEN    Adeona Pharmaceuticals, Inc.    Healthcare    48.59%
ROVI    Rovi Corporation    Technology    48.54%
IIH    Internet Infrastructure HOLDRs    Financial    48.28%
ESIC    EasyLink Services International Corporation    Technology    48.26%
JOSB    Jos. A Bank Clothiers Inc.    Services    48.24%
MBWM    Mercantile Bank Corp.    Financial    48.21%
CSFS    The Cash Store Financial Services, Inc.    Services    48.18%
CECE    CECO Environmental Corp.    Industrial Goods    48.10%
CYCC    Cyclacel Pharmaceuticals, Inc.    Healthcare    48.08%
DXPE    DXP Enterprises Inc.    Services    48.05%
INTT    inTEST Corp.    Technology    47.98%
ASBI    Ameriana Bancorp    Financial    47.73%
PLCE    The Children's Place Retail Stores, Inc.    Services    47.64%
LZ    Lubrizol Corporation    Basic Materials    47.60%
KEY    KeyCorp    Financial    47.56%
BID    Sotheby's    Services    47.52%
LQDT    Liquidity Services, Inc.    Technology    47.47%
AFCE    AFC Enterprises Inc.    Services    47.43%
BNSO    Bonso Electronics International Inc.    Industrial Goods    47.42%
VRAZ    Veraz Networks, Inc.    Technology    47.37%
COLM    Columbia Sportswear Company    Consumer Goods    47.35%
DRN    Direxion Daily Real Estate Bull 3X Shrs    Financial    47.30%
AMLN    Amylin Pharmaceuticals, Inc.    Healthcare    47.29%
TIGR    TigerLogic Corporation    Technology    47.24%
ERIE    Erie Indemnity Co.    Financial    47.20%
BW    Brush Engineered Materials Inc.    Basic Materials    47.14%
BKCC    BlackRock Kelso Capital Corporation    Financial    47.05%
LULU    Lululemon Athletica Inc.    Consumer Goods    47.04%
SAM    Boston Beer Co. Inc.    Consumer Goods    47.04%
FN    Fabrinet    Consumer Goods    46.98%
JADE    LJ International Inc.    Consumer Goods    46.94%
TIE    Titanium Metals Corporation    Basic Materials    46.88%
CLP    Colonial Properties Trust    Financial    46.83%
CEBK    Central Bancorp Inc.    Financial    46.82%
IPGP    IPG Photonics Corporation    Technology    46.80%
TSCO    Tractor Supply Company    Services    46.79%
URI    United Rentals, Inc.    Services    46.59%
EDU    New Oriental Education & Technology Group    Services    46.55%
EXR    Extra Space Storage Inc.    Financial    46.51%
BWA    BorgWarner Inc.    Consumer Goods    46.48%
DFT    DuPont Fabros Technology, Inc.    Financial    46.47%
HNRG    Hallador Energy Company    Basic Materials    46.45%
RSO    Resource Capital Corp.    Financial    46.27%
IVN    Ivanhoe Mines Ltd.    Basic Materials    46.27%
ALXA    Alexza Pharmaceuticals Inc.    Healthcare    46.25%
LYG    Lloyds Banking Group plc    Financial    46.18%
TITN    Titan Machinery, Inc.    Services    46.10%
AZK    Aurizon Mines Ltd.    Basic Materials    45.78%
BKI    Buckeye Technologies Inc.    Consumer Goods    45.73%
TTM    Tata Motors Ltd.    Consumer Goods    45.72%
ACFC    Atlantic Coast Federal Corporation    Financial    45.70%
PVH    Phillips-Van Heusen Corp.    Consumer Goods    45.60%
TF    Thai Capital Fund Inc.    Financial    45.58%
BJRI    BJ's Restaurants, Inc.    Services    45.57%
HDNG    Hardinge Inc.    Industrial Goods    45.54%
HOT    Starwood Hotels & Resorts Worldwide Inc.    Services    45.42%
OLCB    Ohio Legacy Corp.    Financial    45.40%
SFL    Ship Finance International Limited    Services    45.40%
MRLN    Marlin Business Services Corp.    Services    45.40%
MTOX    MEDTOX Scientific Inc.    Healthcare    45.29%
PSMT    PriceSmart Inc.    Services    45.27%
MAY    Malaysia Fund Inc.    Financial    45.26%
PWAV    Powerwave Technologies Inc.    Technology    45.24%
RGR    Sturm, Ruger & Co. Inc.    Consumer Goods    45.18%
FFG    FBL Financial Group Inc.    Financial    45.13%
GBG    Great Basin Gold Ltd.    Basic Materials    45.03%
N    NetSuite Inc.    Technology    44.99%
EXFO    EXFO Inc    Technology    44.94%
CBL    CBL & Associates Properties Inc.    Financial    44.89%
PERY    Perry Ellis International Inc.    Consumer Goods    44.89%
HMN    Horace Mann Educators Corp.    Financial    44.88%
KCAP    Kohlberg Capital Corporation    Financial    44.86%
SVBI    Severn Bancorp Inc.    Financial    44.84%
SXCI    SXC Health Solutions, Corp.    Technology    44.74%
RURL    Rural/Metro Corp.    Services    44.67%
AAP    Advance Auto Parts Inc.    Services    44.65%
HAIN    The Hain Celestial Group, Inc.    Consumer Goods    44.56%
RAE    RAE Systems Inc.    Technology    44.55%
BDE    Clarus Corp.    Technology    44.47%
RFIL    RF Industries Ltd.    Technology    44.44%
FLY    FLY Leasing Limited    Services    44.43%
WAYN    Wayne Savings Bancshares Inc.    Financial    44.37%
PTEC    Phoenix Technologies Ltd.    Technology    44.36%
GEOY    GeoEye, Inc.    Technology    44.31%
ODC    Oil-Dri Corp. of America    Basic Materials    44.28%
GENZ    Genzyme Corp.    Healthcare    44.24%
PII    Polaris Industries, Inc.    Consumer Goods    44.23%
DIVX    DivX, Inc.    Technology    44.15%
HIT    Hitachi Ltd.    Consumer Goods    44.13%
CCE    Coca-Cola Enterprises Inc.    Consumer Goods    44.12%
CSTR    Coinstar Inc.    Consumer Goods    44.06%
PVD    Administradora de Fondos de Pensiones Provida SA    Financial    44.00%
SSYS    Stratasys Inc.    Technology    43.91%
SJT    San Juan Basin Royalty Trust    Financial    43.89%
HCKT    The Hackett Group, Inc.    Services    43.88%
GIII    G-III Apparel Group, Ltd.    Consumer Goods    43.79%
SAPE    Sapient Corp.    Technology    43.77%
SVVS    SAVVIS Inc.    Technology    43.77%
ALV    Autoliv, Inc.    Consumer Goods    43.76%
CWEI    Clayton Williams Energy Inc.    Basic Materials    43.76%
TTF    Thai Fund Inc.    Financial    43.67%
ARG    Airgas Inc.    Services    43.66%
PMI    PMI Group Inc.    Financial    43.65%
CXO    Concho Resources, Inc.    Basic Materials    43.63%
INFA    Informatica Corporation    Technology    43.62%
XTEX    Crosstex Energy LP    Basic Materials    43.60%
WCC    WESCO International Inc.    Services    43.58%
OVTI    OmniVision Technologies Inc.    Technology    43.53%
MCGC    MCG Capital Corporation    Financial    43.48%
MPEL    Melco Crown Entertainment Ltd.    Services    43.45%
BIN    IESI-BFC Ltd.    Industrial Goods    43.43%
BJGP    BMP Sunstone Corporation    Healthcare    43.41%
VGR    Vector Group Ltd.    Consumer Goods    43.39%
ADAM    ADAM Inc.    Technology    43.33%
CITZ    CFS Bancorp Inc.    Financial    43.30%
SHOO    Steven Madden, Ltd.    Consumer Goods    43.18%
THOR    Thoratec Corp.    Healthcare    43.09%
HAS    Hasbro Inc.    Consumer Goods    43.04%
PCM    PCM Fund Inc.    Financial    43.01%
STRC    SRI Surgical Express Inc.    Healthcare    43.00%
CACC    Credit Acceptance Corp.    Financial    42.97%
CIT    CIT Group, Inc.    Financial    42.96%
ARTW    Art's-Way Manufacturing Co. Inc.    Industrial Goods    42.92%
PVG    Penn Virginia GP Holdings LP    Basic Materials    42.91%
TGEN    Targeted Genetics Corp.    Healthcare    42.86%
ASYS    Amtech Systems Inc.    Technology    42.82%
AKO-A    Embotelladora Andina S.A.    Consumer Goods    42.77%
AAWW    Atlas Air Worldwide Holdings Inc.    Services    42.77%
VIST    VIST Financial Corp    Financial    42.72%
AXAS    Abraxas Petroleum Corp.    Basic Materials    42.71%
ALK    Alaska Air Group, Inc.    Services    42.65%
SVN    7 Days Group Holdings Limited    Services    42.63%
SOLR    GT Solar International, Inc.    Technology    42.63%
BBGI    Beasley Broadcast Group Inc.    Services    42.58%
BEZ    Baldor Electric Co.    Industrial Goods    42.55%
WYN    Wyndham Worldwide Corporation    Services    42.35%
IIJI    Internet Initiative Japan Inc.    Technology    42.26%
GSM    Globe Specialty Metals, Inc.    Basic Materials    42.23%
HXL    Hexcel Corp.    Industrial Goods    42.14%
ABCO    Advisory Board Co.    Services    42.09%
AMPH    American Physicians Service Group Inc.    Financial    42.07%
VHI    Valhi, Inc.    Basic Materials    42.06%
DMC    Document Security Systems, Inc.    Services    42.04%
ARLP    Alliance Resource Partners LP    Basic Materials    41.95%
RENT    Rentrak Corporation    Services    41.94%
AIV    Apartment Investment & Management Co.    Financial    41.85%
AAME    Atlantic American Corp.    Financial    41.84%
MDMD    MediaMind Technologies Inc.    Services    41.82%
CIB    Bancolombia S.A.    Financial    41.76%
DECK    Deckers Outdoor Corp.    Consumer Goods    41.70%
ANN    AnnTaylor Stores Corp.    Services    41.64%
WRES    Warren Resources Inc.    Basic Materials    41.63%
ENDP    Endo Pharmaceuticals Holdings Inc.    Healthcare    41.57%
CBIN    Community Bank Shares of Indiana Inc.    Financial    41.49%
IGOI    iGo, Inc.    Technology    41.46%
SBH    Sally Beauty Holdings Inc.    Services    41.44%
TSEM    Tower Semiconductor Ltd.    Technology    41.24%
IOSP    Innospec Inc.    Basic Materials    41.13%
TCAP    Triangle Capital Corporation    Financial    41.06%
LRN    K12, Inc.    Services    41.00%
AEL    American Equity Investment Life Holding Co.    Financial    40.99%
DISCA    Discovery Communications, Inc.    Services    40.98%
GTSI    GTSI Corp.    Services    40.93%
MGH    Minco Gold Corporation    Basic Materials    40.91%
IF    Aberdeen Indonesia Fund, Inc.    Financial    40.89%
ALLT    Allot Communications Ltd.    Technology    40.86%
HDB    HDFC Bank Ltd.    Financial    40.84%
LMAT    LeMaitre Vascular, Inc.    Healthcare    40.80%
NDN    99    Services    40.78%
LSTZA    Liberty Starz Group    Services    40.76%
NCT    Newcastle Investment Corp.    Financial    40.67%
SFLY    Shutterfly, Inc.    Services    40.60%
PBT    Permian Basin Royalty Trust    Financial    40.57%
LDL    Lydall Inc.    Basic Materials    40.50%
CIEN    CIENA Corp.    Technology    40.50%
HBNC    Horizon Bancorp.    Financial    40.48%
FTNT    Fortinet Inc.    Technology    40.41%
LTD    Limited Brands, Inc.    Services    40.33%
AUDC    AudioCodes Ltd.    Technology    40.32%
NTAP    NetApp, Inc.    Technology    40.28%
TYD    Direxion Daily 10 Yr Trsy Bull 3X Shares    Financial    40.23%
SPEC    Spectrum Control Inc.    Technology    40.23%
CTSH    Cognizant Technology Solutions Corp.    Technology    40.06%
ALSE    Alseres Pharmaceuticals, Inc.    Healthcare    40.00%
WES    Western Gas Partners Lp    Basic Materials    39.85%
JASO    JA Solar Holdings Co., Ltd.    Technology    39.82%
SONO    SonoSite Inc.    Healthcare    39.65%
IRS    IRSA Investments and Representations Inc.    Financial    39.60%
ATRC    AtriCure, Inc.    Healthcare    39.57%
NG    NovaGold Resources Inc.    Basic Materials    39.48%
NNI    Nelnet Inc.    Financial    39.44%
FRME    First Merchants Corp.    Financial    39.36%
WSBC    WesBanco Inc.    Financial    39.27%
ORI    Old Republic International Corp.    Financial    39.25%
AREX    Approach Resources, Inc.    Basic Materials    39.25%
GRAN    Bank of Granite Corporation    Financial    39.22%
SWKS    Skyworks Solutions Inc.    Technology    39.18%
MELI    Mercadolibre, Inc.    Services    39.16%
LF    LeapFrog Enterprises Inc.    Consumer Goods    39.13%
ROLL    RBC Bearings Inc.    Industrial Goods    39.09%
MOCO    MOCON Inc.    Technology    39.09%
VOLC    Volcano Corporation    Healthcare    38.95%
AGQ    ProShares Ultra Silver    Financial    38.93%
AIT    Applied Industrial Technologies, Inc.    Services    38.90%
CRME    Cardiome Pharma Corp.    Healthcare    38.88%
GLG    GLG Partners, Inc.    Financial    38.82%
AIZ    Assurant Inc.    Financial    38.70%
BSI    Alon Holdings Blue Square - Israel Ltd    Services    38.58%
TXCC    TranSwitch Corp.    Technology    38.57%
ISIG    Insignia Systems Inc.    Services    38.49%
ARQL    ArQule Inc.    Healthcare    38.48%
MCCC    Mediacom Communications Corp.    Services    38.48%
LBTYA    Liberty Global Inc.    Services    38.47%
MEDW    Mediware Information Systems Inc.    Technology    38.42%
NMRX    Numerex Corp.    Technology    38.37%
CWBS    Commonwealth Bankshares Inc.    Financial    38.24%
IPXL    Impax Laboratories Inc.    Healthcare    38.21%
CTCM    CTC Media, Inc    Services    38.18%
XJT    ExpressJet Holdings Inc.    Services    38.17%
PXD    Pioneer Natural Resources Co.    Basic Materials    38.08%
ACOR    Acorda Therapeutics, Inc.    Healthcare    38.06%
EBS    Emergent BioSolutions, Inc.    Healthcare    38.04%
HS    HealthSpring Inc.    Healthcare    37.82%
JLL    Jones Lang Lasalle Inc.    Financial    37.77%
FORTY    Formula Systems (1985) Ltd.    Technology    37.67%
NEOG    Neogen Corp.    Healthcare    37.65%
ICON    Iconix Brand Group, Inc.    Consumer Goods    37.65%
DD    EI DuPont de Nemours & Co.    Basic Materials    37.64%
CAL    Continental Airlines, Inc.    Services    37.61%
CMKG    mktg, inc.    Services    37.50%
CSE    CapitalSource Inc.    Financial    37.47%
CZZ    Cosan Ltd.    Consumer Goods    37.46%
ORLY    O'Reilly Automotive Inc.    Services    37.43%
WLDN    Willdan Group, Inc.    Services    37.39%
THD    iShares MSCI Thailand Invest Mkt Index    Financial    37.30%
AZO    AutoZone Inc.    Services    37.29%
ROAC    Rock of Ages Corp.    Services    37.29%
ESL    Esterline Technologies Corp.    Industrial Goods    37.26%
HNR    Harvest Natural Resources Inc.    Basic Materials    37.24%
ACAP    American Physicians Capital, Inc.    Financial    37.23%
MMUS    MakeMusic Inc.    Technology    37.14%
COBR    Cobra Electronics Corp.    Consumer Goods    37.13%
STON    Stonemor Partners LP    Services    37.06%
HSY    Hershey Co.    Consumer Goods    36.95%
RQI    Terra Med Alliance    Financial    36.95%
MICC    Millicom International Cellular SA    Technology    36.75%
ESS    Essex Property Trust Inc.    Financial    36.72%
FMCN    Focus Media Holding Ltd.    Services    36.72%
CTEL    City Telecom HK Ltd.    Technology    36.72%
CAT    Caterpillar Inc.    Industrial Goods    36.70%
O    Realty Income Corp.    Financial    36.70%
EW    Edwards Lifesciences Corp.    Healthcare    36.69%
BKRS    Bakers Footwear Group Inc.    Consumer Goods    36.62%
LAB    LaBranche & Co. Inc.    Financial    36.62%
VRUS    Pharmasset, Inc.    Healthcare    36.62%
IPHS    Innophos Holdings Inc    Basic Materials    36.59%
ARCI    Appliance Recycling Centers of America Inc.    Consumer Goods    36.52%
BSET    Bassett Furniture Industries Inc.    Consumer Goods    36.49%
CBG    CB Richard Ellis Group, Inc.    Financial    36.48%
RDC    Rowan Companies Inc.    Basic Materials    36.44%
MNRK    Monarch Financial Holdings, Inc.    Financial    36.42%
SHMR    Shamir Optical Industry, Ltd.    Healthcare    36.40%
RNP    Cohen & Steers REIT & Preferred Income Fund Inc.    Financial    36.40%
NEM    Newmont Mining Corp.    Basic Materials    36.39%
ACSEF    ACS Motion Control Ltd    Industrial Goods    36.36%
HIFS    Hingham Institution for Savings    Financial    36.36%
DE    Deere & Company    Industrial Goods    36.34%
POT    Potash Corp. of Saskatchewan, Inc.    Basic Materials    36.34%
CTCT    Constant Contact, Inc.    Services    36.31%
JJT    iPath DJ-UBS Tin TR Sub-Idx ETN    Financial    36.25%
GMCR    Green Mountain Coffee Roasters Inc.    Consumer Goods    36.23%
MNRO    Monro Muffler Brake Inc.    Services    36.17%
CZNC    Citizens & Northern Corp.    Financial    36.16%
TU    TELUS Corporation    Technology    36.10%
HEP    Holly Energy Partners L.P    Basic Materials    36.10%
TTC    Toro Co.    Industrial Goods    36.08%
MTB    M&T Bank Corp.    Financial    36.07%
ZIGO    Zygo Corp.    Technology    35.96%
SFI    iStar Financial Inc.    Financial    35.94%
VALV    Shengkai Innovations, Inc.    Technology    35.92%
UMH    UMH Properties Inc.    Financial    35.91%
BFS    Saul Centers Inc.    Financial    35.88%
TLAB    Tellabs Inc.    Technology    35.88%
AEC    Associated Estates Realty Corp.    Financial    35.86%
CASY    Casey's General Stores Inc.    Services    35.81%
CKP    Checkpoint Systems Inc.    Services    35.80%
SENO    SenoRx, Inc.    Healthcare    35.80%
WFMI    Whole Foods Market, Inc.    Services    35.80%
RP    RealPage, Inc.    Technology    35.67%
AVB    Avalonbay Communities Inc.    Financial    35.64%
WLL    Whiting Petroleum Corp.    Basic Materials    35.59%
GOOD    Gladstone Commercial Corp.    Financial    35.58%
GNI    Great Northern Iron Ore Properties    Basic Materials    35.57%
UDR    UDR, Inc.    Financial    35.38%
REXI    Resource America Inc.    Financial    35.34%
AFOPD    Alliance Fiber Optic Products Inc.    Technology    35.33%
TRMB    Trimble Navigation Limited    Technology    35.28%
URE    ProShares Ultra Real Estate    Financial    35.22%
LIHR    Lihir Gold Limited    Basic Materials    35.20%
RDY    Dr. Reddy's Laboratories Ltd.    Healthcare    35.18%
CATM    Cardtronics Inc.    Services    35.17%
KOG    Kodiak Oil & Gas Corp.    Basic Materials    35.14%
PTV    Pactiv Corp.    Consumer Goods    35.13%
JOYG    Joy Global, Inc.    Industrial Goods    35.10%
SPEX    Spherix Inc.    Healthcare    35.09%
LUB    Luby's Inc.    Services    35.05%
VASC    Vascular Solutions Inc.    Healthcare    35.04%
NSIT    Insight Enterprises Inc.    Technology    35.03%
COBK    Colonial Financial Services, Inc.    Financial    34.99%
EXBD    Corporate Executive Board Co.    Services    34.97%
YUM    Yum! Brands, Inc.    Services    34.96%
AOS    AO Smith Corp.    Industrial Goods    34.94%
RIC    Richmont Mines Inc.    Basic Materials    34.94%
SNBC    Sun Bancorp Inc.    Financial    34.93%
SUN    Sunoco Inc.    Basic Materials    34.91%
NTCT    NetScout Systems Inc.    Technology    34.75%
FXEN    FX Energy Inc.    Basic Materials    34.74%
DGP    PowerShares DB Gold Double Long ETN    Financial    34.68%
AAPL    Apple Inc.    Technology    34.66%
WBMD    WebMD Health Corp.    Technology    34.63%
IDX    Market Vectors Indonesia Index ETF    Financial    34.55%
SABA    Saba Software Inc.    Technology    34.54%
RF    Regions Financial Corp.    Financial    34.54%
AXN    Aoxing Pharmaceutical Company, Inc.    Healthcare    34.50%
ROC    Rockwood Holdings Inc.    Basic Materials    34.42%
SSW    Seaspan Corp.    Services    34.37%
UPV    ProShares Ultra MSCI Europe    Financial    34.34%
CPO    Corn Products International Inc.    Consumer Goods    34.29%
PFO    Flaherty & Crumrine Preferred Income Opportunity Fund Incorporated    Financial    34.27%
SBR    Sabine Royalty Trust    Financial    34.23%
STMP Inc.    Services    34.22%
OME    Omega Protein Corp.    Consumer Goods    34.17%
INFN    Infinera Corp.    Technology    34.16%
RDK    Ruddick Corp.    Services    34.16%
VIFL    Food Technology Service Inc.    Services    34.10%
CBRL    Cracker Barrel Old Country Store, Inc.    Services    34.10%
VCLK    ValueClick, Inc.    Services    34.09%
GTN    Gray Television Inc.    Services    34.00%
XTXI    Crosstex Energy Inc.    Basic Materials    33.88%
UNTY    Unity Bancorp Inc.    Financial    33.83%
DGI    DigitalGlobe, Inc.    Industrial Goods    33.80%
PETM    PetSmart, Inc.    Services    33.79%
STRI    STR Holdings, Inc.    Technology    33.61%
SRSL    SRS Labs Inc.    Technology    33.56%
HALO    Halozyme Therapeutics, Inc.    Healthcare    33.56%
LMNR    Limoneira Company    Consumer Goods    33.49%
BEAV    BE Aerospace Inc.    Industrial Goods    33.36%
CYBI    Cybex International Inc.    Consumer Goods    33.33%
JAKK    JAKKS Pacific, Inc.    Consumer Goods    33.33%
WHX    Whiting USA Trust I    Basic Materials    33.31%
EGO    Eldorado Gold Corp.    Basic Materials    33.31%
HF    HFF Inc.    Financial    33.28%
ARM    ArvinMeritor Inc.    Consumer Goods    33.27%
BAL    iPath DJ-UBS Cotton TR Sub-Idx ETN    Financial    33.27%
COHR    Coherent Inc.    Technology    33.23%
EPR    Entertainment Properties Trust    Financial    33.20%
ICO    International Coal Group, Inc.    Basic Materials    33.16%
ACET    Aceto Corp.    Basic Materials    33.14%
BRE    BRE Properties Inc.    Financial    33.12%
TLB    The Talbots Inc.    Services    33.11%
BJ    BJ's Wholesale Club Inc.    Services    33.05%
AHD    Atlas Pipeline Holdings LP    Basic Materials    33.04%
IDIX    Idenix Pharmaceuticals Inc.    Healthcare    33.02%
JRS    Nuveen Real Estate Income Fund    Financial    32.98%
PMD    Psychemedics Corp.    Healthcare    32.95%
BXP    Boston Properties Inc.    Financial    32.95%
NOG    Northern Oil and Gas, Inc.    Basic Materials    32.94%
DEP    Duncan Energy Partners LP    Basic Materials    32.92%
CLW    Clearwater Paper Corporation    Consumer Goods    32.85%
PPBI    Pacific Premier Bancorp Inc.    Financial    32.84%
GDXJ    Market Vectors Junior Gold Miners ETF    Financial    32.83%
MAR    Marriott International, Inc.    Services    32.82%
GKNT    Geeknet, Inc.    Technology    32.77%
CBOU    Caribou Coffee Company, Inc.    Services    32.77%
WSTG    Wayside Technology Group, Inc.    Services    32.76%
EPL    Energy Partners Ltd.    Basic Materials    32.75%
MTR    Mesa Royalty Trust    Financial    32.75%
PEBO    Peoples Bancorp Inc.    Financial    32.74%
JMBA    Jamba, Inc.    Consumer Goods    32.74%
UGL    ProShares Ultra Gold    Financial    32.68%
TDSC    3D Systems Corp.    Technology    32.65%
SMBC    Southern Missouri Bancorp, Inc.    Financial    32.64%
ALSK    Alaska Communications Systems Group Inc.    Technology    32.63%
FST    Forest Oil Corp.    Basic Materials    32.63%
PHK    PIMCO High Income Fund    Financial    32.59%
ECH    iShares MSCI Chile Investable Mkt Idx    Financial    32.58%
ISR    IsoRay, Inc.    Healthcare    32.57%
CHA    China Telecom Corp. Ltd.    Technology    32.53%
FL    Foot Locker, Inc.    Services    32.47%
BNX, Inc    Technology    32.46%
CLRT    Clarient, Inc.    Healthcare    32.45%
AER    AerCap Holdings N.V.    Services    32.45%
CLF    Cliffs Natural Resources Inc.    Basic Materials    32.44%
PL    Protective Life Corp.    Financial    32.43%
CUR    Neuralstem Inc.    Healthcare    32.40%
GSIT    GSI Technology Inc.    Technology    32.37%
PFD    Flaherty & Crumrine Preferred Income Fund Inc.    Financial    32.36%
PSE    Pioneer Southwest Energy Partners L.P.    Basic Materials    32.34%
SKS    Saks Incorporated    Services    32.32%
IPG    Interpublic Group of Companies, Inc.    Services    32.25%
TQNT    TriQuint Semiconductor, Inc.    Technology    32.21%
OSHC    Ocean Shore Holding Co.    Financial    32.16%
M    Macy's, Inc.    Services    32.15%
TLP    Transmontaigne Partners L.P.    Basic Materials    32.11%
TCO    Taubman Centers Inc.    Financial    32.11%
CODI    Compass Diversified Holdings    Financial    32.04%
BNCN    BNC Bancorp    Financial    32.04%
USNA    USANA Health Sciences Inc.    Healthcare    32.01%
AAII    Alabama Aircraft Industries, Inc    Industrial Goods    32.00%
JAZZ    Jazz Pharmaceuticals, Inc.    Healthcare    31.98%
TLF    Tandy Leather Factory, Inc.    Consumer Goods    31.85%
AZC    Augusta Resource Corp.    Basic Materials    31.82%
EPM    Evolution Petroleum Corp.    Basic Materials    31.81%
BPO    Brookfield Properties Corporation    Financial    31.80%
LFUS    Littelfuse Inc.    Industrial Goods    31.79%
LSE    CapLease, Inc.    Financial    31.78%
GTF    Cytomedix Inc.    Services    31.71%
SHZ    China Shen Zhou Mining & Resources, Inc.    Basic Materials    31.70%
OPK    Opko Health, Inc.    Healthcare    31.69%
ASPS    Altisource Portfolio Solutions S.A.    Financial    31.63%
NEWT    Newtek Business Services Inc.    Financial    31.63%
OTIV    On Track Innovations Ltd.    Technology    31.62%
FBMS    First Bancshares Inc.    Financial    31.60%
H    Hyatt Hotels Corporation    Services    31.60%
CRDN    Ceradyne Inc.    Industrial Goods    31.58%
PGP    PIMCO Global Stocksplus & Income Fund    Financial    31.58%
ARCC    Ares Capital Corporation    Financial    31.55%
TDG    TransDigm Group Incorporated    Industrial Goods    31.54%
CAE    CAE Inc.    Industrial Goods    31.53%
LBAI    Lakeland Bancorp Inc.    Financial    31.53%
GWR    Genesee & Wyoming Inc.    Services    31.53%
PNRA    Panera Bread Co.    Services    31.52%
ROK    Rockwell Automation Inc.    Industrial Goods    31.51%
MI    Marshall & Ilsley Corporation    Financial    31.49%
ETN    Eaton Corporation    Industrial Goods    31.45%
THRX    Theravance Inc.    Healthcare    31.45%
FNB    F.N.B. Corporation    Financial    31.43%
SGK    Schawk Inc.    Services    31.41%
VRSN    VeriSign Inc.    Technology    31.39%
PFED    Park Bancorp Inc.    Financial    31.38%
VMED    Virgin Media, Inc.    Services    31.34%
RCRC    RC2 Corp.    Consumer Goods    31.32%
UBT    ProShares Ultra 20+ Year Treasury    Financial    31.31%
ANNB    Annapolis Bancorp Inc.    Financial    31.29%
DDD    SCOLR Pharma Inc.    Healthcare    31.25%
COSI    Cosi Inc.    Services    31.25%
STBC    State Bancorp Inc.    Financial    31.19%
FLC    Flaherty & Crumrine/Claymore Total Return Fund, Inc.    Financial    31.14%
MCRS    MICROS Systems, Inc.    Technology    31.13%
DLA    Delta Apparel Inc.    Consumer Goods    31.12%
QSFT    Quest Software Inc.    Technology    31.09%
DEPO    DepoMed Inc.    Healthcare    31.04%
HMIN    Home Inns & Hotels Management Inc.    Services    31.03%
PLUS    ePlus Inc.    Technology    31.01%
MCRI    Monarch Casino & Resort Inc.    Services    30.99%
ERJ    EMBRAER - Empresa Brasileira de Aeron    Industrial Goods    30.98%
UXJ    ProShares Ultra MSCI Pacific ex-Japan    Financial    30.95%
EXPD    Expeditors International of Washington Inc.    Services    30.94%
OCNW    Occam Networks Inc.    Technology    30.93%
MDZ    MDS, Inc.    Healthcare    30.85%
FUR    Winthrop Realty Trust    Financial    30.78%
FPP    Fieldpoint Petroleum Corp.    Basic Materials    30.77%
ZIOP    ZIOPHARM Oncology, Inc.    Healthcare    30.74%
UNFI    United Natural Foods, Inc.    Services    30.74%
TOWN    Towne Bank    Financial    30.74%
LGCY    Legacy Reserves Lp    Basic Materials    30.70%
MBRG    Middleburg Financial Corporation    Financial    30.69%
BTE    Baytex Energy Trust    Basic Materials    30.69%
SMG    The Scotts Miracle-Gro Co.    Basic Materials    30.56%
MVG    Mag Silver Corp.    Basic Materials    30.55%
PHH    PHH Corporation    Financial    30.54%
PH    Parker Hannifin Corporation    Industrial Goods    30.54%
TUNE    Microtune Inc.    Technology    30.53%
BPT    BP Prudhoe Bay Royalty Trust    Basic Materials    30.51%
AZZ    AZZ incorporated    Industrial Goods    30.48%
IBN    ICICI Bank Ltd.    Financial    30.48%
NRO    Neuberger Berman Real Estate Securities Income Fund Inc.    Financial    30.45%
IIN    Intricon Corp.    Industrial Goods    30.43%
EBIX    Ebix Inc.    Technology    30.41%
BSQR    BSQUARE Corp.    Technology    30.40%
TWC    Time Warner Cable Inc.    Services    30.35%
PRXI    Premier Exhibitions Inc.    Services    30.34%
SVR    Syniverse Holdings Inc.    Technology    30.32%
DLX    Deluxe Corp.    Services    30.31%
NMM    Navios Maritime Partners L.P.    Services    30.30%
MFI    MicroFinancial Inc.    Financial    30.24%
ADVS    Advent Software, Inc.    Technology    30.15%
ADSK    Autodesk, Inc.    Technology    30.15%
SLS    SLS International Inc.    Financial    30.14%
USU    USEC Inc.    Basic Materials    30.13%
SVLF    Silverleaf Resorts Inc.    Financial    30.12%
PCAR    PACCAR Inc.    Consumer Goods    30.03%
BCPC    Balchem Corp.    Consumer Goods    29.99%
CORN    Teucrium Corn Fund ETV    Financial    29.98%
EWM    iShares MSCI Malaysia Index    Financial    29.94%
STL    Sterling Bancorp    Financial    29.87%
MNTX    Manitex International, Inc.    Industrial Goods    29.74%
ALDA    Aldila Inc.    Consumer Goods    29.68%
EDAC    Edac Technologies Corp.    Industrial Goods    29.68%
STR    Questar Corporation    Basic Materials    29.67%
ALG    Alamo Group Inc.    Industrial Goods    29.65%
VNO    Vornado Realty Trust    Financial    29.62%
MOVE    Move, Inc.    Services    29.52%
DDS    Dillard's Inc.    Services    29.47%
TQQQ    ProShares UltraPro QQQ    Financial    29.44%
HEI    HEICO Corp.    Industrial Goods    29.44%
VRNT    Verint Systems Inc.    Technology    29.40%
PRCP    Perceptron, Inc.    Technology    29.39%
PVTB    Privatebancorp Inc.    Financial    29.39%
XEC    Cimarex Energy Co.    Basic Materials    29.38%
GOLF    Golfsmith International Holdings Inc.    Services    29.33%
DHF    Dreyfus High Yield Strategies Fund    Financial    29.31%
PCS    MetroPCS Communications, Inc.    Technology    29.23%
SQM    Chemical & Mining Co. of Chile Inc.    Basic Materials    29.21%
AHC    A. H. Belo Corporation    Services    29.17%
SLG    SL Green Realty Corp.    Financial    29.15%
MJN    Mead Johnson Nutrition Company    Consumer Goods    29.13%
TCLP    TC Pipelines LP    Basic Materials    29.12%
OMEX    Odyssey Marine Exploration Inc.    Services    29.08%
TSN    Tyson Foods Inc.    Consumer Goods    29.06%
CGNX    Cognex Corp.    Technology    29.06%
CIMT    Cimatron Ltd.    Technology    29.03%
USAP    Universal Stainless & Alloy Products Inc.    Basic Materials    29.00%
DX    Dynex Capital Inc.    Financial    29.00%
ULTR    Ultrapetrol (Bahamas) Ltd.    Services    28.99%
FPIC    FPIC Insurance Group Inc.    Financial    28.97%
EIDO    iShares MSCI Indonesia Invstble Mkt Idx    Financial    28.92%
NSH    NuStar GP Holdings, LLC    Basic Materials    28.90%
JHP    Nuveen Quality Preferred Income Fund 3    Financial    28.90%
FDS    FactSet Research Systems Inc.    Technology    28.89%
SIFI    SI Financial Group Inc.    Financial    28.85%
UNP    Union Pacific Corporation    Services    28.83%
MMYT    MakeMyTrip Limited    Services    28.81%
MAM    Maine & Maritimes Corporation    Utilities    28.79%
CATO    Cato Corp.    Services    28.79%
AVII    AVI Biopharma, Inc.    Healthcare    28.77%
CIS    Camelot Information Systems Inc.    Technology    28.72%
SNSTA    Sonesta International Hotels Corp.    Services    28.71%
VAR    Varian Medical Systems Inc.    Healthcare    28.71%
IHC    Independence Holding Co.    Financial    28.70%
VSH    Vishay Intertechnology Inc.    Technology    28.65%
PMIC    Penn Millers Holding Corporation    Financial    28.64%
PTY    PIMCO Corporate Opportunity Fund    Financial    28.62%
MTL    Mechel OAO    Basic Materials    28.59%
CDNS    Cadence Design Systems Inc.    Technology    28.55%
RFI    Cohen & Steers Total Return Realty Fund Inc.    Financial    28.51%
CH    Aberdeen Chile Fund, Inc.    Financial    28.49%
GLOI    GlobalOptions Group, Inc.    Services    28.48%
MRTI    Maxus Realty Trust Inc.    Financial    28.46%
MAC    Macerich Co.    Financial    28.45%
QEPC    QEP Co. Inc.    Industrial Goods    28.42%
GILT    Gilat Satellite Networks Ltd.    Technology    28.42%
JHI    John Hancock Investors Trust    Financial    28.41%
UG    United-Guardian Inc.    Consumer Goods    28.39%
CYD    China Yuchai International Limited    Industrial Goods    28.34%
FPO    First Potomac Realty Trust    Financial    28.31%
OLBK    Old Line Bancshares Inc.    Financial    28.26%
DRI    Darden Restaurants, Inc.    Services    28.23%
EPD    Enterprise Products Partners LP    Basic Materials    28.18%
IACI    IAC/InterActiveCorp.    Services    28.17%
KSWS    K-Swiss Inc.    Consumer Goods    28.17%
UGP    Ultrapar Holdings Inc.    Basic Materials    28.15%
EPB    El Paso Pipeline Partners, L.P.    Basic Materials    28.14%
IMAX    IMAX Corporation    Consumer Goods    28.10%
TGP    Teekay LNG Partners LP.    Services    28.08%
FCH    FelCor Lodging Trust Inc.    Financial    28.06%
ETE    Energy Transfer Equity, L.P.    Basic Materials    28.05%
FGP    Ferrellgas Partners LP    Services    28.05%
SKT    Tanger Factory Outlet Centers Inc.    Financial    28.01%
JTP    Nuveen Quality Preferred Income Fund    Financial    27.99%
GEL    Genesis Energy LP    Basic Materials    27.95%
FSFG    First Savings Financial Group, Inc.    Financial    27.94%
CVGW    Calavo Growers Inc.    Consumer Goods    27.94%
ACF    AmeriCredit Corp.    Financial    27.94%
JO    iPath DJ-UBS Coffee TR Sub-Idx ETN    Financial    27.84%
ETH    Ethan Allen Interiors Inc.    Consumer Goods    27.84%
BGCP    BGC Partners, Inc.    Financial    27.82%
MO    Altria Group Inc.    Consumer Goods    27.80%
SJI    South Jersey Industries, Inc.    Utilities    27.79%
FFC    Flaherty & Crumrine/Claymore Preferred Securities Income Fund Inc.    Financial    27.78%
CGI    Celadon Group Inc.    Services    27.74%
HGT    Hugoton Royalty Trust    Basic Materials    27.72%
CORT    Corcept Therapeutics Inc.    Healthcare    27.70%
ACTL    Actel Corporation    Technology    27.69%
BGS    B&G Foods Inc.    Consumer Goods    27.67%
KBR    KBR, Inc.    Services    27.61%
WRLD    World Acceptance Corp.    Financial    27.60%
STI    SunTrust Banks, Inc.    Financial    27.54%
SRCL    Stericycle, Inc.    Industrial Goods    27.53%
GOLD    Randgold Resources Ltd.    Basic Materials    27.52%
PLX    Protalix BioTherapeutics, Inc.    Healthcare    27.49%
ABCB    Ameris Bancorp    Financial    27.46%
BKC    Burger King Holdings Inc.    Services    27.45%
ROST    Ross Stores Inc.    Services    27.40%
EGHT    8x8 Inc.    Technology    27.33%
LXU    LSB Industries Inc.    Consumer Goods    27.30%
PNK    Pinnacle Entertainment Inc.    Services    27.28%
TRXI    TRX, Inc.    Technology    27.27%
AEM    Agnico-Eagle Mines Ltd.    Basic Materials    27.25%
TNC    Tennant Co.    Industrial Goods    27.20%
DCA    DCA Total Return Fund    Financial    27.16%
NEN    New England Realty Associates LP    Financial    27.14%
FAST    Fastenal Co.    Industrial Goods    27.14%
UBR    ProShares Ultra MSCI Brazil    Financial    27.10%
OFG    Oriental Financial Group Inc.    Financial    27.09%
PSA    Public Storage    Financial    27.08%
HWD    Harry Winston Diamond Corporation    Basic Materials    27.02%
BPOP    Popular Inc.    Financial    26.95%
INDL    Direxion Daily India Bull 2X Shares    Financial    26.94%
TXRH    Texas Roadhouse Inc.    Services    26.89%
CR    Crane Co.    Conglomerates    26.85%
SCOR    comScore, Inc.    Services    26.84%
QLTI    QLT Inc.    Healthcare    26.81%
KIM    Kimco Realty Corporation    Financial    26.72%
CYBE    CyberOptics Corp.    Technology    26.68%
AWX    Avalon Holdings Corp.    Industrial Goods    26.67%
FGB    First Trust Specialty Finance a    Financial    26.67%
TMK    Torchmark Corp.    Financial    26.66%
WYY    WidePoint Corp.    Services    26.65%
MWE    MarkWest Energy Partners LP    Basic Materials    26.64%
BAM    Brookfield Asset Management Inc.    Financial    26.64%
CIR    CIRCOR International, Inc.    Industrial Goods    26.58%
ATR    AptarGroup, Inc.    Consumer Goods    26.53%
ODFL    Old Dominion Freight Line Inc.    Services    26.53%
HPI    John Hancock Preferred Income Fund    Financial    26.51%
LGF    Lions Gate Entertainment Corp.    Services    26.51%
MAA    Mid-America Apartment Communities Inc.    Financial    26.47%
BRK-B    Berkshire Hathaway Inc.    Financial    26.43%
ULTI    Ultimate Software Group, Inc.    Technology    26.42%
UBSI    United Bankshares Inc.    Financial    26.41%
PPG    PPG Industries Inc.    Conglomerates    26.41%
GDI    Gardner Denver Inc.    Industrial Goods    26.40%
CAPS    Capstone Therapeutics Corp.    Healthcare    26.39%
POWR    PowerSecure International, Inc.    Services    26.35%
EPU    iShares MSCI All Peru Capped Index    Financial    26.34%
ALTR    Altera Corp.    Technology    26.33%
AIS    Antares Pharma Inc.    Healthcare    26.32%
EDD    Morgan Stanley Emerging Markets    Financial    26.31%
WMAR    West Marine Inc.    Services    26.30%
ERES    eResearchTechnology, Inc.    Healthcare    26.29%
MXE    Mexico Equity & Income Fund Inc.    Financial    26.27%
NRCI    National Research Corp.    Services    26.24%
PMF    PIMCO Municipal Income Fund    Financial    26.21%
AXK    Accelr8 Technology Corp.    Healthcare    26.19%
DLR    Digital Realty Trust Inc.    Financial    26.19%
UBA    Urstadt Biddle Properties Inc.    Financial    26.18%
MEG    Media General, Inc.    Services    26.15%
PXQ    PowerShares Dynamic Networking    Financial    26.13%
HCP    HCP, Inc.    Financial    26.12%
EMCF    Emclaire Financial Corp.    Financial    26.11%
TKF    Turkish Investment Fund Inc.    Financial    26.10%
FORR    Forrester Research Inc.    Services    26.09%
DNBF    DNB Financial Corp.    Financial    26.07%
NNN    National Retail Properties, Inc.    Financial    26.07%
RCL    Royal Caribbean Cruises Ltd.    Services    26.03%
FITB    Fifth Third Bancorp    Financial    26.03%
TEG    Integrys Energy Group, Inc.    Utilities    26.00%
NTY    NBTY, Inc.    Healthcare    25.95%
WMCO    Williams Controls Inc.    Consumer Goods    25.95%
AMAP    AutoNavi Holdings Limited    Technology    25.93%
CRS    Carpenter Technology Corp.    Basic Materials    25.92%
PLT    Plantronics, Inc.    Technology    25.92%
OSIS    OSI Systems, Inc.    Technology    25.92%
DMLP    Dorchester Minerals LP    Financial    25.90%
KRG    Kite Realty Group Trust    Financial    25.90%
GOF    Claymore/Guggenheim Strategic O    Financial    25.88%
CHEV    Cheviot Financial Corp.    Financial    25.88%
DLB    Dolby Laboratories Inc.    Technology    25.87%
BRK-A    Berkshire Hathaway Inc.    Financial    25.87%
FWV    First West Virginia Bancorp Inc.    Financial    25.87%
PTSI    P.A.M. Transportation Services, Inc.    Services    25.85%
REZ    iShares FTSE NAREIT Resid Plus Cp Idx    Financial    25.82%
HPF    John Hancock Preferred Income Fund II    Financial    25.81%
FINL    Finish Line Inc.    Services    25.80%
EMR    Emerson Electric Co.    Industrial Goods    25.76%
OB    OneBeacon Insurance Group, Ltd.    Financial    25.72%
EPOL    iShares MSCI Poland Investable Mkt Index    Financial    25.72%
DOV    Dover Corp.    Industrial Goods    25.72%
NCR    NCR Corp.    Technology    25.70%
ZROZ    PIMCO 25+ Yr Zero Cpn U.S. Trsy Idx ETF    Financial    25.67%
AT    Atlantic Power Corporation    Utilities    25.65%
STRT    Strattec Security Corp.    Consumer Goods    25.62%
BZ    Boise Inc.    Consumer Goods    25.61%
ARII    American Railcar Industries    Services    25.59%
UMDD    ProShares UltraPro MidCap400    Financial    25.58%
NHI    National Health Investors Inc.    Financial    25.56%
AQQ    American Spectrum Realty Inc.    Financial    25.56%
UAM    Universal American Corp    Healthcare    25.56%
JPS    Nuveen Quality Preferred Income Fund 2    Financial    25.55%
BOOT    Lacrosse Footwear Inc.    Consumer Goods    25.52%
ITRN    Ituran Location & Control Ltd.    Services    25.51%
CEO    CNOOC Ltd.    Basic Materials    25.50%
F    Ford Motor Co.    Consumer Goods    25.50%
BORN    China New Borun Corporation    Consumer Goods    25.50%
RIT    LMP Real Estate Income Fund Inc.    Financial    25.50%
IVD    IVAX Diagnostics Inc.    Healthcare    25.49%
BVN    Compania de Minas Buenaventura SA    Basic Materials    25.47%
MCZ    Mad Catz Interactive Inc.    Consumer Goods    25.43%
GWW    W.W. Grainger, Inc.    Services    25.42%
HST    Host Hotels & Resorts Inc.    Financial    25.41%
PDM    Piedmont Office Realty Trust Inc.    Financial    25.39%
KHI    DWS High Income Trust    Financial    25.38%
ALXN    Alexion Pharmaceuticals, Inc.    Healthcare    25.36%
NTSC    National Technical Systems Inc.    Services    25.36%
CBST    Cubist Pharmaceuticals Inc.    Healthcare    25.36%
TLEO    Taleo Corp.    Technology    25.34%
ROP    Roper Industries Inc.    Industrial Goods    25.34%
TEO    Telecom Argentina S A    Technology    25.26%
OPMR    Optimal Group Inc.    Consumer Goods    25.26%
MCRL    Micrel Inc.    Technology    25.25%
RCII    Rent-A-Center Inc.    Services    25.24%
NBTF    NB&T Financial Group Inc.    Financial    25.24%
RUSHB    Rush Enterprises, Inc.    Services    25.21%
TWIN    Twin Disc Inc.    Industrial Goods    25.20%
DPS    Dr Pepper Snapple Group, Inc.    Consumer Goods    25.18%
REED    REEDS, Inc.    Consumer Goods    25.17%
SSBI    Summit State Bank    Financial    25.14%
S    Sprint Nextel Corp.    Technology    25.14%
PKO    Pimco Income Opportunity Fund C    Financial    25.06%
AMP    Ameriprise Financial Inc.    Financial    25.05%
STEL    StellarOne Corporation    Financial    25.03%
SGRP    Spar Group Inc.    Services    25.00%
TGS    Transportadora de Gas Del Sur S.A.    Utilities    25.00%
TISA    Top Image Systems Ltd.    Technology    25.00%
TIK    Tel-Instrument Electronics Corp.    Technology    25.00%
CSHB    Community Shores Bank Corp.    Financial    24.99%
BUCY    Bucyrus International Inc.    Industrial Goods    24.97%
CAB    Cabela's Inc.    Services    24.96%
GBX    Greenbrier Companies    Services    24.95%
JAS    Jo-Ann Stores, Inc.    Services    24.94%
PSW    BlackRock Credit Allocation Income Trust I, Inc.    Financial    24.93%
CVR    Chicago Rivet & Machine Co.    Consumer Goods    24.91%
EML    Eastern Co.    Industrial Goods    24.91%
TSI    TCW Strategic Income Fund, Inc.    Financial    24.88%
KOF    Coca-Cola FEMSA S.A.B de C.V.    Consumer Goods    24.86%
RPT    Ramco-Gershenson Properties Trust    Financial    24.86%
PERF    Perfumania Holdings, Inc.    Services    24.86%
IAAC    International Assets Holding Corporation    Financial    24.83%
BLT    Blount International Inc.    Consumer Goods    24.75%
EL    Estee Lauder Companies Inc.    Consumer Goods    24.73%
UWN    Nevada Gold & Casinos Inc.    Services    24.73%
HPS    John Hancock Preferred Income Fund III    Financial    24.66%
LWSN    Lawson Software, Inc.    Technology    24.66%
CRVL    CorVel Corporation    Financial    24.66%
DVAX    Dynavax Technologies Corporation    Healthcare    24.65%
BOFI    BofI Holding Inc.    Financial    24.60%
EP    El Paso Corp.    Basic Materials    24.59%
DTV    DIRECTV    Services    24.59%
IHG    Intercontinental Hotels Group plc    Services    24.57%
FEIM    Frequency Electronics Inc.    Technology    24.55%
WTBA    West Bancorp., Inc.    Financial    24.54%
COBZ    CoBiz Financial Inc    Financial    24.52%
OKS    ONEOK Partners, L.P.    Basic Materials    24.49%
SLV    iShares Silver Trust    Financial    24.49%
CMA    Comerica Incorporated    Financial    24.48%
UFCS    United Fire & Casualty Company    Financial    24.47%
DOVR    Dover Saddlery, Inc.    Services    24.44%
MIDD    Middleby Corp.    Industrial Goods    24.42%
RHT    Red Hat, Inc.    Technology    24.37%
SIVR    ETFS Physical Silver Shares    Financial    24.36%
GRB    Gerber Scientific Inc.    Industrial Goods    24.36%
MENT    Mentor Graphics Corp.    Technology    24.35%
NUTR    Nutraceutical International Corp.    Healthcare    24.33%
SOA    Solutia Inc.    Basic Materials    24.33%
SA    Seabridge Gold, Inc.    Basic Materials    24.31%
PNNT    PennantPark Investment Corporation    Financial    24.28%
EIHI    Eastern Insurance Holdings, Inc.    Financial    24.26%
NIHD    NII Holdings Inc.    Technology    24.24%
VTR    Ventas Inc.    Financial    24.23%
RCI    Rogers Communications Inc.    Technology    24.20%
DENN    Denny's Corporation    Services    24.20%
HCF    Highland Credit Stategies Fund     Financial    24.20%
XRTX    Xyratex Ltd.    Technology    24.19%
OZRK    Bank of the Ozarks, Inc.    Financial    24.15%
SHW    Sherwin-Williams Co.    Services    24.13%
PMM    Putnam Managed Municipal Income Trust    Financial    24.13%
FC    Franklin Covey Co.    Consumer Goods    24.13%
RTL    iShares FTSE NAREIT Retail Cp Idx    Financial    24.11%
TUR    iShares MSCI Turkey Invest Mkt Index    Financial    24.08%
EDV    Vanguard Extended Dur Trs Idx ETF    Financial    24.05%
WASH    Washington Trust Bancorp Inc.    Financial    24.03%
RMD    ResMed Inc.    Healthcare    24.02%
NTGR    Netgear Inc.    Technology    24.02%
VSAT    ViaSat Inc.    Technology    23.91%
TPX    Tempur Pedic International Inc.    Consumer Goods    23.91%
MCD    McDonald's Corp.    Services    23.91%
KGS    Quicksilver Gas Services LP    Basic Materials    23.90%
MDTH    MedCath Corp.    Healthcare    23.89%
DII    Decorator Industries Inc.    Industrial Goods    23.86%
AFG    American Financial Group Inc.    Financial    23.85%
MUH    BlackRock MuniHoldings Fund II, Inc.    Financial    23.84%
MEOH    Methanex Corp.    Basic Materials    23.81%
HSTM    Healthstream Inc.    Technology    23.80%
IGR    ING Clarion Global Real Estate Income Fund    Financial    23.79%
JFP    Nuveen Tax-Advantaged Floating Rate Fund    Financial    23.76%
DCO    Ducommun Inc.    Industrial Goods    23.74%
SXI    Standex International Corp.    Industrial Goods    23.74%
RAIL    FreightCar America Inc.    Services    23.72%
PDT    John Hancock Patriot Premium Dividend Fund II    Financial    23.72%
DBS    PowerShares DB Silver    Financial    23.70%
PCE    Pacific Office Properties Trust Inc.    Financial    23.68%
SLRC    Solar Capital Ltd.    Financial    23.68%
ALOY    Alloy Inc.    Services    23.65%
DG    Dollar General Corporation    Services    23.63%
CT    Capital Trust, Inc.    Financial    23.62%
DEI    Douglas Emmett Inc    Financial    23.60%
MYN    BlackRock MuniYield New York Insured Fund, Inc.    Financial    23.58%
VNR    Vanguard Natural Resources, LLC    Basic Materials    23.57%
PHF    Pacholder High Yield Fund Inc.    Financial    23.56%
MZF    Managed Duration Investment Grade Municipal Fund    Financial    23.52%
CBT    Cabot Corp.    Basic Materials    23.52%
AGCO    AGCO Corporation    Industrial Goods    23.47%
RIVR    River Valley Bancorp    Financial    23.46%
XPO    Express-1 Expedited Solutions Inc    Services    23.44%
FSRV    FirstService Corp.    Financial    23.43%
CSV    Carriage Services Inc.    Services    23.41%
LABL    Multi-Color Corp.    Services    23.41%
BCE    BCE, Inc.    Technology    23.41%
MOG-A    Moog Inc.    Industrial Goods    23.40%
NICK    Nicholas Financial Inc.    Financial    23.37%
SPG    Simon Property Group Inc.    Financial    23.33%
PCF    Putnam High Income Securities Fund    Financial    23.32%
FEO    First Trust/Aberdeen Emerging Opportunity Fund    Financial    23.32%
CPL    CPFL Energia S.A.    Utilities    23.31%
UCBA    United Community Bancorp    Financial    23.30%
FMY    First Trust/Fidac Mortgage Income Fund    Financial    23.29%
AGNC    American Capital Agency Corp.    Financial    23.27%
SEB    Seaboard Corp.    Consumer Goods    23.23%
FMC    FMC Corp.    Basic Materials    23.23%
ANAD    Anadigics, Inc.    Technology    23.22%
EVOL    Evolving Systems Inc.    Technology    23.21%
PHT    Pioneer High Income Trust    Financial    23.21%
PCK    PIMCO California Municipal Income Fund II    Financial    23.16%
SIL    Global X Silver Miners ETF    Financial    23.13%
MKTX    MarketAxess Holdings Inc.    Financial    23.12%
NAVR    Navarre Corp.    Services    23.12%
UST    ProShares Ultra 7-10 Year Treasury    Financial    23.11%
FRT    Federal Realty Investment Trust    Financial    23.11%
FRM    Furmanite Corporation    Services    23.10%
FHI    First Trust Strategic High Income Fund    Financial    23.08%
GDF    Western Asset Global Partners Income Fund Inc.    Financial    23.04%
DCM    NTT DOCOMO, Inc.    Technology    23.03%
RYN    Rayonier Inc.    Financial    23.03%
HYC    Hypercom Corp.    Consumer Goods    23.03%
ATU    Actuant Corporation    Industrial Goods    22.99%
YMI    YM BioSciences Inc.    Healthcare    22.96%
KGN    Keegan Resources Inc.    Basic Materials    22.94%
ICF    iShares Cohen & Steers Realty Majors    Financial    22.92%
APSG    Applied Signal Technology, Inc.    Technology    22.90%
SAFT    Safety Insurance Group Inc.    Financial    22.88%
USV    UBS E-TRACS CMCI Silver TR ETN    Financial    22.88%
MFV    MFS Special Value Trust    Financial    22.87%
BBSI    Barrett Business Services Inc.    Services    22.87%
WACLY    Wacoal Holdings Corp.    Services    22.86%
AWH    Allied World Assurance Company Holdings Ltd.    Financial    22.85%
MOSY    MoSys, Inc.    Technology    22.84%
DNN    Denison Mines Corp.    Basic Materials    22.83%
TK    Teekay Corporation    Services    22.83%
BMRN    BioMarin Pharmaceutical Inc.    Healthcare    22.75%
DSPG    DSP Group Inc.    Technology    22.74%
FBT    First Trust NYSE Arca Biotech Index    Financial    22.73%
CGX    Consolidated Graphics, Inc.    Services    22.73%
PKT    Procera Networks, Inc.    Technology    22.73%
SVM    Silvercorp Metals Inc.    Basic Materials    22.71%
DDR    Developers Diversified Realty Corp.    Financial    22.69%
CPKI    California Pizza Kitchen Inc.    Services    22.68%
WIN    Windstream Corporation    Technology    22.67%
MMP    Magellan Midstream Partners LP    Basic Materials    22.64%
PNBK    Patriot National Bancorp Inc.    Financial    22.58%
RGS    Regis Corp.    Services    22.57%
XRX    Xerox Corp.    Consumer Goods    22.55%
NHS    Neuberger Berman High Yield Strategies Fund    Financial    22.54%
PCN    PIMCO Corporate Income Fund    Financial    22.54%
DRP    DWS RREEF World Estate Fund Inc    Financial    22.52%
LNT    Alliant Energy Corporation    Utilities    22.49%
HTD    John Hancock Tax Advantaged Dividend Income Fund    Financial    22.45%
RMCF    Rocky Mountain Chocolate Factory Inc.    Consumer Goods    22.45%
CBU    Community Bank System Inc.    Financial    22.44%
BEXP    Brigham Exploration Co.    Basic Materials    22.44%
NBO    Neuberger Berman New York Intermediate Municipal Fund Inc.    Financial    22.43%
CTRP International Ltd.    Services    22.43%
AFSI    AmTrust Financial Services, Inc.    Financial    22.39%
BXC    Bluelinx Holdings Inc.    Services    22.38%
VNQ    Vanguard REIT Index ETF    Financial    22.37%
SNDK    SanDisk Corp.    Technology    22.35%
KNOL    Knology, Inc.    Technology    22.34%
HTR    Helios Total Return Fund, Inc.    Financial    22.34%
RDEN    Elizabeth Arden, Inc.    Consumer Goods    22.31%
PLXT    PLX Technology Inc.    Technology    22.29%
ABMD    Abiomed Inc.    Healthcare    22.22%
AVSR    Avistar Communications Corp.    Services    22.22%
FRI    First Trust S&P REIT Idx    Financial    22.18%
EBSB    Meridian Interstate Bancorp, Inc.    Financial    22.18%
IIF    Morgan Stanley India Investment Fund, Inc.    Financial    22.16%
AIG    American International Group, Inc.    Financial    22.11%
ALB    Albemarle Corp.    Basic Materials    22.11%
SMP    Standard Motor Products Inc.    Consumer Goods    22.10%
SDIX    Strategic Diagnostics Inc.    Healthcare    22.06%
RGNC    Regency Energy Partners LP    Basic Materials    22.03%
HURC    Hurco Companies Inc.    Technology    22.03%
BLW    BlackRock Limited Duration Income Trust    Financial    22.00%
MFSF    Mutualfirst Financial Inc.    Financial    21.99%
PRLS    Peerless Systems Corp.    Services    21.97%
AME    Ametek Inc.    Industrial Goods    21.95%
MLR    Miller Industries Inc.    Consumer Goods    21.94%
JQC    Nuveen Multi-Strategy Income & Growth Fund 2    Financial    21.91%
EVEP    EV Energy Partners LP    Basic Materials    21.88%
MANH    Manhattan Associates, Inc.    Technology    21.88%
CWBC    Community West Bancshares    Financial    21.82%
VSI    Vitamin Shoppe, Inc.    Services    21.81%
HHY    Helios High Yield Fund Inc.    Financial    21.79%
MYF    BlackRock MuniYield Investment Fund    Financial    21.75%
FRN    Claymore/BNY Mellon Frontier Markets    Financial    21.74%
MYD    Blackrock MuniYield Fund, Inc.    Financial    21.72%
PWX    Providence & Worcester Railroad Co.    Services    21.71%
WRE    Washington Real Estate Investment Trust    Financial    21.71%
TG    Tredegar Corp.    Consumer Goods    21.71%
MPX    Marine Products Corp.    Consumer Goods    21.70%
MRTN    Marten Transport Ltd.    Services    21.70%
KNXA    Kenexa Corp.    Technology    21.64%
EIO    Eaton Vance Ohio Municipal Bond Fund    Financial    21.64%
ROME    Rome Bancorp Inc.    Financial    21.63%
HPY    Heartland Payment Systems, Inc.    Services    21.60%
BTI    British American Tobacco plc    Consumer Goods    21.58%
OAS    Oasis Petroleum Inc.    Basic Materials    21.57%
PNQI    PowerShares NASDAQ Internet    Financial    21.56%
AXU    Alexco Resource Corporation    Basic Materials    21.54%
AN    AutoNation Inc.    Services    21.46%
AMJ    JPMorgan Alerian MLP Index ETN    Financial    21.45%
EAT    Brinker International Inc.    Services    21.44%
BTZ    BlackRock Credit Allocation Income Trust IV    Financial    21.44%
ELRC    Electro Rent Corp.    Services    21.43%
MPA    BlackRock Muniyield Pennsylvania Insured Fund    Financial    21.43%
BIOD    Biodel Inc.    Healthcare    21.43%
PFCB    P.F. Chang's China Bistro, Inc.    Services    21.42%
MCI    MassMutual Corporate Investors    Financial    21.40%
WEA    Western Asset Premier Bond Fund    Financial    21.39%
THI    Tim Hortons Inc.    Services    21.38%
GHI    Global High Income Fund, Inc.    Financial    21.37%
COO    The Cooper Companies Inc.    Healthcare    21.36%
PCC    PMC Commercial Trust    Financial    21.36%
PAA    Plains All American Pipeline LP    Basic Materials    21.35%
RWR    SPDR Dow Jones REIT    Financial    21.34%
MRF    American Income Fund Inc.    Financial    21.29%
ACIW    ACI Worldwide, Inc.    Technology    21.28%
RTEC    Rudolph Technologies Inc.    Technology    21.28%
BMR    BioMed Realty Trust Inc.    Financial    21.28%
MUI    BlackRock Muni Intermediate Duration Fund, Inc.    Financial    21.25%
MATK    Martek Biosciences Corp.    Healthcare    21.21%
NCU    Nuveen California Premium Income Municipal Fund    Financial    21.21%
CALD    Callidus Software Inc.    Technology    21.19%
MDH    MHI Hospitality Corp.    Financial    21.18%
UDOW    ProShares UltraPro Dow30    Financial    21.13%
EGX    Engex Inc.    Financial    21.11%
MIC    Macquarie Infrastructure Company LLC    Services    21.09%
AMRC    Ameresco, Inc.    Industrial Goods    21.09%
RDNT    RadNet, Inc.    Healthcare    21.08%
AYI    Acuity Brands, Inc.    Consumer Goods    21.07%
TRBN    Trubion Pharmaceuticals Inc.    Healthcare    21.04%
GRN    iPath Global Carbon ETN    Financial    21.03%
GOV    Government Properties Income Trust    Financial    21.03%
IHS    IHS Inc.    Technology    21.02%
IIC    Invesco California Insured Municipal Income Trust    Financial    21.01%
SBNY    Signature Bank    Financial    21.00%
BPL    Buckeye Partners LP    Basic Materials    21.00%
BPS    BlackRock Pennsylvania Strategic Municipal Trust Fund    Financial    20.99%
EHI    Western Asset Global High Income Fund Inc.    Financial    20.99%
EVM    Eaton Vance California Municipal Bond Fund    Financial    20.97%
LBCP    Liberty Bancorp, Inc.    Financial    20.97%
RFMD    RF Micro Devices Inc.    Technology    20.96%
MYM    BlackRock MuniYield Michigan Insured Fund II, Inc.    Financial    20.95%
UHS    Universal Health Services Inc.    Healthcare    20.94%
EWD    iShares MSCI Sweden Index    Financial    20.94%
NXM    Nuveen Pennsylvania Dividend Advantage Municipal Fund    Financial    20.94%
IPCC    Infinity Property and Casualty Corp.    Financial    20.93%
KRS    ProShares Short KBW Regional Banking    Financial    20.92%
BA    Boeing Co.    Industrial Goods    20.89%
ASP    American Strategic Income Portfolio Inc.    Financial    20.85%
LXP    Lexington Realty Trust    Financial    20.85%
CAKE    The Cheesecake Factory Incorporated    Services    20.84%
NATL    National Interstate Corporation    Financial    20.84%
MHD    Blackrock MuniHoldings Fund, Inc.    Financial    20.81%
VLT    Invesco Van Kampen High Income Trust II    Financial    20.76%
TOO    Teekay Offshore Partners LP    Services    20.72%
NCP    Nuveen California Performance Plus Municipal Fund, Inc.    Financial    20.71%
EMN    Eastman Chemical Co.    Basic Materials    20.69%
PSTI    Pluristem Therapeutics, Inc.    Healthcare    20.69%
BBNK    Bridge Capital Holdings    Financial    20.69%
PAAS    Pan American Silver Corp.    Basic Materials    20.66%
EIA    Eaton Vance California Municipal Bond Fund II    Financial    20.66%
WTR    Aqua America Inc.    Utilities    20.66%
AJG    Arthur J Gallagher & Co.    Financial    20.64%
WGOV    Woodward Governor Co.    Industrial Goods    20.62%
CPF    Central Pacific Financial Corp.    Financial    20.61%
TPGI    Thomas Properties Group Inc.    Financial    20.61%
GTE    Gran Tierra Energy, Inc.    Basic Materials    20.59%
TRI    Thomson Reuters Corporation    Services    20.58%
AGU    Agrium Inc.    Basic Materials    20.54%
IYR    iShares Dow Jones US Real Estate    Financial    20.51%
CNQR    Concur Technologies, Inc.    Technology    20.49%
BAF    BlackRock Insured Municipal Income Investment Trust    Financial    20.48%
GPC    Genuine Parts Company    Services    20.47%
GDX    Market Vectors Gold Miners ETF    Financial    20.47%
WCN    Waste Connections Inc.    Industrial Goods    20.46%
WLK    Westlake Chemical Corp.    Basic Materials    20.45%
DFZ    RG Barry Corp.    Consumer Goods    20.45%
SXL    Sunoco Logistics Partners L.P.    Basic Materials    20.45%
ACCL    Accelrys Inc.    Technology    20.42%
EVBN    Evans Bancorp Inc.    Financial    20.42%
APAGF    Apco Oil & Gas International Inc.    Basic Materials    20.41%
MIY    BlackRock MuniYield Michigan Insured Fund, Inc.    Financial    20.39%
IQC    Invesco California Quality Municipal Securities    Financial    20.34%
PSY    BlackRock Credit Allocation Income Trust II, Inc.    Financial    20.33%
TEI    Templeton Emerging Markets Income Fund    Financial    20.32%
MYI    Blackrock MuniYield Insured Fund, Inc.    Financial    20.31%
CRBC    Citizens Republic Bancorp, Inc    Financial    20.29%
ERIC    LM Ericsson Telephone Co.    Technology    20.29%
PEJ    PowerShares Dynamic Leisure & Entertain    Financial    20.28%
OLN    Olin Corp.    Basic Materials    20.28%
BTH    Blyth, Inc.    Consumer Goods    20.26%
MCA    Blackrock MuniYield California Insured Fund, Inc.    Financial    20.22%
TD    The Toronto-Dominion Bank    Financial    20.22%
NGLS    Targa Resources Partners LP    Basic Materials    20.21%
IFF    International Flavors & Fragrances Inc.    Basic Materials    20.19%
FBSS    Fauquier Bankshares Inc.    Financial    20.15%
KS    KapStone Paper and Packaging Corporation    Consumer Goods    20.14%
NL    NL Industries Inc.    Basic Materials    20.12%
JFBC    Jeffersonville Bancorp    Financial    20.09%
SGU    Star Gas Partners LP    Services    20.05%
LEN    Lennar Corp.    Industrial Goods    20.05%
NZW    Nuveen Michigan Dividend Advantage Municipal Fund    Financial    20.03%
NQM    Nuveen Investment Quality Municipal Fund, Inc.    Financial    20.02%
MARPS    Marine Petroleum Trust    Financial    20.01%
OHI    Omega Healthcare Investors Inc.    Financial    20.01%
IPT    iParty Corp.    Services    20.00%
HYF    Managed High Yield Plus Fund Inc.    Financial    20.00%
PGR    Progressive Corp.    Financial    19.98%
IFN    India Fund, Inc.    Financial    19.97%
SAY    Satyam Computer Services Ltd.    Technology    19.96%
STE    Steris Corp.    Healthcare    19.93%
INFY    Infosys Technologies Ltd.    Technology    19.93%
BCOM    B Communications Ltd    Technology    19.85%
INDY    iShares S&P India Nifty 50 Index    Financial    19.84%
FAM    First Trust/Aberdeen Global Opportunity Income Fund    Financial    19.84%
NXJ    Nuveen New Jersey Dividend Advantage Municipal Fund    Financial    19.84%
BNJ    BlackRock New Jersey Municipal Income Trust    Financial    19.83%
ARK    BlackRock Senior High Income Fund, Inc.    Financial    19.82%
KMM    DWS Multi-Market Income Trust    Financial    19.80%
NMP    Nuveen Michigan Premium Income Municipal Fund, Inc.    Financial    19.80%
CLD    Cloud Peak Energy Inc.    Basic Materials    19.78%
ABX    Barrick Gold Corporation    Basic Materials    19.77%
ABV    Companhia de Bebidas Das Americas (AMBEV)    Consumer Goods    19.75%
MFL    BlackRock MuniHoldings Insured Investment Fund    Financial    19.73%
SNV    Synovus Financial Corp.    Financial    19.70%
MUC    BlackRock MuniHoldings California Insured Fund, Inc.    Financial    19.67%
KW    Kennedy Wilson Holdings Inc.    Financial    19.66%
TSCM, Inc.    Technology    19.66%
CHU    China Unicom (Hong Kong) Limited    Technology    19.66%
DTO    PowerShares DB Crude Oil Dble Short ETN    Financial    19.66%
CNI    Canadian National Railway Company    Services    19.65%
AKP    Alliance California Municipal Income Fund Inc.    Financial    19.64%
CRR    CARBO Ceramics Inc.    Basic Materials    19.61%
FTY    iShares FTSE NAREIT Real Estate 50    Financial    19.61%
CSA    Cogdell Spencer Inc.    Financial    19.60%
PSR    PowerShares Active U.S. Real Estate    Financial    19.58%
NDSN    Nordson Corporation    Industrial Goods    19.58%
CCL    Carnival Corporation    Services    19.57%
UGI    UGI Corp.    Utilities    19.57%
BWLD    Buffalo Wild Wings Inc.    Services    19.52%
GNET    Global Traffic Network Inc.    Technology    19.52%
VSCI    Vision-Sciences Inc.    Healthcare    19.51%
SATC    Satcon Technology Corporation    Technology    19.50%
WSH    Willis Group Holdings Public Limited Company    Financial    19.50%
AAON    AAON Inc.    Industrial Goods    19.49%
RBC    Regal Beloit Corporation    Industrial Goods    19.47%
ASBC    Associated Banc-Corp    Financial    19.47%
JDD    Nuveen Diversified Dividend & Income Fund    Financial    19.47%
SWK    Stanley Black & Decker, Inc.    Industrial Goods    19.47%
TYW    TS&W/Claymore Tax-Advantaged Balanced Fund    Financial    19.47%
CZFC    Citizens First Corp.    Financial    19.47%
MYC    Blackrock MuniYield California Fund, Inc.    Financial    19.45%
NFZ    Nuveen Arizona Dividend Advantage Municipal Fund    Financial    19.44%
ARB    Arbitron Inc.    Services    19.44%
UPS    United Parcel Service, Inc.    Services    19.41%
CHIQ    Global X China Consumer ETF    Financial    19.39%
CYBX    Cyberonics Inc.    Healthcare    19.37%
BTA    BlackRock LT Municipal Advantage Trust    Financial    19.34%
TRN    Trinity Industries Inc.    Services    19.34%
SPB    Spectrum Brands Holdings, Inc.    Consumer Goods    19.33%
GGT    Gabelli Global Multimedia Trust Inc.    Financial    19.33%
TLGD    Tollgrade Communications Inc.    Technology    19.31%
NYX    NYSE Euronext, Inc.    Financial    19.25%
UTG    Reaves Utility Income Fund    Financial    19.24%
BBW    Build-A-Bear Workshop Inc.    Services    19.22%
PCQ    PIMCO California Municipal Income Fund    Financial    19.22%
VRNG    Vringo, Inc.    Technology    19.22%
PZC    PIMCO California Municipal Income Fund III    Financial    19.21%
IIT    Indosat tbk PT    Technology    19.21%
TWMC    Trans World Entertainment Corporation    Services    19.21%
NRP    Natural Resource Partners LP    Basic Materials    19.20%
NANO    Nanometrics Incorporated    Technology    19.15%
MTXX    Matrixx Initiatives Inc.    Healthcare    19.15%
FPFC    First Place Financial Corp.    Financial    19.14%
ASG    Liberty All Star Growth Fund Inc.    Financial    19.12%
MMS    MAXIMUS, Inc.    Services    19.12%
KST    DWS Strategic Income Trust    Financial    19.11%
SMA    Symmetry Medical, Inc.    Healthcare    19.11%
AHL    Aspen Insurance Holdings Ltd.    Financial    19.09%
EPI    WisdomTree India Earnings    Financial    19.09%
CEF    Central Fund of Canada Limited    Financial    19.09%
IFNA    iShares FTSE EPRA/NAREIT North America    Financial    19.08%
PM    Philip Morris International, Inc.    Consumer Goods    19.08%
IQI    Invesco Quality Municipal Income Trust    Financial    19.08%
MZA    BlackRock Muniyield Arizona Fund, Inc.    Financial    19.07%
ABC    AmerisourceBergen Corporation    Services    19.06%
BIE    BlackRock Municipal Bond Investment Trust    Financial    19.06%
HNP    Huaneng Power International Inc.    Utilities    19.05%
C    Citigroup, Inc.    Financial    19.03%
CB    The Chubb Corporation    Financial    19.02%
NUJ    Nuveen New Jersey Dividend Advantage Municipal Fund 2    Financial    19.01%
ASCA    Ameristar Casinos Inc.    Services    19.01%
CLC    CLARCOR Inc.    Consumer Goods    19.00%
HIS    BlackRock High Income Shares    Financial    18.99%
SHPGY    Shire plc    Healthcare    18.99%
MIG    Meadowbrook Insurance Group Inc.    Financial    18.99%
PALL    ETFS Physical Palladium Shares    Financial    18.97%
INMD    Integramed America Inc.    Healthcare    18.96%
TDC    Teradata Corporation    Technology    18.96%
WPPGY    WPP plc    Services    18.96%
OYOG    OYO Geospace Corp.    Technology    18.96%
RNJ    BlackRock New Jersey Investment Quality Municipal Trust    Financial    18.95%
NKE    Nike Inc.    Consumer Goods    18.94%
HANS    Hansen Natural Corporation    Consumer Goods    18.93%
MUS    BlackRock MuniHoldings Insured Fund, Inc.    Financial    18.91%
SLE    Sara Lee Corp.    Consumer Goods    18.91%
VPV    Invesco Van Kampen Pennsylvania Value Municipal Income Trust    Financial    18.89%
ITC    ITC Holdings Corp.    Utilities    18.86%
BSD    BlackRock Strategic Municipal Trust    Financial    18.85%
SCX    LS Starrett Co.    Industrial Goods    18.84%
KMT    Kennametal Inc.    Industrial Goods    18.84%
JJN    iPath DJ-UBS Nickel TR Sub-Idx ETN    Financial    18.84%
PSAU    PowerShares Global Gold & Prec Metals    Financial    18.83%
PSB    PS Business Parks Inc.    Financial    18.82%
SIAL    Sigma-Aldrich Corporation    Basic Materials    18.81%
CPWR    Compuware Corporation    Technology    18.81%
CHRW    CH Robinson Worldwide Inc.    Services    18.75%
ERC    Wells Fargo Advantage Multi-Sector Income Fund    Financial    18.75%
MNTA    Momenta Pharmaceuticals Inc.    Healthcare    18.73%
CPT    Camden Property Trust    Financial    18.73%
HEW    Hewitt Associates Inc.    Services    18.72%
WAC    Walter Investment Management Corp.    Financial    18.70%
MNE    BlackRock Muni New York Intermediate Duration Fund, Inc.    Financial    18.69%
DMF    Dreyfus Municipal Income Inc.    Financial    18.67%
VIA-B    Viacom, Inc.    Services    18.65%
DNBK    Danvers Bancorp Inc.    Financial    18.62%
TJX    The TJX Companies, Inc.    Services    18.62%
BKH    Black Hills Corporation    Utilities    18.62%
KFT    Kraft Foods Inc.    Consumer Goods    18.60%
NPC    Nuveen Insured California Premium Income Municipal Fund, Inc.    Financial    18.60%
ASFI    Asta Funding Inc.    Services    18.58%
AVK    Advent Claymore Convertible Securities and Income Fund    Financial    18.58%
COLB    Columbia Banking System Inc.    Financial    18.58%
WEC    Wisconsin Energy Corp.    Utilities    18.57%
NAC    Nuveen California Dividend Advantage Municipal Fund    Financial    18.56%
EMC    EMC Corporation    Technology    18.55%
IMT    Invesco Insured Municipal Trust    Financial    18.52%
ARGN    Amerigon Inc.    Consumer Goods    18.51%
PBM    Pacific Booker Minerals Inc.    Basic Materials    18.50%
PMX    PIMCO Municipal Income Fund III    Financial    18.50%
PVR    Penn Virginia Resource Partners LP    Basic Materials    18.47%
FFBC    First Financial Bancorp.    Financial    18.46%
TLT    iShares Barclays 20+ Year Treas Bond    Financial    18.44%
RAVN    Raven Industries Inc.    Technology    18.43%
SLH    Solera Holdings Inc.    Technology    18.43%
VMV    Invesco Van Kampen Massachusetts Value Municipal Income Trust    Financial    18.42%
NNF    Nuveen Insured New York Premium Income Municipal Fund, Inc.    Financial    18.41%
LOR    Lazard World Dividend & Income Fund Inc.    Financial    18.41%
JPC    Nuveen Multi-Strategy Income & Growth Fund    Financial    18.40%
MHY    Western Asset Managed High Income Fund Inc.    Financial    18.40%
ECPG    Encore Capital Group, Inc.    Financial    18.39%
BDC    Belden, Inc.    Industrial Goods    18.36%
ESV    Ensco plc    Basic Materials    18.34%
BHK    BlackRock Core Bond Trust    Financial    18.33%
NUM    Nuveen Michigan Quality Income Municipal Fund, Inc.    Financial    18.29%
DPM    DCP Midstream Partners LP    Basic Materials    18.28%
MHE    BlackRock Massachusetts Health and Education Tax-Exempt Trust    Financial    18.25%
FCF    First Commonwealth Financial Corp.    Financial    18.22%
CPNO    Copano Energy LLC    Basic Materials    18.20%
FCM    First Trust/Four Corners Senior Floating Rate Income Fund    Financial    18.20%
NUC    Nuveen California Quality Income Municipal Fund, Inc.    Financial    18.20%
BIP    Brookfield Infrastructure Partners L.P.    Utilities    18.19%
ABMC    American Bio Medica Corp.    Healthcare    18.18%
ROL    Rollins Inc.    Services    18.18%
MJI    BlackRock Muniyield New Jersey Insured Fund, Inc.    Financial    18.18%
SCBT    SCBT Financial Corp.    Financial    18.18%
VAZ    Delaware Investments Arizona Municipal Income Fund    Financial    18.17%
KMP    Kinder Morgan Energy Partners LP    Basic Materials    18.17%
URG    UR-Energy Inc.    Basic Materials    18.17%
HRLY    Herley Industries Inc.    Technology    18.14%
TUC    Mac-Gray Corp.    Services    18.11%
FDN    First Trust Dow Jones Internet Index    Financial    18.11%
SWX    Southwest Gas Corporation    Utilities    18.10%
JHS    John Hancock Income Securities Trust    Financial    18.10%
FAA    Claymore/NYSE Arca Airline    Financial    18.10%
GSOL    Global Sources Ltd.    Technology    18.08%
PGF    PowerShares Financial Preferred    Financial    18.08%
PCP    Precision Castparts Corp.    Industrial Goods    18.08%
RETL    Direxion Daily Retail Bull 2X S    Financial    18.08%
ESP    Espey Manufacturing & Electronics Corp.    Technology    18.07%
APU    AmeriGas Partners LP    Utilities    18.06%
POZN    POZEN, Inc.    Healthcare    18.06%
SAVB    Savannah Bancorp Inc.    Financial    18.05%
EMFN    iShares MSCI Emerg Mrkts Financials Idx    Financial    18.03%
URTY    ProShares UltraPro Russell2000    Financial    18.03%
JNY    Jones Apparel Group, Inc.    Services    18.02%
CHE    Chemed Corp.    Healthcare    18.01%
EVN    Eaton Vance Municipal Income Trust    Financial    17.98%
MAV    Pioneer Municipal High Income Advantage Trust    Financial    17.98%
HYB    The New America High Income Fund Inc.    Financial    17.97%
RFA    BlackRock Investment Quality Municipal Income Trust    Financial    17.96%
NCL    Nuveen Insured California Premium Income Municipal Fund 2, Inc.    Financial    17.96%
RAI    Reynolds American Inc.    Consumer Goods    17.94%
ACE    ACE Limited    Financial    17.92%
PTIE    Pain Therapeutics Inc.    Healthcare    17.91%
UUU    Universal Security Instruments Inc.    Services    17.90%
TPL    Texas Pacific Land Trust    Financial    17.90%
STV    China Digital TV Holding Co., Ltd.    Technology    17.90%
CSBC    Citizens South Banking Corp.    Financial    17.90%
NQJ    Nuveen New Jersey Investment Quality Municipal Fund, Inc.    Financial    17.89%
NYB    New York Community Bancorp Inc.    Financial    17.89%
WRI    Weingarten Realty Investors    Financial    17.89%
VCV    Invesco Van Kampen California Value Municipal Income Trust    Financial    17.88%
WOR    Worthington Industries, Inc.    Basic Materials    17.86%
ADC    Agree Realty Corp.    Financial    17.86%
VETS    Pet DRx Corporation    Healthcare    17.86%
RSCR    Res-Care Inc.    Services    17.86%
DRC    Dresser-Rand Group Inc.    Industrial Goods    17.84%
BBK    BlackRock Municipal Bond Trust    Financial    17.83%
SPW    SPX Corporation    Industrial Goods    17.83%
BJK    Market Vectors Gaming ETF    Financial    17.83%
VCO    Vina Concha y Toro S.A.    Consumer Goods    17.82%
BBF    BlackRock Municipal Income Investment Trust    Financial    17.82%
OIC    Invesco Municipal Income Opportunities Trust III    Financial    17.81%
LINTA    Liberty Media Interactive    Services    17.80%
DEX    Delaware Enhanced Global Divide    Financial    17.80%
TEL    Tyco Electronics, Ltd.    Technology    17.79%
UTEK    Ultratech, Inc.    Technology    17.79%
SGMA    SigmaTron International Inc.    Technology    17.79%
CHY    Calamos Convertible & High Income Fund    Financial    17.78%
OIB    Invesco Municipal Income Opportunities Trust II    Financial    17.78%
NXST    Nexstar Broadcasting Group Inc.    Services    17.78%
PFS    Provident Financial Services, Inc.    Financial    17.78%
MHN    BlackRock MuniHoldings New York Insured Fund, Inc.    Financial    17.77%
BTF    Boulder Total Return Fund Inc.    Financial    17.77%
NWL    Newell Rubbermaid Inc.    Consumer Goods    17.77%
IHT    Innsuites Hospitality Trust    Financial    17.76%
CAVM    Cavium Networks, Inc.    Technology    17.75%
EXPO    Exponent Inc.    Services    17.74%
GIM    Templeton Global Income Fund, Inc.    Financial    17.74%
NCZ    AGIC Convertible & Income Fund II    Financial    17.74%
AWF    AllianceBernstein Global High Income Fund, Inc.    Financial    17.74%
NEWP    Newport Corp.    Technology    17.74%
SGEN    Seattle Genetics Inc.    Healthcare    17.72%
CEV    Eaton Vance California Municipal Income Trust    Financial    17.70%
IL    IntraLinks Holdings, Inc.    Technology    17.69%
FCCY    1st Constitution Bancorp    Financial    17.69%
LDK    LDK Solar Co., Ltd.    Technology    17.69%
ESYS    Elecsys Corp.    Consumer Goods    17.68%
DBP    PowerShares DB Precious Metals    Financial    17.68%
MOH    Molina Healthcare Inc.    Healthcare    17.67%
DTSI    DTS Inc.    Consumer Goods    17.66%
MGM    MGM Resorts International    Services    17.65%
NPY    Nuveen Pennsylvania Premium Income Municipal Fund 2    Financial    17.65%
ROX    Castle Brands Inc.    Consumer Goods    17.65%
DRIV    Digital River Inc.    Technology    17.64%
JJP    iPath DJ-UBS Prec Metals TR Sub-Idx ETN    Financial    17.63%
NPM    Nuveen Premium Income Municipal Fund 2, Inc.    Financial    17.62%
WCBO    West Coast Bancorp    Financial    17.62%
PML    PIMCO Municipal Income Fund II    Financial    17.62%
VAL    The Valspar Corporation    Industrial Goods    17.62%
FIS    Fidelity National Information Services, Inc.    Services    17.55%
BKN    BlackRock Investment Quality Municipal Trust Inc.    Financial    17.55%
HRL    Hormel Foods Corp.    Consumer Goods    17.54%
CCF    Chase Corp.    Industrial Goods    17.52%
IAU    iShares COMEX Gold Trust    Financial    17.50%
SI    Siemens AG    Technology    17.49%
DRH    Diamondrock Hospitality Co.    Financial    17.47%
BFZ    BlackRock California Municipal Income Trust    Financial    17.46%
OVLY    Oak Valley Bancorp    Financial    17.46%
UCTT    Ultra Clean Holdings Inc.    Technology    17.45%
MFT    BlackRock MuniYield Insured Investment Fund    Financial    17.44%
MDR    McDermott International Inc.    Industrial Goods    17.44%
SPH    Suburban Propane Partners LP    Services    17.43%
GLD    SPDR Gold Shares    Financial    17.43%
LTL    ProShares Ultra Telecommunications    Financial    17.41%
DSU    BlackRock Debt Strategies Fund, Inc.    Financial    17.40%
SGOL    ETFS Physical Swiss Gold Shares    Financial    17.38%
CNA    CNA Financial Corporation    Financial    17.38%
UTR    Unitrin Inc.    Financial    17.36%
CUK    Carnival plc    Services    17.35%
HMH    Helios Multi-Sector High Income Fund, Inc    Financial    17.33%
VICL    Vical Inc.    Healthcare    17.33%
AZN    AstraZeneca PLC    Healthcare    17.32%
BRAQ    Global X Brazil Consumer ETF    Financial    17.32%
CSX    CSX Corp.    Services    17.31%
NVJ    Nuveen Ohio Dividend Advantage Municipal Fund 3    Financial    17.29%
NVY    Nuveen Pennsylvania Dividend Advantage Municipal Fund 2    Financial    17.27%
LYV    Live Nation Entertainment, Inc.    Services    17.27%
OXM    Oxford Industries Inc.    Consumer Goods    17.27%
UFI    Unifi Inc.    Industrial Goods    17.27%
TLO    SPDR Barclays Capital Long Term Treasury    Financial    17.25%
ELMG    EMS Technologies Inc.    Technology    17.24%
YSI    U-Store-It Trust    Financial    17.24%
AKR    Acadia Realty Trust    Financial    17.24%
MVF    BlackRock MuniVest Fund, Inc.    Financial    17.24%
NPF    Nuveen Premier Municipal Income Fund, Inc.    Financial    17.23%
SXT    Sensient Technologies Corporation    Basic Materials    17.23%
NPO    EnPro Industries, Inc.    Industrial Goods    17.23%
HYV    BlackRock Corporate High Yield Fund V, Inc.    Financial    17.22%
MQT    BlackRock MuniYield Quality Fund II, Inc.    Financial    17.22%
TMNG    Management Network Group Inc.    Services    17.21%
GTY    Getty Realty Corp.    Financial    17.20%
MUJ    BlackRock MuniHoldings New Jersey Insured Fund, Inc.    Financial    17.20%
WNI    Schiff Nutrition International Inc.     Healthcare    17.19%
SEP    Spectra Energy Partners, LP    Basic Materials    17.16%
GFI    Gold Fields Ltd.    Basic Materials    17.16%
NQP    Nuveen Pennsylvania Investment Quality Municipal Fund Inc.    Financial    17.15%
NMB    Nuveen Massachusetts Dividend Advantage Municipal Fund    Financial    17.15%
GPX    GP Strategies Corp.    Services    17.13%
NQC    Nuveen California Investment Quality Municipal Fund, Inc.    Financial    17.13%
IQN    Invesco New York Quality Municipal Securities    Financial    17.09%
CIDM    Cinedigm Digital Cinema Corp.    Services    17.07%
CYE    BlackRock Corporate High Yield Fund III, Inc.    Financial    17.06%
MTD    Mettler-Toledo International, Inc.    Healthcare    17.04%
KUTV    Ku6 Media Co., Ltd.    Services    17.04%
CHH    Choice Hotels International Inc.    Services    17.03%
NVC    Nuveen California Select Quality Municipal Fund, Inc.    Financial    17.02%
AFL    AFLAC Inc.    Financial    17.02%
EVV    Eaton Vance Limited Duration Income Fund    Financial    17.01%
SGF    The Singapore Fund, Inc.    Financial    16.99%
PSDV    pSivida Corp.    Healthcare    16.99%
RFMI    RF Monolithics Inc.    Technology    16.98%
SHAW    Shaw Group Inc.    Industrial Goods    16.97%
VKI    Invesco Van Kampen Advantage Municipal Income Trust II    Financial    16.96%
CMS    CMS Energy Corp.    Utilities    16.95%
MVT    BlackRock MuniVest Fund II, Inc.    Financial    16.94%
BXG    Bluegreen Corp.    Financial    16.94%
NOA    North American Energy Partners Inc.    Basic Materials    16.94%
TAI    Transamerica Income Shares Inc.    Financial    16.94%
SUR    CNA Surety Corp.    Financial    16.92%
SON    Sonoco Products Co.    Consumer Goods    16.88%
SFE    Safeguard Scientifics, Inc.    Financial    16.88%
PZZI    Pizza Inn, Inc.    Services    16.87%
HITT    Hittite Microwave Corporation    Technology    16.85%
GB    Greatbatch, Inc.    Healthcare    16.85%
AMT    American Tower Corp.    Technology    16.82%
NKO    Nuveen Insured New York Dividend Advantage Municipal Fund    Financial    16.82%
EIM    Eaton Vance Municipal Bond Fund    Financial    16.81%
RTI    RTI International Metals, Inc.    Basic Materials    16.81%
LEO    Dreyfus Strategic Municipals Inc.    Financial    16.80%
MYJ    BlackRock MuniYield New Jersey Fund, Inc.    Financial    16.79%
NVN    Nuveen New York Select Quality Municipal Fund, Inc.    Financial    16.78%
FELE    Franklin Electric Co. Inc.    Industrial Goods    16.77%
NPT    Nuveen Premium Income Municipal Fund 4, Inc.    Financial    16.77%
UBS    UBS AG    Financial    16.76%
SYBT    SY Bancorp Inc.    Financial    16.75%
NUN    Nuveen New York Quality Income Municipal Fund, Inc.    Financial    16.72%
HMSY    HMS Holdings Corp.    Services    16.72%
UNH    Unitedhealth Group, Inc.    Healthcare    16.72%
RST    Rosetta Stone, Inc.    Technology    16.71%
PMTC    Parametric Technology Corporation    Technology    16.71%
MXF    The Mexico Fund, Inc.    Financial    16.70%
AUTC    AutoChina International Ltd.    Financial    16.70%
GBNK    Guaranty Bancorp    Financial    16.67%
DFG    Delphi Financial Group, Inc.    Financial    16.64%
FNF    Fidelity National Financial, Inc.    Financial    16.64%
NU    Northeast Utilities    Utilities    16.64%
KSM    DWS Strategic Municipal Income Trust    Financial    16.64%
MFE    McAfee, Inc.    Technology    16.64%
NBW    Neuberger Berman California Intermediate Municipal Fund Inc.    Financial    16.61%
DAIO    Data I/O Corp.    Technology    16.59%
NMT    Nuveen Massachusetts Premium Income Municipal Fund    Financial    16.59%
OTEX    Open Text Corp.    Technology    16.58%
REG    Regency Centers Corporation    Financial    16.55%
KTF    DWS Municipal Income Trust    Financial    16.53%
FT    Franklin Universal Trust    Financial    16.52%
CVLT    CommVault Systems, Inc.    Technology    16.50%
ECBE    ECB Bancorp Inc.    Financial    16.48%
DGS    WisdomTree Emerging Mkts SmallCap Div    Financial    16.48%
HIF    Western Asset High Income Fund Inc.    Financial    16.47%
DGL    PowerShares DB Gold    Financial    16.47%
OIA    Invesco Municipal Income Opportunities Trust    Financial    16.47%
XL    XL Group plc    Financial    16.46%
FO    Fortune Brands Inc.    Consumer Goods    16.46%
KIE    SPDR KBW Insurance    Financial    16.45%
AIRM    Air Methods Corp.    Services    16.45%
BIG    Big Lots Inc.    Services    16.43%
FICO    Fair Isaac Corp.    Services    16.42%
FCFS    First Cash Financial Services Inc.    Financial    16.40%
OIS    Oil States International Inc.    Basic Materials    16.39%
PNXQ    PowerShares NXQ    Financial    16.39%
TLH    iShares Barclays 10-20 Year Treasury Bd    Financial    16.39%
MUE    BlackRock MuniHoldings Insured Fund II, Inc.    Financial    16.38%
AYN    Alliance New York Municipal Income Fund Inc.    Financial    16.37%
PNW    Pinnacle West Capital Corp.    Utilities    16.36%
MOV    Movado Group Inc.    Consumer Goods    16.36%
PMACA    PMA Capital Corp.    Financial    16.35%
IQT    Invesco Quality Municipal Investment Trust    Financial    16.33%
IXYS    IXYS Corp.    Technology    16.33%
EMI    Eaton Vance Michigan Municipal Income Trust    Financial    16.33%
KEF    Korea Equity Fund Inc.    Financial    16.32%
VGLT    Vanguard Long-Term Govt Bd Idx ETF    Financial    16.32%
CP    Canadian Pacific Railway Limited    Services    16.31%
BC    Brunswick Corporation    Consumer Goods    16.29%
FDI    Fort Dearborn Income Securities Inc.    Financial    16.27%
MET    MetLife, Inc.    Financial    16.27%
JCOM    j2 Global Communications, Inc.    Technology    16.27%
UNM    Unum Group    Financial    16.26%
NKX    Nuveen Insured California Tax Free Advantage Municipal Fund    Financial    16.25%
NQN    Nuveen New York Investment Quality Municipal Fund, Inc.    Financial    16.25%
WAB    Westinghouse Air Brake Technologies Corporation    Services    16.25%
BLL    Ball Corporation    Consumer Goods    16.25%
NNP    Nuveen New York Performance Plus Municipal Fund, Inc.    Financial    16.24%
BZM    BlackRock Maryland Municipal Bond Trust    Financial    16.23%
NCV    AGIC Convertible & Income Fund    Financial    16.22%
NBH    Neuberger Berman Intermediate Municipal Fund Inc.    Financial    16.21%
HUM    Humana Inc.    Healthcare    16.20%
BNA    BlackRock Income Opportunity Trust, Inc.    Financial    16.20%
MLHR    Herman Miller Inc.    Consumer Goods    16.20%
INP    iPath MSCI India Index ETN    Financial    16.19%
FTF    Franklin Templeton Limited Duration Income Trust    Financial    16.19%
NI    Nisource Inc.    Utilities    16.17%
AGII    Argo Group International Holdings, Ltd.    Financial    16.16%
NKL    Nuveen Insured California Dividend Advantage Municipal Fund    Financial    16.16%
FRED    Fred's Inc.    Services    16.15%
NPI    Nuveen Premium Income Municipal Fund, Inc.    Financial    16.12%
ESD    Legg Mason Partners Income Trust - Western Asset Emerging Markets Debt Portfolio    Financial    16.12%
EBI    Evergreen International Balanced Income Fund    Financial    16.11%
CSPI    CSP Inc.    Technology    16.10%
WSO    Watsco Inc.    Services    16.10%
GRM    Graham Packaging Company, Inc.    Consumer Goods    16.08%
MKC    McCormick & Co. Inc.    Consumer Goods    16.08%
KSU    Kansas City Southern    Services    16.07%
EMD    Western Asset Emerging Markets Income Fund Inc.    Financial    16.05%
CWF    Chartwell Dividend & Income Fund Inc.    Financial    16.05%
EGBN    Eagle Bancorp, Inc.    Financial    16.05%
SO    Southern Company    Utilities    16.04%
SIRO    Sirona Dental Systems Inc.    Healthcare    16.04%
USHS    US Home Systems Inc.    Consumer Goods    16.03%
NRF    NorthStar Realty Finance Corp.    Financial    15.99%
VOD    Vodafone Group plc    Technology    15.97%
CBI    Chicago Bridge & Iron Company N.V.    Industrial Goods    15.97%
PNI    PIMCO New York Municipal Income Fund II    Financial    15.97%
BFK    BlackRock Municipal Income Trust    Financial    15.97%
SAL    Salisbury Bancorp Inc.    Financial    15.96%
MSD    Morgan Stanley Emerging Markets Debt Fund Inc.    Financial    15.95%
ZBRA    Zebra Technologies Corp.    Technology    15.91%
D    Dominion Resources, Inc.    Utilities    15.90%
WDFC    WD-40 Company    Basic Materials    15.89%
VKL    Invesco Van Kampen Select Sector Municipal Trust    Financial    15.88%
GFY    Western Asset Variable Rate Strategic Fund Inc.    Financial    15.86%
GCBC    Greene County Bancorp, Inc.    Financial    15.86%
NQU    Nuveen Quality Income Municipal Fund, Inc.    Financial    15.86%
UBG    UBS E-TRACS CMCI Gold TR ETN    Financial    15.84%
THS    Treehouse Foods Inc.    Consumer Goods    15.83%
EGY    Vaalco Energy Inc.    Basic Materials    15.82%
BSE    BlackRock New York Insured Municipal Income Trust    Financial    15.82%
RYAAY    Ryanair Holdings plc    Services    15.81%
DHG    DWS Dreman Value Income Edge Fu    Financial    15.81%
NXI    Nuveen Ohio Dividend Advantage Municipal Fund    Financial    15.80%
NNJ    Nuveen New Jersey Premium Income Municipal Fund, Inc.    Financial    15.79%
BDL    Flanigan's Enterprises Inc.    Services    15.77%
LINE    Linn Energy, LLC    Basic Materials    15.77%
HAV    Helios Advantage Income Fund, Inc.    Financial    15.76%
POPE    Pope Resources LP    Industrial Goods    15.76%
BDF    Rivus Bond Fund    Financial    15.75%
DVF    BlackRock Diversified Income Strategies Fund, Inc.    Financial    15.75%
NAFC    Nash Finch Co.    Services    15.73%
AINV    Apollo Investment Corporation    Financial    15.72%
AXL    American Axle & Manufacturing Holdings Inc.    Consumer Goods    15.71%
DSM    Dreyfus Strategic Municipal Bond Fund Inc.    Financial    15.71%
ASA    ASA Limited    Financial    15.70%
AXS    Axis Capital Holdings Ltd.    Financial    15.70%
KT    KT Corp.    Technology    15.70%
SCEI    Sino Clean Energy Inc    Basic Materials    15.69%
HI    Hillenbrand, Inc.    Services    15.69%
PIE    PowerShares DWA Em Mkts Technical Ldrs    Financial    15.68%
GSW    GlobalShares FTSE All-World    Financial    15.68%
ACGL    Arch Capital Group Ltd.    Financial    15.68%
PRU    Prudential Financial, Inc.    Financial    15.68%
HNT    Health Net Inc.    Healthcare    15.67%
WREI    Wilshire US REIT ETF    Financial    15.66%
UCC    ProShares Ultra Consumer Services    Financial    15.64%
OZM    Och-Ziff Capital Management Group LLC    Financial    15.64%
PBY    Pep Boys - Manny, Moe & Jack    Services    15.63%
EPHC    Epoch Investment Partners, Inc.    Financial    15.62%
BF-B    Brown-Forman Corporation    Consumer Goods    15.61%
CTL    CenturyLink, Inc.    Technology    15.61%
IX    ORIX Corp.    Conglomerates    15.60%
MNP    Western Asset Municipal Partners Fund Inc.    Financial    15.60%
CCA    MFS California Insured Municipal Fund    Financial    15.59%
EZA    iShares MSCI South Africa Index    Financial    15.58%
MWJ    Direxion Daily Mid Cap Bull 3X Shares    Financial    15.57%
HSM    Helios Strategic Mortgage Income Fund, Inc.    Financial    15.57%
PWE    Penn West Energy Trust    Basic Materials    15.56%
ONE    Higher One Inc.    Services    15.56%
NMO    Nuveen Municipal Market Opportunity Fund, Inc.    Financial    15.54%
CFX    Colfax Corporation    Industrial Goods    15.53%
ZOLL    ZOLL Medical Corp.    Healthcare    15.53%
IQM    Invesco Quality Municipal Securities    Financial    15.53%
MQY    BlackRock MuniYield Quality Fund, Inc.    Financial    15.52%
PBJ    PowerShares Dynamic Food & Beverage    Financial    15.52%
HON    Honeywell International Inc.    Industrial Goods    15.51%
ENS    EnerSys    Industrial Goods    15.50%
COH    Coach Inc.    Consumer Goods    15.48%
NHP    Nationwide Health Properties Inc.    Financial    15.46%
NIF    Nuveen Premier Insured Municipal Income Fund, Inc.    Financial    15.45%
TCBI    Texas Capital BancShares Inc.    Financial    15.44%
PMO    Putnam Municipal Opportunities Trust    Financial    15.42%
MTP    MLP & Strategic Equity Fund Inc    Financial    15.42%
KAMN    Kaman Corporation    Industrial Goods    15.41%
ESA    Energy Services of America Corporation    Basic Materials    15.41%
MBVT    Merchants Bancshares Inc.    Financial    15.40%
NSC    Norfolk Southern Corp.    Services    15.40%
HIH    Helios High Income Fund, Inc    Financial    15.38%
GIL    Gildan Activewear Inc.    Consumer Goods    15.38%
UXI    ProShares Ultra Industrials    Financial    15.37%
NXK    Nuveen New York Dividend Advantage Municipal Fund 2    Financial    15.37%
MVV    ProShares Ultra MidCap400    Financial    15.36%
YCL    ProShares Ultra Yen    Financial    15.35%
KAI    Kadant Inc.    Consumer Goods    15.35%
VKQ    Invesco Van Kampen Municipal Trust    Financial    15.35%
UFS    Domtar Corporation    Consumer Goods    15.34%
PLL    Pall Corp.    Industrial Goods    15.34%
WR    Westar Energy, Inc.    Utilities    15.31%
FACE    Physicians Formula Holdings Inc.    Consumer Goods    15.27%
CGR    Claude Resources, Inc.    Basic Materials    15.25%
HME    Home Properties Inc.    Financial    15.25%
FRD    Friedman Industries Inc.    Basic Materials    15.25%
IMC    Invesco Insured Municipal Bond Trust    Financial    15.24%
EPIC    Epicor Software Corporation    Technology    15.22%
BYM    BlackRock Insured Municipal Income Trust    Financial    15.22%
DHFT    Diamond Hill Financial Trends Fund, Inc.    Financial    15.20%
SYNT    Syntel, Inc.    Technology    15.20%
AFB    AllianceBernstein National Municipal Income Fund, Inc    Financial    15.19%
SBAC    SBA Communications Corp.    Services    15.16%
DHT    DHT Holdings, Inc.    Services    15.14%
EVF    Eaton Vance Senior Income Trust    Financial    15.14%
DXYN    The Dixie Group, Inc.    Industrial Goods    15.13%
AMG    Affiliated Managers Group Inc.    Financial    15.13%
MDSO    Medidata Solutions, Inc.    Technology    15.11%
TYN    Tortoise North American Energy Corporation    Financial    15.11%
NAN    Nuveen New York Dividend Advantage Municipal Fund    Financial    15.09%
GF    New Germany Fund Inc.    Financial    15.08%
CHL    China Mobile Limited    Technology    15.06%
AIMC    Altra Holdings, Inc.    Industrial Goods    15.06%
SOMH    Somerset Hills Bancorp    Financial    15.03%
NZF    Nuveen Dividend Advantage Municipal Fund 3    Financial    15.01%
PTP    Platinum Underwriters Holdings Ltd.    Financial    15.01%
BLV    Vanguard Long-Term Bond Index ETF    Financial    14.99%
SNH    Senior Housing Properties Trust    Financial    14.99%
VTJ    Invesco Van Kampen Trust for Investment Grade New Jersey Municipals    Financial    14.99%
KED    Kayne Anderson Energy Development Company    Financial    14.98%
GR    Goodrich Corp.    Industrial Goods    14.98%
TYY    Tortoise Energy Capital Corp.    Financial    14.96%
CBE    Cooper Industries plc    Conglomerates    14.95%
NANX    Nanophase Technologies Corp.    Basic Materials    14.94%
UVU    ProShares Ultra Russell MidCap Value    Financial    14.93%
ECL    Ecolab Inc.    Consumer Goods    14.93%
NMY    Nuveen Maryland Premium Income Municipal Fund    Financial    14.92%
XRT    SPDR S&P Retail    Financial    14.91%
DMND    Diamond Foods, Inc.    Consumer Goods    14.90%
PBE    PowerShares Dynamic Biotech & Genome    Financial    14.89%
ACLS    Axcelis Technologies Inc.    Technology    14.89%
BTIM    BioTime, Inc.    Healthcare    14.89%
DNP    DNP Select Income Fund Inc.    Financial    14.89%
PPDI    Pharmaceutical Product Development Inc.    Healthcare    14.87%
MAT    Mattel Inc.    Consumer Goods    14.86%
PYN    PIMCO New York Municipal Income Fund III    Financial    14.86%
ENSG    The Ensign Group, Inc.    Healthcare    14.86%
SEIC    SEI Investments Co.    Financial    14.85%
BHD    BlackRock Strategic Bond Trust    Financial    14.84%
LNY    Landry's Restaurants Inc.    Services    14.84%
CYN    City National Corp.    Financial    14.84%
GDOT    Green Dot Corporation    Services    14.82%
FGF    SunAmerica Focused Alpha Growth Fund Inc.    Financial    14.81%
ASH    Ashland Inc.    Basic Materials    14.80%
MPV    MassMutual Participation Investors    Financial    14.78%
IGLD    Internet Gold Golden Lines Ltd.    Technology    14.77%
NVX    Nuveen California Dividend Advantage Municipal Fund 2    Financial    14.77%
POM    Pepco Holdings, Inc.    Utilities    14.76%
CFS    Comforce Corp.    Services    14.75%
HBOS    Heritage Financial Group    Financial    14.73%
HE    Hawaiian Electric Industries Inc.    Utilities    14.71%
VVR    Invesco Van Kampen Senior Income Trust    Financial    14.71%
VMO    Invesco Van Kampen Municipal Opportunity Trust    Financial    14.70%
XPH    SPDR S&P Pharmaceuticals    Financial    14.70%
HLYS    Heelys, Inc.    Consumer Goods    14.68%
PLCM    Polycom, Inc.    Technology    14.66%
HARL    Harleysville Savings Financial Corporation    Financial    14.64%
NBJ    Nuveen Ohio Dividend Advantage Municipal Fund 2    Financial    14.63%
DTF    DTF Tax-Free Income Inc.    Financial    14.62%
BFO    BlackRock Florida Municipal 2020 Term Trust    Financial    14.61%
CSWC    Capital Southwest Corporation    Financial    14.61%
TCB    TCF Financial Corporation    Financial    14.60%
LOOP    LoopNet, Inc.    Financial    14.60%
CSII    Cardiovascular Systems Inc.    Healthcare    14.60%
BRO    Brown & Brown Inc.    Financial    14.59%
CRTX    Cornerstone Therapeutics Inc.    Healthcare    14.59%
FEN    Energy Income & Growth Fund    Financial    14.59%
ARE    Alexandria Real Estate Equities Inc.    Financial    14.58%
UGE    ProShares Ultra Consumer Goods    Financial    14.58%
PGH    Pengrowth Energy Trust    Basic Materials    14.57%
NYH    Eaton Vance New York Municipal Bond Fund II    Financial    14.56%
JAX    J. Alexander's Corp.    Services    14.56%
BUSE    First Busey Corporation    Financial    14.55%
NCO    Nuveen California Municipal Market Opportunity Fund, Inc.    Financial    14.55%
HYT    BlackRock Corporate High Yield Fund VI, Inc.    Financial    14.54%
LLNW    Limelight Networks, Inc.    Services    14.54%
SYPR    Sypris Solutions Inc.    Technology    14.54%
SBUX    Starbucks Corp.    Services    14.54%
DJCO    Daily Journal Corp.    Services    14.52%
G    Genpact Ltd.    Services    14.51%
LNBB    LNB Bancorp Inc.    Financial    14.49%
SSS    Sovran Self Storage Inc.    Financial    14.49%
RWO    SPDR Dow Jones Global Real Estate    Financial    14.47%
BAB    PowerShares Build America Bond    Financial    14.46%
AIP    Hadera Paper Ltd.    Consumer Goods    14.46%
UBC    UBS E-TRACS CMCI Livestock TR ETN    Financial    14.45%
TNB    Thomas & Betts Corp.    Industrial Goods    14.45%
MEN    BlackRock MuniEnhanced Fund, Inc.    Financial    14.44%
GLJ    iShares 10+ Year Government/Credit Bond    Financial    14.44%
CVI    CVR Energy, Inc.    Basic Materials    14.43%
PSO    Pearson plc    Services    14.43%
XXV    Barclays ETN Inverse S&P 500 VI    Financial    14.42%
CINF    Cincinnati Financial Corp.    Financial    14.42%
HIX    Western Asset High Income Fund II Inc.    Financial    14.40%
BMTC    Bryn Mawr Bank Corp.    Financial    14.39%
OSTK Inc.    Services    14.38%
MEAD    Meade Instruments Corp.    Technology    14.36%
CPN    Calpine Corp.    Utilities    14.36%
PFF    iShares S&P U.S. Preferred Stock Index    Financial    14.36%
PLW    PowerShares 1-30 Laddered Treasury    Financial    14.36%
WRC    Warnaco Group Inc.    Consumer Goods    14.34%
FTI    FMC Technologies, Inc.    Basic Materials    14.33%
NPP    Nuveen Performance Plus Municipal Fund, Inc.    Financial    14.33%
DLM    Del Monte Foods Co.    Consumer Goods    14.31%
BHY    BlackRock High Yield Trust    Financial    14.31%
JJS    iPath DJ-UBS Softs TR Sub-Idx ETN    Financial    14.31%
CTBI    Community Trust Bancorp Inc.    Financial    14.30%
LBND    PowerShares DB 3x Long 25+ Yr Treasury Bond ETN    Financial    14.30%
KF    The Korea Fund Inc.    Financial    14.29%
PIA    Invesco Municipal Premium Income Trust    Financial    14.27%
VTN    Invesco Van Kampen Trust for Investment Grade New York Municipals    Financial    14.27%
TLI    LMP Corporate Loan Fund Inc.    Financial    14.26%
ENR    Energizer Holdings Inc.    Consumer Goods    14.25%
NIO    Nuveen Insured Municipal Opportunity Fund, Inc.    Financial    14.24%
EWH    iShares MSCI Hong Kong Index    Financial    14.24%
CHN    The China Fund, Inc.    Financial    14.24%
NGB    Nuveen Virginia Dividend Advantage Municipal Fund    Financial    14.22%
BARI    Bancorp Rhode Island, Inc.    Financial    14.20%
CNO    CNO Financial Group, Inc.    Financial    14.20%
APX    BlackRock Apex Municipal Fund Inc.    Financial    14.20%
IMMR    Immersion Corporation    Technology    14.19%
UKW    ProShares Ultra Russell MidCap Growth    Financial    14.18%
BZC    Breeze-Eastern Corporation    Industrial Goods    14.17%
CZM    Direxion Daily China Bull 3X Shares    Financial    14.16%
MHI    Pioneer Municipal High Income Trust    Financial    14.15%
EE    El Paso Electric Co.    Utilities    14.15%
CM    Canadian Imperial Bank of Commerce    Financial    14.14%
BLJ    BlackRock New Jersey Municipal Bond Trust    Financial    14.12%
FAX    Aberdeen Asia-Pacific Income Fund Inc.    Financial    14.12%
COP    ConocoPhillips    Basic Materials    14.11%
ELNK    EarthLink Inc.    Technology    14.10%
BPP    BlackRock Credit Allocation Income Trust III    Financial    14.07%
NQS    Nuveen Select Quality Municipal Fund, Inc.    Financial    14.06%
NNO    Nuveen North Carolina Dividend Advantage Municipal Fund 2    Financial    14.06%
MES    Market Vectors Gulf States Index ETF    Financial    14.06%
CIK    Credit Suisse Asset Management Income Fund Inc.    Financial    14.06%
KYE    Kayne Anderson Energy Total Return Fund    Financial    14.05%
CXE    MFS High Income Municipal Trust    Financial    14.04%
PIC    PowerShares Dynamic Insurance    Financial    14.01%
DCOM    Dime Community Bancshares Inc.    Financial    14.01%
KNSY    Kensey Nash Corporation    Healthcare    14.00%
BLE    BlackRock Municipal Income Trust II    Financial    14.00%
GXF    Global X FTSE Nordic 30 ETF    Financial    13.99%
IEX    IDEX Corporation    Industrial Goods    13.99%
MSY    Invesco High Yield Investments Fund, Inc.    Financial    13.98%
TWON    IQ Taiwan Small Cap ETF    Financial    13.98%
CLH    Clean Harbors, Inc.    Industrial Goods    13.97%
NNC    Nuveen North Carolina Premium Income Municipal Fund    Financial    13.97%
YDNT    Young Innovations Inc.    Healthcare    13.95%
STZ    Constellation Brands Inc.    Consumer Goods    13.94%
ACGY    Acergy SA    Basic Materials    13.92%
CY    Cypress Semiconductor Corporation    Technology    13.92%
CNK    Cinemark Holdings Inc.    Services    13.90%
BMO    Bank of Montreal    Financial    13.90%
END    Endeavour International Corporation    Basic Materials    13.89%
NPBC    National Penn Bancshares Inc.    Financial    13.89%
UPG    Universal Power Group Inc.    Services    13.87%
HIHO    Highway Holdings Ltd.    Industrial Goods    13.87%
HNZ    HJ Heinz Co.    Consumer Goods    13.86%
IIM    Invesco Insured Municipal Income Trust    Financial    13.83%
EAD    Wells Fargo Advantage Income Opportunities Fund    Financial    13.81%
NZH    Nuveen California Dividend Advantage Municipal Fund 3    Financial    13.78%
KTEC    Key Technology Inc.    Consumer Goods    13.78%
MTS    Montgomery Street Income Securities Inc.    Financial    13.76%
NXC    Nuveen California Select Tax-Free Income Portfolio    Financial    13.75%
EWX    SPDR S&P Emerging Markets Small Cap    Financial    13.73%
MSM    MSC Industrial Direct Co. Inc.    Services    13.72%
PPR    ING Prime Rate Trust    Financial    13.72%
JOUT    Johnson Outdoors Inc.    Consumer Goods    13.72%
SYNO    Synovis Life Technologies Inc.    Healthcare    13.71%
NETL    NetLogic Microsystems Inc.    Technology    13.71%
FNDT    Fundtech Ltd.    Technology    13.69%
ALE    ALLETE, Inc.    Utilities    13.67%
IEF    iShares Barclays 7-10 Year Treasury    Financial    13.67%
PIN    PowerShares India    Financial    13.66%
SINA    Sina Corp.    Technology    13.66%
VOQ    Invesco Van Kampen Ohio Quality Municipal Trust    Financial    13.65%
STS    Supreme Industries Inc.    Consumer Goods    13.64%
LEG    Leggett & Platt, Incorporated    Consumer Goods    13.62%
PIM    Putnam Master Intermediate Income Trust    Financial    13.62%
NXE    Nuveen Arizona Dividend Advantage Municipal Fund 3    Financial    13.62%
WCRX    Warner Chilcott plc    Healthcare    13.61%
BFED    Beacon Federal Bancorp, Inc.    Financial    13.60%
CART    Carolina Trust Bank    Financial    13.60%
HUBG    Hub Group Inc.    Services    13.59%
BWS    Brown Shoe Co. Inc.    Services    13.58%
TEX    Terex Corp.    Industrial Goods    13.58%
EFT    Eaton Vance Floating-Rate Income Trust    Financial    13.57%
FNI    First Trust ISE Chindia Idx    Financial    13.57%
RFG    Rydex S&P Midcap 400 Pure Growth    Financial    13.56%
AVGO    Avago Technologies Limited    Technology    13.56%
GLP    Global Partners LP    Services    13.55%
NKG    Nuveen Georgia Dividend Advantage Municipal Fund 2    Financial    13.54%
NAD    Nuveen Dividend Advantage Municipal Fund    Financial    13.53%
CSGP    CoStar Group Inc.    Services    13.53%
CLUB    Town Sports International Holdings Inc.    Services    13.52%
PJP    PowerShares Dynamic Pharmaceuticals    Financial    13.51%
JNPR    Juniper Networks, Inc.    Technology    13.50%
XLI    Industrial Select Sector SPDR    Financial    13.49%
GRI    Cohen & Steers Global Realty Majors ETF    Financial    13.48%
SUP    Superior Industries International, Inc.    Consumer Goods    13.48%
MMV    Eaton Vance Massachusetts Municipal Income Trust    Financial    13.47%
DY    Dycom Industries Inc.    Industrial Goods    13.45%
WAT    Waters Corp.    Technology    13.44%
ETP    Energy Transfer Partners L.P.    Basic Materials    13.44%
SBI    Western Asset Intermediate Muni Fund Inc.    Financial    13.44%
NHTB    New Hampshire Thrift Bancshares Inc.    Financial    13.44%
NENG    Network Engines Inc.    Technology    13.43%
VCR    Vanguard Consumer Discretionary ETF    Financial    13.43%
EWS    iShares MSCI Singapore Index    Financial    13.40%
LUFK    Lufkin Industries Inc.    Basic Materials    13.38%
HOG    Harley-Davidson, Inc.    Consumer Goods    13.35%
NEA    Nuveen Insured Tax-Free Advantage Municipal Fund    Financial    13.35%
PSK    SPDR Wells Fargo Preferred Stock    Financial    13.35%
CRVP    Crystal Rock Holdings, Inc.    Services    13.33%
SCLN    SciClone Pharmaceuticals, Inc.    Healthcare    13.30%
BPK    BlackRock Municipal 2018 Term Trust    Financial    13.30%
LAD    Lithia Motors Inc.    Services    13.30%
DVA    DaVita, Inc.    Healthcare    13.28%
RSG    Republic Services, Inc.    Industrial Goods    13.27%
NTT    Nippon Telegraph & Telephone Corp.    Technology    13.27%
SEAC    SeaChange International Inc.    Services    13.26%
SOCB    Southcoast Financial Corp.    Financial    13.26%
CHT    Chunghwa Telecom Co. Ltd.    Technology    13.25%
WWVY    Warwick Valley Telephone Company    Technology    13.23%
NGPC    NGP Capital Resources Company    Financial    13.21%
ACC    American Campus Communities Inc.    Financial    13.20%
REFR    Research Frontiers Inc.    Services    13.19%
VMM    Delaware Investments Minnesota Municipal Income Fund II    Financial    13.19%
VGM    Invesco Van Kampen Trust for Investment Grade Municipals    Financial    13.19%
CXH    MFS Investment Grade Municipal Trust    Financial    13.18%
ABB    ABB Ltd.    Industrial Goods    13.16%
JKHY    Jack Henry & Associates Inc.    Technology    13.16%
PT    Portugal Telecom SGPS SA    Technology    13.16%
NZR    Nuveen Maryland Dividend Advantage Municipal Fund 2    Financial    13.16%
CMLS    Cumulus Media Inc.    Services    13.16%
PHI    Philippine Long Distance Telephone Co.    Technology    13.15%
FTR    Frontier Communications Corporation    Technology    13.15%
FMD    First Marblehead Corp.    Financial    13.15%
EVY    Eaton Vance New York Municipal Income Trust    Financial    13.14%
FLS    Flowserve Corp.    Industrial Goods    13.13%
ATX    A.T. Cross Company    Consumer Goods    13.12%
MMC    Marsh & McLennan Companies, Inc.    Financial    13.11%
TGT    Target Corp.    Services    13.07%
EBF    Ennis Inc.    Consumer Goods    13.06%
BLC    Belo Corp.    Services    13.05%
API    Advanced Photonix Inc.    Technology    13.04%
FMS    Fresenius Medical Care AG & Co. KGAA    Healthcare    13.04%
IGV    iShares S&P North Amer Tech-Software    Financial    13.04%
BRID    Bridgford Foods Corp.    Consumer Goods    13.04%
IIVI    II-VI Inc.    Technology    13.02%
HDSN    Hudson Technologies Inc.    Services    13.01%
CVV    CVD Equipment Corp.    Industrial Goods    13.01%
NFM    Nuveen Maryland Dividend Advantage Municipal Fund    Financial    13.01%
HR    Healthcare Realty Trust Inc.    Financial    13.00%
FLR    Fluor Corporation    Industrial Goods    12.99%
UTIW    UTi Worldwide Inc.    Services    12.98%
TRLG    True Religion Apparel Inc.    Consumer Goods    12.98%
CMU    MFS High Yield Municipal Trust    Financial    12.95%
WGL    WGL Holdings Inc.    Utilities    12.94%
SMTC    Semtech Corp.    Technology    12.93%
MMT    MFS Multimarket Income Trust    Financial    12.93%
ICB    Morgan Stanley Income Securities Inc.    Financial    12.92%
PCY    PowerShares Emerging Mkts Sovereign Debt    Financial    12.92%
SCD    LMP Capital and Income Fund Inc.    Financial    12.92%
NMA    Nuveen Municipal Advantage Fund, Inc.    Financial    12.92%
LPSN    LivePerson Inc.    Services    12.91%
TYG    Tortoise Energy Infrastructure Corp.    Financial    12.91%
NBS    Neostem, Inc.    Healthcare    12.90%
ATSC    ATS Corporation    Technology    12.90%
GGN    The Gabelli Global Gold, Natural Resources & Income Trust    Financial    12.87%
CLWR    Clearwire Corporation    Technology    12.87%
ARJ    Arch Chemicals Inc.    Basic Materials    12.87%
PBHC    Pathfinder Bancorp Inc.    Financial    12.86%
BNS    The Bank Of Nova Scotia    Financial    12.85%
TENZ    PIMCO 7-15 Year U.S. Treasury Index ETF    Financial    12.84%
SOR    Source Capital, Inc.    Financial    12.84%
NRGY    Inergy, L.P.    Services    12.84%
FCNCA    First Citizens Bancshares Inc.    Financial    12.83%
EFSC    Enterprise Financial Services Corp.    Financial    12.80%
SIX    Six Flags Entertainment Corp.    Services    12.79%
IAG    IAMGOLD Corp.    Basic Materials    12.79%
BMY    Bristol-Myers Squibb Company    Healthcare    12.78%
CWTR    Coldwater Creek Inc.    Consumer Goods    12.78%
DVM    Cohen & Steers Dividend Majors Fund Inc.    Financial    12.73%
MUR    Murphy Oil Corporation    Basic Materials    12.73%
WPCS    WPCS International Incorporated    Technology    12.72%
CBS    CBS Corporation    Services    12.71%
LMIA    LMI Aerospace Inc.    Industrial Goods    12.71%
BRAZ    Global X Brazil Mid Cap ETF    Financial    12.70%
NS    NuStar Energy L.P.    Basic Materials    12.70%
GG    Goldcorp Inc.    Basic Materials    12.70%
BRKR    Bruker Corporation    Technology    12.69%
DRR    Market Vectors Double Short Euro ETN    Financial    12.69%
RCS    PIMCO Strategic Global Government Fund Inc.    Financial    12.68%
PBIO    Pressure BioSciences, Inc.    Healthcare    12.67%
SFY    Swift Energy Co.    Basic Materials    12.65%
CIM    Chimera Investment Corporation    Financial    12.64%
EXK    Endeavour Silver Corp.    Basic Materials    12.64%
NTX    Nuveen Texas Quality Income Municipal Fund    Financial    12.62%
EUO    ProShares UltraShort Euro    Financial    12.62%
FMO    Fiduciary/Claymore MLP Opportunity Fund    Financial    12.62%
BMJ    Birks & Mayors Inc.    Services    12.61%
GNW    Genworth Financial Inc.    Financial    12.60%
FHO    First Trust First Trust  Strate    Financial    12.60%
BDN    Brandywine Realty Trust    Financial    12.59%
ACXM    Acxiom Corporation    Technology    12.58%
NSSC    Napco Security Technologies, Inc.    Services    12.57%
SRCE    1st Source Corporation    Financial    12.56%
GPM    Guggenheim Enhanced Equity Income Fund    Financial    12.53%
VFL    Delaware Investments National Municipal Income Fund    Financial    12.52%
DHX    Dice Holdings, Inc.    Services    12.52%
PGN    Progress Energy Inc.    Utilities    12.51%
WSB    WSB Holdings, Inc.    Financial    12.50%
LBF    DWS Global High Income Fund, Inc.    Financial    12.50%
JTD    Nuveen Tax-Advantaged Dividend Growth Fund    Financial    12.48%
GULF    WisdomTree Middle East Dividend    Financial    12.47%
MGEE    MGE Energy Inc.    Utilities    12.47%
NKR    Nuveen Arizona Dividend Advantage Municipal Fund 2    Financial    12.45%
PNF    PIMCO New York Municipal Income Fund    Financial    12.44%
MMU    Western Asset Managed Municipals Fund Inc.    Financial    12.44%
DEM    WisdomTree Emerging Markets Equity Inc    Financial    12.43%
CASC    Cascade Corp.    Industrial Goods    12.43%
GFIG    GFI Group Inc.    Financial    12.42%
LLEN    L & L Energy, Inc.    Basic Materials    12.40%
JFT    KEYnotes First Trust Enh 130/30 LgCp ETN    Financial    12.39%
RNR    RenaissanceRe Holdings Ltd.    Financial    12.39%
PRN    PowerShares Dynamic Industrials    Financial    12.38%
XLY    Consumer Discret Select Sector SPDR    Financial    12.37%
GPRO    Gen-Probe Inc.    Services    12.37%
MW    The Men's Wearhouse, Inc.    Services    12.35%
AADR    WCM BNY Mellon Focused Growth A    Financial    12.35%
PGX    PowerShares Preferred    Financial    12.34%
SBW    Western Asset Worldwide Income Fund Inc.    Financial    12.33%
MRX    Medicis Pharmaceutical Corp.    Healthcare    12.33%
JGV    Nuveen Global Value Opportuniti    Financial    12.33%
SNA    Snap-on Inc.    Industrial Goods    12.32%
DAKT    Daktronics Inc.    Industrial Goods    12.32%
SCO    ProShares UltraShort DJ-UBS Crude Oil    Financial    12.31%
ACI    Arch Coal Inc.    Basic Materials    12.30%
KONA    Kona Grill Inc.    Services    12.29%
NP    Neenah Paper, Inc.    Consumer Goods    12.27%
GEF    Greif, Inc.    Consumer Goods    12.26%
KMR    Kinder Morgan Management LLC    Basic Materials    12.26%
LATM    Market Vectors LatAm Small-Cap Index ETF    Financial    12.25%
LKFN    Lakeland Financial Corp.    Financial    12.24%
IAK    iShares Dow Jones US Insurance    Financial    12.24%
AXMT    iShares MSCI ACWI ex US Materia    Financial    12.21%
BAK    Braskem S.A.    Basic Materials    12.20%
CBNJ    Cape Bancorp, Inc.    Financial    12.20%
CHKM    Chesapeake Midstream Partners, L.P.    Basic Materials    12.19%
MXA    Minnesota Municipal Income Portfolio Inc.    Financial    12.18%
BFY    BlackRock New York Municipal Income Trust II    Financial    12.18%
OGE    OGE Energy Corp.    Utilities    12.17%
CRT    Cross Timbers Royalty Trust    Basic Materials    12.15%
NTWK    NetSol Technologies, Inc.    Technology    12.15%
BKT    BlackRock Income Trust, Inc.    Financial    12.14%
FCT    MyPhotoAlbum, Inc.    Financial    12.12%
NPX    Nuveen Insured Premium Income Municipal Fund 2    Financial    12.12%
DNO    United States Short Oil    Financial    12.12%
ASI    American Safety Insurance Holdings Ltd.    Financial    12.11%
WRB    W.R. Berkley Corporation    Financial    12.11%
EVG    Eaton Vance Short Duration Diversified Income Fund    Financial    12.10%
VBF    Invesco Van Kampen Bond Fund    Financial    12.10%
PBH    Prestige Brands Holdings Inc.    Healthcare    12.09%
CLX    Clorox Corporation    Consumer Goods    12.08%
GTU    Central GoldTrust    Basic Materials    12.07%
NPG    Nuveen Georgia Premium Income Municipal Fund    Financial    12.05%
AMZN Inc.    Services    12.05%
EXPE    Expedia Inc.    Services    12.05%
TRCI    Technology Research Corp.    Industrial Goods    12.04%
SZO    PowerShares DB Crude Oil Short ETN    Financial    12.04%
PHD    Pioneer Floating Rate Trust    Financial    12.01%
MGLN    Magellan Health Services Inc.    Healthcare    12.01%
TESS    TESSCO Technologies Inc.    Services    12.00%
BPFH    Boston Private Financial Holdings Inc.    Financial    12.00%
EMJ    Eaton Vance New Jersey Municipal Bond Fund    Financial    12.00%
BRXX    EGS INDXX Brazil Infrastructure    Financial    12.00%
DKS    Dick's Sporting Goods Inc.    Services    11.98%
ALOG    Analogic Corporation    Technology    11.97%
ABG    Asbury Automotive Group, Inc.    Services    11.97%
BIV    Vanguard Intermediate-Term Bond ETF    Financial    11.97%
FIRE    Sourcefire, Inc.    Technology    11.97%
THRD    TF Financial Corporation    Financial    11.96%
NRK    Nuveen Insured New York Tax-Free Advantage Municipal Fund    Financial    11.95%
CRRB    Carrollton Bancorp    Financial    11.94%
EIV    Eaton Vance Municipal Bond Fund II    Financial    11.93%
MLPL    UBS AG 2X Monthly Leveraged Lon    Financial    11.91%
HTS    Hatteras Financial Corp    Financial    11.91%
BKJ    Bancorp Of New Jersey, Inc.    Financial    11.90%
BWP    Boardwalk Pipeline Partners, LP    Basic Materials    11.90%
USAK    USA Truck Inc.    Services    11.90%
HAO    Claymore/AlphaShares China Small Cap    Financial    11.89%
PDP    PowerShares DWA Technical Leaders    Financial    11.88%
DCW    DCW Total Return Fund    Financial    11.88%
NGK    Nuveen Connecticut Dividend Advantage Municipal Fund 2    Financial    11.88%
HSA    Helios Strategic Income Fund, Inc.    Financial    11.86%
WCAA    WCA Waste Corporation    Industrial Goods    11.86%
FRO    Frontline Ltd.    Services    11.86%
LAQ    Aberdeen Latin America Equity Fund, Inc.    Financial    11.85%
CCK    Crown Holdings Inc.    Consumer Goods    11.85%
FFR    First Trust FTSE EN Dev Mkts Rel Est Idx    Financial    11.84%
IRETP    Investors Real Estate Trust    Financial    11.83%
LTPZ    PIMCO 15+ Year US TIPS Index ETF    Financial    11.83%
JRN    Journal Communications Inc.    Services    11.83%
NPV    Nuveen Virginia Premium Income Municipal Fund    Financial    11.82%
PSUN    Pacific Sunwear of California Inc.    Services    11.81%
SRZ    Sunrise Senior Living Inc.    Healthcare    11.80%
CASS    Cass Information Systems Inc.    Financial    11.80%
AXDI    iShares MSCI ACWI ex US Consume    Financial    11.78%
JFR    Nuveen Floating Rate Income Fund    Financial    11.78%
PEP    Pepsico, Inc.    Consumer Goods    11.77%
BRF    Market Vectors Brazil Small-Cap ETF    Financial    11.76%
EGAS    Gas Natural Inc.    Utilities    11.75%
TWX    Time Warner Inc.    Services    11.75%
IJK    iShares S&P MidCap 400 Growth Index    Financial    11.74%
EVP    Eaton Vance Pennsylvania Municipal Income Trust    Financial    11.73%
MVC    MVC Capital, Inc.    Financial    11.72%
HFFC    HF Financial Corp.    Financial    11.70%
ENB    Enbridge Inc.    Basic Materials    11.70%
KRC    Kilroy Realty Corp.    Financial    11.70%
AVTR    Avatar Holdings Inc.    Industrial Goods    11.70%
ACU    Acme United Corp.    Consumer Goods    11.69%
WBSN    Websense, Inc.    Technology    11.68%
TWN    The Taiwan Fund, Inc.    Financial    11.68%
AU    AngloGold Ashanti Ltd.    Basic Materials    11.67%
MHF    Western Asset Municipal High Income Fund Inc.    Financial    11.67%
HOC    Holly Corporation    Basic Materials    11.66%
MCR    MFS Charter Income Trust    Financial    11.65%
VIS    Vanguard Industrials ETF    Financial    11.63%
FTO    Frontier Oil Corp.    Basic Materials    11.63%
AFK    Market Vectors Africa Index ETF    Financial    11.62%
ALNC    Alliance Financial Corporation    Financial    11.61%
VCLT    Vanguard Long-Term Corp Bond Idx ETF    Financial    11.61%
EMB    iShares JPMorgan USD Emerg Markets Bond    Financial    11.61%
BCS    Barclays PLC    Financial    11.60%
OMN    OMNOVA Solutions Inc.    Basic Materials    11.58%
KEX    Kirby Corporation    Services    11.57%
LNG    Cheniere Energy, Inc.    Basic Materials    11.57%
NLY    Annaly Capital Management, Inc.    Financial    11.57%
PCH    Potlatch Corporation    Consumer Goods    11.56%
NSEC    National Security Group Inc.    Financial    11.56%
TYC    Tyco International Ltd.    Industrial Goods    11.54%
RPI    Roberts Realty Investors Inc.    Financial    11.54%
PX    Praxair Inc.    Basic Materials    11.54%
SDRL    SeaDrill Limited    Basic Materials    11.53%
PHC    PHC Inc.    Healthcare    11.50%
IYT    iShares Dow Jones Transportation Average    Financial    11.50%
LQD    iShares iBoxx $ Invest Grade Corp Bond    Financial    11.50%
RNST    Renasant Corp.    Financial    11.50%
CZWI    Citizens Community Bancorp, Inc.    Financial    11.47%
FISV    Fiserv, Inc.    Services    11.47%
RAS    RAIT Financial Trust    Financial    11.45%
FXD    First Trust Consumer Disc AlphaDEX    Financial    11.44%
IDA    IdaCorp, Inc.    Utilities    11.44%
FRA    BlackRock Floating Rate Income Strategies Fund, Inc.    Financial    11.43%
RCKB    Rockville Financial Inc.    Financial    11.42%
PVX    Provident Energy Trust    Basic Materials    11.41%
EDE    Empire District Electric Co.    Utilities    11.40%
CNTF    China Techfaith Wireless Communication Technology Ltd.    Technology    11.40%
JBHT    JB Hunt Transport Services Inc.    Services    11.40%
GE    General Electric Co.    Conglomerates    11.40%
IMKTA    Ingles Markets Inc.    Services    11.40%
SNCR    Synchronoss Technologies, Inc.    Technology    11.39%
PKI    PerkinElmer Inc.    Healthcare    11.38%
EVO    Eaton Vance Ohio Municipal Income Trust    Financial    11.37%
ANO    Anooraq Resources Corporation    Basic Materials    11.37%
ELSE    Electro-Sensors Inc.    Technology    11.36%
LWC    SPDR Barclays Capital Long Crdt Term Bd    Financial    11.35%
MUA    BlackRock MuniAssets Fund, Inc.    Financial    11.35%
ABIO    ARCA biopharma, Inc.    Healthcare    11.35%
ORBK    Orbotech Ltd.    Technology    11.35%
HGG    hhgregg, Inc.    Services    11.35%
PEY    PowerShares HighYield Dividend Achievers    Financial    11.32%
NFX    Newfield Exploration Co.    Basic Materials    11.32%
KLIC    Kulicke & Soffa Industries Inc.    Technology    11.32%
SE    Spectra Energy Corp.    Basic Materials    11.31%
PZZA    Papa John's International Inc.    Services    11.30%
CNSL    Consolidated Communications Holdings Inc.    Technology    11.28%
ALC    Assisted Living Concepts Inc.    Healthcare    11.26%
TSU    TIM Participacoes S.A.    Technology    11.26%
PPT    Planet Payment, Inc.    Financial    11.26%
Y    Alleghany Corp.    Financial    11.25%
BBG    Bill Barrett Corp.    Basic Materials    11.25%
EOC    Empresa Nacional de Electricidad S.A.    Utilities    11.22%
DRE    Duke Realty Corp.    Financial    11.21%
EBMT    Eagle Bancorp Montana, Inc.    Financial    11.18%
HMY    Harmony Gold Mining Co. Ltd.    Basic Materials    11.18%
HIO    Western Asset High Income Opportunity Fund Inc.    Financial    11.17%
VLCM    Volcom Inc.    Consumer Goods    11.17%
ARCW    ARC Wireless Solutions Inc.    Technology    11.16%
DINE    Rewards Network Inc.    Services    11.16%
VCIT    Vanguard Interm-Tm Corp Bd Idx ETF    Financial    11.15%
SIG    Signet Jewelers Limited    Services    11.15%
DES    WisdomTree SmallCap Dividend    Financial    11.15%
TRT    Trio-Tech International    Technology    11.15%
FMN    Federated Premier Municipal Income Fund    Financial    11.14%
HCN    Health Care REIT Inc.    Financial    11.14%
MIW    Eaton Vance Michigan Municipal Bond Fund    Financial    11.13%
EVJ    Eaton Vance New Jersey Municipal Income Trust    Financial    11.13%
TMP    Tompkins Financial Corporation.    Financial    11.11%
XAA    American Municipal Income Portfolio Inc.    Financial    11.11%
QSND    QSound Labs Inc.    Consumer Goods    11.11%
IKNX    Ikonics Corp.    Consumer Goods    11.11%
RDI    Reading International Inc.    Financial    11.11%
BRFS    BRF - Brasil Foods S.A.    Consumer Goods    11.10%
NMZ    Nuveen Municipal High Income Opportunity Fund    Financial    11.10%
CPK    Chesapeake Utilities Corporation    Utilities    11.10%
TACT    TransAct Technologies Incorporated    Technology    11.10%
KBE    SPDR KBW Bank    Financial    11.08%
ARAY    Accuray Incorporated    Healthcare    11.05%
DOD    ELEMENTS DJ High Yield Select 10 ETN    Financial    11.05%
WBCO    Washington Banking Co.    Financial    11.05%
ARRY    Array BioPharma, Inc.    Healthcare    11.03%
SFN    SFN Group, Inc.    Services    11.03%
CHKE    Cherokee Inc.    Consumer Goods    11.03%
ECF    Ellsworth Fund Ltd.    Financial    11.02%
CLMT    Calumet Specialty Products Partners LP    Basic Materials    11.02%
SLA    American Select Portfolio Inc.    Financial    11.02%
GRZ    Gold Reserve Inc.    Basic Materials    11.01%
DNEX    Dionex Corp.    Technology    11.00%
ED    Consolidated Edison Inc.    Utilities    11.00%
SJW    SJW Corp.    Utilities    11.00%
FUD    UBS E-TRACS CMCI Food TR ETN    Financial    11.00%

Good Luck .. Trade Smart!

For the latest updates on the stock market, visit, or Subscribe for free.