Below are the 388 U.S. stocks rising on unusual trading volume yesterday, ranked based on daily price change.
Ranking | Company (Ticker) | Volume % Change from 10-Day Average | Daily Price Change
1 Wowjoint Holdings Ltd (BWOWU) 3873% 82.8%
2 Altair Nanotechnologies, Inc. (ALTI) 515% 34.0%
3 Cepheid (CPHD) 702% 28.9%
1 Wowjoint Holdings Ltd (BWOWU) 3873% 82.8%
2 Altair Nanotechnologies, Inc. (ALTI) 515% 34.0%
3 Cepheid (CPHD) 702% 28.9%
4 China Education Alliance, Inc. (CEU) 659% 28.6%
5 Jingwei International Limited (JNGW) 1317% 28.2%
6 China Wind Systems, Inc. (CLNT) 234% 26.7%
7 ParkerVision, Inc. (PRKR) 922% 25.8%
8 Gasco Energy, Inc. (GSX) 304% 23.9%
9 Seanergy Maritime Holdings Corp. (SHIPD) 129% 21.4%
10 Provident Community Bancshares Inc. (PCBS) 506% 20.8%
11 Advanced Micro Devices, Inc. (AMD) 256% 19.2%
12 Skyworks Solutions, Inc. (SWKS) 262% 19.0%
13 Novogen Limited (ADR) (NVGN) 688% 18.7%
14 athenahealth, Inc (ATHN) 972% 17.5%
15 China Precision Steel, Inc. (CPSL) 350% 15.8%
16 Yuhe International, Inc (YUII) 356% 15.5%
17 Marshall Edwards, Inc. (MSHL) 600% 14.7%
18 Crosshair Exploration & Mining Corp. (CXZ) 634% 14.7%
19 Hauppauge Digital, Inc. (HAUP) 2090% 13.9%
20 Pathfinder Bancorp, Inc. (PBHC) 1400% 13.4%
21 VisionChina Media Inc (ADR) (VISN) 210% 13.3%
22 RSC Holdings Inc. (RRR) 209% 11.5%
23 LRAD Corporation (LRAD) 572% 11.1%
24 China Zenix Auto International Ltd (ZX) 487% 10.1%
25 LDK Solar Co., Ltd (ADR) (LDK) 68% 9.9%
26 Celestica Inc. (USA) (CLS) 448% 9.7%
27 Wuhan General Group China Inc. (WUHN) 518% 9.7%
28 Denison Mines Corp. (DNN) 321% 9.7%
29 Lattice Semiconductor (LSCC) 135% 9.7%
30 SanDisk Corporation (SNDK) 182% 9.6%
31 GulfMark Offshore, Inc. (GLF) 413% 9.5%
32 Entegris, Inc. (ENTG) 92% 9.4%
33 China Advanced Con. Materials Gr. Inc (CADC) 615% 9.4%
34 Flextronics International Ltd. (FLEX) 177% 9.4%
35 B + H Ocean Carriers Ltd. (BHO) 108% 9.4%
36 Acme Packet, Inc. (APKT) 168% 9.3%
37 Orsus Xelent Technologies Inc. (ORS) 352% 8.9%
38 WorldHeart Corporation (USA) (WHRT) 118% 8.9%
39 B Communications Ltd (BCOM) 95% 8.8%
40 Tuesday Morning Corporation (TUES) 98% 8.7%
41 Premiere Global Services, Inc. (PGI) 426% 8.6%
42 QuickLogic Corporation (QUIK) 64% 8.5%
43 Silicon Motion Technology Corp. (ADR) (SIMO) 75% 8.4%
44 Western Digital Corp. (WDC) 194% 8.3%
45 Digimarc Corporation (DMRC) 188% 8.0%
46 Acacia Research Corporation (ACTG) 221% 7.9%
47 Semiconductor Manufacturing Int'l (ADR) (SMI) 150% 7.9%
48 Arcos Dorados Holding Inc (ARCO) 257% 7.9%
49 Repros Therapeutics Inc. (RPRX) 255% 7.8%
50 Complete Production Services, Inc. (CPX) 153% 7.6%
51 American Oriental Bioengineering, Inc. (AOB) 53% 7.5%
52 Informatica Corporation (INFA) 76% 7.5%
53 Chyron Corporation (CHYR) 140% 7.5%
54 SandRidge Energy Inc. (SD) 74% 7.5%
55 NCR Corporation (NCR) 127% 7.4%
56 Dreams, Inc. (DRJ) 253% 7.2%
57 Compuware Corporation (CPWR) 131% 7.1%
58 HORSEHEAD HOLDING CORP. (ZINC) 304% 7.1%
59 1st Source Corporation (SRCE) 308% 7.0%
60 CKX Lands Inc (CKX) 108% 7.0%
61 ION Geophysical Corporation (IO) 84% 6.9%
62 China Direct Industries, Inc. (CDII) 320% 6.9%
63 Mackinac Financial Corporation (MFNC) 2681% 6.8%
64 BioDelivery Sciences International, Inc. (BDSI) 141% 6.8%
65 Sino-Global Shipping America, Ltd. (SINO) 301% 6.8%
66 IDEXX Laboratories, Inc. (IDXX) 391% 6.7%
67 Gardner Denver, Inc. (GDI) 308% 6.7%
68 Pressure BioSciences, Inc. (PBIO) 51% 6.7%
69 CVD Equipment Corporation (CVV) 155% 6.6%
70 Monarch Community Bancorp, Inc. (MCBF) 307% 6.6%
71 NASB Financial, Inc. (NASB) 60% 6.5%
72 China Botanic Pharmaceutical Inc (CBP) 296% 6.5%
73 Southern Missouri Bancorp, Inc. (SMBC) 618% 6.5%
74 China Agritech Inc. (CAGC) 50% 6.5%
75 SMART Technologies Inc (SMT) 433% 6.4%
76 Pinnacle Data Systems, Inc. (PNS) 250% 6.4%
77 Photronics, Inc. (PLAB) 124% 6.4%
78 Vical Incorporated (VICL) 69% 6.3%
79 Kent Financial Services, Inc. (KENT) 72% 6.3%
80 Curis, Inc. (CRIS) 192% 6.3%
81 Pixelworks, Inc. (PXLW) 623% 6.3%
82 Polycom, Inc. (PLCM) 169% 6.1%
83 Travelzoo Inc. (TZOO) 82% 6.1%
84 Yadkin Valley Financial Corp. (YAVY) 107% 6.0%
85 AVANIR Pharmaceuticals (AVNR) 425% 6.0%
86 Builders FirstSource, Inc. (BLDR) 84% 6.0%
87 Old Point Financial Corporation (OPOF) 2976% 5.9%
88 Cogo Group, Inc. (COGO) 319% 5.8%
89 India Globalization Capital, Inc. (IGC) 116% 5.7%
90 Hornbeck Offshore Services, Inc. (HOS) 92% 5.7%
91 Uranium Resources, Inc. (URRE) 109% 5.5%
92 Hancock Holding Company (HBHC) 143% 5.5%
93 CyberOptics Corporation (CYBE) 63% 5.4%
94 Textainer Group Holdings Limited (TGH) 96% 5.4%
95 Arena Pharmaceuticals, Inc. (ARNA) 77% 5.4%
96 MIPS Technologies, Inc. (MIPS) 86% 5.3%
97 Bionovo Inc. (BNVI) 307% 5.3%
98 Biostar Pharmaceuticals, Inc. (BSPM) 64% 5.2%
99 Performance Technologies (PTIX) 64% 5.2%
100 Guaranty Bancorp (GBNK) 102% 5.2%
101 Chicago Bridge & Iron Company N.V. (CBI) 125% 5.1%
102 China Sunergy Co., Ltd. (ADR) (CSUN) 140% 5.1%
103 CorMedix Inc. (CRMD.U) 307% 5.1%
104 General Steel Holdings, Inc. (GSI) 91% 5.0%
105 Crocs, Inc. (CROX) 72% 4.9%
106 Magyar Bancorp, Inc. (MGYR) 148% 4.9%
107 HiSoft Technology Internatnl Ltd (ADR) (HSFT) 51% 4.7%
108 Datalink Corporation (DTLK) 84% 4.7%
109 Simcere Pharmaceutical Group (ADR) (SCR) 95% 4.6%
110 Kingstone Companies, Inc. (KINS) 1172% 4.6%
111 JDS Uniphase Corporation (JDSU) 112% 4.6%
112 Western Alliance Bancorporation (WAL) 190% 4.6%
113 Rambus Inc. (RMBS) 188% 4.5%
114 Dehaier Medical Systems Ltd (DHRM) 263% 4.5%
115 Kips Bay Medical, Inc. (KIPS) 92% 4.5%
116 Atrinsic, Inc. (ATRN) 59% 4.5%
117 GenVec, Inc. (GNVC) 62% 4.4%
118 Mattson Technology, Inc. (MTSN) 87% 4.4%
119 CTI Industries Corp. (CTIB) 1518% 4.4%
120 Ur-Energy Inc. (USA) (URG) 187% 4.4%
121 Retractable Technologies, Inc. (RVP) 384% 4.4%
122 Industrial Services of America, Inc. (IDSA) 154% 4.3%
123 PMC-Sierra, Inc. (PMCS) 239% 4.3%
124 Alpha Pro Tech, Ltd. (APT) 131% 4.2%
125 Exide Technologies (XIDE) 83% 4.2%
126 ViaSat, Inc. (VSAT) 157% 4.2%
127 SuccessFactors, Inc. (SFSF) 76% 4.1%
128 Paulson Capital Corp. (PLCC) 1704% 4.1%
129 MDC Partners Inc. (USA) (MDCA) 65% 4.1%
130 Hypercom Corporation (HYC) 278% 4.0%
131 Central European Media Enterprises Ltd. (CETV) 70% 4.0%
132 Herald National Bank (HNB) 125% 3.9%
133 VSE Corporation (VSEC) 121% 3.8%
134 Wayne Savings Bancshares, Inc (WAYN) 117% 3.8%
135 Cardiovascular Systems, Inc. (CSII) 92% 3.8%
136 seacube container leasing ltd (BOX) 99% 3.8%
137 Verenium Corporation (VRNM) 70% 3.7%
138 Intelligent Systems Corporation (INS) 519% 3.6%
139 Morton's Restaurant Group, Inc. (MRT) 105% 3.6%
140 Sandridge Mississippian Trust I (SDT) 128% 3.6%
141 PDF Solutions, Inc. (PDFS) 51% 3.6%
142 IMPAC Mortgage Holdings, Inc (IMH) 82% 3.5%
143 Alliance Fiber Optic Products, Inc. (AFOP) 60% 3.5%
144 UniTek Global Services Inc. (UNTK) 175% 3.5%
145 Electronics For Imaging, Inc. (EFII) 111% 3.5%
146 SoundBite Communications Inc. (SDBT) 966% 3.5%
147 GigaMedia Limited (GIGM) 82% 3.5%
148 Orbital Sciences Corp. (ORB) 67% 3.4%
149 China Nutrifruit Group Ltd (CNGL) 76% 3.4%
150 China Shenghuo Pharmaceutical Hldg, Inc. (KUN) 466% 3.4%
151 Medco Health Solutions Inc. (MHS) 53% 3.3%
152 Fortune Industries, Inc. (FFI) 66% 3.3%
153 BlueLinx Holdings Inc. (BXC) 93% 3.3%
154 RPC, Inc. (RES) 50% 3.3%
155 Servotronics, Inc. (SVT) 60% 3.2%
156 AmerisourceBergen Corp. (ABC) 88% 3.2%
157 Carrols Restaurant Group, Inc. (TAST) 173% 3.2%
158 Schlumberger Limited. (SLB) 105% 3.1%
159 Ryanair Holdings plc (ADR) (RYAAY) 163% 3.1%
160 Ocean Shore Holding Co. (OSHC) 348% 3.1%
161 Ohio Legacy Corp (OLCB) 343% 3.1%
162 MediciNova, Inc. (MNOV) 188% 3.1%
163 The Chubb Corporation (CB) 124% 3.0%
164 Lihua International, Inc. (LIWA) 81% 3.0%
165 Empresas ICA SA (ADR) (ICA) 73% 3.0%
166 Cymer, Inc. (CYMI) 194% 2.9%
167 ZBB Energy Corporation (ZBB) 108% 2.9%
168 PostRock Energy Corporation (PSTR) 175% 2.9%
169 Indiana Community Bancorp (INCB) 1731% 2.9%
170 Pacific Office Properties Trust Inc. (PCE) 71% 2.9%
171 DayStar Technologies Inc. (DSTI) 64% 2.8%
172 Mellanox Technologies, Ltd. (MLNX) 186% 2.8%
173 Dynamics Research Corporation (DRCO) 87% 2.8%
174 Mid Penn Bancorp, Inc. (MPB) 55% 2.8%
175 Birner Dental Mgmt. Services (BDMS) 59% 2.8%
176 Energy Conversion Devices, Inc. (ENER) 66% 2.8%
177 BIDZ.com, Inc. (BIDZ) 207% 2.8%
178 Weatherford International Ltd. (WFT) 182% 2.8%
179 Premier Exhibitions, Inc. (PRXI) 90% 2.7%
180 Calumet Specialty Products Partners, L.P (CLMT) 58% 2.7%
181 Superior Energy Services, Inc. (SPN) 60% 2.7%
182 PositiveID Corporation (PSID) 210% 2.7%
183 Stantec Inc. (USA) (STN) 117% 2.7%
184 Bank of SC Corporation (BKSC) 104% 2.6%
185 Niagara Mohawk Power Corporation (NMK PR B) 1682% 2.6%
186 Molycorp, Inc. (MCP) 203% 2.6%
187 A.C. Moore Arts & Crafts (ACMR) 123% 2.6%
188 Amarin Corporation plc (ADR) (AMRN) 59% 2.6%
189 Allied Healthcare Product (AHPI) 260% 2.6%
190 The Hershey Company (HSY) 126% 2.5%
191 Selectica, Inc. (SLTC) 52% 2.5%
192 PT Indosat Tbk (ADR) (IIT) 169% 2.5%
193 Digi International Inc. (DGII) 305% 2.5%
194 Sutor Technology Group Ltd. (SUTR) 85% 2.4%
195 Provident Financial Holdings, Inc. (PROV) 355% 2.4%
196 MFS Special Value Trust (MFV) 72% 2.4%
197 On Assignment, Inc. (ASGN) 87% 2.4%
198 McDonald's Corporation (MCD) 106% 2.3%
199 Micronetics Inc. (NOIZ) 176% 2.3%
200 National-Oilwell Varco, Inc. (NOV) 74% 2.3%
201 WuXi PharmaTech (Cayman) Inc. (ADR) (WX) 244% 2.2%
202 Luna Innovations Incorporated (LUNA) 54% 2.2%
203 Monolithic Power Systems, Inc. (MPWR) 71% 2.1%
204 Cavium Inc (CAVM) 64% 2.1%
205 GrafTech International Ltd. (GTI) 52% 2.1%
206 Echostar Corporation (SATS) 167% 2.1%
207 Summit State Bank (SSBI) 363% 2.0%
208 RF Industries, Ltd. (RFIL) 87% 2.0%
209 MB Financial, Inc. (MBFI) 83% 2.0%
210 Transcat, Inc. (TRNS) 180% 2.0%
211 Antares Pharma Inc (AIS) 136% 2.0%
212 Inventure Foods, Inc. (SNAK) 90% 2.0%
213 Protalix BioTherapeutics Inc. (PLX) 287% 1.9%
214 Autobytel Inc. (ABTL) 55% 1.9%
215 IKONICS Corporation (IKNX) 247% 1.9%
216 Dole Food Company, Inc. (DOLE) 384% 1.9%
217 United Stationers Inc. (USTR) 66% 1.9%
218 First Savings Financial Group, Inc. (FSFG) 4596% 1.9%
219 Primo Water Corporation (PRMW) 95% 1.8%
220 QEP Resources, Inc. (QEP) 53% 1.8%
221 PURE Bioscience (PURE) 142% 1.8%
222 Cerner Corporation (CERN) 53% 1.8%
223 Powell Industries, Inc. (POWL) 217% 1.8%
224 iShares Dow Jones US Oil Equip. (ETF) (IEZ) 102% 1.7%
225 Sucampo Pharmaceuticals, Inc. (SCMP) 139% 1.7%
226 Immersion Corporation (IMMR) 120% 1.7%
227 El Paso Pipeline Partners, L.P. (EPB) 57% 1.7%
228 Safeguard Scientifics, Inc (SFE) 109% 1.7%
229 Nomura Holdings, Inc. (ADR) (NMR) 54% 1.6%
230 Euroseas Ltd. (ESEA) 165% 1.6%
231 Stanley Black & Decker, Inc. (SWK) 51% 1.6%
232 Wireless Telecom Group, Inc. (WTT) 195% 1.5%
233 Spire Corporation (SPIR) 169% 1.5%
234 Banco Santander (Brasil) SA(ADR) (BSBR) 63% 1.5%
235 Food Technology Service (VIFL) 113% 1.5%
236 Manhattan Bridge Capital Inc. (LOAN) 80% 1.5%
237 Income Opportunity Realty Investors, Inc (IOT) 671% 1.5%
238 MetroCorp Bancshares, Inc. (MCBI) 352% 1.4%
239 SED International Holdings, Inc. (SED) 130% 1.4%
240 Nielsen Hldg NV (NLSN) 78% 1.4%
241 Cumulus Media Inc. (CMLS) 118% 1.4%
242 BlackRock Municipal Income Trust II (BLE) 51% 1.4%
243 WESCO International, Inc. (WCC) 88% 1.4%
244 GSE Systems, Inc. (GVP) 302% 1.4%
245 Rodman & Renshaw Capital Group Inc. (RODM) 260% 1.4%
246 Oriental Financial Group Inc. (OFG) 191% 1.4%
247 Standard Parking Corporation (STAN) 257% 1.3%
248 STMicroelectronics N.V. (ADR) (STM) 58% 1.3%
249 Educational Development Corporation (EDUC) 324% 1.3%
250 Harris Interactive Inc. (HPOL) 102% 1.3%
251 SPDR Morgan Stanley Technology (ETF) (MTK) 790% 1.3%
252 Frisch's Restaurants, Inc. (FRS) 164% 1.3%
253 IPC The Hospitalist Company, Inc. (IPCM) 118% 1.3%
254 HeartWare International Inc (HTWR) 160% 1.3%
255 AirMedia Group Inc. (ADR) (AMCN) 77% 1.2%
256 MGIC Investment Corp. (MTG) 115% 1.2%
257 Handy and Harman Ltd (HNH) 93% 1.2%
258 SPDR S&P Biotech (ETF) (XBI) 57% 1.2%
259 Skystar Bio-Pharmaceutical Company (SKBI) 156% 1.2%
260 Investors Title Company (ITIC) 60% 1.2%
261 Monarch Casino & Resort, Inc. (MCRI) 99% 1.1%
262 National Grid plc (ADR) (NGG) 75% 1.1%
263 WVS Financial Corp. (WVFC) 60% 1.1%
264 Synergetics USA Inc. (SURG) 87% 1.1%
265 AmSurg Corp. (AMSG) 60% 1.1%
266 Air T, Inc. (AIRT) 231% 1.1%
267 Harry Winston Diamond Corporation (USA) (HWD) 288% 1.1%
268 Southside Bancshares, Inc. (SBSI) 209% 1.0%
269 BankAtlantic Bancorp, Inc. (BBX) 89% 1.0%
270 Sensient Technologies Corporation (SXT) 79% 1.0%
271 CenturyLink, Inc. (CTL) 64% 1.0%
272 CVB Financial Corp. (CVBF) 57% 1.0%
273 Philippine Long Distance Telephone (ADR) (PHI) 218% 1.0%
274 Delek US Holdings, Inc. (DK) 100% 1.0%
275 Thai Fund Inc. (TTF) 68% 1.0%
276 Cagle's, Inc. (CGL.A) 151% 1.0%
277 Supertel Hospitality Inc (SPPR) 257% 1.0%
278 PowerShares Dynamic Software (ETF) (PSJ) 105% 1.0%
279 Commercial National Financial Corp./PA (CNAF) 98% 1.0%
280 BJ's Wholesale Club, Inc. (BJ) 132% 0.9%
281 Pacholder High Yield Fund Inc (PHF) 77% 0.9%
282 Plexus Corp. (PLXS) 75% 0.9%
283 Taylor Devices, Inc. (TAYD) 135% 0.9%
284 Poniard Pharmaceuticals, Inc. (PARD) 116% 0.9%
285 TC Pipelines, LP (TCLP) 120% 0.9%
286 Dover Downs Gaming & Entertainment, Inc. (DDE) 52% 0.9%
287 Ark Restaurants Corp. (ARKR) 142% 0.9%
288 PC Mall, Inc. (MALL) 86% 0.9%
289 Cytec Industries Inc. (CYT) 217% 0.9%
290 China Automotive Systems, Inc. (CAAS) 189% 0.9%
291 Pearson PLC (ADR) (PSO) 274% 0.9%
292 BlackRock MuniYield Investment Fund Inc. (MYF) 236% 0.8%
293 Tata Communications Limited (ADR) (TCL) 69% 0.8%
294 Idenix Pharmaceuticals, Inc. (IDIX) 67% 0.8%
295 The Greater China Fund, Inc. (GCH) 156% 0.8%
296 Blackrock Muniholdings Fund II Inc. (MUH) 90% 0.7%
297 DXP Enterprises, Inc. (DXPE) 105% 0.7%
298 Compania Cervecerias Unidas S.A. (ADR) (CCU) 102% 0.7%
299 Dover Corporation (DOV) 80% 0.7%
300 Standard Financial Corp. (STND) 57% 0.7%
301 Timberland Bancorp, Inc. (TSBK) 125% 0.7%
302 Culp, Inc. (CFI) 76% 0.7%
303 MEMSIC, INC. (MEMS) 85% 0.7%
304 Coca-Cola FEMSA, S.A.B. de C.V. (ADR) (KOF) 220% 0.7%
305 Eaton Vance California Mun. Income Trust (CEV) 57% 0.7%
306 Artesian Resources Corporation (ARTNA) 72% 0.7%
307 iShares S&P GSCI Commodity-Indexed (ETF) (GSG) 317% 0.6%
308 iShares Morningstar Large Growth (ETF) (JKE) 364% 0.6%
309 PowerShares Dynamic Sm. Cap Growth (ETF) (PWT) 190% 0.6%
310 Cohen & Steers Quality Income Realty Inc (RQI) 62% 0.6%
311 Prestige Brands Holdings, Inc. (PBH) 68% 0.6%
312 Supreme Industries, Inc. (STS) 193% 0.6%
313 Imperial Holdings, Inc. (IFT) 97% 0.6%
314 China Metro Rural Holdings Ltd (CNR) 76% 0.6%
315 FirstService Corporation (USA) (FSRV) 138% 0.6%
316 Federated Premier Intermediate Municipal (FPT) 190% 0.5%
317 Lizhan Environmental Corporation (LZEN) 673% 0.5%
318 HCA Holdings Inc (HCA) 65% 0.5%
319 Old Line Bancshares, Inc. (MD) (OLBK) 122% 0.5%
320 Cadence Pharmaceuticals, Inc. (CADX) 124% 0.5%
321 Richardson Electronics, Ltd. (RELL) 218% 0.5%
322 Blackrock High Income Shares (HIS) 55% 0.5%
323 Bank of Commerce Holdings (BOCH) 407% 0.5%
324 GSI Technology, Inc. (GSIT) 71% 0.4%
325 Nobel Learning Communities, Inc. (NLCI) 121% 0.4%
326 iShares Morningstar Mid Core Index (ETF) (JKG) 89% 0.4%
327 Advent/Claymore Enhanced Growth & Income (LCM) 59% 0.4%
328 The Hackett Group, Inc. (HCKT) 226% 0.4%
329 PSB Holdings, Inc. (PSBH) 344% 0.4%
330 MutualFirst Financial, Inc. (MFSF) 194% 0.4%
331 Fomento Economico Mexicano SAB (ADR) (FMX) 85% 0.4%
332 iShares Russell Midcap Growth Idx. (ETF) (IWP) 121% 0.4%
333 Checkpoint Systems, Inc. (CKP) 107% 0.4%
334 Carriage Services, Inc. (CSV) 116% 0.3%
335 Escalade, Inc. (ESCA) 263% 0.3%
336 iShares S&P World Ex-US Prop Index (ETF) (WPS) 302% 0.3%
337 BlackRock MuniHoldings Fund Inc. (MHD) 116% 0.3%
338 QCR Holdings, Inc. (QCRH) 607% 0.3%
339 iShares Dow Jones US Consumer Ser. (ETF) (IYC) 112% 0.3%
340 Superior Uniform Group, Inc. (SGC) 816% 0.3%
341 Community Capital Corporation (CPBK) 115% 0.3%
342 Newpark Resources, Inc. (NR) 67% 0.3%
343 iShares Russell 3000 Growth Index (ETF) (IWZ) 135% 0.3%
344 LPL Investment Holdings Inc. (LPLA) 121% 0.3%
345 PowerShares DWA Technical Ldrs Pf (ETF) (PDP) 51% 0.3%
346 Vanguard Consumer Discretionary ETF (VCR) 261% 0.3%
347 Unico American Corporation (UNAM) 238% 0.3%
348 The Singapore Fund, Inc. (SGF) 93% 0.3%
349 iShares Morningstar Mid Value Idx (ETF) (JKI) 89% 0.3%
350 Nuveen Diversified Commodity Fund (CFD) 89% 0.3%
351 21st Century Holding Co. (TCHC) 648% 0.3%
352 Navarre Corporation (NAVR) 109% 0.3%
353 KONAMI CORPORATION (ADR) (KNM) 782% 0.2%
354 Core Molding Technologies, Inc. (CMT) 574% 0.2%
355 FIRST FINANCIAL NORTHWEST, INC. (FFNW) 653% 0.2%
356 Blackrock MuniEnhanced Fund Inc. (MEN) 64% 0.2%
357 LMP Real Estate Income Fund Inc. (RIT) 253% 0.2%
358 Willis Lease Finance Corporation (WLFC) 458% 0.2%
359 Bridge Bancorp, Inc. (BDGE) 117% 0.2%
360 Bitstream Inc. (BITS) 79% 0.2%
361 Prudential Bancorp, Inc. of PA (PBIP) 843% 0.2%
362 iShares Dow Jones U.S. Index Fund (ETF) (IYY) 236% 0.2%
363 Advocat Inc. (AVCA) 173% 0.2%
364 Commercial Metals Company (CMC) 106% 0.1%
365 PowerShares Cleantech Portfolio (ETF) (PZD) 88% 0.1%
366 Span-America Medical Systems, Inc. (SPAN) 155% 0.1%
367 Columbus McKinnon Corp. (CMCO) 223% 0.1%
368 iShares Morningstar Small Core Idx (ETF) (JKJ) 160% 0.1%
369 Anchor Bancorp (-) 454% 0.1%
370 PowerShares Zacks Micro Cap (ETF) (PZI) 99% 0.1%
371 Rydex Russell Top 50 ETF (XLG) 105% 0.1%
372 Westwood Holdings Group, Inc. (WHG) 76% 0.1%
373 iShares S&P/TOPIX 150 Index (ETF) (ITF) 172% 0.1%
374 Green Plains Renewable Energy Inc. (GPRE) 59% 0.1%
375 TS&W/Claymore Tax-Advantaged Balanced Fu (TYW) 140% 0.1%
376 Alliance Bancorp, Inc. of Pennsylvania (ALLB) 130% 0.1%
377 iShares S&P Global Consumer Dis Sec(ETF) (RXI) 197% 0.1%
378 Special Opportunities Fund Inc. (SPE) 70% 0.1%
379 iShares S&P Global 100 Index (ETF) (IOO) 313% 0.1%
380 Nuveen CA Select Tax-Free Income Portfol (NXC) 100% 0.1%
381 FPIC Insurance Group, Inc. (FPIC) 95% 0.1%
382 Arbitron Inc. (ARB) 77% 0.1%
383 iShares Dow Jones US Brok-Dea. Ind.ETF (IAI) 171% 0.04%
384 Reaves Utility Income Fund (UTG) 95% 0.04%
385 iShares S&P Global Consumer Staple(ETF) (KXI) 156% 0.03%
386 Saga Communications, Inc. (SGA) 211% 0.03%
387 Arden Group, Inc. (ARDNA) 76% 0.02%
388 Nuveen Insured California Premium Income (NPC) 111% 0.01%
5 Jingwei International Limited (JNGW) 1317% 28.2%
6 China Wind Systems, Inc. (CLNT) 234% 26.7%
7 ParkerVision, Inc. (PRKR) 922% 25.8%
8 Gasco Energy, Inc. (GSX) 304% 23.9%
9 Seanergy Maritime Holdings Corp. (SHIPD) 129% 21.4%
10 Provident Community Bancshares Inc. (PCBS) 506% 20.8%
11 Advanced Micro Devices, Inc. (AMD) 256% 19.2%
12 Skyworks Solutions, Inc. (SWKS) 262% 19.0%
13 Novogen Limited (ADR) (NVGN) 688% 18.7%
14 athenahealth, Inc (ATHN) 972% 17.5%
15 China Precision Steel, Inc. (CPSL) 350% 15.8%
16 Yuhe International, Inc (YUII) 356% 15.5%
17 Marshall Edwards, Inc. (MSHL) 600% 14.7%
18 Crosshair Exploration & Mining Corp. (CXZ) 634% 14.7%
19 Hauppauge Digital, Inc. (HAUP) 2090% 13.9%
20 Pathfinder Bancorp, Inc. (PBHC) 1400% 13.4%
21 VisionChina Media Inc (ADR) (VISN) 210% 13.3%
22 RSC Holdings Inc. (RRR) 209% 11.5%
23 LRAD Corporation (LRAD) 572% 11.1%
24 China Zenix Auto International Ltd (ZX) 487% 10.1%
25 LDK Solar Co., Ltd (ADR) (LDK) 68% 9.9%
26 Celestica Inc. (USA) (CLS) 448% 9.7%
27 Wuhan General Group China Inc. (WUHN) 518% 9.7%
28 Denison Mines Corp. (DNN) 321% 9.7%
29 Lattice Semiconductor (LSCC) 135% 9.7%
30 SanDisk Corporation (SNDK) 182% 9.6%
31 GulfMark Offshore, Inc. (GLF) 413% 9.5%
32 Entegris, Inc. (ENTG) 92% 9.4%
33 China Advanced Con. Materials Gr. Inc (CADC) 615% 9.4%
34 Flextronics International Ltd. (FLEX) 177% 9.4%
35 B + H Ocean Carriers Ltd. (BHO) 108% 9.4%
36 Acme Packet, Inc. (APKT) 168% 9.3%
37 Orsus Xelent Technologies Inc. (ORS) 352% 8.9%
38 WorldHeart Corporation (USA) (WHRT) 118% 8.9%
39 B Communications Ltd (BCOM) 95% 8.8%
40 Tuesday Morning Corporation (TUES) 98% 8.7%
41 Premiere Global Services, Inc. (PGI) 426% 8.6%
42 QuickLogic Corporation (QUIK) 64% 8.5%
43 Silicon Motion Technology Corp. (ADR) (SIMO) 75% 8.4%
44 Western Digital Corp. (WDC) 194% 8.3%
45 Digimarc Corporation (DMRC) 188% 8.0%
46 Acacia Research Corporation (ACTG) 221% 7.9%
47 Semiconductor Manufacturing Int'l (ADR) (SMI) 150% 7.9%
48 Arcos Dorados Holding Inc (ARCO) 257% 7.9%
49 Repros Therapeutics Inc. (RPRX) 255% 7.8%
50 Complete Production Services, Inc. (CPX) 153% 7.6%
51 American Oriental Bioengineering, Inc. (AOB) 53% 7.5%
52 Informatica Corporation (INFA) 76% 7.5%
53 Chyron Corporation (CHYR) 140% 7.5%
54 SandRidge Energy Inc. (SD) 74% 7.5%
55 NCR Corporation (NCR) 127% 7.4%
56 Dreams, Inc. (DRJ) 253% 7.2%
57 Compuware Corporation (CPWR) 131% 7.1%
58 HORSEHEAD HOLDING CORP. (ZINC) 304% 7.1%
59 1st Source Corporation (SRCE) 308% 7.0%
60 CKX Lands Inc (CKX) 108% 7.0%
61 ION Geophysical Corporation (IO) 84% 6.9%
62 China Direct Industries, Inc. (CDII) 320% 6.9%
63 Mackinac Financial Corporation (MFNC) 2681% 6.8%
64 BioDelivery Sciences International, Inc. (BDSI) 141% 6.8%
65 Sino-Global Shipping America, Ltd. (SINO) 301% 6.8%
66 IDEXX Laboratories, Inc. (IDXX) 391% 6.7%
67 Gardner Denver, Inc. (GDI) 308% 6.7%
68 Pressure BioSciences, Inc. (PBIO) 51% 6.7%
69 CVD Equipment Corporation (CVV) 155% 6.6%
70 Monarch Community Bancorp, Inc. (MCBF) 307% 6.6%
71 NASB Financial, Inc. (NASB) 60% 6.5%
72 China Botanic Pharmaceutical Inc (CBP) 296% 6.5%
73 Southern Missouri Bancorp, Inc. (SMBC) 618% 6.5%
74 China Agritech Inc. (CAGC) 50% 6.5%
75 SMART Technologies Inc (SMT) 433% 6.4%
76 Pinnacle Data Systems, Inc. (PNS) 250% 6.4%
77 Photronics, Inc. (PLAB) 124% 6.4%
78 Vical Incorporated (VICL) 69% 6.3%
79 Kent Financial Services, Inc. (KENT) 72% 6.3%
80 Curis, Inc. (CRIS) 192% 6.3%
81 Pixelworks, Inc. (PXLW) 623% 6.3%
82 Polycom, Inc. (PLCM) 169% 6.1%
83 Travelzoo Inc. (TZOO) 82% 6.1%
84 Yadkin Valley Financial Corp. (YAVY) 107% 6.0%
85 AVANIR Pharmaceuticals (AVNR) 425% 6.0%
86 Builders FirstSource, Inc. (BLDR) 84% 6.0%
87 Old Point Financial Corporation (OPOF) 2976% 5.9%
88 Cogo Group, Inc. (COGO) 319% 5.8%
89 India Globalization Capital, Inc. (IGC) 116% 5.7%
90 Hornbeck Offshore Services, Inc. (HOS) 92% 5.7%
91 Uranium Resources, Inc. (URRE) 109% 5.5%
92 Hancock Holding Company (HBHC) 143% 5.5%
93 CyberOptics Corporation (CYBE) 63% 5.4%
94 Textainer Group Holdings Limited (TGH) 96% 5.4%
95 Arena Pharmaceuticals, Inc. (ARNA) 77% 5.4%
96 MIPS Technologies, Inc. (MIPS) 86% 5.3%
97 Bionovo Inc. (BNVI) 307% 5.3%
98 Biostar Pharmaceuticals, Inc. (BSPM) 64% 5.2%
99 Performance Technologies (PTIX) 64% 5.2%
100 Guaranty Bancorp (GBNK) 102% 5.2%
101 Chicago Bridge & Iron Company N.V. (CBI) 125% 5.1%
102 China Sunergy Co., Ltd. (ADR) (CSUN) 140% 5.1%
103 CorMedix Inc. (CRMD.U) 307% 5.1%
104 General Steel Holdings, Inc. (GSI) 91% 5.0%
105 Crocs, Inc. (CROX) 72% 4.9%
106 Magyar Bancorp, Inc. (MGYR) 148% 4.9%
107 HiSoft Technology Internatnl Ltd (ADR) (HSFT) 51% 4.7%
108 Datalink Corporation (DTLK) 84% 4.7%
109 Simcere Pharmaceutical Group (ADR) (SCR) 95% 4.6%
110 Kingstone Companies, Inc. (KINS) 1172% 4.6%
111 JDS Uniphase Corporation (JDSU) 112% 4.6%
112 Western Alliance Bancorporation (WAL) 190% 4.6%
113 Rambus Inc. (RMBS) 188% 4.5%
114 Dehaier Medical Systems Ltd (DHRM) 263% 4.5%
115 Kips Bay Medical, Inc. (KIPS) 92% 4.5%
116 Atrinsic, Inc. (ATRN) 59% 4.5%
117 GenVec, Inc. (GNVC) 62% 4.4%
118 Mattson Technology, Inc. (MTSN) 87% 4.4%
119 CTI Industries Corp. (CTIB) 1518% 4.4%
120 Ur-Energy Inc. (USA) (URG) 187% 4.4%
121 Retractable Technologies, Inc. (RVP) 384% 4.4%
122 Industrial Services of America, Inc. (IDSA) 154% 4.3%
123 PMC-Sierra, Inc. (PMCS) 239% 4.3%
124 Alpha Pro Tech, Ltd. (APT) 131% 4.2%
125 Exide Technologies (XIDE) 83% 4.2%
126 ViaSat, Inc. (VSAT) 157% 4.2%
127 SuccessFactors, Inc. (SFSF) 76% 4.1%
128 Paulson Capital Corp. (PLCC) 1704% 4.1%
129 MDC Partners Inc. (USA) (MDCA) 65% 4.1%
130 Hypercom Corporation (HYC) 278% 4.0%
131 Central European Media Enterprises Ltd. (CETV) 70% 4.0%
132 Herald National Bank (HNB) 125% 3.9%
133 VSE Corporation (VSEC) 121% 3.8%
134 Wayne Savings Bancshares, Inc (WAYN) 117% 3.8%
135 Cardiovascular Systems, Inc. (CSII) 92% 3.8%
136 seacube container leasing ltd (BOX) 99% 3.8%
137 Verenium Corporation (VRNM) 70% 3.7%
138 Intelligent Systems Corporation (INS) 519% 3.6%
139 Morton's Restaurant Group, Inc. (MRT) 105% 3.6%
140 Sandridge Mississippian Trust I (SDT) 128% 3.6%
141 PDF Solutions, Inc. (PDFS) 51% 3.6%
142 IMPAC Mortgage Holdings, Inc (IMH) 82% 3.5%
143 Alliance Fiber Optic Products, Inc. (AFOP) 60% 3.5%
144 UniTek Global Services Inc. (UNTK) 175% 3.5%
145 Electronics For Imaging, Inc. (EFII) 111% 3.5%
146 SoundBite Communications Inc. (SDBT) 966% 3.5%
147 GigaMedia Limited (GIGM) 82% 3.5%
148 Orbital Sciences Corp. (ORB) 67% 3.4%
149 China Nutrifruit Group Ltd (CNGL) 76% 3.4%
150 China Shenghuo Pharmaceutical Hldg, Inc. (KUN) 466% 3.4%
151 Medco Health Solutions Inc. (MHS) 53% 3.3%
152 Fortune Industries, Inc. (FFI) 66% 3.3%
153 BlueLinx Holdings Inc. (BXC) 93% 3.3%
154 RPC, Inc. (RES) 50% 3.3%
155 Servotronics, Inc. (SVT) 60% 3.2%
156 AmerisourceBergen Corp. (ABC) 88% 3.2%
157 Carrols Restaurant Group, Inc. (TAST) 173% 3.2%
158 Schlumberger Limited. (SLB) 105% 3.1%
159 Ryanair Holdings plc (ADR) (RYAAY) 163% 3.1%
160 Ocean Shore Holding Co. (OSHC) 348% 3.1%
161 Ohio Legacy Corp (OLCB) 343% 3.1%
162 MediciNova, Inc. (MNOV) 188% 3.1%
163 The Chubb Corporation (CB) 124% 3.0%
164 Lihua International, Inc. (LIWA) 81% 3.0%
165 Empresas ICA SA (ADR) (ICA) 73% 3.0%
166 Cymer, Inc. (CYMI) 194% 2.9%
167 ZBB Energy Corporation (ZBB) 108% 2.9%
168 PostRock Energy Corporation (PSTR) 175% 2.9%
169 Indiana Community Bancorp (INCB) 1731% 2.9%
170 Pacific Office Properties Trust Inc. (PCE) 71% 2.9%
171 DayStar Technologies Inc. (DSTI) 64% 2.8%
172 Mellanox Technologies, Ltd. (MLNX) 186% 2.8%
173 Dynamics Research Corporation (DRCO) 87% 2.8%
174 Mid Penn Bancorp, Inc. (MPB) 55% 2.8%
175 Birner Dental Mgmt. Services (BDMS) 59% 2.8%
176 Energy Conversion Devices, Inc. (ENER) 66% 2.8%
177 BIDZ.com, Inc. (BIDZ) 207% 2.8%
178 Weatherford International Ltd. (WFT) 182% 2.8%
179 Premier Exhibitions, Inc. (PRXI) 90% 2.7%
180 Calumet Specialty Products Partners, L.P (CLMT) 58% 2.7%
181 Superior Energy Services, Inc. (SPN) 60% 2.7%
182 PositiveID Corporation (PSID) 210% 2.7%
183 Stantec Inc. (USA) (STN) 117% 2.7%
184 Bank of SC Corporation (BKSC) 104% 2.6%
185 Niagara Mohawk Power Corporation (NMK PR B) 1682% 2.6%
186 Molycorp, Inc. (MCP) 203% 2.6%
187 A.C. Moore Arts & Crafts (ACMR) 123% 2.6%
188 Amarin Corporation plc (ADR) (AMRN) 59% 2.6%
189 Allied Healthcare Product (AHPI) 260% 2.6%
190 The Hershey Company (HSY) 126% 2.5%
191 Selectica, Inc. (SLTC) 52% 2.5%
192 PT Indosat Tbk (ADR) (IIT) 169% 2.5%
193 Digi International Inc. (DGII) 305% 2.5%
194 Sutor Technology Group Ltd. (SUTR) 85% 2.4%
195 Provident Financial Holdings, Inc. (PROV) 355% 2.4%
196 MFS Special Value Trust (MFV) 72% 2.4%
197 On Assignment, Inc. (ASGN) 87% 2.4%
198 McDonald's Corporation (MCD) 106% 2.3%
199 Micronetics Inc. (NOIZ) 176% 2.3%
200 National-Oilwell Varco, Inc. (NOV) 74% 2.3%
201 WuXi PharmaTech (Cayman) Inc. (ADR) (WX) 244% 2.2%
202 Luna Innovations Incorporated (LUNA) 54% 2.2%
203 Monolithic Power Systems, Inc. (MPWR) 71% 2.1%
204 Cavium Inc (CAVM) 64% 2.1%
205 GrafTech International Ltd. (GTI) 52% 2.1%
206 Echostar Corporation (SATS) 167% 2.1%
207 Summit State Bank (SSBI) 363% 2.0%
208 RF Industries, Ltd. (RFIL) 87% 2.0%
209 MB Financial, Inc. (MBFI) 83% 2.0%
210 Transcat, Inc. (TRNS) 180% 2.0%
211 Antares Pharma Inc (AIS) 136% 2.0%
212 Inventure Foods, Inc. (SNAK) 90% 2.0%
213 Protalix BioTherapeutics Inc. (PLX) 287% 1.9%
214 Autobytel Inc. (ABTL) 55% 1.9%
215 IKONICS Corporation (IKNX) 247% 1.9%
216 Dole Food Company, Inc. (DOLE) 384% 1.9%
217 United Stationers Inc. (USTR) 66% 1.9%
218 First Savings Financial Group, Inc. (FSFG) 4596% 1.9%
219 Primo Water Corporation (PRMW) 95% 1.8%
220 QEP Resources, Inc. (QEP) 53% 1.8%
221 PURE Bioscience (PURE) 142% 1.8%
222 Cerner Corporation (CERN) 53% 1.8%
223 Powell Industries, Inc. (POWL) 217% 1.8%
224 iShares Dow Jones US Oil Equip. (ETF) (IEZ) 102% 1.7%
225 Sucampo Pharmaceuticals, Inc. (SCMP) 139% 1.7%
226 Immersion Corporation (IMMR) 120% 1.7%
227 El Paso Pipeline Partners, L.P. (EPB) 57% 1.7%
228 Safeguard Scientifics, Inc (SFE) 109% 1.7%
229 Nomura Holdings, Inc. (ADR) (NMR) 54% 1.6%
230 Euroseas Ltd. (ESEA) 165% 1.6%
231 Stanley Black & Decker, Inc. (SWK) 51% 1.6%
232 Wireless Telecom Group, Inc. (WTT) 195% 1.5%
233 Spire Corporation (SPIR) 169% 1.5%
234 Banco Santander (Brasil) SA(ADR) (BSBR) 63% 1.5%
235 Food Technology Service (VIFL) 113% 1.5%
236 Manhattan Bridge Capital Inc. (LOAN) 80% 1.5%
237 Income Opportunity Realty Investors, Inc (IOT) 671% 1.5%
238 MetroCorp Bancshares, Inc. (MCBI) 352% 1.4%
239 SED International Holdings, Inc. (SED) 130% 1.4%
240 Nielsen Hldg NV (NLSN) 78% 1.4%
241 Cumulus Media Inc. (CMLS) 118% 1.4%
242 BlackRock Municipal Income Trust II (BLE) 51% 1.4%
243 WESCO International, Inc. (WCC) 88% 1.4%
244 GSE Systems, Inc. (GVP) 302% 1.4%
245 Rodman & Renshaw Capital Group Inc. (RODM) 260% 1.4%
246 Oriental Financial Group Inc. (OFG) 191% 1.4%
247 Standard Parking Corporation (STAN) 257% 1.3%
248 STMicroelectronics N.V. (ADR) (STM) 58% 1.3%
249 Educational Development Corporation (EDUC) 324% 1.3%
250 Harris Interactive Inc. (HPOL) 102% 1.3%
251 SPDR Morgan Stanley Technology (ETF) (MTK) 790% 1.3%
252 Frisch's Restaurants, Inc. (FRS) 164% 1.3%
253 IPC The Hospitalist Company, Inc. (IPCM) 118% 1.3%
254 HeartWare International Inc (HTWR) 160% 1.3%
255 AirMedia Group Inc. (ADR) (AMCN) 77% 1.2%
256 MGIC Investment Corp. (MTG) 115% 1.2%
257 Handy and Harman Ltd (HNH) 93% 1.2%
258 SPDR S&P Biotech (ETF) (XBI) 57% 1.2%
259 Skystar Bio-Pharmaceutical Company (SKBI) 156% 1.2%
260 Investors Title Company (ITIC) 60% 1.2%
261 Monarch Casino & Resort, Inc. (MCRI) 99% 1.1%
262 National Grid plc (ADR) (NGG) 75% 1.1%
263 WVS Financial Corp. (WVFC) 60% 1.1%
264 Synergetics USA Inc. (SURG) 87% 1.1%
265 AmSurg Corp. (AMSG) 60% 1.1%
266 Air T, Inc. (AIRT) 231% 1.1%
267 Harry Winston Diamond Corporation (USA) (HWD) 288% 1.1%
268 Southside Bancshares, Inc. (SBSI) 209% 1.0%
269 BankAtlantic Bancorp, Inc. (BBX) 89% 1.0%
270 Sensient Technologies Corporation (SXT) 79% 1.0%
271 CenturyLink, Inc. (CTL) 64% 1.0%
272 CVB Financial Corp. (CVBF) 57% 1.0%
273 Philippine Long Distance Telephone (ADR) (PHI) 218% 1.0%
274 Delek US Holdings, Inc. (DK) 100% 1.0%
275 Thai Fund Inc. (TTF) 68% 1.0%
276 Cagle's, Inc. (CGL.A) 151% 1.0%
277 Supertel Hospitality Inc (SPPR) 257% 1.0%
278 PowerShares Dynamic Software (ETF) (PSJ) 105% 1.0%
279 Commercial National Financial Corp./PA (CNAF) 98% 1.0%
280 BJ's Wholesale Club, Inc. (BJ) 132% 0.9%
281 Pacholder High Yield Fund Inc (PHF) 77% 0.9%
282 Plexus Corp. (PLXS) 75% 0.9%
283 Taylor Devices, Inc. (TAYD) 135% 0.9%
284 Poniard Pharmaceuticals, Inc. (PARD) 116% 0.9%
285 TC Pipelines, LP (TCLP) 120% 0.9%
286 Dover Downs Gaming & Entertainment, Inc. (DDE) 52% 0.9%
287 Ark Restaurants Corp. (ARKR) 142% 0.9%
288 PC Mall, Inc. (MALL) 86% 0.9%
289 Cytec Industries Inc. (CYT) 217% 0.9%
290 China Automotive Systems, Inc. (CAAS) 189% 0.9%
291 Pearson PLC (ADR) (PSO) 274% 0.9%
292 BlackRock MuniYield Investment Fund Inc. (MYF) 236% 0.8%
293 Tata Communications Limited (ADR) (TCL) 69% 0.8%
294 Idenix Pharmaceuticals, Inc. (IDIX) 67% 0.8%
295 The Greater China Fund, Inc. (GCH) 156% 0.8%
296 Blackrock Muniholdings Fund II Inc. (MUH) 90% 0.7%
297 DXP Enterprises, Inc. (DXPE) 105% 0.7%
298 Compania Cervecerias Unidas S.A. (ADR) (CCU) 102% 0.7%
299 Dover Corporation (DOV) 80% 0.7%
300 Standard Financial Corp. (STND) 57% 0.7%
301 Timberland Bancorp, Inc. (TSBK) 125% 0.7%
302 Culp, Inc. (CFI) 76% 0.7%
303 MEMSIC, INC. (MEMS) 85% 0.7%
304 Coca-Cola FEMSA, S.A.B. de C.V. (ADR) (KOF) 220% 0.7%
305 Eaton Vance California Mun. Income Trust (CEV) 57% 0.7%
306 Artesian Resources Corporation (ARTNA) 72% 0.7%
307 iShares S&P GSCI Commodity-Indexed (ETF) (GSG) 317% 0.6%
308 iShares Morningstar Large Growth (ETF) (JKE) 364% 0.6%
309 PowerShares Dynamic Sm. Cap Growth (ETF) (PWT) 190% 0.6%
310 Cohen & Steers Quality Income Realty Inc (RQI) 62% 0.6%
311 Prestige Brands Holdings, Inc. (PBH) 68% 0.6%
312 Supreme Industries, Inc. (STS) 193% 0.6%
313 Imperial Holdings, Inc. (IFT) 97% 0.6%
314 China Metro Rural Holdings Ltd (CNR) 76% 0.6%
315 FirstService Corporation (USA) (FSRV) 138% 0.6%
316 Federated Premier Intermediate Municipal (FPT) 190% 0.5%
317 Lizhan Environmental Corporation (LZEN) 673% 0.5%
318 HCA Holdings Inc (HCA) 65% 0.5%
319 Old Line Bancshares, Inc. (MD) (OLBK) 122% 0.5%
320 Cadence Pharmaceuticals, Inc. (CADX) 124% 0.5%
321 Richardson Electronics, Ltd. (RELL) 218% 0.5%
322 Blackrock High Income Shares (HIS) 55% 0.5%
323 Bank of Commerce Holdings (BOCH) 407% 0.5%
324 GSI Technology, Inc. (GSIT) 71% 0.4%
325 Nobel Learning Communities, Inc. (NLCI) 121% 0.4%
326 iShares Morningstar Mid Core Index (ETF) (JKG) 89% 0.4%
327 Advent/Claymore Enhanced Growth & Income (LCM) 59% 0.4%
328 The Hackett Group, Inc. (HCKT) 226% 0.4%
329 PSB Holdings, Inc. (PSBH) 344% 0.4%
330 MutualFirst Financial, Inc. (MFSF) 194% 0.4%
331 Fomento Economico Mexicano SAB (ADR) (FMX) 85% 0.4%
332 iShares Russell Midcap Growth Idx. (ETF) (IWP) 121% 0.4%
333 Checkpoint Systems, Inc. (CKP) 107% 0.4%
334 Carriage Services, Inc. (CSV) 116% 0.3%
335 Escalade, Inc. (ESCA) 263% 0.3%
336 iShares S&P World Ex-US Prop Index (ETF) (WPS) 302% 0.3%
337 BlackRock MuniHoldings Fund Inc. (MHD) 116% 0.3%
338 QCR Holdings, Inc. (QCRH) 607% 0.3%
339 iShares Dow Jones US Consumer Ser. (ETF) (IYC) 112% 0.3%
340 Superior Uniform Group, Inc. (SGC) 816% 0.3%
341 Community Capital Corporation (CPBK) 115% 0.3%
342 Newpark Resources, Inc. (NR) 67% 0.3%
343 iShares Russell 3000 Growth Index (ETF) (IWZ) 135% 0.3%
344 LPL Investment Holdings Inc. (LPLA) 121% 0.3%
345 PowerShares DWA Technical Ldrs Pf (ETF) (PDP) 51% 0.3%
346 Vanguard Consumer Discretionary ETF (VCR) 261% 0.3%
347 Unico American Corporation (UNAM) 238% 0.3%
348 The Singapore Fund, Inc. (SGF) 93% 0.3%
349 iShares Morningstar Mid Value Idx (ETF) (JKI) 89% 0.3%
350 Nuveen Diversified Commodity Fund (CFD) 89% 0.3%
351 21st Century Holding Co. (TCHC) 648% 0.3%
352 Navarre Corporation (NAVR) 109% 0.3%
353 KONAMI CORPORATION (ADR) (KNM) 782% 0.2%
354 Core Molding Technologies, Inc. (CMT) 574% 0.2%
355 FIRST FINANCIAL NORTHWEST, INC. (FFNW) 653% 0.2%
356 Blackrock MuniEnhanced Fund Inc. (MEN) 64% 0.2%
357 LMP Real Estate Income Fund Inc. (RIT) 253% 0.2%
358 Willis Lease Finance Corporation (WLFC) 458% 0.2%
359 Bridge Bancorp, Inc. (BDGE) 117% 0.2%
360 Bitstream Inc. (BITS) 79% 0.2%
361 Prudential Bancorp, Inc. of PA (PBIP) 843% 0.2%
362 iShares Dow Jones U.S. Index Fund (ETF) (IYY) 236% 0.2%
363 Advocat Inc. (AVCA) 173% 0.2%
364 Commercial Metals Company (CMC) 106% 0.1%
365 PowerShares Cleantech Portfolio (ETF) (PZD) 88% 0.1%
366 Span-America Medical Systems, Inc. (SPAN) 155% 0.1%
367 Columbus McKinnon Corp. (CMCO) 223% 0.1%
368 iShares Morningstar Small Core Idx (ETF) (JKJ) 160% 0.1%
369 Anchor Bancorp (-) 454% 0.1%
370 PowerShares Zacks Micro Cap (ETF) (PZI) 99% 0.1%
371 Rydex Russell Top 50 ETF (XLG) 105% 0.1%
372 Westwood Holdings Group, Inc. (WHG) 76% 0.1%
373 iShares S&P/TOPIX 150 Index (ETF) (ITF) 172% 0.1%
374 Green Plains Renewable Energy Inc. (GPRE) 59% 0.1%
375 TS&W/Claymore Tax-Advantaged Balanced Fu (TYW) 140% 0.1%
376 Alliance Bancorp, Inc. of Pennsylvania (ALLB) 130% 0.1%
377 iShares S&P Global Consumer Dis Sec(ETF) (RXI) 197% 0.1%
378 Special Opportunities Fund Inc. (SPE) 70% 0.1%
379 iShares S&P Global 100 Index (ETF) (IOO) 313% 0.1%
380 Nuveen CA Select Tax-Free Income Portfol (NXC) 100% 0.1%
381 FPIC Insurance Group, Inc. (FPIC) 95% 0.1%
382 Arbitron Inc. (ARB) 77% 0.1%
383 iShares Dow Jones US Brok-Dea. Ind.ETF (IAI) 171% 0.04%
384 Reaves Utility Income Fund (UTG) 95% 0.04%
385 iShares S&P Global Consumer Staple(ETF) (KXI) 156% 0.03%
386 Saga Communications, Inc. (SGA) 211% 0.03%
387 Arden Group, Inc. (ARDNA) 76% 0.02%
388 Nuveen Insured California Premium Income (NPC) 111% 0.01%
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