13F.
TWO SIGMA INVESTMENTS, LP
13F-HR

Q2 2014

Period Jun 30, 2014Filed Aug 14, 2014View on EDGAR ↗
Positions
2,027
Total value
$20.99B
Top 10 concentration
7.8%
New positions
602

Exited positionsvs. Q1 2014

  • OCCIDENTAL PETE CORP DEL ($160.22M)
  • DOLLAR GEN CORP NEW ($104.8M)
  • HOME DEPOT INC ($84.24M)
  • TESLA MTRS INC ($80.65M)
  • DR PEPPER SNAPPLE GROUP INC ($67.29M)
  • MASCO CORP ($65.54M)
  • DANAHER CORP DEL ($62.18M)
  • TRAVELERS COMPANIES INC ($62.07M)

Holdings · 2027

#Class
1
MICRON TECHNOLOGY INC
595112103
COM$183.97M0.88%5,583,337-18.0%
2
TIME WARNER CABLE INC
88732J207
COM$177.02M0.84%1,201,736+0.4%
3
ACTAVIS PLC
G0083B108
SHS$164.12M0.78%735,798+64.2%
4
EBAY INC
278642103
COM$162.84M0.78%3,252,801+973.6%
5
LYONDELLBASELL INDUSTRIES N
N53745100
SHS - A -$161.88M0.77%1,657,799+39607.8%
6
COMCAST CORP NEW
20030N101
CL A$158.94M0.76%2,960,785-9.2%
7
DIRECTV
25490A309
COM$156.44M0.75%1,840,274+6.3%
8
WELLS FARGO & CO NEW
949746101
COM$155.73M0.74%2,962,900+1154.9%
9
UNITED PARCEL SERVICE INC
911312106
CL B$154.8M0.74%1,507,927+16.0%
10
FACEBOOK INC
30303M102
CL A$153.42M0.73%2,279,991+1.3%
11
FEDEX CORP
31428X106
COM$153.39M0.73%1,013,252New
12
AMERICAN AIRLS GROUP INC
02376R102
COM$152M0.72%3,538,274+256.4%
13
BAKER HUGHES INC
057224107
COM$147.66M0.70%1,983,375+42.0%
14
ABBVIE INC
00287Y109
COM$141.08M0.67%2,499,595+71.7%
15
BROADCOM CORP
111320107
CL A$133.72M0.64%3,602,389+5109.4%
16
APPLE INC
037833100
COM$133.38M0.64%1,435,217+2288.9%
17
AMGEN INC
031162100
COM$131.22M0.63%1,108,532New
18
CHARTER COMMUNICATIONS INC D
16117M305
CL A NEW$122.89M0.59%775,925+24.2%
19
SOUTHWESTERN ENERGY CO
845467109
COM$119.96M0.57%2,637,101+116.6%
20
DISH NETWORK CORP
25470M109
CL A$115.12M0.55%1,768,939+62.1%
21
GENERAL DYNAMICS CORP
369550108
COM$114.4M0.55%981,568-4.8%
22
SANDISK CORP
80004C101
COM$114.32M0.54%1,094,721+252.4%
23
DOW CHEM CO
260543103
COM$111.91M0.53%2,174,723+248.4%
24
HCA HOLDINGS INC
40412C101
COM$110.68M0.53%1,963,100-0.3%
25
SYMANTEC CORP
871503108
COM$110.17M0.52%4,810,822+68.4%
26
VODAFONE GROUP PLC NEW
92857W308
SPNSR ADR NO PAR$108.69M0.52%3,255,275+143.7%
27
PHILIP MORRIS INTL INC
718172109
COM$106.16M0.51%1,259,104-9.2%
28
JUNIPER NETWORKS INC
48203R104
COM$106.04M0.51%4,320,970+226.2%
29
NETAPP INC
64110D104
COM$103.16M0.49%2,824,807+62.0%
30
BP PLC
055622104
SPONSORED ADR$103.09M0.49%1,954,271+51.8%
31
QUESTCOR PHARMACEUTICALS INC
74835Y101
COM$103.07M0.49%1,114,409New
32
BAXTER INTL INC
071813109
COM$100.74M0.48%1,393,428New
33
BAIDU INC
056752108
SPON ADR REP A$100.22M0.48%536,488+3378.9%
34
VALEANT PHARMACEUTICALS INTL
91911K102
COM$98.68M0.47%782,433+131.5%
35
CISCO SYS INC
17275R102
COM$97.85M0.47%3,937,691+1656.0%
36
HEWLETT PACKARD CO
428236103
COM$97.31M0.46%2,889,358+18662.1%
37
ILLINOIS TOOL WKS INC
452308109
COM$96.27M0.46%1,099,461-0.3%
38
EQUINIX INC
29444U502
COM NEW$96.22M0.46%457,996+267.7%
39
MARATHON PETE CORP
56585A102
COM$96.08M0.46%1,230,689-35.0%
40
TEVA PHARMACEUTICAL INDS LTD
881624209
ADR$94.95M0.45%1,811,338+1171.0%
41
MOSAIC CO NEW
61945C103
COM$94.89M0.45%1,918,871+15.3%
42
FOREST LABS INC
345838106
COM$92.36M0.44%932,885+61.7%
43
COCA COLA ENTERPRISES INC NE
19122T109
COM$92.19M0.44%1,929,465+52.6%
44
OMNICOM GROUP INC
681919106
COM$91.36M0.44%1,282,794+766.7%
45
UNION PAC CORP
907818108
COM$91.36M0.44%915,875New
46
QUALCOMM INC
747525103
COM$91.36M0.44%1,153,474+9278.6%
47
MALLINCKRODT PUB LTD CO
G5785G107
SHS$87.94M0.42%1,098,921+326.9%
48
EQT CORP
26884L109
COM$83.14M0.40%777,770-26.7%
49
COACH INC
189754104
COM$82.79M0.39%2,421,479+7161.2%
50
HILTON WORLDWIDE HLDGS INC
43300A104
COM$81.95M0.39%3,517,125+660.0%
51
CENTERPOINT ENERGY INC
15189T107
COM$81.82M0.39%3,203,591+4.1%
52
CROWN CASTLE INTL CORP
228227104
COM$81.58M0.39%1,098,529+155.7%
53
QIHOO 360 TECHNOLOGY CO LTD
74734M109
ADS$80.58M0.38%875,480+84.1%
54
MCKESSON CORP
58155Q103
COM$80.04M0.38%429,836+1344.1%
55
INGERSOLL-RAND PLC
G47791101
SHS$79.93M0.38%1,278,655-31.4%
56
SPDR S&P 500 ETF TR
78462F103
TR UNIT$78.94M0.38%403,351+3119.1%
57
HUMANA INC
444859102
COM$78.86M0.38%617,433+314.3%
58
DOLLAR TREE INC
256746108
COM$78.52M0.37%1,441,761-12.9%
59
MARATHON OIL CORP
565849106
COM$76.42M0.36%1,914,211-32.3%
60
FIFTH THIRD BANCORP
316773100
COM$76.38M0.36%3,577,312+1474.4%
61
VALERO ENERGY CORP NEW
91913Y100
COM$74.18M0.35%1,480,609-4.1%
62
REGIONS FINL CORP NEW
7591EP100
COM$73.39M0.35%6,910,716+63.5%
63
MCDONALDS CORP
580135101
COM$72.13M0.34%716,000New
64
AVIS BUDGET GROUP
053774105
COM$71.87M0.34%1,204,009-25.3%
65
GLAXOSMITHKLINE PLC
37733W105
SPONSORED ADR$71.37M0.34%1,334,479+3.5%
66
ST JUDE MED INC
790849103
COM$69.75M0.33%1,007,247-11.8%
67
BED BATH & BEYOND INC
075896100
COM$69.49M0.33%1,211,031New
68
SBA COMMUNICATIONS CORP
78388J106
COM$69.33M0.33%677,694+204.6%
69
ELECTRONIC ARTS INC
285512109
COM$67.85M0.32%1,891,443+890.6%
70
CORNING INC
219350105
COM$67.3M0.32%3,066,207+342.5%
71
SKYWORKS SOLUTIONS INC
83088M102
COM$65.81M0.31%1,401,391+225.6%
72
PROGRESSIVE CORP OHIO
743315103
COM$65.19M0.31%2,570,774+24402.2%
73
ROSS STORES INC
778296103
COM$64.96M0.31%982,244+239.7%
74
COVIDIEN PLC
G2554F113
SHS$62.98M0.30%698,415+131.0%
75
ZIMMER HLDGS INC
98956P102
COM$62.85M0.30%605,122+32.9%
76
GOOGLE INC
38259P508
CL A$62.48M0.30%106,860+407.2%
77
ALLISON TRANSMISSION HLDGS I
01973R101
COM$62.02M0.30%1,994,312+318.5%
78
INTL PAPER CO
460146103
COM$61.18M0.29%1,212,190-48.2%
79
MURPHY OIL CORP
626717102
COM$61.09M0.29%918,858-29.6%
80
US BANCORP DEL
902973304
COM NEW$60.68M0.29%1,400,826New
81
AETNA INC NEW
00817Y108
COM$60.66M0.29%748,149New
82
MOTOROLA SOLUTIONS INC
620076307
COM NEW$60.26M0.29%905,269+244.5%
83
L BRANDS INC
501797104
COM$60.08M0.29%1,024,222+94.4%
84
BOSTON SCIENTIFIC CORP
101137107
COM$58.71M0.28%4,597,827+15692.0%
85
DEVON ENERGY CORP NEW
25179M103
COM$58.52M0.28%737,013-55.6%
86
BLOCK H & R INC
093671105
COM$58.35M0.28%1,740,778+143.6%
87
RITE AID CORP
767754104
COM$57.67M0.27%8,043,481+66.8%
88
CITRIX SYS INC
177376100
COM$56.8M0.27%908,071+51.1%
89
CHENIERE ENERGY INC
16411R208
COM NEW$56.74M0.27%791,367New
90
AMERICAN ELEC PWR INC
025537101
COM$56.69M0.27%1,016,534-18.8%
91
AMERICAN CAPITAL AGENCY CORP
02503X105
COM$56.64M0.27%2,419,304+713.4%
92
TRANSDIGM GROUP INC
893641100
COM$56.02M0.27%334,906-17.2%
93
RF MICRODEVICES INC
749941100
COM$53.89M0.26%5,618,868+56.1%
94
ANNALY CAP MGMT INC
035710409
COM$53.66M0.26%4,694,391New
95
BECTON DICKINSON & CO
075887109
COM$53.44M0.25%451,703+31.1%
96
CONSTELLATION BRANDS INC
21036P108
CL A$53.37M0.25%605,612+175.9%
97
AGILENT TECHNOLOGIES INC
00846U101
COM$53.37M0.25%929,049+312.2%
98
LULULEMON ATHLETICA INC
550021109
COM$53.34M0.25%1,317,561+367.2%
99
WPX ENERGY INC
98212B103
COM$52.97M0.25%2,215,337+1054.8%
100
NOBLE CORP PLC
G65431101
SHS USD$52.9M0.25%1,576,365-12.5%
101
LIBERTY GLOBAL PLC
G5480U104
SHS CL A$52.75M0.25%1,192,962+11281.1%
102
WEATHERFORD INTERNATIONAL LT
H27013103
REG SHS$52.73M0.25%2,292,353+3.6%
103
PRAXAIR INC
74005P104
COM$52.13M0.25%392,429New
104
CABOT OIL & GAS CORP
127097103
COM$51.96M0.25%1,522,090-53.1%
105
RALPH LAUREN CORP
751212101
CL A$51.89M0.25%322,921-54.2%
106
WELLPOINT INC
94973V107
COM$51.72M0.25%480,581+4.4%
107
ISHARES
464287739
U.S. REAL ES ETF$51.12M0.24%712,117+5641.5%
108
ALLIANT TECHSYSTEMS INC
018804104
COM$51.06M0.24%381,274+3854.7%
109
PFIZER INC
717081103
COM$50.7M0.24%1,708,182-7.3%
110
NIELSEN N V
N63218106
COM$50.65M0.24%1,046,326+41.3%
111
LEVEL 3 COMMUNICATIONS INC
52729N308
COM NEW$49.05M0.23%1,116,976+197.4%
112
FIDELITY NATL INFORMATION SV
31620M106
COM$49.03M0.23%895,683+637.5%
113
CALPINE CORP
131347304
COM NEW$48.89M0.23%2,053,402+29.2%
114
ULTA SALON COSMETCS & FRAG I
90384S303
COM$48.15M0.23%526,727+114.6%
115
CANADIAN PAC RY LTD
13645T100
COM$47.39M0.23%261,631+12.6%
116
MGM RESORTS INTERNATIONAL
552953101
COM$47.32M0.23%1,792,322-49.7%
117
ROCKWOOD HLDGS INC
774415103
COM$47.25M0.23%621,816-18.2%
118
TE CONNECTIVITY LTD
H84989104
REG SHS$47.22M0.22%763,549+433.2%
119
GAP INC DEL
364760108
COM$47.21M0.22%1,135,784+32.7%
120
NXP SEMICONDUCTORS N V
N6596X109
COM$47.12M0.22%711,951-2.1%
121
JOY GLOBAL INC
481165108
COM$46.74M0.22%759,027New
122
VMWARE INC
928563402
CL A COM$46.41M0.22%479,402-41.3%
123
INTERNATIONAL BUSINESS MACHS
459200101
COM$46.07M0.22%254,153New
124
CSX CORP
126408103
COM$45.87M0.22%1,488,736+14921.0%
125
TJX COS INC NEW
872540109
COM$45.69M0.22%859,597+5991.2%
126
AMBEV SA
02319V103
SPONSORED ADR$45.64M0.22%6,483,071New
127
POWERSHARES QQQ TRUST
73935A104
UNIT SER 1$45.2M0.22%481,306-47.1%
128
HONEYWELL INTL INC
438516106
COM$44.97M0.21%483,766New
129
ROYAL DUTCH SHELL PLC
780259206
SPONS ADR A$44.95M0.21%545,723+376.3%
130
VOYA FINL INC
929089100
COM$44.57M0.21%1,226,487New
131
SEAGATE TECHNOLOGY PLC
G7945M107
SHS$44.16M0.21%777,191New
132
ONEOK INC NEW
682680103
COM$43.18M0.21%634,266New
133
STARWOOD HOTELS&RESORTS WRLD
85590A401
COM$42.48M0.20%525,630New
134
HUNTINGTON BANCSHARES INC
446150104
COM$42.45M0.20%4,449,673+355.1%
135
REALOGY HLDGS CORP
75605Y106
COM$42.28M0.20%1,121,222-16.4%
136
AIR PRODS & CHEMS INC
009158106
COM$42.13M0.20%327,555+45.2%
137
MARTIN MARIETTA MATLS INC
573284106
COM$41.88M0.20%317,141+36.8%
138
INTEL CORP
458140100
COM$41.83M0.20%1,353,681New
139
NEWELL RUBBERMAID INC
651229106
COM$41.53M0.20%1,340,187-16.4%
140
COMPUTER SCIENCES CORP
205363104
COM$41.3M0.20%653,409+1.4%
141
KBR INC
48242W106
COM$41.17M0.20%1,726,045+6.3%
142
AUTOZONE INC
053332102
COM$41.07M0.20%76,588+105.4%
143
CAREFUSION CORP
14170T101
COM$41.05M0.20%925,525+150.3%
144
CARNIVAL CORP
143658300
PAIRED CTF$40.35M0.19%1,071,622+15424.0%
145
F5 NETWORKS INC
315616102
COM$40.3M0.19%361,664-46.5%
146
HERSHEY CO
427866108
COM$40.07M0.19%411,513-18.6%
147
QUANTA SVCS INC
74762E102
COM$40.05M0.19%1,158,273+67.0%
148
CF INDS HLDGS INC
125269100
COM$39.56M0.19%164,470+178.4%
149
ILLUMINA INC
452327109
COM$39.43M0.19%220,840-67.2%
150
PARKER HANNIFIN CORP
701094104
COM$38.5M0.18%306,215+250.3%
151
FLEXTRONICS INTL LTD
Y2573F102
ORD$37.92M0.18%3,425,057+123.1%
152
HOLOGIC INC
436440101
COM$37.91M0.18%1,495,546+114.2%
153
BUFFALO WILD WINGS INC
119848109
COM$37.88M0.18%228,585+128.8%
154
ANALOG DEVICES INC
032654105
COM$37.85M0.18%700,051+58.3%
155
ASHLAND INC NEW
044209104
COM$37.67M0.18%346,437+860.0%
156
COMERICA INC
200340107
COM$37.48M0.18%747,199-12.6%
157
GRAPHIC PACKAGING HLDG CO
388689101
COM$37.41M0.18%3,197,836+91.0%
158
RAYTHEON CO
755111507
COM NEW$37.09M0.18%402,018-46.2%
159
FOOT LOCKER INC
344849104
COM$36.91M0.18%727,695+30.8%
160
MONDELEZ INTL INC
609207105
CL A$36.91M0.18%981,245-72.6%
161
UNIVERSAL HLTH SVCS INC
913903100
CL B$36.77M0.18%384,005-30.4%
162
BRISTOL MYERS SQUIBB CO
110122108
COM$36.67M0.17%755,856New
163
METLIFE INC
59156R108
COM$36.35M0.17%654,173New
164
TW TELECOM INC
87311L104
COM$36.28M0.17%899,964+763.8%
165
TRIQUINT SEMICONDUCTOR INC
89674K103
COM$36.22M0.17%2,290,759+39.1%
166
MELCO CROWN ENTMT LTD
585464100
ADR$34.98M0.17%979,619-60.3%
167
KLA-TENCOR CORP
482480100
COM$34.97M0.17%481,398New
168
EXPEDITORS INTL WASH INC
302130109
COM$34.75M0.17%786,959+923.9%
169
ROWAN COMPANIES PLC
G7665A101
SHS CL A$34.65M0.17%1,085,137+23.1%
170
AVALONBAY CMNTYS INC
053484101
COM$34.61M0.16%243,420-46.0%
171
MARVELL TECHNOLOGY GROUP LTD
G5876H105
ORD$34.54M0.16%2,410,002+3991.7%
172
CROWN HOLDINGS INC
228368106
COM$34.47M0.16%692,702-27.3%
173
ACTIVISION BLIZZARD INC
00507V109
COM$34.36M0.16%1,540,769+42.7%
174
COPA HOLDINGS SA
P31076105
CL A$34.31M0.16%240,638+807.2%
175
WYNN RESORTS LTD
983134107
COM$34.22M0.16%164,839-79.2%
176
BARRICK GOLD CORP
067901108
COM$33.97M0.16%1,855,994New
177
PANERA BREAD CO
69840W108
CL A$33.72M0.16%225,078+71.2%
178
CBRE GROUP INC
12504L109
CL A$33.58M0.16%1,048,118-44.2%
179
SOUTHWEST AIRLS CO
844741108
COM$33.49M0.16%1,246,648+174.8%
180
MEAD JOHNSON NUTRITION CO
582839106
COM$33.4M0.16%358,450-53.5%
181
MCGRAW HILL FINL INC
580645109
COM$33.36M0.16%401,818+15.2%
182
BROCADE COMMUNICATIONS SYS I
111621306
COM NEW$33.15M0.16%3,603,498+0.2%
183
WHIRLPOOL CORP
963320106
COM$32.98M0.16%236,921+49.0%
184
BERKSHIRE HATHAWAY INC DEL
084670702
CL B NEW$32.87M0.16%259,715New
185
STEEL DYNAMICS INC
858119100
COM$32.84M0.16%1,829,404+10169.5%
186
PPG INDS INC
693506107
COM$32.49M0.15%154,624+975.0%
187
BROOKDALE SR LIVING INC
112463104
COM$32.44M0.15%972,855-35.9%
188
ARES CAP CORP
04010L103
COM$32.31M0.15%1,808,926+128.6%
189
KINDER MORGAN INC DEL
49456B101
COM$31.9M0.15%879,728-73.4%
190
ADOBE SYS INC
00724F101
COM$31.88M0.15%440,599New
191
FLUOR CORP NEW
343412102
COM$31.7M0.15%412,262+10.3%
192
REPUBLIC SVCS INC
760759100
COM$31.67M0.15%834,074+15.4%
193
KEYCORP NEW
493267108
COM$31.56M0.15%2,202,552+227.7%
194
ASSURED GUARANTY LTD
G0585R106
COM$31.39M0.15%1,281,175-29.3%
195
INCYTE CORP
45337C102
COM$31.07M0.15%550,409-62.2%
196
ALLERGAN INC
018490102
COM$31.01M0.15%183,272-1.0%
197
SELECT SECTOR SPDR TR
81369Y100
SBI MATERIALS$30.82M0.15%620,931+476.5%
198
AMDOCS LTD
G02602103
SHS$30.67M0.15%661,969+113.8%
199
SLM CORP
78442P106
COM$30.45M0.15%3,663,782New
200
CABLEVISION SYS CORP
12686C109
CL A NY CABLVS$30.4M0.14%1,722,513+0.1%
201
SPIRIT AEROSYSTEMS HLDGS INC
848574109
COM CL A$30.11M0.14%893,318+844.6%
202
WHITING PETE CORP NEW
966387102
COM$30.08M0.14%374,774+87.8%
203
E TRADE FINANCIAL CORP
269246401
COM NEW$29.97M0.14%1,409,693-0.3%
204
AFFILIATED MANAGERS GROUP
008252108
COM$29.59M0.14%144,075+34.4%
205
TERADATA CORP DEL
88076W103
COM$29.5M0.14%733,689+1651.1%
206
KEURIG GREEN MTN INC
49271M100
COM$29.32M0.14%235,322-56.4%
207
WILLIS GROUP HOLDINGS PUBLIC
G96666105
SHS$29.28M0.14%676,188+19.9%
208
HCP INC
40414L109
COM$29.19M0.14%705,406+10.7%
209
PROCTER & GAMBLE CO
742718109
COM$29.02M0.14%369,277New
210
SUNTRUST BKS INC
867914103
COM$28.9M0.14%721,353+184.6%
211
KIMCO RLTY CORP
49446R109
COM$28.83M0.14%1,254,597New
212
SELECT SECTOR SPDR TR
81369Y308
SBI CONS STPLS$28.24M0.13%632,780+1356.6%
213
NEWMONT MINING CORP
651639106
COM$27.79M0.13%1,092,479+1162.8%
214
STAPLES INC
855030102
COM$27.78M0.13%2,563,002+21.7%
215
ENDO INTL PLC
G30401106
SHS$27.5M0.13%392,767+1789.9%
216
NEWFIELD EXPL CO
651290108
COM$27.36M0.13%618,968-23.8%
217
HD SUPPLY HLDGS INC
40416M105
COM$27.35M0.13%963,314+28.5%
218
CA INC
12673P105
COM$27.24M0.13%947,881+430.1%
219
IAC INTERACTIVECORP
44919P508
COM PAR $.001$27.11M0.13%391,516+209.5%
220
MANPOWERGROUP INC
56418H100
COM$27.1M0.13%319,430+117.6%
221
SENSATA TECHNOLOGIES HLDG NV
N7902X106
SHS$27.05M0.13%578,321+305.6%
222
PALO ALTO NETWORKS INC
697435105
COM$26.89M0.13%320,719+164.3%
223
AERCAP HOLDINGS NV
N00985106
SHS$26.73M0.13%583,568+127.1%
224
LABORATORY CORP AMER HLDGS
50540R409
COM NEW$26.68M0.13%260,554+11.9%
225
DIAMONDBACK ENERGY INC
25278X109
COM$26.66M0.13%300,262-48.1%
226
DELPHI AUTOMOTIVE PLC
G27823106
SHS$26.56M0.13%386,331+191.0%
227
ON SEMICONDUCTOR CORP
682189105
COM$25.72M0.12%2,813,438-41.1%
228
CONSOLIDATED EDISON INC
209115104
COM$25.51M0.12%441,844+4.5%
229
HEALTH NET INC
42222G108
COM$25.43M0.12%612,106+15.0%
230
ENERGEN CORP
29265N108
COM$25.36M0.12%285,272+73.4%
231
GENERAL GROWTH PPTYS INC NEW
370023103
COM$25.02M0.12%1,061,856-49.4%
232
PDC ENERGY INC
69327R101
COM$24.99M0.12%395,775-16.0%
233
PRUDENTIAL FINL INC
744320102
COM$24.89M0.12%280,414+423.2%
234
EATON CORP PLC
G29183103
SHS$24.6M0.12%318,667
235
OWENS ILL INC
690768403
COM NEW$24.51M0.12%707,626-19.9%
236
PROSHARES TR
74347R107
PSHS ULT S&P 500$24.5M0.12%211,613+329.2%
237
MEADWESTVACO CORP
583334107
COM$24.33M0.12%549,764+2139.2%
238
TIMKEN CO
887389104
COM$24.31M0.12%358,410-7.9%
239
AUTODESK INC
052769106
COM$24.26M0.12%430,347New
240
METHANEX CORP
59151K108
COM$23.97M0.11%388,026+452.8%
241
THERMO FISHER SCIENTIFIC INC
883556102
COM$23.86M0.11%202,192-17.4%
242
DYNEGY INC NEW DEL
26817R108
COM$23.81M0.11%684,100New
243
GENERAL ELECTRIC CO
369604103
COM$23.78M0.11%904,968+2625.1%
244
URBAN OUTFITTERS INC
917047102
COM$23.73M0.11%700,824+47.8%
245
CADENCE DESIGN SYSTEM INC
127387108
COM$23.73M0.11%1,356,576+651.1%
246
WINDSTREAM HLDGS INC
97382A101
COM$23.65M0.11%2,374,453+86.0%
247
RYDER SYS INC
783549108
COM$23.6M0.11%267,911+237.2%
248
APOLLO INVT CORP
03761U106
COM$23.47M0.11%2,725,349-11.8%
249
DRESSER-RAND GROUP INC
261608103
COM$23.43M0.11%367,684+254.0%
250
WYNDHAM WORLDWIDE CORP
98310W108
COM$23.42M0.11%309,326+969.4%
251
JACOBS ENGR GROUP INC DEL
469814107
COM$23.4M0.11%439,186+5862.3%
252
MYLAN INC
628530107
COM$23.3M0.11%451,938-77.8%
253
MFA FINL INC
55272X102
COM$23.27M0.11%2,833,920+37.0%
254
GENERAL MLS INC
370334104
COM$23.11M0.11%439,914New
255
APPLIED MATLS INC
038222105
COM$23.09M0.11%1,023,995New
256
VALIDUS HOLDINGS LTD
G9319H102
COM SHS$23.03M0.11%602,230+188.5%
257
NEWS CORP NEW
65249B109
CL A$22.97M0.11%1,280,528+350.1%
258
KAR AUCTION SVCS INC
48238T109
COM$22.87M0.11%717,532-35.3%
259
CHICAGO BRIDGE & IRON CO N V
167250109
COM$22.85M0.11%335,099New
260
LIBERTY INTERACTIVE CORP
53071M104
INT COM SER A$22.69M0.11%772,707+523.9%
261
DST SYS INC DEL
233326107
COM$22.68M0.11%246,021+60.7%
262
CENTENE CORP DEL
15135B101
COM$22.66M0.11%299,748New
263
INTEGRATED DEVICE TECHNOLOGY
458118106
COM$22.64M0.11%1,464,690+180.1%
264
TAUBMAN CTRS INC
876664103
COM$22.49M0.11%296,625-21.7%
265
TOWERS WATSON & CO
891894107
CL A$22.48M0.11%215,632New
266
GRIFOLS S A
398438408
SP ADR REP B NVT$22.06M0.11%500,823+85.4%
267
SVB FINL GROUP
78486Q101
COM$22.02M0.10%188,839+48.9%
268
QUINTILES TRANSNATIO HLDGS I
74876Y101
COM$22.01M0.10%413,053-47.2%
269
CARDINAL HEALTH INC
14149Y108
COM$21.85M0.10%318,635+218.4%
270
KIRBY CORP
497266106
COM$21.78M0.10%185,946+3.0%
271
STANLEY BLACK & DECKER INC
854502101
COM$21.64M0.10%246,429+87.6%
272
BLACKBERRY LTD
09228F103
COM$21.61M0.10%2,110,514+43.1%
273
COGNIZANT TECHNOLOGY SOLUTIO
192446102
CL A$21.56M0.10%440,726+383.0%
274
SELECT SECTOR SPDR TR
81369Y704
SBI INT-INDS$21.39M0.10%395,720New
275
CAMDEN PPTY TR
133131102
SH BEN INT$21.32M0.10%299,657+68.8%
276
GAMING & LEISURE PPTYS INC
36467J108
COM$21.32M0.10%627,493+2512.2%
277
AXIS CAPITAL HOLDINGS LTD
G0692U109
SHS$21.21M0.10%479,056+20.8%
278
ROCK-TENN CO
772739207
CL A$21.05M0.10%199,381+6.3%
279
WALGREEN CO
931422109
COM$20.9M0.10%281,972-71.0%
280
BUNGE LIMITED
G16962105
COM$20.79M0.10%274,894+9.7%
281
SAFEWAY INC
786514208
COM NEW$20.72M0.10%603,465+4.3%
282
EASTMAN CHEM CO
277432100
COM$20.56M0.10%235,374+5.4%
283
MRC GLOBAL INC
55345K103
COM$20.54M0.10%726,186+30.1%
284
WATERS CORP
941848103
COM$20.51M0.10%196,347+16.1%
285
SELECT SECTOR SPDR TR
81369Y803
TECHNOLOGY$20.49M0.10%534,302New
286
HSBC HLDGS PLC
404280406
SPON ADR NEW$20.45M0.10%402,647-50.7%
287
WENDYS CO
95058W100
COM$20.36M0.10%2,386,667+22.3%
288
APARTMENT INVT & MGMT CO
03748R101
CL A$20.34M0.10%630,446+36.8%
289
CHESAPEAKE ENERGY CORP
165167107
COM$20.06M0.10%645,547New
290
SHERWIN WILLIAMS CO
824348106
COM$20.02M0.10%96,736-12.9%
291
TEXAS INDS INC
882491103
COM$19.98M0.10%216,365+29.9%
292
OLD DOMINION FGHT LINES INC
679580100
COM$19.95M0.10%313,283+261.1%
293
AGL RES INC
001204106
COM$19.88M0.09%361,170+54.9%
294
BARRETT BILL CORP
06846N104
COM$19.85M0.09%741,240-12.8%
295
TRW AUTOMOTIVE HLDGS CORP
87264S106
COM$19.78M0.09%220,951-26.0%
296
AVON PRODS INC
054303102
COM$19.68M0.09%1,346,869-55.1%
297
SALLY BEAUTY HLDGS INC
79546E104
COM$19.61M0.09%782,058-25.3%
298
CIGNA CORPORATION
125509109
COM$19.6M0.09%213,102+510.4%
299
BERRY PLASTICS GROUP INC
08579W103
COM$19.55M0.09%757,808-0.4%
300
MADISON SQUARE GARDEN CO
55826P100
CL A$19.49M0.09%312,122-32.5%
301
DAVITA HEALTHCARE PARTNERS I
23918K108
COM$19.4M0.09%268,214+67.9%
302
COMPASS MINERALS INTL INC
20451N101
COM$19.39M0.09%202,551+15.3%
303
DOMTAR CORP
257559203
COM NEW$19.32M0.09%450,960New
304
GNC HLDGS INC
36191G107
COM CL A$19.2M0.09%563,008New
305
INGREDION INC
457187102
COM$19.16M0.09%255,335-9.4%
306
WELLCARE HEALTH PLANS INC
94946T106
COM$19.12M0.09%256,063+16.1%
307
SOUTHERN CO
842587107
COM$18.94M0.09%417,406New
308
MEDTRONIC INC
585055106
COM$18.86M0.09%295,843New
309
VERISK ANALYTICS INC
92345Y106
CL A$18.82M0.09%313,495New
310
BEST BUY INC
086516101
COM$18.69M0.09%602,797+1261.5%
311
ARRIS GROUP INC NEW
04270V106
COM$18.47M0.09%567,697+1171.1%
312
SEALED AIR CORP NEW
81211K100
COM$18.42M0.09%539,142+1226.4%
313
AMERICAN HOMES 4 RENT
02665T306
CL A$18.26M0.09%1,027,843New
314
VCA INC
918194101
COM$18.24M0.09%519,849+15.0%
315
OIL STS INTL INC
678026105
COM$18.23M0.09%284,479-8.8%
316
GENPACT LIMITED
G3922B107
SHS$18.05M0.09%1,029,368-14.9%
317
SMUCKER J M CO
832696405
COM NEW$18M0.09%168,860-64.1%
318
BRIXMOR PPTY GROUP INC
11120U105
COM$17.99M0.09%783,769+841.0%
319
ITT CORP NEW
450911201
COM NEW$17.95M0.09%373,191+4752.3%
320
CIRRUS LOGIC INC
172755100
COM$17.92M0.09%788,027-28.8%
321
KINROSS GOLD CORP
496902404
COM NO PAR$17.79M0.08%4,297,623+247.7%
322
ALASKA AIR GROUP INC
011659109
COM$17.69M0.08%186,109-51.7%
323
EXELIS INC
30162A108
COM$17.47M0.08%1,028,693+40.3%
324
FISERV INC
337738108
COM$17.45M0.08%289,207New
325
COMMSCOPE HLDG CO INC
20337X109
COM$17.32M0.08%748,923+2802.8%
326
ANIXTER INTL INC
035290105
COM$17.31M0.08%172,942-36.4%
327
TWO HBRS INVT CORP
90187B101
COM$17.27M0.08%1,647,789+63.1%
328
INGRAM MICRO INC
457153104
CL A$17.2M0.08%588,950+33.0%
329
XL GROUP PLC
G98290102
SHS$17.18M0.08%524,820-35.0%
330
FIRST NIAGARA FINL GP INC
33582V108
COM$17.11M0.08%1,957,028+281.8%
331
SUNCOR ENERGY INC NEW
867224107
COM$16.99M0.08%398,530-75.6%
332
ALTERA CORP
021441100
COM$16.98M0.08%488,635New
333
FOSTER WHEELER AG
H27178104
COM$16.97M0.08%498,158+58.4%
334
ALLEGION PUB LTD CO
G0176J109
ORD SHS$16.94M0.08%298,864-47.4%
335
INTERPUBLIC GROUP COS INC
460690100
COM$16.84M0.08%863,126-68.5%
336
EXPRESS INC
30219E103
COM$16.82M0.08%987,435+155.1%
337
PINNACLE WEST CAP CORP
723484101
COM$16.77M0.08%289,953+183.1%
338
DENTSPLY INTL INC NEW
249030107
COM$16.67M0.08%352,065-9.4%
339
KRAFT FOODS GROUP INC
50076Q106
COM$16.46M0.08%274,541-48.9%
340
DELTA AIR LINES INC DEL
247361702
COM NEW$16.36M0.08%422,506-72.5%
341
VIACOM INC NEW
92553P201
CL B$16.34M0.08%188,338+763.3%
342
RED HAT INC
756577102
COM$16.28M0.08%294,526-47.2%
343
EXTERRAN HLDGS INC
30225X103
COM$16.21M0.08%360,256-56.5%
344
TAKE-TWO INTERACTIVE SOFTWAR
874054109
COM$16.11M0.08%724,380+209.9%
345
DEVRY ED GROUP INC
251893103
COM$16.09M0.08%379,909+276.0%
346
BIG LOTS INC
089302103
COM$15.95M0.08%348,988+95.1%
347
LEIDOS HLDGS INC
525327102
COM$15.84M0.08%413,155-6.4%
348
HYATT HOTELS CORP
448579102
COM CL A$15.74M0.08%258,160+31.1%
349
HUNTINGTON INGALLS INDS INC
446413106
COM$15.74M0.07%166,410-31.5%
350
TIBCO SOFTWARE INC
88632Q103
COM$15.73M0.07%779,935-34.5%
351
ATHLON ENERGY INC
047477104
COM$15.72M0.07%329,651+2.9%
352
PRECISION DRILLING CORP
74022D308
COM 2010$15.63M0.07%1,103,589+22.3%
353
RIVERBED TECHNOLOGY INC
768573107
COM$15.45M0.07%748,714-11.9%
354
ATMEL CORP
049513104
COM$15.31M0.07%1,634,383New
355
INFORMATICA CORP
45666Q102
COM$15.28M0.07%428,472+9.6%
356
HEXCEL CORP NEW
428291108
COM$15.21M0.07%371,771+29.7%
357
UNITED THERAPEUTICS CORP DEL
91307C102
COM$15.19M0.07%171,638+864.4%
358
SPIRIT AIRLS INC
848577102
COM$15.16M0.07%239,723-54.0%
359
TEEKAY CORPORATION
Y8564W103
COM$15.16M0.07%243,485+13.1%
360
CONSTELLIUM NV
N22035104
CL A$15.01M0.07%468,018-22.3%
361
RYMAN HOSPITALITY PPTYS INC
78377T107
COM$14.89M0.07%309,276+34.9%
362
WASTE MGMT INC DEL
94106L109
COM$14.86M0.07%332,263-29.5%
363
LIBERTY PPTY TR
531172104
SH BEN INT$14.84M0.07%391,120New
364
BROWN & BROWN INC
115236101
COM$14.78M0.07%481,341+4.2%
365
WESTLAKE CHEM CORP
960413102
COM$14.75M0.07%176,083-33.0%
366
LAZARD LTD
G54050102
SHS A$14.7M0.07%285,143-43.2%
367
MCDERMOTT INTL INC
580037109
COM$14.69M0.07%1,815,233+49.9%
368
NORDSTROM INC
655664100
COM$14.54M0.07%214,024+157.5%
369
LKQ CORP
501889208
COM$14.42M0.07%540,383+3308.9%
370
DEAN FOODS CO NEW
242370203
COM NEW$14.4M0.07%818,673+282.2%
371
CHARLES RIV LABS INTL INC
159864107
COM$14.39M0.07%268,807-23.1%
372
JABIL CIRCUIT INC
466313103
COM$14.03M0.07%671,141+92.2%
373
DISCOVERY COMMUNICATNS NEW
25470F104
COM SER A$13.95M0.07%187,825New
374
FAIRCHILD SEMICONDUCTOR INTL
303726103
COM$13.92M0.07%892,445+11.1%
375
CVR ENERGY INC
12662P108
COM$13.89M0.07%288,124+12.0%
376
ABB LTD
000375204
SPONSORED ADR$13.71M0.07%595,550+2010.2%
377
PINNACLE FOODS INC DEL
72348P104
COM$13.71M0.07%416,697New
378
ABERCROMBIE & FITCH CO
002896207
CL A$13.69M0.07%316,438-55.7%
379
CHIMERA INVT CORP
16934Q109
COM$13.65M0.07%4,277,343+3.3%
380
DARDEN RESTAURANTS INC
237194105
COM$13.44M0.06%290,509+23.5%
381
ALEXANDRIA REAL ESTATE EQ IN
015271109
COM$13.38M0.06%172,368+32.2%
382
PULTE GROUP INC
745867101
COM$13.27M0.06%658,162+202.9%
383
HOSPITALITY PPTYS TR
44106M102
COM SH BEN INT$13.25M0.06%435,950+33.3%
384
SEAWORLD ENTMT INC
81282V100
COM$13.23M0.06%466,919+658.5%
385
WESTERN REFNG INC
959319104
COM$13.19M0.06%351,329+293.2%
386
RETAIL PPTYS AMER INC
76131V202
CL A$13.17M0.06%856,268+627.7%
387
COMPUWARE CORP
205638109
COM$13.06M0.06%1,306,983+65.0%
388
UNIT CORP
909218109
COM$12.98M0.06%188,521-8.4%
389
MID-AMER APT CMNTYS INC
59522J103
COM$12.95M0.06%177,250+5525.2%
390
SELECT INCOME REIT
81618T100
COM SH BEN INT$12.9M0.06%435,285+110.1%
391
QUESTAR CORP
748356102
COM$12.89M0.06%519,764+646.5%
392
SINA CORP
G81477104
ORD$12.8M0.06%257,121+1405.1%
393
NEUSTAR INC
64126X201
CL A$12.79M0.06%491,547New
394
RANGE RES CORP
75281A109
COM$12.7M0.06%146,087-79.3%
395
PAYCHEX INC
704326107
COM$12.68M0.06%305,152-34.0%
396
FS INVT CORP
302635107
COM$12.63M0.06%1,185,647New
397
STARWOOD PPTY TR INC
85571B105
COM$12.57M0.06%528,908+41.3%
398
CHECK POINT SOFTWARE TECH LT
M22465104
ORD$12.43M0.06%185,488+5977.6%
399
ENERGIZER HLDGS INC
29266R108
COM$12.4M0.06%101,608+802.8%
400
EMERSON ELEC CO
291011104
COM$12.37M0.06%186,403-56.6%
401
EXPEDIA INC DEL
30212P303
COM NEW$12.34M0.06%156,728-37.9%
402
ALBEMARLE CORP
012653101
COM$12.28M0.06%171,804-32.0%
403
CUBIST PHARMACEUTICALS INC
229678107
COM$12.23M0.06%175,094+148.5%
404
AIRGAS INC
009363102
COM$12.22M0.06%112,199New
405
HEALTHCARE TR AMER INC
42225P105
CL A$12.18M0.06%1,011,310New
406
SALIX PHARMACEUTICALS INC
795435106
COM$12.16M0.06%98,543-66.9%
407
SNAP ON INC
833034101
COM$12.12M0.06%102,245-5.3%
408
CANADIAN NAT RES LTD
136385101
COM$12.06M0.06%262,749+1981.2%
409
BASIC ENERGY SVCS INC NEW
06985P100
COM$11.92M0.06%407,889-32.8%
410
COLUMBIA PPTY TR INC
198287203
COM NEW$11.85M0.06%455,756+137.6%
411
MEDIVATION INC
58501N101
COM$11.82M0.06%153,373New
412
BB&T CORP
054937107
COM$11.76M0.06%298,296New
413
COVANTA HLDG CORP
22282E102
COM$11.75M0.06%570,303-7.4%
414
AMER RLTY CAP HEALTHCAR TR I
02917R108
COM$11.65M0.06%1,069,501New
415
PILGRIMS PRIDE CORP NEW
72147K108
COM$11.65M0.06%425,683-10.6%
416
SPX CORP
784635104
COM$11.65M0.06%107,619-44.9%
417
NEWCASTLE INVT CORP
65105M108
COM$11.54M0.05%2,408,152+41.8%
418
TRIUMPH GROUP INC NEW
896818101
COM$11.5M0.05%164,670+139.2%
419
CONVERSANT INC
21249J105
COM$11.5M0.05%452,578-5.8%
420
EVERTEC INC
30040P103
COM$11.47M0.05%473,146+3545.2%
421
SM ENERGY CO
78454L100
COM$11.44M0.05%136,003-12.3%
422
PATTERSON UTI ENERGY INC
703481101
COM$11.38M0.05%325,820-84.0%
423
LIFEPOINT HOSPITALS INC
53219L109
COM$11.37M0.05%183,094New
424
HUBBELL INC
443510201
CL B$11.18M0.05%90,782New
425
SUPERIOR ENERGY SVCS INC
868157108
COM$11.11M0.05%307,260-55.3%
426
TELEFLEX INC
879369106
COM$11.05M0.05%104,585-43.5%
427
VECTOR GROUP LTD
92240M108
COM$11.02M0.05%532,823-38.2%
428
BLOOMIN BRANDS INC
094235108
COM$11.01M0.05%490,659+18.3%
429
CAMERON INTERNATIONAL CORP
13342B105
COM$10.99M0.05%162,309+529.4%
430
SIGNATURE BK NEW YORK N Y
82669G104
COM$10.87M0.05%86,110-4.2%
431
SUNSTONE HOTEL INVS INC NEW
867892101
COM$10.87M0.05%727,708-45.0%
432
AMKOR TECHNOLOGY INC
031652100
COM$10.76M0.05%962,427+170.0%
433
HUNTSMAN CORP
447011107
COM$10.7M0.05%380,748-80.8%
434
PHARMACYCLICS INC
716933106
COM$10.65M0.05%118,764+522.2%
435
LEXINGTON REALTY TRUST
529043101
COM$10.58M0.05%961,062+38.3%
436
AECOM TECHNOLOGY CORP DELAWA
00766T100
COM$10.52M0.05%326,757+305.1%
437
OGE ENERGY CORP
670837103
COM$10.49M0.05%268,430-0.2%
438
APOLLO ED GROUP INC
037604105
CL A$10.47M0.05%334,882-50.3%
439
AMERICAN FINL GROUP INC OHIO
025932104
COM$10.44M0.05%175,310+86.2%
440
CYRUSONE INC
23283R100
COM$10.43M0.05%418,830+721.3%
441
TIVO INC
888706108
COM$10.42M0.05%807,069-11.2%
442
REXNORD CORP NEW
76169B102
COM$10.38M0.05%368,735+256.3%
443
ASPEN INSURANCE HOLDINGS LTD
G05384105
SHS$10.31M0.05%227,019-45.7%
444
GUESS INC
401617105
COM$10.3M0.05%381,547+3.9%
445
TARGA RES CORP
87612G101
COM$10.29M0.05%73,729+81.4%
446
AGRIUM INC
008916108
COM$10.28M0.05%112,230-41.1%
447
GAMESTOP CORP NEW
36467W109
CL A$10.28M0.05%254,018-5.3%
448
RAYONIER INC
754907103
COM$10.2M0.05%287,026-38.9%
449
WAL-MART STORES INC
931142103
COM$10.18M0.05%135,565New
450
SELECT MED HLDGS CORP
81619Q105
COM$10.17M0.05%651,733-8.9%
451
AMTRUST FINL SVCS INC
032359309
COM$10.16M0.05%242,913New
452
JACK IN THE BOX INC
466367109
COM$10.14M0.05%169,483+10.6%
453
ASTRAZENECA PLC
046353108
SPONSORED ADR$10.14M0.05%136,387New
454
PATTERSON COMPANIES INC
703395103
COM$10.13M0.05%256,414+326.9%
455
DECKERS OUTDOOR CORP
243537107
COM$10.1M0.05%116,941New
456
FOREST CITY ENTERPRISES INC
345550107
CL A$10.09M0.05%507,779-8.0%
457
ECOLAB INC
278865100
COM$10.06M0.05%90,323New
458
GLIMCHER RLTY TR
379302102
SH BEN INT$10.03M0.05%926,096New
459
HOME PROPERTIES INC
437306103
COM$9.96M0.05%155,730-32.9%
460
POLYCOM INC
73172K104
COM$9.95M0.05%793,777+5.3%
461
FIRST REP BK SAN FRANCISCO C
33616C100
COM$9.94M0.05%180,778New
462
OASIS PETE INC NEW
674215108
COM$9.85M0.05%176,137+933.4%
463
PITNEY BOWES INC
724479100
COM$9.84M0.05%356,359-50.5%
464
NEW RESIDENTIAL INVT CORP
64828T102
COM$9.78M0.05%1,552,082New
465
XEROX CORP
984121103
COM$9.78M0.05%786,012-70.9%
466
NEW YORK REIT INC
64976L109
COM$9.67M0.05%874,536New
467
MBIA INC
55262C100
COM$9.63M0.05%872,196-63.2%
468
POPULAR INC
733174700
COM NEW$9.63M0.05%281,645+32.7%
469
GENWORTH FINL INC
37247D106
COM CL A$9.58M0.05%550,638-74.8%
470
MATTEL INC
577081102
COM$9.57M0.05%245,675New
471
CIMAREX ENERGY CO
171798101
COM$9.55M0.05%66,559-62.3%
472
AVG TECHNOLOGIES N V
N07831105
SHS$9.45M0.05%469,496+54.6%
473
FULTON FINL CORP PA
360271100
COM$9.44M0.04%761,472+4.7%
474
IAMGOLD CORP
450913108
COM$9.36M0.04%2,272,593+296.9%
475
MAGELLAN HEALTH INC
559079207
COM NEW$9.32M0.04%149,753+559.7%
476
JARDEN CORP
471109108
COM$9.3M0.04%156,715-37.7%
477
CHEMTURA CORP
163893209
COM NEW$9.3M0.04%355,743+17.4%
478
SPIRIT RLTY CAP INC NEW
84860W102
COM$9.29M0.04%817,356New
479
ANSYS INC
03662Q105
COM$9.24M0.04%121,906+1152.9%
480
STERICYCLE INC
858912108
COM$9.23M0.04%77,958New
481
EMERITUS CORP
291005106
COM$9.21M0.04%291,025-11.4%
482
EP ENERGY CORP
268785102
CL A$9.17M0.04%397,765+7.4%
483
PIONEER ENERGY SVCS CORP
723664108
COM$9.12M0.04%519,982+10.3%
484
DCT INDUSTRIAL TRUST INC
233153105
COM$9.12M0.04%1,110,529New
485
LENNOX INTL INC
526107107
COM$9.09M0.04%101,514New
486
MOLINA HEALTHCARE INC
60855R100
COM$9.01M0.04%201,843+122.2%
487
GIANT INTERACTIVE GROUP INC
374511103
ADR$9M0.04%759,801+4.3%
488
POST PPTYS INC
737464107
COM$8.93M0.04%167,068-49.1%
489
EDISON INTL
281020107
COM$8.9M0.04%153,107-66.9%
490
SELECT SECTOR SPDR TR
81369Y209
SBI HEALTHCARE$8.8M0.04%144,634-35.4%
491
KAPSTONE PAPER & PACKAGING C
48562P103
COM$8.78M0.04%265,142-17.6%
492
DIREXION SHS ETF TR
25459Y488
DLY SC BEAR3XNEW$8.77M0.04%627,900+696.8%
493
PARTNERRE LTD
G6852T105
COM$8.73M0.04%79,901-74.6%
494
PENN NATL GAMING INC
707569109
COM$8.68M0.04%714,577+48.8%
495
ALEXION PHARMACEUTICALS INC
015351109
COM$8.67M0.04%55,484-89.7%
496
THORATEC CORP
885175307
COM NEW$8.59M0.04%246,445-25.2%
497
DOLBY LABORATORIES INC
25659T107
COM$8.56M0.04%198,037-0.3%
498
AUTONAVI HLDGS LTD
05330F106
SPONSORED ADR$8.53M0.04%408,153+367.0%
499
SPANSION INC
84649R200
COM CL A NEW$8.5M0.04%403,599+21.0%
500
PETSMART INC
716768106
COM$8.47M0.04%141,700-67.5%
501
BIOMED REALTY TRUST INC
09063H107
COM$8.46M0.04%387,547-20.0%
502
ROYAL GOLD INC
780287108
COM$8.46M0.04%111,139-26.7%
503
EMPIRE ST RLTY TR INC
292104106
CL A$8.46M0.04%512,625+191.8%
504
REGAL ENTMT GROUP
758766109
CL A$8.45M0.04%400,373+328.0%
505
PLATFORM SPECIALTY PRODS COR
72766Q105
COM$8.41M0.04%299,912+245.2%
506
NABORS INDUSTRIES LTD
G6359F103
SHS$8.35M0.04%284,319-80.2%
507
MDU RES GROUP INC
552690109
COM$8.34M0.04%237,734+44.3%
508
SONY CORP
835699307
ADR NEW$8.29M0.04%494,008New
509
ALLSTATE CORP
020002101
COM$8.28M0.04%140,953+1276.5%
510
MCCORMICK & CO INC
579780206
COM NON VTG$8.26M0.04%115,419+2.7%
511
CHUBB CORP
171232101
COM$8.19M0.04%88,842+2677.2%
512
T-MOBILE US INC
872590104
COM$8.1M0.04%241,028New
513
UNITED RENTALS INC
911363109
COM$8.09M0.04%77,247-83.6%
514
ARCH CAP GROUP LTD
G0450A105
ORD$8.08M0.04%140,627New
515
OMNIVISION TECHNOLOGIES INC
682128103
COM$8.07M0.04%367,365-40.6%
516
HILL ROM HLDGS INC
431475102
COM$8.07M0.04%194,403+984.7%
517
WABCO HLDGS INC
92927K102
COM$8.01M0.04%74,984-74.4%
518
NORTHERN TR CORP
665859104
COM$7.98M0.04%124,305New
519
YAHOO INC
984332106
COM$7.98M0.04%227,008-82.5%
520
COLONY FINL INC
19624R106
COM$7.97M0.04%343,293New
521
PACCAR INC
693718108
COM$7.93M0.04%126,283New
522
REINSURANCE GROUP AMER INC
759351604
COM NEW$7.93M0.04%100,490+36.2%
523
EDWARDS LIFESCIENCES CORP
28176E108
COM$7.92M0.04%92,217-40.6%
524
PORTLAND GEN ELEC CO
736508847
COM NEW$7.89M0.04%227,672+176.7%
525
RAMBUS INC DEL
750917106
COM$7.89M0.04%551,479+55.8%
526
WESCO INTL INC
95082P105
COM$7.85M0.04%90,866+60.8%
527
CABOT CORP
127055101
COM$7.83M0.04%135,049+222.6%
528
APOLLO COML REAL EST FIN INC
03762U105
COM$7.83M0.04%474,782+88.3%
529
SCIENCE APPLICATNS INTL CP N
808625107
COM$7.82M0.04%177,126+479.1%
530
ORBITAL SCIENCES CORP
685564106
COM$7.8M0.04%263,926+75.8%
531
TALISMAN ENERGY INC
87425E103
COM$7.79M0.04%734,463New
532
PROSHARES TR
74347R206
PSHS ULTRA QQQ$7.75M0.04%68,200-13.3%
533
CDW CORP
12514G108
COM$7.69M0.04%241,194+551.9%
534
LEAR CORP
521865204
COM NEW$7.68M0.04%85,934-15.3%
535
BOFI HLDG INC
05566U108
COM$7.67M0.04%104,328+31.9%
536
ENDURANCE SPECIALTY HLDGS LT
G30397106
SHS$7.65M0.04%148,212+562.3%
537
ENCANA CORP
292505104
COM$7.64M0.04%322,341New
538
MADDEN STEVEN LTD
556269108
COM$7.6M0.04%221,483+210.6%
539
URS CORP NEW
903236107
COM$7.57M0.04%165,037-53.6%
540
EQUITY LIFESTYLE PPTYS INC
29472R108
COM$7.57M0.04%171,305-27.7%
541
PRINCIPAL FINL GROUP INC
74251V102
COM$7.53M0.04%149,179-24.2%
542
WERNER ENTERPRISES INC
950755108
COM$7.53M0.04%284,069-30.6%
543
ANGLOGOLD ASHANTI LTD
035128206
SPONSORED ADR$7.47M0.04%433,907+164.4%
544
BHP BILLITON PLC
05545E209
SPONSORED ADR$7.47M0.04%114,479+36.8%
545
DOVER CORP
260003108
COM$7.45M0.04%81,870-79.3%
546
VISA INC
92826C839
COM CL A$7.42M0.04%35,189-88.8%
547
ASPEN TECHNOLOGY INC
045327103
COM$7.4M0.04%159,414+27.2%
548
INTERSIL CORP
46069S109
CL A$7.38M0.04%493,696+698.2%
549
ENERGY XXI BERMUDA LTD
G10082140
USD UNRS SHS$7.35M0.04%311,088-31.4%
550
KILROY RLTY CORP
49427F108
COM$7.35M0.04%118,005New
551
VERISIGN INC
92343E102
COM$7.33M0.03%150,184+12.7%
552
ISHARES
464287200
CORE S&P500 ETF$7.31M0.03%37,100New
553
AVERY DENNISON CORP
053611109
COM$7.3M0.03%142,464-69.6%
554
SOHU COM INC
83408W103
COM$7.3M0.03%126,556New
555
CHICOS FAS INC
168615102
COM$7.3M0.03%430,312+19.1%
556
PACIRA PHARMACEUTICALS INC
695127100
COM$7.23M0.03%78,716+49.3%
557
AARONS INC
002535300
COM PAR $0.50$7.22M0.03%202,595-22.2%
558
KEY ENERGY SVCS INC
492914106
COM$7.22M0.03%789,912-17.7%
559
SILICON LABORATORIES INC
826919102
COM$7.21M0.03%146,425-28.5%
560
ITRON INC
465741106
COM$7.15M0.03%176,428+106.8%
561
KULICKE & SOFFA INDS INC
501242101
COM$7.13M0.03%500,103+16.9%
562
WILLIAMS CLAYTON ENERGY INC
969490101
COM$7.13M0.03%51,863+13.0%
563
WUXI PHARMATECH CAYMAN INC
929352102
SPONS ADR SHS$7.09M0.03%215,685New
564
LIBERTY INTERACTIVE CORP
53071M880
LBT VENT COM A$7.09M0.03%96,032-18.6%
565
AMERICAN CAP MTG INVT CORP
02504A104
COM$7.06M0.03%352,524+26.6%
566
BRITISH AMERN TOB PLC
110448107
SPONSORED ADR$7.01M0.03%58,894+50.8%
567
TCF FINL CORP
872275102
COM$7M0.03%427,456-25.5%
568
TRACTOR SUPPLY CO
892356106
COM$7M0.03%115,820New
569
NASDAQ OMX GROUP INC
631103108
COM$6.98M0.03%180,700+160.8%
570
FOSSIL GROUP INC
34988V106
COM$6.97M0.03%66,677-58.7%
571
VINCE HLDG CORP
92719W108
COM$6.94M0.03%189,555+101.4%
572
TIM HORTONS INC
88706M103
COM$6.89M0.03%125,847-52.3%
573
FRONTIER COMMUNICATIONS CORP
35906A108
COM$6.86M0.03%1,174,079+210.1%
574
ENLINK MIDSTREAM LLC
29336T100
COM UNIT REP LTD$6.84M0.03%164,284New
575
VERA BRADLEY INC
92335C106
COM$6.8M0.03%310,700-28.0%
576
TEXTRON INC
883203101
COM$6.77M0.03%176,838New
577
MARRIOTT VACATIONS WRLDWDE C
57164Y107
COM$6.75M0.03%115,176-33.9%
578
BURGER KING WORLDWIDE INC
121220107
COM$6.75M0.03%247,856+147.8%
579
CATAMARAN CORP
148887102
COM$6.71M0.03%152,015New
580
CYTEC INDS INC
232820100
COM$6.65M0.03%63,048+661.8%
581
UNUM GROUP
91529Y106
COM$6.63M0.03%190,668+396.3%
582
BANKUNITED INC
06652K103
COM$6.61M0.03%197,516-38.3%
583
GOLD FIELDS LTD NEW
38059T106
SPONSORED ADR$6.56M0.03%1,763,925-31.6%
584
MASIMO CORP
574795100
COM$6.55M0.03%277,502New
585
CENOVUS ENERGY INC
15135U109
COM$6.54M0.03%202,170-67.6%
586
ASSURANT INC
04621X108
COM$6.54M0.03%99,805+24.6%
587
SYNOPSYS INC
871607107
COM$6.53M0.03%168,296-50.0%
588
LAS VEGAS SANDS CORP
517834107
COM$6.5M0.03%85,319-95.4%
589
CBOE HLDGS INC
12503M108
COM$6.48M0.03%131,705New
590
CMS ENERGY CORP
125896100
COM$6.48M0.03%207,956-78.9%
591
MICROSTRATEGY INC
594972408
CL A NEW$6.44M0.03%45,794-13.7%
592
CONMED CORP
207410101
COM$6.44M0.03%145,769+20.6%
593
TAL ED GROUP
874080104
ADS REPSTG COM$6.43M0.03%233,862+154.7%
594
SKECHERS U S A INC
830566105
CL A$6.35M0.03%138,878-20.5%
595
FIRST HORIZON NATL CORP
320517105
COM$6.28M0.03%529,492New
596
DENBURY RES INC
247916208
COM NEW$6.28M0.03%340,145-84.2%
597
PROSHARES TR
74347X864
ULTRPRO S&P500$6.26M0.03%54,500+132.5%
598
WILEY JOHN & SONS INC
968223206
CL A$6.22M0.03%102,687New
599
ROSETTA RESOURCES INC
777779307
COM$6.2M0.03%113,037New
600
SANMINA CORPORATION
801056102
COM$6.17M0.03%270,958+58.8%
601
TELEDYNE TECHNOLOGIES INC
879360105
COM$6.09M0.03%62,685+21.2%
602
CARLISLE COS INC
142339100
COM$6.08M0.03%70,173-49.5%
603
COPART INC
217204106
COM$6.08M0.03%168,927+55.1%
604
LATTICE SEMICONDUCTOR CORP
518415104
COM$6.07M0.03%735,091-0.1%
605
ABRAXAS PETE CORP
003830106
COM$6.05M0.03%966,507+569.4%
606
ALLSCRIPTS HEALTHCARE SOLUTN
01988P108
COM$6.05M0.03%376,768+268.5%
607
PROSHARES TR
74347X831
ULTRAPRO QQQ$6.05M0.03%80,900-15.3%
608
ECHOSTAR CORP
278768106
CL A$6.02M0.03%113,634+156.1%
609
ICU MED INC
44930G107
COM$6.01M0.03%98,798-22.1%
610
DEUTSCHE BANK AG
D18190898
NAMEN AKT$6M0.03%170,658New
611
UNS ENERGY CORP
903119105
COM$5.98M0.03%98,969+390.1%
612
POPEYES LA KITCHEN INC
732872106
COM$5.97M0.03%136,502+343.8%
613
SOLAR CAP LTD
83413U100
COM$5.94M0.03%279,152+64.2%
614
PENNANTPARK INVT CORP
708062104
COM$5.93M0.03%517,597+58.7%
615
CLOUD PEAK ENERGY INC
18911Q102
COM$5.93M0.03%321,953+28.1%
616
BLACKROCK KELSO CAPITAL CORP
092533108
COM$5.93M0.03%650,404+106.2%
617
LOCKHEED MARTIN CORP
539830109
COM$5.92M0.03%36,819-30.3%
618
MICHAEL KORS HLDGS LTD
G60754101
SHS$5.9M0.03%66,550-51.6%
619
ICON PLC
G4705A100
SHS$5.85M0.03%124,204-57.6%
620
TOTAL SYS SVCS INC
891906109
COM$5.84M0.03%185,817New
621
CROCS INC
227046109
COM$5.8M0.03%385,675+328.9%
622
RESMED INC
761152107
COM$5.78M0.03%114,119-69.4%
623
VAIL RESORTS INC
91879Q109
COM$5.77M0.03%74,774New
624
NOW INC
67011P100
COM$5.77M0.03%159,311New
625
RLJ LODGING TR
74965L101
COM$5.77M0.03%199,548-26.4%
626
RESOURCE CAP CORP
76120W302
COM$5.75M0.03%1,021,745+88.2%
627
ARAMARK
03852U106
COM$5.65M0.03%218,136+184.4%
628
CUMMINS INC
231021106
COM$5.64M0.03%36,550-92.7%
629
SUSQUEHANNA BANCSHARES INC P
869099101
COM$5.63M0.03%533,039+0.7%
630
SAIA INC
78709Y105
COM$5.58M0.03%127,078+22.9%
631
CANADIAN SOLAR INC
136635109
COM$5.54M0.03%177,149New
632
CBL & ASSOC PPTYS INC
124830100
COM$5.5M0.03%289,418New
633
HARMAN INTL INDS INC
413086109
COM$5.49M0.03%51,087New
634
INTERMUNE INC
45884X103
COM$5.48M0.03%124,010New
635
PETROCHINA CO LTD
71646E100
SPONSORED ADR$5.47M0.03%43,528+98.9%
636
PERKINELMER INC
714046109
COM$5.44M0.03%116,213-75.6%
637
BRANDYWINE RLTY TR
105368203
SH BEN INT NEW$5.44M0.03%348,866+423.9%
638
BLACKHAWK NETWORK HLDGS INC
09238E203
CL B$5.44M0.03%202,679New
639
NORDSON CORP
655663102
COM$5.43M0.03%67,656New
640
YONGYE INTL INC
98607B106
COM$5.41M0.03%771,513New
641
GROUP 1 AUTOMOTIVE INC
398905109
COM$5.39M0.03%63,981New
642
KINDER MORGAN MANAGEMENT LLC
49455U100
SHS$5.37M0.03%68,062New
643
GOLDCORP INC NEW
380956409
COM$5.37M0.03%192,279New
644
CHIPMOS TECH BERMUDA LTD
G2110R114
SHS$5.33M0.03%221,005+67.7%
645
TESSERA TECHNOLOGIES INC
88164L100
COM$5.33M0.03%241,415-3.1%
646
MAGNUM HUNTER RES CORP DEL
55973B102
COM$5.33M0.03%649,980New
647
NCR CORP NEW
62886E108
COM$5.33M0.03%151,887+892.1%
648
HAWAIIAN HOLDINGS INC
419879101
COM$5.33M0.03%388,537-46.4%
649
UIL HLDG CORP
902748102
COM$5.32M0.03%137,523New
650
ALIGN TECHNOLOGY INC
016255101
COM$5.32M0.03%94,949-73.1%
651
HOWARD HUGHES CORP
44267D107
COM$5.27M0.03%33,411+895.6%
652
ORTHOFIX INTL N V
N6748L102
COM$5.25M0.03%144,901-19.3%
653
W P CAREY INC
92936U109
COM$5.25M0.02%81,450New
654
TOWER INTL INC
891826109
COM$5.24M0.02%142,237-4.9%
655
INTERNATIONAL RECTIFIER CORP
460254105
COM$5.22M0.02%187,206-5.8%
656
AEGON N V
007924103
NY REGISTRY SH$5.2M0.02%593,374+120.1%
657
NAVIGATOR HOLDINGS LTD
Y62132108
SHS$5.2M0.02%176,950New
658
PS BUSINESS PKS INC CALIF
69360J107
COM$5.18M0.02%62,060+7.5%
659
SCHLUMBERGER LTD
806857108
COM$5.18M0.02%43,936New
660
PENNYMAC MTG INVT TR
70931T103
COM$5.16M0.02%235,327+7.3%
661
ORBITZ WORLDWIDE INC
68557K109
COM$5.11M0.02%573,845+399.7%
662
BIO RAD LABS INC
090572207
CL A$5.1M0.02%42,637+36.8%
663
TUPPERWARE BRANDS CORP
899896104
COM$5.1M0.02%60,902-74.9%
664
HERCULES TECH GROWTH CAP INC
427096508
COM$5.08M0.02%314,292+13.0%
665
LINCOLN NATL CORP IND
534187109
COM$5.08M0.02%98,651-88.4%
666
RAYMOND JAMES FINANCIAL INC
754730109
COM$5.02M0.02%99,014+13.1%
667
PATTERN ENERGY GROUP INC
70338P100
CL A$5.02M0.02%151,638New
668
BOSTON PROPERTIES INC
101121101
COM$4.94M0.02%41,800New
669
LOEWS CORP
540424108
COM$4.92M0.02%111,668New
670
HARRIS CORP DEL
413875105
COM$4.91M0.02%64,843New
671
ANNIES INC
03600T104
COM$4.91M0.02%145,200New
672
ARTISAN PARTNERS ASSET MGMT
04316A108
CL A$4.89M0.02%86,278+80.4%
673
HURON CONSULTING GROUP INC
447462102
COM$4.86M0.02%68,616+134.0%
674
FLEETCOR TECHNOLOGIES INC
339041105
COM$4.85M0.02%36,813-80.7%
675
SOLARWINDS INC
83416B109
COM$4.85M0.02%125,381New
676
ROVI CORP
779376102
COM$4.8M0.02%200,505-65.8%
677
STERIS CORP
859152100
COM$4.79M0.02%89,595New
678
SMITH A O
831865209
COM$4.79M0.02%96,554-78.4%
679
MURPHY USA INC
626755102
COM$4.79M0.02%97,887+79.0%
680
HEARTWARE INTL INC
422368100
COM$4.73M0.02%53,463-19.7%
681
RCS CAP CORP
74937W102
COM CL A$4.71M0.02%221,772New
682
HARMONY GOLD MNG LTD
413216300
SPONSORED ADR$4.7M0.02%1,580,867+18.3%
683
TUTOR PERINI CORP
901109108
COM$4.68M0.02%147,419-19.7%
684
PBF ENERGY INC
69318G106
CL A$4.67M0.02%175,078New
685
FLOWERS FOODS INC
343498101
COM$4.66M0.02%220,930+122.9%
686
PERFECT WORLD CO LTD
71372U104
SPON ADR REP B$4.65M0.02%236,692-4.7%
687
PLEXUS CORP
729132100
COM$4.64M0.02%107,097+20.3%
688
HAEMONETICS CORP
405024100
COM$4.62M0.02%131,007-40.2%
689
COGENT COMMUNICATIONS HLDGS
19239V302
COM NEW$4.62M0.02%133,744-16.3%
690
PROTECTIVE LIFE CORP
743674103
COM$4.62M0.02%66,631-34.9%
691
OWENS CORNING NEW
690742101
COM$4.57M0.02%118,116-88.6%
692
APOLLO GLOBAL MGMT LLC
037612306
CL A SHS$4.57M0.02%164,750-64.4%
693
REX AMERICAN RESOURCES CORP
761624105
COM$4.55M0.02%62,076+275.2%
694
OLD REP INTL CORP
680223104
COM$4.54M0.02%274,277+7.5%
695
MERITOR INC
59001K100
COM$4.52M0.02%346,962+36.3%
696
METTLER TOLEDO INTERNATIONAL
592688105
COM$4.48M0.02%17,700-79.4%
697
TICC CAPITAL CORP
87244T109
COM$4.47M0.02%451,083-27.5%
698
PARSLEY ENERGY INC
701877102
CL A$4.45M0.02%184,873New
699
MYRIAD GENETICS INC
62855J104
COM$4.44M0.02%114,088-80.7%
700
CARMIKE CINEMAS INC
143436400
COM$4.41M0.02%125,567+16.9%
701
SCHWAB CHARLES CORP NEW
808513105
COM$4.39M0.02%162,945New
702
SERVICE CORP INTL
817565104
COM$4.39M0.02%211,748-19.5%
703
MICROSOFT CORP
594918104
COM$4.36M0.02%104,553New
704
SIX FLAGS ENTMT CORP NEW
83001A102
COM$4.36M0.02%102,477-79.1%
705
ULTRATECH INC
904034105
COM$4.36M0.02%196,610+47.8%
706
SCOTTS MIRACLE GRO CO
810186106
CL A$4.36M0.02%76,616New
707
KNOWLES CORP
49926D109
COM$4.34M0.02%141,297+151.5%
708
AVISTA CORP
05379B107
COM$4.34M0.02%129,529New
709
WESTERN DIGITAL CORP
958102105
COM$4.31M0.02%46,725New
710
WEST CORP
952355204
COM$4.3M0.02%160,278+255.9%
711
LPL FINL HLDGS INC
50212V100
COM$4.29M0.02%86,261+51.5%
712
E M C CORP MASS
268648102
COM$4.27M0.02%162,100New
713
SELECT SECTOR SPDR TR
81369Y605
SBI INT-FINL$4.26M0.02%187,358+25.9%
714
QLOGIC CORP
747277101
COM$4.26M0.02%421,897-29.5%
715
VOLCANO CORPORATION
928645100
COM$4.25M0.02%241,575New
716
SOUFUN HLDGS LTD
836034108
ADR$4.25M0.02%434,241+68.1%
717
BJS RESTAURANTS INC
09180C106
COM$4.24M0.02%121,528+108.7%
718
ENVISION HEALTHCARE HLDGS IN
29413U103
COM$4.24M0.02%118,095New
719
GREIF INC
397624107
CL A$4.21M0.02%77,153-1.3%
720
MONSTER BEVERAGE CORP
611740101
COM$4.21M0.02%59,268-91.1%
721
KROGER CO
501044101
COM$4.2M0.02%84,903New
722
ISTAR FINL INC
45031U101
COM$4.19M0.02%279,528+111.0%
723
EURONET WORLDWIDE INC
298736109
COM$4.17M0.02%86,453New
724
NETEASE INC
64110W102
SPONSORED ADR$4.15M0.02%52,968-79.3%
725
HEADWATERS INC
42210P102
COM$4.13M0.02%296,949-44.4%
726
DOMINOS PIZZA INC
25754A201
COM$4.11M0.02%56,273+391.5%
727
TRUSTMARK CORP
898402102
COM$4.09M0.02%165,505-4.7%
728
MARKET VECTORS ETF TR
57060U233
SEMICONDUCTOR$4.07M0.02%82,141New
729
INSIGHT ENTERPRISES INC
45765U103
COM$4.06M0.02%132,026+24.7%
730
KONINKLIJKE PHILIPS N V
500472303
NY REG SH NEW$4.05M0.02%127,639+2134.2%
731
ABBOTT LABS
002824100
COM$4.05M0.02%99,050+42.1%
732
ANWORTH MORTGAGE ASSET CP
037347101
COM$4.05M0.02%785,060+78.3%
733
NEW GOLD INC CDA
644535106
COM$4.03M0.02%633,417+3323.9%
734
DICKS SPORTING GOODS INC
253393102
COM$4.03M0.02%86,553-83.4%
735
KELLOGG CO
487836108
COM$4.01M0.02%61,083+126.8%
736
LTC PPTYS INC
502175102
COM$4.01M0.02%102,794-15.2%
737
U S SILICA HLDGS INC
90346E103
COM$3.99M0.02%71,992New
738
HUNT J B TRANS SVCS INC
445658107
COM$3.99M0.02%54,088-73.9%
739
MB FINANCIAL INC NEW
55264U108
COM$3.98M0.02%147,071+145.6%
740
SUNOPTA INC
8676EP108
COM$3.97M0.02%282,242+1104.7%
741
OLD NATL BANCORP IND
680033107
COM$3.97M0.02%278,214+133.5%
742
VANGUARD SPECIALIZED PORTFOL
921908844
DIV APP ETF$3.96M0.02%50,835New
743
VULCAN MATLS CO
929160109
COM$3.96M0.02%62,080New
744
PROGRESSIVE WASTE SOLUTIONS
74339G101
COM$3.95M0.02%153,725-9.1%
745
OSI SYSTEMS INC
671044105
COM$3.95M0.02%59,102+3.0%
746
INTEGRYS ENERGY GROUP INC
45822P105
COM$3.92M0.02%55,112+700.6%
747
CORRECTIONS CORP AMER NEW
22025Y407
COM NEW$3.92M0.02%119,259-53.2%
748
INVESTORS BANCORP INC NEW
46146L101
COM$3.92M0.02%354,601New
749
HANOVER INS GROUP INC
410867105
COM$3.91M0.02%61,981-3.2%
750
GREATBATCH INC
39153L106
COM$3.91M0.02%79,714-3.3%
751
OCH ZIFF CAP MGMT GROUP
67551U105
CL A$3.9M0.02%281,705-59.2%
752
TAMINCO CORP
87509U106
COM$3.89M0.02%167,042+135.3%
753
BOOZ ALLEN HAMILTON HLDG COR
099502106
CL A$3.87M0.02%182,296-52.5%
754
PENN WEST PETE LTD NEW
707887105
COM$3.81M0.02%390,555New
755
ELDORADO GOLD CORP NEW
284902103
COM$3.8M0.02%497,062+355.3%
756
COMTECH TELECOMMUNICATIONS C
205826209
COM NEW$3.78M0.02%101,313+82.5%
757
HILLSHIRE BRANDS CO
432589109
COM$3.78M0.02%60,703-92.9%
758
SEMTECH CORP
816850101
COM$3.78M0.02%144,581New
759
DIREXION SHS ETF TR
25459W862
DRX S&P500BULL$3.76M0.02%49,400+154.7%
760
GRAN TIERRA ENERGY INC
38500T101
COM$3.75M0.02%462,367-18.8%
761
ALERE INC
01449J105
COM$3.75M0.02%100,074New
762
DIODES INC
254543101
COM$3.74M0.02%129,042+339.1%
763
GENERAL CABLE CORP DEL NEW
369300108
COM$3.72M0.02%144,921-44.8%
764
MAXIM INTEGRATED PRODS INC
57772K101
COM$3.71M0.02%109,776New
765
ARLINGTON ASSET INVT CORP
041356205
CL A NEW$3.7M0.02%135,311-38.3%
766
CLUBCORP HLDGS INC
18948M108
COM$3.69M0.02%199,255+243.1%
767
PARKWAY PPTYS INC
70159Q104
COM$3.68M0.02%177,989New
768
OMNICARE INC
681904108
COM$3.65M0.02%54,870New
769
NATUS MEDICAL INC DEL
639050103
COM$3.65M0.02%145,041+284.9%
770
SAFE BULKERS INC
Y7388L103
COM$3.64M0.02%372,673+35.3%
771
ESTERLINE TECHNOLOGIES CORP
297425100
COM$3.63M0.02%31,549+439.5%
772
DINEEQUITY INC
254423106
COM$3.6M0.02%45,272+11.0%
773
HATTERAS FINL CORP
41902R103
COM$3.59M0.02%181,206New
774
MULTIMEDIA GAMES HLDG CO INC
625453105
COM$3.59M0.02%121,101New
775
HANCOCK HLDG CO
410120109
COM$3.58M0.02%101,492+184.8%
776
REX ENERGY CORPORATION
761565100
COM$3.56M0.02%201,126New
777
ABAXIS INC
002567105
COM$3.55M0.02%80,215New
778
CANON INC
138006309
SPONSORED ADR$3.55M0.02%108,330-32.7%
779
AMERICAN ASSETS TR INC
024013104
COM$3.54M0.02%102,443New
780
AMERICAN RESIDENTIAL PPTYS I
02927E303
COM$3.53M0.02%188,069New
781
UDR INC
902653104
COM$3.52M0.02%122,932-86.7%
782
WHITEWAVE FOODS CO
966244105
COM CL A$3.51M0.02%108,419-72.3%
783
TORNIER N V
N87237108
SHS$3.49M0.02%149,325+87.8%
784
BRUKER CORP
116794108
COM$3.47M0.02%143,107-19.6%
785
WRIGHT MED GROUP INC
98235T107
COM$3.47M0.02%110,438+269.9%
786
SHANDA GAMES LTD
81941U105
SP ADR REPTG A$3.45M0.02%519,478-39.0%
787
MOHAWK INDS INC
608190104
COM$3.44M0.02%24,866New
788
PROLOGIS INC
74340W103
COM$3.43M0.02%83,463New
789
MSCI INC
55354G100
COM$3.42M0.02%74,644+35.4%
790
TRINET GROUP INC
896288107
COM$3.41M0.02%141,575New
791
FORUM ENERGY TECHNOLOGIES IN
34984V100
COM$3.4M0.02%93,387New
792
EAST WEST BANCORP INC
27579R104
COM$3.4M0.02%97,119New
793
IBERIABANK CORP
450828108
COM$3.39M0.02%49,019-37.9%
794
HIMAX TECHNOLOGIES INC
43289P106
SPONSORED ADR$3.39M0.02%493,754New
795
IGATE CORP
45169U105
COM$3.37M0.02%92,682+80.3%
796
PAREXEL INTL CORP
699462107
COM$3.37M0.02%63,694-22.9%
797
REGIS CORP MINN
758932107
COM$3.35M0.02%237,874New
798
MANTECH INTL CORP
564563104
CL A$3.34M0.02%113,199-18.4%
799
PRICELINE GRP INC
741503403
COM NEW$3.34M0.02%2,773-97.9%
800
POTLATCH CORP NEW
737630103
COM$3.33M0.02%80,332+18.8%
801
RED ROBIN GOURMET BURGERS IN
75689M101
COM$3.32M0.02%46,570+89.5%
802
BIOCRYST PHARMACEUTICALS
09058V103
COM$3.29M0.02%257,889New
803
ARGO GROUP INTL HLDGS LTD
G0464B107
COM$3.28M0.02%64,250+328.7%
804
KINDRED HEALTHCARE INC
494580103
COM$3.28M0.02%142,020+130.6%
805
HEALTHSOUTH CORP
421924309
COM NEW$3.28M0.02%91,280-63.1%
806
SILVER BAY RLTY TR CORP
82735Q102
COM$3.26M0.02%199,573+224.3%
807
GRAHAM HLDGS CO
384637104
COM$3.25M0.02%4,522New
808
COMSCORE INC
20564W105
COM$3.24M0.02%91,271New
809
DUN & BRADSTREET CORP DEL NE
26483E100
COM$3.24M0.02%29,359New
810
SANDERSON FARMS INC
800013104
COM$3.21M0.02%33,031+50.7%
811
NEW MTN FIN CORP
647551100
COM$3.2M0.02%214,962+847.3%
812
TESCO CORP
88157K101
COM$3.19M0.02%149,671+189.9%
813
GEOSPACE TECHNOLOGIES CORP
37364X109
COM$3.19M0.02%57,892+707.5%
814
DOMINION DIAMOND CORP
257287102
COM$3.17M0.02%219,309-14.2%
815
PENNSYLVANIA RL ESTATE INVT
709102107
SH BEN INT$3.16M0.02%168,069-19.6%
816
ARGAN INC
04010E109
COM$3.14M0.01%84,277+40.3%
817
MARKET VECTORS ETF TR
57060U191
OIL SVCS ETF$3.14M0.01%54,400-5.2%
818
NEW YORK CMNTY BANCORP INC
649445103
COM$3.13M0.01%195,601+75.3%
819
EASTGROUP PPTY INC
277276101
COM$3.11M0.01%48,424-22.4%
820
FIFTH STREET FINANCE CORP
31678A103
COM$3.1M0.01%315,545+54.2%
821
IPC THE HOSPITALIST CO INC
44984A105
COM$3.07M0.01%69,510+183.1%
822
AG MTG INVT TR INC
001228105
COM$3.06M0.01%161,829+133.9%
823
WESTMORELAND COAL CO
960878106
COM$3.06M0.01%84,430+238.9%
824
GLATFELTER
377316104
COM$3.06M0.01%115,343New
825
AVNET INC
053807103
COM$3.05M0.01%68,924New
826
SYMETRA FINL CORP
87151Q106
COM$3.05M0.01%134,109-56.1%
827
ARCTIC CAT INC
039670104
COM$3.05M0.01%77,273New
828
SPECTRUM BRANDS HLDGS INC
84763R101
COM$3.04M0.01%35,355-68.1%
829
CALGON CARBON CORP
129603106
COM$3.04M0.01%135,976+292.0%
830
TECK RESOURCES LTD
878742204
CL B$3.03M0.01%132,831+13.3%
831
ST JOE CO
790148100
COM$3.03M0.01%119,017New
832
TEAM HEALTH HOLDINGS INC
87817A107
COM$3.01M0.01%60,209+23.6%
833
EZCHIP SEMICONDUCTOR LIMITED
M4146Y108
ORD$3M0.01%116,539+1185.0%
834
SOCIEDAD QUIMICA MINERA DE C
833635105
SPON ADR SER B$3M0.01%102,315+598.7%
835
SONOCO PRODS CO
835495102
COM$3M0.01%68,253+24.8%
836
BEACON ROOFING SUPPLY INC
073685109
COM$2.99M0.01%90,283+117.5%
837
FRANCESCAS HLDGS CORP
351793104
COM$2.98M0.01%202,403New
838
OPENTABLE INC
68372A104
COM$2.96M0.01%28,605New
839
NAVIOS MARITIME HOLDINGS INC
Y62196103
COM$2.94M0.01%290,939New
840
CHINA LIFE INS CO LTD
16939P106
SPON ADR REP H$2.92M0.01%74,498+1087.6%
841
INTERCEPT PHARMACEUTICALS IN
45845P108
COM$2.92M0.01%12,344New
842
STRAYER ED INC
863236105
COM$2.92M0.01%55,536-57.1%
843
OM GROUP INC
670872100
COM$2.91M0.01%89,812+156.3%
844
MOTORCAR PTS AMER INC
620071100
COM$2.91M0.01%119,473-27.8%
845
JONES LANG LASALLE INC
48020Q107
COM$2.9M0.01%22,955-89.0%
846
GASLOG PARTNERS LP
Y2687W108
UNIT LTD PTNRP$2.9M0.01%79,653New
847
HUGOTON RTY TR TEX
444717102
UNIT BEN INT$2.88M0.01%262,011+73.4%
848
MONOLITHIC PWR SYS INC
609839105
COM$2.87M0.01%67,797-52.7%
849
LINNCO LLC
535782106
COMSHS LTD INT$2.83M0.01%90,295New
850
COTT CORP QUE
22163N106
COM$2.82M0.01%399,398-24.6%
851
COOPER TIRE & RUBR CO
216831107
COM$2.82M0.01%93,859-81.9%
852
AMERICAN CAMPUS CMNTYS INC
024835100
COM$2.81M0.01%73,553-6.6%
853
CELESTICA INC
15101Q108
SUB VTG SHS$2.8M0.01%223,002+50.6%
854
BABCOCK & WILCOX CO NEW
05615F102
COM$2.8M0.01%86,252+457.4%
855
ASBURY AUTOMOTIVE GROUP INC
043436104
COM$2.8M0.01%40,707+384.6%
856
HARMONIC INC
413160102
COM$2.8M0.01%374,546New
857
DIAMOND RESORTS INTL INC
25272T104
COM$2.79M0.01%119,757New
858
SWIFT ENERGY CO
870738101
COM$2.78M0.01%213,948New
859
CENTERSTATE BANKS INC
15201P109
COM$2.78M0.01%247,911+389.3%
860
HARSCO CORP
415864107
COM$2.78M0.01%104,253-26.3%
861
ALBANY MOLECULAR RESH INC
012423109
COM$2.77M0.01%137,809+4.1%
862
RPC INC
749660106
COM$2.76M0.01%117,531New
863
ZUMIEZ INC
989817101
COM$2.76M0.01%100,096-6.9%
864
PREMIER INC
74051N102
CL A$2.75M0.01%94,661+23.4%
865
RPX CORP
74972G103
COM$2.74M0.01%154,300+31.7%
866
PROSHARES TR
74348A319
ULTSHT RUSS2000$2.73M0.01%63,500+461.9%
867
TSAKOS ENERGY NAVIGATION LTD
G9108L108
SHS$2.71M0.01%405,295+637.3%
868
GLOBAL CASH ACCESS HLDGS INC
378967103
COM$2.69M0.01%301,980+150.6%
869
BRADY CORP
104674106
CL A$2.68M0.01%89,654+117.0%
870
NETGEAR INC
64111Q104
COM$2.67M0.01%76,877+53.8%
871
DIREXION SHS ETF TR
25459Y694
DLY FIN BULL NEW$2.67M0.01%26,700New
872
NIC INC
62914B100
COM$2.67M0.01%168,257+328.2%
873
POLYPORE INTL INC
73179V103
COM$2.65M0.01%55,566+0.7%
874
INTREPID POTASH INC
46121Y102
COM$2.65M0.01%158,040New
875
HEALTHCARE RLTY TR
421946104
COM$2.64M0.01%103,868New
876
TRUEBLUE INC
89785X101
COM$2.6M0.01%94,309-8.7%
877
AVIV REIT INC MD
05381L101
COM$2.59M0.01%92,078+212.6%
878
DUKE REALTY CORP
264411505
COM NEW$2.59M0.01%142,742+80.6%
879
ICONIX BRAND GROUP INC
451055107
COM$2.59M0.01%60,246+8.5%
880
QUALITY DISTR INC FLA
74756M102
COM$2.58M0.01%173,568-0.6%
881
CARTER INC
146229109
COM$2.58M0.01%37,397New
882
WARREN RES INC
93564A100
COM$2.55M0.01%411,701+9.4%
883
EMPLOYERS HOLDINGS INC
292218104
COM$2.53M0.01%119,393-27.5%
884
MACQUARIE INFRASTR CO LLC
55608B105
MEMBERSHIP INT$2.52M0.01%40,392+695.9%
885
LINCOLN ELEC HLDGS INC
533900106
COM$2.51M0.01%35,963+9.7%
886
MASTERCARD INC
57636Q104
CL A$2.51M0.01%34,132New
887
QUALITY SYS INC
747582104
COM$2.51M0.01%156,171-42.5%
888
PRIVATEBANCORP INC
742962103
COM$2.48M0.01%85,411+426.7%
889
AGCO CORP
001084102
COM$2.47M0.01%43,915-92.1%
890
DYCOM INDS INC
267475101
COM$2.46M0.01%78,461-44.9%
891
TYCO INTERNATIONAL LTD
H89128104
SHS$2.45M0.01%53,810+636.1%
892
APPROACH RESOURCES INC
03834A103
COM$2.45M0.01%107,950-29.4%
893
BP PRUDHOE BAY RTY TR
055630107
UNIT BEN INT$2.43M0.01%24,574+148.0%
894
AMN HEALTHCARE SERVICES INC
001744101
COM$2.42M0.01%196,444-25.6%
895
COUSINS PPTYS INC
222795106
COM$2.41M0.01%193,353+49.2%
896
UTI WORLDWIDE INC
G87210103
ORD$2.41M0.01%232,580New
897
BOSTON PRIVATE FINL HLDGS IN
101119105
COM$2.4M0.01%178,860-11.1%
898
KAISER ALUMINUM CORP
483007704
COM PAR $0.01$2.4M0.01%32,944+6.0%
899
WATERSTONE FINL INC MD
94188P101
COM$2.4M0.01%210,341-14.6%
900
CYPRESS SEMICONDUCTOR CORP
232806109
COM$2.39M0.01%219,159+330.8%
901
ESCO TECHNOLOGIES INC
296315104
COM$2.39M0.01%69,033+955.7%
902
CORESITE RLTY CORP
21870Q105
COM$2.39M0.01%72,175+44.7%
903
CAPITAL PRODUCT PARTNERS L P
Y11082107
COM UNIT LP$2.38M0.01%208,026+18.6%
904
YUM BRANDS INC
988498101
COM$2.37M0.01%29,120-92.3%
905
MONSTER WORLDWIDE INC
611742107
COM$2.36M0.01%360,513-55.6%
906
AIR LEASE CORP
00912X302
CL A$2.35M0.01%60,847-61.2%
907
NET 1 UEPS TECHNOLOGIES INC
64107N206
COM NEW$2.35M0.01%206,228+65.5%
908
INTERCONTINENTAL HTLS GRP PL
45857P400
SPON ADR NEW 12$2.34M0.01%56,474New
909
ADVANCED SEMICONDUCTOR ENGR
00756M404
SPONSORED ADR$2.34M0.01%359,350+790.8%
910
TRINA SOLAR LIMITED
89628E104
SPON ADR$2.34M0.01%181,992New
911
CHEMICAL FINL CORP
163731102
COM$2.33M0.01%83,131New
912
INTUIT
461202103
COM$2.33M0.01%28,979New
913
DYAX CORP
26746E103
COM$2.32M0.01%241,586-67.2%
914
CORELOGIC INC
21871D103
COM$2.31M0.01%76,223-64.4%
915
KENNAMETAL INC
489170100
COM$2.31M0.01%49,914New
916
CAL MAINE FOODS INC
128030202
COM NEW$2.31M0.01%31,060+162.2%
917
BLOUNT INTL INC NEW
095180105
COM$2.31M0.01%163,455+95.9%
918
ENERPLUS CORP
292766102
COM$2.3M0.01%91,475New
919
GERDAU S A
373737105
SPON ADR REP PFD$2.3M0.01%389,988-21.6%
920
PDL BIOPHARMA INC
69329Y104
COM$2.29M0.01%236,319-85.0%
921
HEALTHWAYS INC
422245100
COM$2.29M0.01%130,399New
922
ANALOGIC CORP
032657207
COM PAR $0.05$2.29M0.01%29,209New
923
BUCKLE INC
118440106
COM$2.28M0.01%51,343-51.0%
924
WESTERN UN CO
959802109
COM$2.28M0.01%131,309New
925
TERADYNE INC
880770102
COM$2.27M0.01%115,876New
926
AEROPOSTALE
007865108
COM$2.25M0.01%645,772New
927
M & T BK CORP
55261F104
COM$2.25M0.01%18,110New
928
BLUE NILE INC
09578R103
COM$2.25M0.01%80,238New
929
SABRE CORP
78573M104
COM$2.25M0.01%111,969New
930
WPP PLC NEW
92937A102
ADR$2.24M0.01%20,514+33.1%
931
CAESARS ACQUISITION CO
12768T103
CL A$2.23M0.01%180,409-54.3%
932
ADVANTAGE OIL & GAS LTD
00765F101
COM$2.22M0.01%330,153+393.2%
933
CITY NATL CORP
178566105
COM$2.22M0.01%29,269+281.8%
934
HILLENBRAND INC
431571108
COM$2.22M0.01%67,892New
935
STARWOOD WAYPOINT RESIDENTL
85571W109
COM SHS$2.21M0.01%84,154New
936
LOGMEIN INC
54142L109
COM$2.2M0.01%47,125+22.0%
937
TOLL BROTHERS INC
889478103
COM$2.19M0.01%59,262New
938
PINNACLE ENTMT INC
723456109
COM$2.17M0.01%86,248+20.0%
939
GLADSTONE COML CORP
376536108
COM$2.17M0.01%121,475+55.5%
940
AEGION CORP
00770F104
COM$2.17M0.01%93,048New
941
NAUTILUS INC
63910B102
COM$2.16M0.01%194,736+88.2%
942
THIRD PT REINS LTD
G8827U100
COM$2.16M0.01%141,552-33.0%
943
NORTHWEST NAT GAS CO
667655104
COM$2.15M0.01%45,563+183.2%
944
EZCORP INC
302301106
CL A NON VTG$2.15M0.01%185,889+938.5%
945
COMMERCIAL METALS CO
201723103
COM$2.13M0.01%122,887New
946
VANGUARD TAX MANAGED INTL FD
921943858
FTSE DEV MKT ETF$2.12M0.01%49,851+912.0%
947
ISHARES
464287564
COHEN&STEER REIT$2.12M0.01%24,287New
948
AMERICAN PUBLIC EDUCATION IN
02913V103
COM$2.12M0.01%61,627+286.9%
949
HELEN OF TROY CORP LTD
G4388N106
COM$2.12M0.01%34,932New
950
SELECT SECTOR SPDR TR
81369Y886
SBI INT-UTILS$2.12M0.01%47,798+222.7%
951
ENTEGRIS INC
29362U104
COM$2.11M0.01%153,554-21.6%
952
AMERICAN WOODMARK CORP
030506109
COM$2.11M0.01%66,100-11.8%
953
ACORDA THERAPEUTICS INC
00484M106
COM$2.11M0.01%62,445-18.3%
954
SONIC AUTOMOTIVE INC
83545G102
CL A$2.1M0.01%78,875New
955
NATIONAL HEALTH INVS INC
63633D104
COM$2.1M0.01%33,583-40.9%
956
KOSMOS ENERGY LTD
G5315B107
SHS$2.1M0.01%186,901+107.6%
957
MTS SYS CORP
553777103
COM$2.08M0.01%30,711+62.1%
958
CYBERONICS INC
23251P102
COM$2.08M0.01%33,252+84.5%
959
DENNYS CORP
24869P104
COM$2.07M0.01%317,267+84.2%
960
KCAP FINL INC
48668E101
COM$2.07M0.01%243,292+27.2%
961
FLY LEASING LTD
34407D109
SPONSORED ADR$2.06M0.01%142,351+53.4%
962
STANDEX INTL CORP
854231107
COM$2.06M0.01%27,641+15.0%
963
FIVE OAKS INVT CORP
33830W106
COM$2.06M0.01%182,121+183.1%
964
COMMVAULT SYSTEMS INC
204166102
COM$2.06M0.01%41,793New
965
NAM TAI PPTY INC
G63907102
SHS$2.06M0.01%272,632New
966
FEDERATED NATL HLDG CO
31422T101
COM$2.02M0.01%79,076+84.3%
967
GOODRICH PETE CORP
382410405
COM NEW$2.02M0.01%73,026New
968
GRACO INC
384109104
COM$2M0.01%25,582+0.2%
969
CALIX INC
13100M509
COM$1.99M0.01%243,284-9.3%
970
AES CORP
00130H105
COM$1.99M0.01%127,622New
971
WASHINGTON FED INC
938824109
COM$1.98M0.01%88,450New
972
LIN MEDIA LLC
532771102
CL A COM$1.97M0.01%72,337+135.2%
973
ASSOCIATED ESTATES RLTY CORP
045604105
COM$1.97M0.01%109,261-10.6%
974
TEXAS PAC LD TR
882610108
SUB CTF PROP I T$1.97M0.01%12,294-8.3%
975
AMEDISYS INC
023436108
COM$1.96M0.01%117,159+828.1%
976
SEASPAN CORP
Y75638109
SHS$1.95M0.01%83,313-17.5%
977
NAVIOS MARITIME PARTNERS L P
Y62267102
UNIT LPI$1.95M0.01%100,277+142.0%
978
ACCO BRANDS CORP
00081T108
COM$1.95M0.01%303,959+33.5%
979
PEP BOYS MANNY MOE & JACK
713278109
COM$1.93M0.01%168,584+175.5%
980
EMCOR GROUP INC
29084Q100
COM$1.92M0.01%43,206+62.5%
981
FORTRESS INVESTMENT GROUP LL
34958B106
CL A$1.92M0.01%257,738-68.8%
982
MEDALLION FINL CORP
583928106
COM$1.92M0.01%153,825+31.6%
983
CYS INVTS INC
12673A108
COM$1.92M0.01%212,499+33.7%
984
SILICON MOTION TECHNOLOGY CO
82706C108
SPONSORED ADR$1.91M0.01%93,545-48.1%
985
MCG CAPITAL CORP
58047P107
COM$1.91M0.01%486,275+10.8%
986
SYNTEL INC
87162H103
COM$1.91M0.01%22,161+230.0%
987
CITI TRENDS INC
17306X102
COM$1.9M0.01%88,457+148.6%
988
LIGAND PHARMACEUTICALS INC
53220K504
COM NEW$1.9M0.01%30,464+29.4%
989
CARPENTER TECHNOLOGY CORP
144285103
COM$1.9M0.01%29,990New
990
CONSOLIDATED COMM HLDGS INC
209034107
COM$1.89M0.01%85,016+33.9%
991
SPDR SERIES TRUST
78464A698
S&P REGL BKG$1.89M0.01%46,874+27.0%
992
JAZZ PHARMACEUTICALS PLC
G50871105
SHS USD$1.89M0.01%12,841-92.3%
993
PERMIAN BASIN RTY TR
714236106
UNIT BEN INT$1.88M0.01%132,128+62.2%
994
HORACE MANN EDUCATORS CORP N
440327104
COM$1.88M0.01%60,019+671.3%
995
INVESCO MORTGAGE CAPITAL INC
46131B100
COM$1.87M0.01%107,647+778.2%
996
PIER 1 IMPORTS INC
720279108
COM$1.87M0.01%121,270New
997
PROASSURANCE CORP
74267C106
COM$1.87M0.01%42,084-72.3%
998
SAFETY INS GROUP INC
78648T100
COM$1.87M0.01%36,342New
999
MODINE MFG CO
607828100
COM$1.86M0.01%118,288-26.6%
1000
DIANA SHIPPING INC
Y2066G104
COM$1.86M0.01%170,402New
1001
DYNEX CAP INC
26817Q506
COM NEW$1.86M0.01%209,728+126.4%
1002
INSPERITY INC
45778Q107
COM$1.85M0.01%55,961+68.6%
1003
SEADRILL LIMITED
G7945E105
SHS$1.84M0.01%46,039-89.2%
1004
FAMILY DLR STORES INC
307000109
COM$1.84M0.01%27,747-96.6%
1005
FIRST INTST BANCSYSTEM INC
32055Y201
COM CL A$1.83M0.01%67,357-21.8%
1006
PATRICK INDS INC
703343103
COM$1.83M0.01%39,303+39.8%
1007
AUTOHOME INC
05278C107
SP ADR RP CL A$1.83M0.01%53,170+19.1%
1008
GREENBRIER COS INC
393657101
COM$1.83M0.01%31,702+59.5%
1009
ACXIOM CORP
005125109
COM$1.82M0.01%84,102-31.1%
1010
ROYAL CARIBBEAN CRUISES LTD
V7780T103
COM$1.82M0.01%32,794+111.8%
1011
IHS INC
451734107
CL A$1.82M0.01%13,432New
1012
LUMINEX CORP DEL
55027E102
COM$1.82M0.01%106,228+174.1%
1013
NUVASIVE INC
670704105
COM$1.82M0.01%51,235-56.7%
1014
BLUCORA INC
095229100
COM$1.82M0.01%96,219-27.5%
1015
ROGERS COMMUNICATIONS INC
775109200
CL B$1.81M0.01%44,877New
1016
PIPER JAFFRAY COS
724078100
COM$1.8M0.01%34,775-25.3%
1017
BENCHMARK ELECTRS INC
08160H101
COM$1.8M0.01%70,554-61.1%
1018
SEACHANGE INTL INC
811699107
COM$1.8M0.01%224,299+123.6%
1019
FEDERAL SIGNAL CORP
313855108
COM$1.79M0.01%122,345+12.4%
1020
RPM INTL INC
749685103
COM$1.79M0.01%38,781-73.9%
1021
WILSHIRE BANCORP INC
97186T108
COM$1.78M0.01%173,641-20.2%
1022
TELETECH HOLDINGS INC
879939106
COM$1.78M0.01%61,312-24.1%
1023
WASTE CONNECTIONS INC
941053100
COM$1.78M0.01%36,573-77.0%
1024
VIAD CORP
92552R406
COM NEW$1.77M0.01%74,425New
1025
PROTHENA CORP PLC
G72800108
SHS$1.77M0.01%78,479+19.3%
1026
NEWPORT CORP
651824104
COM$1.77M0.01%95,574-50.2%
1027
MAGNACHIP SEMICONDUCTOR CORP
55933J203
COM$1.77M0.01%125,360-31.9%
1028
FBL FINL GROUP INC
30239F106
CL A$1.76M0.01%38,249+6.1%
1029
ADVENT SOFTWARE INC
007974108
COM$1.76M0.01%53,895+57.0%
1030
KITE RLTY GROUP TR
49803T102
COM$1.76M0.01%285,816+50.1%
1031
PHARMERICA CORP
71714F104
COM$1.76M0.01%61,406+81.4%
1032
DICE HLDGS INC
253017107
COM$1.75M0.01%230,001-23.6%
1033
APOLLO RESIDENTIAL MTG INC
03763V102
COM$1.75M0.01%104,408-8.5%
1034
KRATON PERFORMANCE POLYMERS
50077C106
COM$1.74M0.01%77,898-49.5%
1035
INNOPHOS HOLDINGS INC
45774N108
COM$1.74M0.01%30,290-11.2%
1036
UNIFIRST CORP MASS
904708104
COM$1.74M0.01%16,400-37.0%
1037
PROGRESS SOFTWARE CORP
743312100
COM$1.74M0.01%72,191New
1038
RIO TINTO PLC
767204100
SPONSORED ADR$1.73M0.01%31,900New
1039
INLAND REAL ESTATE CORP
457461200
COM NEW$1.73M0.01%162,772+371.6%
1040
SOVRAN SELF STORAGE INC
84610H108
COM$1.73M0.01%22,352+6.8%
1041
VASCO DATA SEC INTL INC
92230Y104
COM$1.73M0.01%148,761+364.4%
1042
VIRTUSA CORP
92827P102
COM$1.71M0.01%47,881New
1043
EXCEL TR INC
30068C109
COM$1.71M0.01%128,082+42.2%
1044
SANTANDER CONSUMER USA HDG I
80283M101
COM$1.7M0.01%87,600-56.7%
1045
INVESCO LTD
G491BT108
SHS$1.7M0.01%45,019-56.4%
1046
TECH DATA CORP
878237106
COM$1.7M0.01%27,147New
1047
AMERICAN RAILCAR INDS INC
02916P103
COM$1.7M0.01%25,017-71.9%
1048
GLADSTONE INVT CORP
376546107
COM$1.7M0.01%229,102+16.1%
1049
GENOMIC HEALTH INC
37244C101
COM$1.69M0.01%61,740New
1050
VONAGE HLDGS CORP
92886T201
COM$1.69M0.01%450,736+7.6%
1051
TELEPHONE & DATA SYS INC
879433829
COM NEW$1.68M0.01%64,533+425.4%
1052
MDC PARTNERS INC
552697104
CL A SUB VTG$1.68M0.01%78,173New
1053
PEPCO HOLDINGS INC
713291102
COM$1.68M0.01%61,058New
1054
SELECTIVE INS GROUP INC
816300107
COM$1.68M0.01%67,839+11.9%
1055
STAG INDL INC
85254J102
COM$1.67M0.01%69,707-62.0%
1056
CRANE CO
224399105
COM$1.64M0.01%22,082-86.4%
1057
VISHAY INTERTECHNOLOGY INC
928298108
COM$1.63M0.01%105,413+35.8%
1058
TTM TECHNOLOGIES INC
87305R109
COM$1.63M0.01%198,661+76.1%
1059
MERIT MED SYS INC
589889104
COM$1.63M0.01%107,625+217.0%
1060
NORDION INC
65563C105
COM$1.62M0.01%129,326-16.0%
1061
VERINT SYS INC
92343X100
COM$1.62M0.01%33,079-13.1%
1062
KORN FERRY INTL
500643200
COM NEW$1.62M0.01%55,100-81.8%
1063
UNITED ONLINE INC
911268209
COM NEW$1.61M0.01%155,224New
1064
CENTRAL GARDEN & PET CO
153527205
CL A NON-VTG$1.61M0.01%175,167+115.3%
1065
COMPASS DIVERSIFIED HOLDINGS
20451Q104
SH BEN INT$1.61M0.01%88,666+228.6%
1066
CAMBREX CORP
132011107
COM$1.6M0.01%77,398+29.8%
1067
CNA FINL CORP
126117100
COM$1.6M0.01%39,646+433.2%
1068
MUELLER WTR PRODS INC
624758108
COM SER A$1.6M0.01%185,298New
1069
UNIVERSAL AMERN CORP NEW
91338E101
COM$1.59M0.01%191,222+155.1%
1070
TEEKAY OFFSHORE PARTNERS L P
Y8565J101
PARTNERSHIP UN$1.59M0.01%44,009New
1071
FTI CONSULTING INC
302941109
COM$1.58M0.01%41,876-35.7%
1072
VECTREN CORP
92240G101
COM$1.58M0.01%37,109-75.8%
1073
TRIPLE-S MGMT CORP
896749108
CL B$1.57M0.01%87,515+190.8%
1074
AEROVIRONMENT INC
008073108
COM$1.56M0.01%49,125-82.2%
1075
TELEFONICA BRASIL SA
87936R106
SPONSORED ADR$1.56M0.01%75,993New
1076
TWENTY FIRST CENTY FOX INC
90130A101
CL A$1.56M0.01%44,315+72.0%
1077
RUBY TUESDAY INC
781182100
COM$1.56M0.01%204,955New
1078
SHAW COMMUNICATIONS INC
82028K200
CL B CONV$1.56M0.01%60,595-51.0%
1079
COMFORT SYS USA INC
199908104
COM$1.55M0.01%98,330-26.8%
1080
FRANKLIN STREET PPTYS CORP
35471R106
COM$1.55M0.01%123,192+32.0%
1081
PHOENIX NEW MEDIA LTD
71910C103
SPONSORED ADS$1.53M0.01%142,972New
1082
TEREX CORP NEW
880779103
COM$1.53M0.01%37,100New
1083
TORO CO
891092108
COM$1.52M0.01%23,938New
1084
NEWPARK RES INC
651718504
COM PAR $.01NEW$1.52M0.01%121,963+10.6%
1085
CEDAR REALTY TRUST INC
150602209
COM NEW$1.52M0.01%242,764+37.5%
1086
WESTAMERICA BANCORPORATION
957090103
COM$1.52M0.01%28,995New
1087
FLIR SYS INC
302445101
COM$1.51M0.01%43,426New
1088
STEPAN CO
858586100
COM$1.5M0.01%28,422+444.6%
1089
CENTRAL PAC FINL CORP
154760409
COM NEW$1.5M0.01%75,317New
1090
SYKES ENTERPRISES INC
871237103
COM$1.48M0.01%68,279+49.3%
1091
MONMOUTH REAL ESTATE INVT CO
609720107
CL A$1.48M0.01%147,567+65.4%
1092
SELECT COMFORT CORP
81616X103
COM$1.48M0.01%71,598+10.7%
1093
BOB EVANS FARMS INC
096761101
COM$1.47M0.01%29,383New
1094
AMSURG CORP
03232P405
COM$1.47M0.01%32,166-36.4%
1095
IKANG HEALTHCARE GROUP INC
45174L108
SPONSORED ADR$1.45M0.01%83,768New
1096
CHILDRENS PL RETAIL STORES I
168905107
COM$1.45M0.01%29,189New
1097
FAIRPOINT COMMUNICATIONS INC
305560302
COM NEW$1.45M0.01%103,632-20.3%
1098
SILICON IMAGE INC
82705T102
COM$1.45M0.01%287,322-27.6%
1099
PHOTRONICS INC
719405102
COM$1.45M0.01%168,224New
1100
K12 INC
48273U102
COM$1.45M0.01%60,073New
1101
COSTAMARE INC
Y1771G102
SHS$1.44M0.01%61,913New
1102
GENTEX CORP
371901109
COM$1.44M0.01%49,633-66.3%
1103
INTEGRA LIFESCIENCES HLDGS C
457985208
COM NEW$1.44M0.01%30,668-41.1%
1104
LG DISPLAY CO LTD
50186V102
SPONS ADR REP$1.42M0.01%89,933-65.6%
1105
BIODELIVERY SCIENCES INTL IN
09060J106
COM$1.42M0.01%117,241New
1106
PEOPLES UNITED FINANCIAL INC
712704105
COM$1.41M0.01%93,087New
1107
BEMIS INC
081437105
COM$1.4M0.01%34,502+86.9%
1108
ISHARES
464287473
RUS MDCP VAL ETF$1.4M0.01%19,330-11.3%
1109
CALAMOS ASSET MGMT INC
12811R104
CL A$1.39M0.01%104,020-5.1%
1110
MERCER INTL INC
588056101
COM$1.39M0.01%132,444+109.8%
1111
NEXSTAR BROADCASTING GROUP I
65336K103
CL A$1.39M0.01%26,837New
1112
FREESCALE SEMICONDUCTOR LTD
G3727Q101
SHS$1.38M0.01%58,862-94.6%
1113
MASTEC INC
576323109
COM$1.38M0.01%44,703New
1114
STEINER LEISURE LTD
P8744Y102
ORD$1.38M0.01%31,823+43.8%
1115
THERMON GROUP HLDGS INC
88362T103
COM$1.38M0.01%52,361+29.2%
1116
INTELIQUENT INC
45825N107
COM$1.38M0.01%99,133+378.3%
1117
IDEXX LABS INC
45168D104
COM$1.37M0.01%10,234-77.3%
1118
RELIANCE STEEL & ALUMINUM CO
759509102
COM$1.36M0.01%18,508-90.9%
1119
VIASAT INC
92552V100
COM$1.36M0.01%23,521+32.9%
1120
AMERICAN VANGUARD CORP
030371108
COM$1.36M0.01%102,955New
1121
ISHARES
464287309
S&P 500 GRWT ETF$1.36M0.01%12,925+26.4%
1122
RENEWABLE ENERGY GROUP INC
75972A301
COM NEW$1.36M0.01%118,286New
1123
WGL HLDGS INC
92924F106
COM$1.35M0.01%31,342-59.0%
1124
WEBMD HEALTH CORP
94770V102
COM$1.35M0.01%27,966New
1125
EQUITY RESIDENTIAL
29476L107
SH BEN INT$1.35M0.01%21,393New
1126
MKS INSTRUMENT INC
55306N104
COM$1.34M0.01%42,816+139.8%
1127
RETAIL OPPORTUNITY INVTS COR
76131N101
COM$1.34M0.01%85,034New
1128
MINDRAY MEDICAL INTL LTD
602675100
SPON ADR$1.33M0.01%42,283+10.4%
1129
CUSTOMERS BANCORP INC
23204G100
COM$1.33M0.01%66,417+108.5%
1130
CLEAR CHANNEL OUTDOOR HLDGS
18451C109
CL A$1.32M0.01%161,533+10.1%
1131
NATIONAL PENN BANCSHARES INC
637138108
COM$1.32M0.01%124,382-48.3%
1132
DEMAND MEDIA INC
24802N109
COM$1.32M0.01%272,806+13.0%
1133
AMAG PHARMACEUTICALS INC
00163U106
COM$1.31M0.01%63,323-17.6%
1134
CHATHAM LODGING TR
16208T102
COM$1.31M0.01%59,898New
1135
MYR GROUP INC DEL
55405W104
COM$1.31M0.01%51,820-6.3%
1136
ERICSSON
294821608
ADR B SEK 10$1.31M0.01%108,344New
1137
FIRST SOLAR INC
336433107
COM$1.31M0.01%18,412-96.8%
1138
MOOG INC
615394202
CL A$1.31M0.01%17,947New
1139
YAMANA GOLD INC
98462Y100
COM$1.3M0.01%158,644-83.0%
1140
EINSTEIN NOAH REST GROUP INC
28257U104
COM$1.3M0.01%81,028+0.6%
1141
GLADSTONE CAPITAL CORP
376535100
COM$1.29M0.01%128,656+25.4%
1142
MERCURY GENL CORP NEW
589400100
COM$1.29M0.01%27,425New
1143
SIGMA DESIGNS INC
826565103
COM$1.29M0.01%281,778+519.0%
1144
DISCOVER FINL SVCS
254709108
COM$1.29M0.01%20,794New
1145
DHT HOLDINGS INC
Y2065G121
SHS NEW$1.29M0.01%178,687New
1146
ISHARES
464287598
RUS 1000 VAL ETF$1.29M0.01%12,687New
1147
CUMULUS MEDIA INC
231082108
CL A$1.28M0.01%194,383+91.5%
1148
CHARTER FINL CORP MD
16122W108
COM$1.27M0.01%114,689+121.6%
1149
INDEPENDENT BK GROUP INC
45384B106
COM$1.27M0.01%22,816New
1150
HERTZ GLOBAL HOLDINGS INC
42805T105
COM$1.27M0.01%45,197-94.8%
1151
ACCURAY INC
004397105
COM$1.27M0.01%143,877+98.0%
1152
INTEGRATED SILICON SOLUTION
45812P107
COM$1.26M0.01%85,575+215.6%
1153
CHANGYOU COM LTD
15911M107
ADS REP CL A$1.25M0.01%48,235-66.5%
1154
INDEPENDENT BANK CORP MICH
453838609
COM NEW$1.25M0.01%97,202+225.6%
1155
NETFLIX INC
64110L106
COM$1.25M0.01%2,838-99.0%
1156
CHAMBERS STR PPTYS
157842105
COM$1.24M0.01%154,141New
1157
NETSCOUT SYS INC
64115T104
COM$1.24M0.01%27,902+117.2%
1158
BRAVO BRIO RESTAURANT GROUP
10567B109
COM$1.24M0.01%79,129+24.5%
1159
G & K SVCS INC
361268105
CL A$1.23M0.01%23,621New
1160
ITT EDUCATIONAL SERVICES INC
45068B109
COM$1.23M0.01%73,687New
1161
KIMBALL INTL INC
494274103
CL B$1.23M0.01%73,514-18.2%
1162
NORWEGIAN CRUISE LINE HLDGS
G66721104
SHS$1.23M0.01%38,740-78.5%
1163
RUTHS HOSPITALITY GROUP INC
783332109
COM$1.23M0.01%99,411+118.5%
1164
NOVA MEASURING INSTRUMENTS L
M7516K103
COM$1.23M0.01%102,006-4.2%
1165
POTBELLY CORP
73754Y100
COM$1.23M0.01%76,772New
1166
AMERISAFE INC
03071H100
COM$1.22M0.01%30,062+26.0%
1167
PRIMORIS SVCS CORP
74164F103
COM$1.22M0.01%42,408New
1168
SOUTHWEST GAS CORP
844895102
COM$1.22M0.01%23,159-75.7%
1169
SUNCOKE ENERGY INC
86722A103
COM$1.22M0.01%56,854-58.5%
1170
XINYUAN REAL ESTATE CO LTD
98417P105
SPONS ADR$1.22M0.01%289,502-18.8%
1171
ANGIODYNAMICS INC
03475V101
COM$1.22M0.01%74,435-12.4%
1172
BANCO DE CHILE
059520106
SPONSORED ADR$1.21M0.01%15,119-12.5%
1173
TRUSTCO BK CORP N Y
898349105
COM$1.2M0.01%180,263+391.6%
1174
ASHFORD HOSPITALITY TR INC
044103109
COM SHS$1.2M0.01%103,950New
1175
FIRST FINL BANCORP OH
320209109
COM$1.2M0.01%69,644+17.4%
1176
SONUS NETWORKS INC
835916107
COM$1.2M0.01%333,259+2210.8%
1177
AIR TRANSPORT SERVICES GRP I
00922R105
COM$1.19M0.01%142,617+44.3%
1178
LUMOS NETWORKS CORP
550283105
COM$1.19M0.01%82,360+30.0%
1179
AVIANCA HLDGS SA
05367G100
SPON ADR REP PFD$1.19M0.01%74,232-4.6%
1180
COMPUTER PROGRAMS & SYS INC
205306103
COM$1.19M0.01%18,726-46.3%
1181
FIESTA RESTAURANT GROUP INC
31660B101
COM$1.19M0.01%25,547-85.8%
1182
KT CORP
48268K101
SPONSORED ADR$1.19M0.01%78,253+266.4%
1183
BANKRATE INC DEL
06647F102
COM$1.18M0.01%67,518New
1184
HOUGHTON MIFFLIN HARCOURT CO
44157R109
COM$1.18M0.01%61,649New
1185
NATIONAL INSTRS CORP
636518102
COM$1.18M0.01%36,318+189.7%
1186
KAYNE ANDERSON ENERGY DEV CO
48660Q102
COM$1.18M0.01%34,292+51.5%
1187
PENSKE AUTOMOTIVE GRP INC
70959W103
COM$1.18M0.01%23,745New
1188
PHYSICIANS RLTY TR
71943U104
COM$1.17M0.01%81,604New
1189
SERVISFIRST BANCSHARES INC
81768T108
COM$1.17M0.01%13,553New
1190
AUDIENCE INC
05070J102
COM$1.17M0.01%97,840+2.6%
1191
FRANKLIN RES INC
354613101
COM$1.17M0.01%20,230New
1192
ACADIA RLTY TR
004239109
COM SH BEN INT$1.16M0.01%41,385+8.9%
1193
EASTMAN KODAK CO
277461406
COM NEW$1.16M0.01%47,387New
1194
OMEROS CORP
682143102
COM$1.15M0.01%66,315New
1195
ELLIS PERRY INTL INC
288853104
COM$1.15M0.01%66,003+124.1%
1196
DILLARDS INC
254067101
CL A$1.14M0.01%9,800-93.1%
1197
ECHO GLOBAL LOGISTICS INC
27875T101
COM$1.14M0.01%59,343New
1198
SQUARE 1 FINL INC
85223W101
CL A$1.14M0.01%59,830New
1199
CELADON GROUP INC
150838100
COM$1.13M0.01%53,118+71.1%
1200
STEALTHGAS INC
Y81669106
SHS$1.13M0.01%102,097+118.3%
1201
STATE STR CORP
857477103
COM$1.13M0.01%16,795New
1202
MITEL NETWORKS CORP
60671Q104
COM$1.13M0.01%107,058-3.3%
1203
BANK OF AMERICA CORPORATION
060505104
COM$1.13M0.01%73,205New
1204
BIO-REFERENCE LABS INC
09057G602
COM $.01 NEW$1.12M0.01%37,183New
1205
WISDOMTREE TR
97717W422
INDIA ERNGS FD$1.12M0.01%49,813+373.6%
1206
WINTRUST FINL CORP
97650W108
COM$1.11M0.01%24,173New
1207
CINCINNATI BELL INC NEW
171871106
COM$1.11M0.01%281,780+1668.4%
1208
RESOURCES CONNECTION INC
76122Q105
COM$1.11M0.01%84,323+246.3%
1209
SABINE ROYALTY TR
785688102
UNIT BEN INT$1.1M0.01%18,219+46.8%
1210
ALLEGIANT TRAVEL CO
01748X102
COM$1.1M0.01%9,302+16.0%
1211
DIGITAL RIV INC
25388B104
COM$1.1M0.01%71,080-35.6%
1212
DIME CMNTY BANCSHARES
253922108
COM$1.1M0.01%69,449+317.9%
1213
SANGAMO BIOSCIENCES INC
800677106
COM$1.1M0.01%71,688New
1214
FMC TECHNOLOGIES INC
30249U101
COM$1.09M0.01%17,907-96.9%
1215
DOUGLAS DYNAMICS INC
25960R105
COM$1.09M0.01%61,945-38.0%
1216
TAL INTL GROUP INC
874083108
COM$1.09M0.01%24,546-69.9%
1217
BOINGO WIRELESS INC
09739C102
COM$1.09M0.01%159,276+108.2%
1218
NAVIGATORS GROUP INC
638904102
COM$1.09M0.01%16,201-11.7%
1219
FIRST NBC BK HLDG CO
32115D106
COM$1.08M0.01%32,317-28.8%
1220
COWEN GROUP INC NEW
223622101
CL A$1.08M0.01%256,204-18.7%
1221
BANCORPSOUTH INC
059692103
COM$1.07M0.01%43,637+168.4%
1222
WEST PHARMACEUTICAL SVSC INC
955306105
COM$1.07M0.01%25,416-41.0%
1223
PREMIERE GLOBAL SVCS INC
740585104
COM$1.07M0.01%80,222-23.4%
1224
CALLON PETE CO DEL
13123X102
COM$1.07M0.01%91,572-28.2%
1225
GRAND CANYON ED INC
38526M106
COM$1.07M0.01%23,210New
1226
CME GROUP INC
12572Q105
COM$1.06M0.01%15,000-0.4%
1227
KRONOS WORLDWIDE INC
50105F105
COM$1.06M0.01%67,572-27.8%
1228
FORD MTR CO DEL
345370860
COM PAR $0.01$1.06M0.01%61,360+222.3%
1229
CASH AMER INTL INC
14754D100
COM$1.06M0.01%23,780+36.4%
1230
ATLAS AIR WORLDWIDE HLDGS IN
049164205
COM NEW$1.05M0.01%28,528-0.4%
1231
HONDA MOTOR LTD
438128308
AMERN SHS$1.05M0.01%30,017-64.5%
1232
HUDSON PAC PPTYS INC
444097109
COM$1.04M0.00%41,183-46.2%
1233
MONOTYPE IMAGING HOLDINGS IN
61022P100
COM$1.04M0.00%36,747New
1234
BARNES & NOBLE INC
067774109
COM$1.03M0.00%45,319-90.2%
1235
COMVERSE INC
20585P105
COM$1.03M0.00%38,658-42.8%
1236
AUXILIUM PHARMACEUTICALS INC
05334D107
COM$1.03M0.00%51,357-13.9%
1237
BROOKFIELD INFRAST PARTNERS
G16252101
LP INT UNIT$1.03M0.00%24,655New
1238
CARDINAL FINL CORP
14149F109
COM$1.03M0.00%55,716+315.9%
1239
AMERICAN CAP LTD
02503Y103
COM$1.03M0.00%67,088New
1240
SCHOLASTIC CORP
807066105
COM$1.02M0.00%29,954New
1241
ISHARES
464287838
U.S. BAS MTL ETF$1.02M0.00%11,657+288.6%
1242
HORIZON TECHNOLOGY FIN CORP
44045A102
COM$1.02M0.00%69,644-4.2%
1243
WHITESTONE REIT
966084204
COM$1.02M0.00%68,183+206.9%
1244
CONSOLIDATED TOMOKA LD CO
210226106
COM$1.01M0.00%21,949+290.9%
1245
OXFORD INDS INC
691497309
COM$1.01M0.00%15,089New
1246
JOURNAL COMMUNICATIONS INC
481130102
CL A$1M0.00%113,178+32.5%
1247
KEMPER CORP DEL
488401100
COM$1M0.00%27,201-30.3%
1248
CITY HLDG CO
177835105
COM$1M0.00%22,207+43.6%
1249
CAPELLA EDUCATION COMPANY
139594105
COM$999K0.00%18,364New
1250
CHINA YUCHAI INTL LTD
G21082105
COM$998K0.00%47,040-14.7%
1251
DTS INC
23335C101
COM$992K0.00%53,924+24.4%
1252
OMEGA PROTEIN CORP
68210P107
COM$992K0.00%72,525+67.2%
1253
MATRIX SVC CO
576853105
COM$988K0.00%30,131-48.1%
1254
SCANSOURCE INC
806037107
COM$985K0.00%25,883-40.6%
1255
MCCLATCHY CO
579489105
CL A$984K0.00%177,447-14.2%
1256
HOSPIRA INC
441060100
COM$983K0.00%19,124New
1257
SUN CMNTYS INC
866674104
COM$983K0.00%19,734New
1258
LEAPFROG ENTERPRISES INC
52186N106
CL A$982K0.00%133,503+43.6%
1259
HIBBETT SPORTS INC
428567101
COM$979K0.00%18,072-38.7%
1260
REPUBLIC AWYS HLDGS INC
760276105
COM$971K0.00%89,619New
1261
INTERACTIVE BROKERS GROUP IN
45841N107
COM$969K0.00%41,593-41.4%
1262
CARBONITE INC
141337105
COM$964K0.00%80,589+292.2%
1263
CEVA INC
157210105
COM$964K0.00%65,256+243.0%
1264
FORMFACTOR INC
346375108
COM$964K0.00%115,850+1.6%
1265
VSE CORP
918284100
COM$962K0.00%13,681+108.3%
1266
GLOBAL BRASS & COPPR HLDGS I
37953G103
COM$957K0.00%56,583+93.3%
1267
APPLIED INDL TECHNOLOGIES IN
03820C105
COM$951K0.00%18,750+13.4%
1268
EBIX INC
278715206
COM NEW$948K0.00%66,255-47.4%
1269
AGREE REALTY CORP
008492100
COM$947K0.00%31,343+24.8%
1270
ARCHER DANIELS MIDLAND CO
039483102
COM$946K0.00%21,433-94.0%
1271
WINMARK CORP
974250102
COM$945K0.00%13,582+192.3%
1272
PLX TECHNOLOGY INC
693417107
COM$944K0.00%146,004+47.6%
1273
TRANSATLANTIC PETROLEUM LTD
G89982113
SHS NEW$944K0.00%82,936New
1274
HEARTLAND PMT SYS INC
42235N108
COM$943K0.00%22,870+344.8%
1275
RIGEL PHARMACEUTICALS INC
766559603
COM NEW$943K0.00%260,027-14.3%
1276
SUPERVALU INC
868536103
COM$943K0.00%114,682New
1277
UNITIL CORP
913259107
COM$943K0.00%27,855+18.0%
1278
PENNANTPARK FLOATING RATE CA
70806A106
COM$939K0.00%65,757New
1279
INTL FCSTONE INC
46116V105
COM$938K0.00%47,056New
1280
COMPANIA CERVECERIAS UNIDAS
204429104
SPONSORED ADR$937K0.00%40,011-44.0%
1281
RUDOLPH TECHNOLOGIES INC
781270103
COM$936K0.00%94,802+306.1%
1282
WESTERN ASSET MTG CAP CORP
95790D105
COM$936K0.00%66,081New
1283
IMMERSION CORP
452521107
COM$935K0.00%73,490+56.1%
1284
TOWN SPORTS INTL HLDGS INC
89214A102
COM$934K0.00%140,442+79.8%
1285
C H ROBINSON WORLDWIDE INC
12541W209
COM NEW$931K0.00%14,590-94.3%
1286
H & E EQUIPMENT SERVICES INC
404030108
COM$929K0.00%25,572-62.7%
1287
ZIX CORP
98974P100
COM$928K0.00%271,159+0.6%
1288
WEB COM GROUP INC
94733A104
COM$925K0.00%32,043+316.6%
1289
STOCK YDS BANCORP INC
861025104
COM$924K0.00%30,908New
1290
ISHARES
464287614
RUS 1000 GRW ETF$923K0.00%10,151-2.4%
1291
VANGUARD INDEX FDS
922908744
VALUE ETF$923K0.00%11,400New
1292
ACTUATE CORP
00508B102
COM$922K0.00%193,487+191.2%
1293
REGAL BELOIT CORP
758750103
COM$918K0.00%11,680-91.3%
1294
CASTLE A M & CO
148411101
COM$916K0.00%82,925New
1295
CHIQUITA BRANDS INTL INC
170032809
COM$909K0.00%83,762-28.4%
1296
QUAD / GRAPHICS INC
747301109
COM CL A$908K0.00%40,596-69.6%
1297
HANNON ARMSTRONG SUST INFR C
41068X100
COM$905K0.00%63,061+280.8%
1298
BARRY R G CORP OHIO
068798107
COM$903K0.00%47,674+174.8%
1299
RECEPTOS INC
756207106
COM$903K0.00%21,200-83.4%
1300
SCHNITZER STL INDS
806882106
CL A$903K0.00%34,637New
1301
TILLYS INC
886885102
CL A$903K0.00%112,346+77.9%
1302
TRIANGLE PETE CORP
89600B201
COM NEW$900K0.00%76,571-7.7%
1303
HALLIBURTON CO
406216101
COM$899K0.00%12,648-80.9%
1304
CHERRY HILL MTG INVT CORP
164651101
COM$898K0.00%44,787+31.0%
1305
SILICONWARE PRECISION INDS L
827084864
SPONSD ADR SPL$897K0.00%109,312-16.4%
1306
HARLEY DAVIDSON INC
412822108
COM$896K0.00%12,832New
1307
PIKE CORP
721283109
COM$894K0.00%99,779-11.4%
1308
FNB CORP PA
302520101
COM$892K0.00%69,620New
1309
AIRCASTLE LTD
G0129K104
COM$891K0.00%50,138-60.8%
1310
HARTE-HANKS INC
416196103
COM$891K0.00%123,902+17.5%
1311
BARRETT BUSINESS SERVICES IN
068463108
COM$888K0.00%18,887+449.8%
1312
QUANEX BUILDING PRODUCTS COR
747619104
COM$886K0.00%49,576+71.4%
1313
OWENS & MINOR INC NEW
690732102
COM$882K0.00%25,946-79.5%
1314
ORITANI FINL CORP DEL
68633D103
COM$881K0.00%57,250-48.5%
1315
TEXTAINER GROUP HOLDINGS LTD
G8766E109
SHS$877K0.00%22,700New
1316
STARZ
85571Q102
COM SER A$876K0.00%29,413-94.1%
1317
ALMOST FAMILY INC
020409108
COM$872K0.00%39,507+23.1%
1318
EAGLE BANCORP INC MD
268948106
COM$870K0.00%25,796+11.5%
1319
PAN AMERICAN SILVER CORP
697900108
COM$867K0.00%56,494New
1320
ALCOA INC
013817101
COM$862K0.00%57,884New
1321
SYMMETRY MED INC
871546206
COM$862K0.00%97,340-12.0%
1322
ARBOR RLTY TR INC
038923108
COM$861K0.00%123,930-12.9%
1323
GRAHAM CORP
384556106
COM$860K0.00%24,705-0.6%
1324
ONEBEACON INSURANCE GROUP LT
G67742109
CL A$859K0.00%55,238+94.5%
1325
SHORETEL INC
825211105
COM$858K0.00%131,546+844.1%
1326
AVIVA PLC
05382A104
ADR$856K0.00%48,614New
1327
ELLINGTON RESIDENTIAL MTG RE
288578107
COM SHS BEN INT$856K0.00%50,257New
1328
LEE ENTERPRISES INC
523768109
COM$849K0.00%190,736+14.6%
1329
MARCUS CORP
566330106
COM$848K0.00%46,454-26.6%
1330
ZILLOW INC
98954A107
CL A$848K0.00%5,935-53.6%
1331
WESTERN ALLIANCE BANCORP
957638109
COM$843K0.00%35,426-27.8%
1332
SOLAR SR CAP LTD
83416M105
COM$841K0.00%49,840+36.1%
1333
NN INC
629337106
COM$839K0.00%32,797+130.2%
1334
BGC PARTNERS INC
05541T101
CL A$835K0.00%112,254-56.8%
1335
INDEPENDENT BANK CORP MASS
453836108
COM$835K0.00%21,768-11.7%
1336
MFC INDL LTD
55278T105
COM$832K0.00%108,646+305.1%
1337
CROSS TIMBERS RTY TR
22757R109
TR UNIT$830K0.00%24,822+20.4%
1338
HARBINGER GROUP INC
41146A106
COM$830K0.00%65,317+203.0%
1339
AMERICAN TOWER CORP NEW
03027X100
COM$828K0.00%9,200New
1340
TERNIUM SA
880890108
SPON ADR$826K0.00%29,566New
1341
COLUMBUS MCKINNON CORP N Y
199333105
COM$825K0.00%30,507+123.6%
1342
LIMELIGHT NETWORKS INC
53261M104
COM$825K0.00%269,411+54.3%
1343
XO GROUP INC
983772104
COM$820K0.00%67,073+161.0%
1344
RESOLUTE FST PRODS INC
76117W109
COM$814K0.00%48,504-77.4%
1345
APOGEE ENTERPRISES INC
037598109
COM$812K0.00%23,294New
1346
COTY INC
222070203
COM CL A$810K0.00%47,288-79.4%
1347
TAYLOR CAP GROUP INC
876851106
COM$809K0.00%37,852+2.1%
1348
URSTADT BIDDLE PPTYS INC
917286205
CL A$809K0.00%38,732-8.6%
1349
SYNERON MEDICAL LTD
M87245102
ORD SHS$808K0.00%78,292-22.4%
1350
AUTONATION INC
05329W102
COM$804K0.00%13,481-41.2%
1351
USA TRUCK INC
902925106
COM$801K0.00%43,091New
1352
PENN VA CORP
707882106
COM$800K0.00%47,194+14.3%
1353
UNITED STATES LIME & MINERAL
911922102
COM$800K0.00%12,346-12.5%
1354
MAGIC SOFTWARE ENTERPRISES L
559166103
ORD$797K0.00%106,415+140.8%
1355
EMULEX CORP
292475209
COM NEW$796K0.00%139,687New
1356
HAVERTY FURNITURE INC
419596101
COM$788K0.00%31,360-6.9%
1357
MVC CAPITAL INC
553829102
COM$787K0.00%60,802New
1358
SURMODICS INC
868873100
COM$786K0.00%36,715-22.6%
1359
UNITED MICROELECTRONICS CORP
910873405
SPON ADR NEW$786K0.00%326,195+16.2%
1360
AVX CORP NEW
002444107
COM$785K0.00%59,106-57.7%
1361
CSG SYS INTL INC
126349109
COM$785K0.00%30,049New
1362
ANIKA THERAPEUTICS INC
035255108
COM$784K0.00%16,912New
1363
CARNIVAL PLC
14365C103
ADR$781K0.00%20,589New
1364
CHINA BIOLOGIC PRODS INC
16938C106
COM$777K0.00%17,477New
1365
HEIDRICK & STRUGGLES INTL IN
422819102
COM$773K0.00%41,801+182.2%
1366
PACKAGING CORP AMER
695156109
COM$763K0.00%10,668New
1367
BROADWIND ENERGY INC
11161T207
COM NEW$761K0.00%86,811New
1368
FRESENIUS MED CARE AG&CO KGA
358029106
SPONSORED ADR$759K0.00%22,678+86.1%
1369
COLUMBIA SPORTSWEAR CO
198516106
COM$757K0.00%9,165New
1370
LIBBEY INC
529898108
COM$755K0.00%28,334-13.2%
1371
A H BELO CORP
001282102
COM CL A$754K0.00%63,631+312.0%
1372
AU OPTRONICS CORP
002255107
SPONSORED ADR$753K0.00%179,759+290.6%
1373
MORGANS HOTEL GROUP CO
61748W108
COM$751K0.00%94,731-4.4%
1374
NAVIGANT CONSULTING INC
63935N107
COM$750K0.00%42,946-66.2%
1375
PRGX GLOBAL INC
69357C503
COM NEW$748K0.00%116,967+10.3%
1376
1 800 FLOWERS COM
68243Q106
CL A$747K0.00%128,810+10.2%
1377
TASEKO MINES LTD
876511106
COM$747K0.00%299,042+5.0%
1378
NEVSUN RES LTD
64156L101
COM$746K0.00%198,879-13.3%
1379
CIBER INC
17163B102
COM$744K0.00%150,743-30.7%
1380
COMPUTER TASK GROUP INC
205477102
COM$742K0.00%45,076+38.2%
1381
REPLIGEN CORP
759916109
COM$737K0.00%32,360New
1382
ALLIANCE HEALTHCARE SRVCS IN
018606301
COM PAR $0.01$731K0.00%27,108+9.1%
1383
PANTRY INC
698657103
COM$730K0.00%45,034+55.2%
1384
PERFICIENT INC
71375U101
COM$722K0.00%37,081New
1385
HITTITE MICROWAVE CORP
43365Y104
COM$721K0.00%9,244New
1386
SAN JUAN BASIN RTY TR
798241105
UNIT BEN INT$721K0.00%37,351+189.5%
1387
RBC BEARINGS INC
75524B104
COM$717K0.00%11,199New
1388
GULFMARK OFFSHORE INC
402629208
CL A NEW$714K0.00%15,802-76.6%
1389
NVE CORP
629445206
COM NEW$714K0.00%12,846-2.3%
1390
BROOKS AUTOMATION INC
114340102
COM$713K0.00%66,144+16.2%
1391
ENANTA PHARMACEUTICALS INC
29251M106
COM$711K0.00%16,499New
1392
USA MOBILITY INC
90341G103
COM$711K0.00%46,150-41.9%
1393
FIRST FINANCIAL NORTHWEST IN
32022K102
COM$710K0.00%65,260+242.3%
1394
TIM PARTICIPACOES S A
88706P205
SPONSORED ADR$710K0.00%24,453-87.6%
1395
MEDICINES CO
584688105
COM$707K0.00%24,352-75.5%
1396
BRASKEM S A
105532105
SP ADR PFD A$706K0.00%54,924New
1397
COMMERCE BANCSHARES INC
200525103
COM$705K0.00%15,167New
1398
BOSTON BEER INC
100557107
CL A$704K0.00%3,148New
1399
PARK NATL CORP
700658107
COM$698K0.00%9,042-25.5%
1400
POLYONE CORP
73179P106
COM$698K0.00%16,562New
1401
CLICKSOFTWARE TECHNOLOGIES L
M25082104
ORD$697K0.00%86,336+104.0%
1402
KING DIGITAL ENTMT PLC
G5258J109
ORD SHS$697K0.00%33,910New
1403
TEAM INC
878155100
COM$697K0.00%16,990New
1404
PMC-SIERRA INC
69344F106
COM$695K0.00%91,300New
1405
FINANCIAL INSTNS INC
317585404
COM$692K0.00%29,544+145.6%
1406
NORTHWEST PIPE CO
667746101
COM$692K0.00%17,165New
1407
CHOICE HOTELS INTL INC
169905106
COM$691K0.00%14,668-74.0%
1408
ENTROPIC COMMUNICATIONS INC
29384R105
COM$687K0.00%206,257+1095.0%
1409
ORION MARINE GROUP INC
68628V308
COM$685K0.00%63,309+13.0%
1410
ACHILLION PHARMACEUTICALS IN
00448Q201
COM$684K0.00%90,449New
1411
SOUTHSIDE BANCSHARES INC
84470P109
COM$681K0.00%23,513New
1412
BALL CORP
058498106
COM$680K0.00%10,853-92.2%
1413
GENERAL COMMUNICATION INC
369385109
CL A$680K0.00%61,383+129.4%
1414
ROFIN SINAR TECHNOLOGIES INC
775043102
COM$673K0.00%27,988-27.3%
1415
CIVEO CORP
178787107
COM$670K0.00%26,782New
1416
MAIDEN HOLDINGS LTD
G5753U112
SHS$670K0.00%55,479-72.2%
1417
WIPRO LTD
97651M109
SPON ADR 1 SH$669K0.00%56,245New
1418
LEJU HLDGS LTD
50187J108
SPONSORED ADS$668K0.00%63,896New
1419
PC-TEL INC
69325Q105
COM$668K0.00%82,582+434.6%
1420
KFORCE INC
493732101
COM$667K0.00%30,816New
1421
LANDAUER INC
51476K103
COM$665K0.00%15,838+85.4%
1422
CASTLIGHT HEALTH INC
14862Q100
CL B$663K0.00%43,601+0.1%
1423
CRA INTL INC
12618T105
COM$661K0.00%28,674+7.6%
1424
GLOBALSTAR INC
378973408
COM$661K0.00%155,600New
1425
SIRIUS XM HLDGS INC
82968B103
COM$657K0.00%189,749-34.7%
1426
FIDUS INVT CORP
316500107
COM$653K0.00%31,781+159.9%
1427
ENPRO INDS INC
29355X107
COM$652K0.00%8,917New
1428
MATERION CORP
576690101
COM$649K0.00%17,541-54.1%
1429
CNINSURE INC
18976M103
SPONSORED ADR$646K0.00%94,252-21.4%
1430
INGLES MKTS INC
457030104
CL A$646K0.00%24,519+175.8%
1431
TRAVELCENTERS OF AMERICA LLC
894174101
COM$645K0.00%72,629New
1432
E HOUSE CHINA HLDGS LTD
26852W103
ADR$644K0.00%74,440New
1433
MCGRATH RENTCORP
580589109
COM$640K0.00%17,433+20.5%
1434
CARRIAGE SVCS INC
143905107
COM$639K0.00%37,300-48.1%
1435
TRIANGLE CAP CORP
895848109
COM$639K0.00%22,525-86.2%
1436
SAUL CTRS INC
804395101
COM$631K0.00%12,989+49.9%
1437
BELLATRIX EXPLORATION LTD
078314101
COM$630K0.00%72,280New
1438
POZEN INC
73941U102
COM$629K0.00%75,480-48.3%
1439
SUPER MICRO COMPUTER INC
86800U104
COM$629K0.00%24,888-44.4%
1440
BLUE CAP REINS HLDGS LTD
G1190F107
COM$628K0.00%31,916New
1441
SANFILIPPO JOHN B & SON INC
800422107
COM$628K0.00%23,739-1.4%
1442
WATSCO INC
942622200
COM$628K0.00%6,111+29.6%
1443
WEBSTER FINL CORP CONN
947890109
COM$628K0.00%19,901New
1444
ENTERGY CORP NEW
29364G103
COM$625K0.00%7,613-99.1%
1445
PEGASYSTEMS INC
705573103
COM$624K0.00%29,567-43.7%
1446
EXACTECH INC
30064E109
COM$622K0.00%24,655+53.5%
1447
REVLON INC
761525609
CL A NEW$622K0.00%20,409New
1448
COURIER CORP
222660102
COM$617K0.00%41,362New
1449
DELHAIZE GROUP
29759W101
SPONSORED ADR$616K0.00%36,535+113.0%
1450
MITCHAM INDS INC
606501104
COM$616K0.00%44,093+125.0%
1451
ARQULE INC
04269E107
COM$614K0.00%396,305+3305.3%
1452
HOUSTON WIRE & CABLE CO
44244K109
COM$612K0.00%49,303+14.3%
1453
YADKIN FINL CORP
984305102
COM$611K0.00%32,417-0.4%
1454
SCHULMAN A INC
808194104
COM$610K0.00%15,758+26.8%
1455
ERIE INDTY CO
29530P102
CL A$609K0.00%8,089New
1456
II VI INC
902104108
COM$608K0.00%42,053-24.2%
1457
EMBRAER S A
29082A107
SP ADR REP 4 COM$602K0.00%16,537-91.4%
1458
FIRST CTZNS BANCSHARES INC N
31946M103
CL A$600K0.00%2,447-73.8%
1459
MATTHEWS INTL CORP
577128101
CL A$599K0.00%14,410New
1460
SASOL LTD
803866300
SPONSORED ADR$599K0.00%10,134-86.9%
1461
EVOLUTION PETROLEUM CORP
30049A107
COM$596K0.00%54,401-0.5%
1462
UNITED FIRE GROUP INC
910340108
COM$596K0.00%20,326+16.4%
1463
MERCURY SYS INC
589378108
COM$592K0.00%52,177+59.8%
1464
NEENAH PAPER INC
640079109
COM$588K0.00%11,068-54.6%
1465
RAIT FINANCIAL TRUST
749227609
COM NEW$586K0.00%70,894New
1466
SOUTHWEST BANCORP INC OKLA
844767103
COM$586K0.00%34,361-0.1%
1467
POWERSHS DB US DOLLAR INDEX
73936D107
DOLL INDX BULL$584K0.00%27,482-28.1%
1468
CHURCHILL DOWNS INC
171484108
COM$583K0.00%6,468New
1469
CUTERA INC
232109108
COM$583K0.00%56,186+4.3%
1470
PAIN THERAPEUTICS INC
69562K100
COM$581K0.00%101,170+83.7%
1471
PANHANDLE OIL AND GAS INC
698477106
CL A$580K0.00%10,355-37.8%
1472
SKILLED HEALTHCARE GROUP INC
83066R107
CL A$580K0.00%92,271+9.7%
1473
TERRENO RLTY CORP
88146M101
COM$580K0.00%29,993New
1474
HHGREGG INC
42833L108
COM$579K0.00%56,908New
1475
PEOPLES BANCORP INC
709789101
COM$579K0.00%21,890-15.7%
1476
IMPAX LABORATORIES INC
45256B101
COM$576K0.00%19,216-93.5%
1477
AFFYMETRIX INC
00826T108
COM$573K0.00%64,335New
1478
STRATEGIC HOTELS & RESORTS I
86272T106
COM$573K0.00%48,903-86.5%
1479
MESABI TR
590672101
CTF BEN INT$567K0.00%29,011+37.5%
1480
PORTOLA PHARMACEUTICALS INC
737010108
COM$567K0.00%19,416New
1481
US ECOLOGY INC
91732J102
COM$567K0.00%11,577New
1482
ANN INC
035623107
COM$565K0.00%13,741-96.1%
1483
WHITEHORSE FIN INC
96524V106
COM$565K0.00%39,541+54.8%
1484
ISHARES
464286855
MSCI ITALCPD ETF$564K0.00%32,453New
1485
WESTFIELD FINANCIAL INC NEW
96008P104
COM$564K0.00%75,606+62.3%
1486
MSA SAFETY INC
553498106
COM$563K0.00%9,802+102.5%
1487
CRYOLIFE INC
228903100
COM$562K0.00%62,760+36.6%
1488
FIRST BUSEY CORP
319383105
COM$561K0.00%96,575+43.9%
1489
TREDEGAR CORP
894650100
COM$560K0.00%23,906New
1490
SINOVAC BIOTECH LTD
P8696W104
SHS$558K0.00%98,898-37.6%
1491
INFINERA CORPORATION
45667G103
COM$556K0.00%60,487-38.3%
1492
HERITAGE FINL CORP WASH
42722X106
COM$551K0.00%34,272New
1493
ARES COML REAL ESTATE CORP
04013V108
COM$549K0.00%44,217New
1494
GREAT LAKES DREDGE & DOCK CO
390607109
COM$549K0.00%68,737-47.8%
1495
CVB FINL CORP
126600105
COM$548K0.00%34,198New
1496
PERICOM SEMICONDUCTOR CORP
713831105
COM$547K0.00%60,520+4.2%
1497
S & T BANCORP INC
783859101
COM$546K0.00%21,960New
1498
STELLUS CAP INVT CORP
858568108
COM$546K0.00%37,185-9.1%
1499
MEADOWBROOK INS GROUP INC
58319P108
COM$545K0.00%75,864New
1500
FIVE STAR QUALITY CARE INC
33832D106
COM$542K0.00%108,231+1.9%
1501
UNIVERSAL HEALTH RLTY INCM T
91359E105
SH BEN INT$539K0.00%12,384+47.7%
1502
ARDMORE SHIPPING CORP
Y0207T100
COM$536K0.00%38,780New
1503
BRIGHT HORIZONS FAM SOL IN D
109194100
COM$536K0.00%12,491New
1504
CASS INFORMATION SYS INC
14808P109
COM$536K0.00%10,833New
1505
LORAL SPACE & COMMUNICATNS I
543881106
COM$535K0.00%7,354New
1506
ISLE OF CAPRI CASINOS INC
464592104
COM$534K0.00%62,362+261.2%
1507
MARCUS & MILLICHAP INC
566324109
COM$534K0.00%20,937New
1508
COOPER STD HLDGS INC
21676P103
COM$533K0.00%8,056New
1509
FEMALE HEALTH CO
314462102
COM$532K0.00%96,537+74.4%
1510
LLOYDS BANKING GROUP PLC
539439109
SPONSORED ADR$532K0.00%103,430+113.0%
1511
KEMET CORP
488360207
COM NEW$531K0.00%92,328+5.3%
1512
THL CR INC
872438106
COM$527K0.00%37,613+13.0%
1513
CBEYOND INC
149847105
COM$525K0.00%52,731-48.1%
1514
CONSUMER PORTFOLIO SVCS INC
210502100
COM$525K0.00%68,984New
1515
FIRST MIDWEST BANCORP DEL
320867104
COM$524K0.00%30,765-72.6%
1516
MANNING & NAPIER INC
56382Q102
CL A$524K0.00%30,413-52.9%
1517
ATRION CORP
049904105
COM$521K0.00%1,598
1518
TENNECO INC
880349105
COM$521K0.00%7,936-95.3%
1519
VITESSE SEMICONDUCTOR CORP
928497304
COM NEW$521K0.00%150,986New
1520
UNIVERSAL STAINLESS & ALLOY
913837100
COM$519K0.00%15,968+86.5%
1521
FIDELITY SOUTHERN CORP NEW
316394105
COM$516K0.00%39,784New
1522
MIDDLESEX WATER CO
596680108
COM$515K0.00%24,309+8.3%
1523
ONE LIBERTY PPTYS INC
682406103
COM$514K0.00%24,093+44.0%
1524
PERNIX THERAPEUTICS HLDGS IN
71426V108
COM$511K0.00%56,890New
1525
UNITED STATES CELLULAR CORP
911684108
COM$511K0.00%12,525New
1526
XOOM CORP
98419Q101
COM$511K0.00%19,372-55.4%
1527
ENPHASE ENERGY INC
29355A107
COM$510K0.00%59,621New
1528
BROOKFIELD RESIDENTIAL PPTYS
11283W104
COM$509K0.00%24,513New
1529
LAYNE CHRISTENSEN CO
521050104
COM$509K0.00%38,296New
1530
MERCANTILE BANK CORP
587376104
COM$506K0.00%22,129+107.3%
1531
MERRIMACK PHARMACEUTICALS IN
590328100
COM$506K0.00%69,320New
1532
SPDR SERIES TRUST
78464A763
S&P DIVID ETF$506K0.00%6,611New
1533
AEROFLEX HLDG CORP
007767106
COM$504K0.00%47,992+39.7%
1534
SCICLONE PHARMACEUTICALS INC
80862K104
COM$502K0.00%95,442+53.1%
1535
WNS HOLDINGS LTD
92932M101
SPON ADR$501K0.00%26,102-5.4%
1536
FIRST BANCORP N C
318910106
COM$499K0.00%27,177+68.1%
1537
COCA COLA BOTTLING CO CONS
191098102
COM$498K0.00%6,771New
1538
NGP CAP RES CO
62912R107
COM$497K0.00%79,662+39.5%
1539
FARMERS CAP BK CORP
309562106
COM$495K0.00%21,917New
1540
PROVIDENT FINL HLDGS INC
743868101
COM$495K0.00%34,087+24.3%
1541
RANDGOLD RES LTD
752344309
ADR$492K0.00%5,810-97.1%
1542
COMMUNITY TR BANCORP INC
204149108
COM$491K0.00%14,324+10.4%
1543
P C CONNECTION
69318J100
COM$491K0.00%23,734New
1544
AGILYSYS INC
00847J105
COM$489K0.00%34,715New
1545
CONNECTONE BANCORP INC
20786U101
COM$488K0.00%9,793+86.0%
1546
DYNAMIC MATLS CORP
267888105
COM$488K0.00%22,052New
1547
FUEL SYS SOLUTIONS INC
35952W103
COM$487K0.00%43,673+48.9%
1548
META FINL GROUP INC
59100U108
COM$486K0.00%12,150-9.7%
1549
C & F FINL CORP
12466Q104
COM$484K0.00%13,436+39.4%
1550
ELBIT SYS LTD
M3760D101
ORD$481K0.00%7,815New
1551
CHINA AUTOMOTIVE SYS INC
16936R105
COM$480K0.00%55,200+89.7%
1552
DAWSON GEOPHYSICAL CO
239359102
COM$477K0.00%16,671-5.3%
1553
AMERICAN EAGLE OUTFITTERS NE
02553E106
COM$476K0.00%42,455New
1554
CAPITAL SOUTHWEST CORP
140501107
COM$475K0.00%13,184+24.6%
1555
GENUINE PARTS CO
372460105
COM$474K0.00%5,404New
1556
NATURAL GAS SERVICES GROUP
63886Q109
COM$474K0.00%14,332+76.2%
1557
EMPRESA NACIONAL DE ELCTRCID
29244T101
SPONSORED ADR$473K0.00%10,460New
1558
ETHAN ALLEN INTERIORS INC
297602104
COM$473K0.00%19,124-73.1%
1559
SUSSER HLDGS CORP
869233106
COM$473K0.00%5,858New
1560
FIDELITY & GTY LIFE
315785105
COM$472K0.00%19,700-62.3%
1561
MERIDIAN INTERSTAT BANCORP I
58964Q104
COM$464K0.00%18,069New
1562
BENEFICIAL MUTUAL BANCORP IN
08173R104
COM$463K0.00%34,146+117.9%
1563
CALAVO GROWERS INC
128246105
COM$463K0.00%13,703New
1564
MULTI COLOR CORP
625383104
COM$463K0.00%11,583New
1565
PICO HLDGS INC
693366205
COM NEW$463K0.00%19,480-49.0%
1566
PREFERRED BK LOS ANGELES CA
740367404
COM NEW$462K0.00%19,539-16.8%
1567
1ST UNITED BANCORP INC FLA
33740N105
COM$460K0.00%53,422+91.3%
1568
PACIFIC PREMIER BANCORP
69478X105
COM$460K0.00%32,693+210.9%
1569
ARROW FINL CORP
042744102
COM$459K0.00%17,690+22.8%
1570
SUPPORT COM INC
86858W101
COM$458K0.00%169,059+319.5%
1571
FIRST FINL CORP IND
320218100
COM$457K0.00%14,186+22.3%
1572
UNIFI INC
904677200
COM NEW$457K0.00%16,606New
1573
CASELLA WASTE SYS INC
147448104
CL A$456K0.00%91,183+416.4%
1574
NEUROCRINE BIOSCIENCES INC
64125C109
COM$455K0.00%30,632New
1575
ITAU UNIBANCO HLDG SA
465562106
SPON ADR REP PFD$454K0.00%31,580New
1576
VOXX INTL CORP
91829F104
CL A$454K0.00%48,191New
1577
ENTERCOM COMMUNICATIONS CORP
293639100
CL A$453K0.00%42,241+46.5%
1578
TRANSCANADA CORP
89353D107
COM$453K0.00%9,501New
1579
DELTA NAT GAS INC
247748106
COM$452K0.00%20,588New
1580
EVERBANK FINL CORP
29977G102
COM$452K0.00%22,448-47.1%
1581
JONES ENERGY INC
48019R108
COM CL A$452K0.00%22,014New
1582
VISHAY PRECISION GROUP INC
92835K103
COM$452K0.00%27,498+91.4%
1583
BANK MUTUAL CORP NEW
063750103
COM$451K0.00%77,729+79.1%
1584
BIG 5 SPORTING GOODS CORP
08915P101
COM$451K0.00%36,778New
1585
ENNIS INC
293389102
COM$451K0.00%29,506-41.0%
1586
1ST SOURCE CORP
336901103
COM$450K0.00%14,683New
1587
BANK OF MARIN BANCORP
063425102
COM$449K0.00%9,837-1.3%
1588
INSTEEL INDUSTRIES INC
45774W108
COM$449K0.00%22,865-23.0%
1589
SUFFOLK BANCORP
864739107
COM$449K0.00%20,130+4.9%
1590
TELECOMMUNICATION SYS INC
87929J103
CL A$449K0.00%136,357+5.3%
1591
VANTAGE DRILLING COMPANY
G93205113
ORD SHS$449K0.00%234,036New
1592
SCHAWK INC
806373106
CL A$448K0.00%21,999New
1593
DSP GROUP INC
23332B106
COM$447K0.00%52,717+26.2%
1594
IMATION CORP
45245A107
COM$446K0.00%129,795+19.7%
1595
TEEKAY LNG PARTNERS L P
Y8564M105
PRTNRSP UNITS$446K0.00%9,666New
1596
ZAIS FINL CORP
98886K108
COM$446K0.00%26,869+23.0%
1597
SHOE CARNIVAL INC
824889109
COM$445K0.00%21,562New
1598
FELCOR LODGING TR INC
31430F101
COM$443K0.00%42,157-81.4%
1599
VARIAN MED SYS INC
92220P105
COM$441K0.00%5,300New
1600
AT&T INC
00206R102
COM$440K0.00%12,452+15.9%
1601
BROADRIDGE FINL SOLUTIONS IN
11133T103
COM$439K0.00%10,539New
1602
DIGI INTL INC
253798102
COM$439K0.00%46,604+32.0%
1603
HAWKINS INC
420261109
COM$439K0.00%11,828+7.3%
1604
SELECT SECTOR SPDR TR
81369Y407
SBI CONS DISCR$438K0.00%6,567-66.8%
1605
CALLIDUS SOFTWARE INC
13123E500
COM$437K0.00%36,577New
1606
LINDSAY CORP
535555106
COM$436K0.00%5,162New
1607
POWELL INDS INC
739128106
COM$435K0.00%6,659+59.5%
1608
TESSCO TECHNOLOGIES INC
872386107
COM$435K0.00%13,709New
1609
PARK ELECTROCHEMICAL CORP
700416209
COM$434K0.00%15,407-12.7%
1610
AMERICAN NATL INS CO
028591105
COM$432K0.00%3,783New
1611
BOISE CASCADE CO DEL
09739D100
COM$432K0.00%15,100New
1612
HARVEST NATURAL RESOURCES IN
41754V103
COM$432K0.00%86,663New
1613
TERRITORIAL BANCORP INC
88145X108
COM$431K0.00%20,636-13.6%
1614
EXCEED COMPANY LTD
G32335104
SHS$430K0.00%250,000
1615
SANDSTORM GOLD LTD
80013R206
COM NEW$430K0.00%62,152New
1616
FIRSTSERVICE CORP
33761N109
SUB VTG SH$429K0.00%8,478+38.0%
1617
IRELAND BK
46267Q202
SPNSRD ADR NEW$428K0.00%30,792+6.1%
1618
SWS GROUP INC
78503N107
COM$426K0.00%58,613-62.3%
1619
GULF ISLAND FABRICATION INC
402307102
COM$425K0.00%19,733-15.0%
1620
AMBARELLA INC
G037AX101
SHS$424K0.00%13,593New
1621
BERKSHIRE HILLS BANCORP INC
084680107
COM$422K0.00%18,181New
1622
NORTEK INC
656559309
COM NEW$422K0.00%4,700-73.3%
1623
KNOLL INC
498904200
COM NEW$421K0.00%24,260New
1624
ZOGENIX INC
98978L105
COM$419K0.00%208,559+148.2%
1625
BIOMARIN PHARMACEUTICAL INC
09061G101
COM$418K0.00%6,720-91.9%
1626
BLACKBAUD INC
09227Q100
COM$418K0.00%11,689-20.2%
1627
AEGEAN MARINE PETROLEUM NETW
Y0017S102
SHS$417K0.00%41,362New
1628
ISHARES
464287101
S&P 100 ETF$417K0.00%4,817New
1629
SAFEGUARD SCIENTIFICS INC
786449207
COM NEW$417K0.00%20,063+5.2%
1630
IGNITE RESTAURANT GROUP INC
451730105
COM$414K0.00%28,433+82.9%
1631
ISOFTSTONE HLDGS LTD
46489B108
SPONSORED ADS$414K0.00%75,768+8.3%
1632
CAPITAL SR LIVING CORP
140475104
COM$413K0.00%17,341-88.6%
1633
GLACIER BANCORP INC NEW
37637Q105
COM$410K0.00%14,467-68.5%
1634
JETBLUE AIRWAYS CORP
477143101
COM$410K0.00%37,813-98.1%
1635
STEIN MART INC
858375108
COM$410K0.00%29,507New
1636
ALLIANCE ONE INTL INC
018772103
COM$409K0.00%163,451-28.1%
1637
BLUEBIRD BIO INC
09609G100
COM$409K0.00%10,600New
1638
INTERSECTIONS INC
460981301
COM$408K0.00%82,905+12.1%
1639
LHC GROUP INC
50187A107
COM$408K0.00%19,089New
1640
PACIFIC CONTINENTAL CORP
69412V108
COM$407K0.00%29,703+125.4%
1641
AMETEK INC NEW
031100100
COM$406K0.00%7,771New
1642
ISHARES
464286103
MSCI AUST ETF$406K0.00%15,550+23.3%
1643
BLACK DIAMOND INC
09202G101
COM$405K0.00%36,144New
1644
KAMAN CORP
483548103
COM$405K0.00%9,475New
1645
PRESTIGE BRANDS HLDGS INC
74112D101
COM$405K0.00%11,937-55.1%
1646
INNERWORKINGS INC
45773Y105
COM$403K0.00%47,408New
1647
DELTIC TIMBER CORP
247850100
COM$402K0.00%6,648New
1648
TRICO BANCSHARES
896095106
COM$402K0.00%17,347New
1649
FIRST BANCORP P R
318672706
COM NEW$401K0.00%73,879+431.9%
1650
AGNICO EAGLE MINES LTD
008474108
COM$400K0.00%10,451-69.3%
1651
SJW CORP
784305104
COM$400K0.00%14,703New
1652
PEPSICO INC
713448108
COM$399K0.00%4,465-99.7%
1653
HEALTHSTREAM INC
42222N103
COM$398K0.00%16,355New
1654
SILGAN HOLDINGS INC
827048109
COM$398K0.00%7,827-87.9%
1655
ALPHA & OMEGA SEMICONDUCTOR
G6331P104
SHS$397K0.00%42,816+29.1%
1656
EPIQ SYS INC
26882D109
COM$395K0.00%28,084-3.8%
1657
ORCHIDS PAPER PRODS CO DEL
68572N104
COM$393K0.00%12,271-29.6%
1658
WESTAR ENERGY INC
95709T100
COM$393K0.00%10,301New
1659
COMMUNITY BK SYS INC
203607106
COM$391K0.00%10,791New
1660
CULP INC
230215105
COM$391K0.00%22,502+31.6%
1661
ASCENA RETAIL GROUP INC
04351G101
COM$390K0.00%22,813New
1662
OCEANFIRST FINL CORP
675234108
COM$386K0.00%23,282New
1663
SUN BANCORP INC
86663B102
COM$385K0.00%96,020+253.0%
1664
BANCO SANTANDER SA
05964H105
ADR$384K0.00%36,884-96.4%
1665
EMPIRE DIST ELEC CO
291641108
COM$384K0.00%14,973-19.6%
1666
UBS AG
H89231338
SHS NEW$384K0.00%20,947New
1667
RICHARDSON ELECTRS LTD
763165107
COM$383K0.00%36,504+179.9%
1668
TARENA INTL INC
876108101
ADR$383K0.00%29,200New
1669
TRANSALTA CORP
89346D107
COM$380K0.00%30,955New
1670
MICREL INC
594793101
COM$379K0.00%33,596New
1671
SEACOAST BKG CORP FLA
811707801
COM NEW$379K0.00%34,877+125.8%
1672
SUCAMPO PHARMACEUTICALS INC
864909106
CL A$379K0.00%54,932New
1673
VISTEON CORP
92839U206
COM NEW$379K0.00%3,909-97.9%
1674
AROTECH CORP
042682203
COM NEW$376K0.00%84,300New
1675
CRAY INC
225223304
COM NEW$374K0.00%14,023New
1676
LIMONEIRA CO
532746104
COM$373K0.00%16,939New
1677
AMERICAN AXLE & MFG HLDGS IN
024061103
COM$371K0.00%19,652New
1678
GLOBAL POWER EQUIPMENT GRP I
37941P306
COM PAR $0.01$371K0.00%22,965+98.0%
1679
TARGACEPT INC
87611R306
COM$371K0.00%82,261+29.6%
1680
INVESTMENT TECHNOLOGY GRP NE
46145F105
COM$369K0.00%21,842New
1681
KELLY SVCS INC
488152208
CL A$367K0.00%21,410+5.6%
1682
WCI CMNTYS INC
92923C807
COM PAR $0.01$367K0.00%18,995New
1683
ARC DOCUMENT SOLUTIONS INC
00191G103
COM$366K0.00%62,416-46.6%
1684
GUIDANCE SOFTWARE INC
401692108
COM$366K0.00%40,225+16.4%
1685
MARLIN BUSINESS SVCS CORP
571157106
COM$366K0.00%20,158+71.8%
1686
VANGUARD INDEX FDS
922908769
TOTAL STK MKT$364K0.00%3,568New
1687
FRESH MKT INC
35804H106
COM$363K0.00%10,855-97.3%
1688
YORK WTR CO
987184108
COM$362K0.00%17,417+41.0%
1689
AMPHENOL CORP NEW
032095101
CL A$361K0.00%3,746New
1690
BLACK BOX CORP DEL
091826107
COM$360K0.00%15,356New
1691
SANDY SPRING BANCORP INC
800363103
COM$356K0.00%14,307+46.1%
1692
XERIUM TECHNOLOGIES INC
98416J118
COM NEW$355K0.00%25,462+13.6%
1693
ZIONS BANCORPORATION
989701107
COM$355K0.00%12,023-64.5%
1694
HOME INNS & HOTELS MGMT INC
43713W107
SPON ADR$350K0.00%10,234New
1695
UNITED CMNTY FINL CORP OHIO
909839102
COM$350K0.00%84,635New
1696
HAWAIIAN TELCOM HOLDCO INC
420031106
COM$349K0.00%12,196New
1697
KOPPERS HOLDINGS INC
50060P106
COM$348K0.00%9,100-72.6%
1698
UNIVERSAL ELECTRS INC
913483103
COM$347K0.00%7,100New
1699
VANGUARD INDEX FDS
922908736
GROWTH ETF$346K0.00%3,500-39.7%
1700
QUAKER CHEM CORP
747316107
COM$344K0.00%4,482-46.9%
1701
GREAT SOUTHN BANCORP INC
390905107
COM$342K0.00%10,681-0.1%
1702
OPPENHEIMER HLDGS INC
683797104
CL A NON VTG$342K0.00%14,215-13.6%
1703
ASTEC INDS INC
046224101
COM$341K0.00%7,757-27.3%
1704
DESTINATION MATERNITY CORP
25065D100
COM$340K0.00%14,927New
1705
SPECTRANETICS CORP
84760C107
COM$340K0.00%14,851+47.4%
1706
COMMERCIAL VEH GROUP INC
202608105
COM$339K0.00%33,816New
1707
GRAY TELEVISION INC
389375106
COM$339K0.00%25,816New
1708
LIQUIDITY SERVICES INC
53635B107
COM$337K0.00%21,370-70.2%
1709
ROCKWELL COLLINS INC
774341101
COM$337K0.00%4,311-96.6%
1710
ON ASSIGNMENT INC
682159108
COM$336K0.00%9,446-84.4%
1711
SAPIENS INTL CORP N V
N7716A151
SHS NEW$335K0.00%41,854New
1712
KATE SPADE & CO
485865109
COM$334K0.00%8,757-90.7%
1713
MEDICAL ACTION INDS INC
58449L100
COM$333K0.00%24,235-5.0%
1714
NORD ANGLIA EDUCATION INC
G6583A102
SHS$333K0.00%18,203New
1715
ECOPETROL S A
279158109
SPONSORED ADS$332K0.00%9,216New
1716
AMIRA NATURE FOODS LTD
G0335L102
SHS$331K0.00%24,117New
1717
FBR & CO
30247C400
COM NEW$331K0.00%12,169-17.6%
1718
STEWART INFORMATION SVCS COR
860372101
COM$330K0.00%10,630New
1719
ELECTRO SCIENTIFIC INDS
285229100
COM$329K0.00%48,250+22.0%
1720
HOOKER FURNITURE CORP
439038100
COM$329K0.00%20,357New
1721
INFOBLOX INC
45672H104
COM$329K0.00%25,000-9.5%
1722
CONCHO RES INC
20605P101
COM$328K0.00%2,272-99.5%
1723
VERIZON COMMUNICATIONS INC
92343V104
COM$328K0.00%6,712-99.6%
1724
OPHTHOTECH CORP
683745103
COM$326K0.00%7,714-25.8%
1725
NATIONAL GEN HLDGS CORP
636220303
COM$325K0.00%18,700New
1726
SENECA FOODS CORP NEW
817070501
CL A$325K0.00%10,602+14.0%
1727
HARVARD BIOSCIENCE INC
416906105
COM$324K0.00%71,196+203.7%
1728
WALKER & DUNLOP INC
93148P102
COM$324K0.00%22,976-20.8%
1729
MESA LABS INC
59064R109
COM$321K0.00%3,817+12.6%
1730
REMY INTL INC
759663107
COM$319K0.00%13,669New
1731
MONRO MUFFLER BRAKE INC
610236101
COM$316K0.00%5,936New
1732
PROVIDENCE SVC CORP
743815102
COM$315K0.00%8,604New
1733
CONNECTICUT WTR SVC INC
207797101
COM$313K0.00%9,225New
1734
MAXLINEAR INC
57776J100
CL A$313K0.00%31,060+193.2%
1735
RTI SURGICAL INC
74975N105
COM$313K0.00%71,899New
1736
NATIONAL HEALTHCARE CORP
635906100
COM$312K0.00%5,536-30.2%
1737
WET SEAL INC
961840105
CL A$311K0.00%341,566+277.7%
1738
ABM INDS INC
000957100
COM$309K0.00%11,460New
1739
FIRSTENERGY CORP
337932107
COM$309K0.00%8,898-94.7%
1740
SPDR SERIES TRUST
78464A797
S&P BK ETF$309K0.00%9,259New
1741
PETMED EXPRESS INC
716382106
COM$307K0.00%22,832New
1742
MEDIFAST INC
58470H101
COM$305K0.00%10,034-93.5%
1743
RENASANT CORP
75970E107
COM$305K0.00%10,507New
1744
STONEGATE MTG CORP
86181Q300
COM$305K0.00%21,896New
1745
U S PHYSICAL THERAPY INC
90337L108
COM$305K0.00%8,916New
1746
GLOBAL SOURCES LTD
G39300101
ORD$304K0.00%36,727-6.6%
1747
ISHARES
464286871
MSCI HONG KG ETF$304K0.00%14,565-33.6%
1748
VANGUARD BD INDEX FD INC
921937827
SHORT TRM BOND$304K0.00%3,782-77.8%
1749
GLOBE SPECIALTY METALS INC
37954N206
COM$303K0.00%14,564-91.3%
1750
NEW YORK & CO INC
649295102
COM$303K0.00%82,311+53.7%
1751
CHECKPOINT SYS INC
162825103
COM$302K0.00%21,590New
1752
FIRST CMNTY BANCSHARES INC N
31983A103
COM$302K0.00%21,084-11.0%
1753
NEOPHOTONICS CORP
64051T100
COM$302K0.00%72,457New
1754
SPDR SERIES TRUST
78464A417
BRC HGH YLD BD$302K0.00%7,234New
1755
ENTERPRISE FINL SVCS CORP
293712105
COM$301K0.00%16,628New
1756
ICF INTL INC
44925C103
COM$300K0.00%8,492-73.3%
1757
AMERICAN NATL BANKSHARES INC
027745108
COM$299K0.00%13,793New
1758
NORDIC AMERICAN TANKERS LIMI
G65773106
COM$298K0.00%31,271New
1759
UNIVEST CORP PA
915271100
COM$298K0.00%14,381-54.3%
1760
FARMER BROS CO
307675108
COM$296K0.00%13,698-32.6%
1761
GORMAN RUPP CO
383082104
COM$296K0.00%8,388New
1762
WESBANCO INC
950810101
COM$295K0.00%9,506-22.1%
1763
ONE GAS INC
68235P108
COM$294K0.00%7,781-82.7%
1764
REGIONAL MGMT CORP
75902K106
COM$294K0.00%19,018-27.4%
1765
BOLT TECHNOLOGY CORP
097698104
COM$293K0.00%15,955New
1766
ADMINISTRADORA FONDOS PENSIO
00709P108
SPONSORED ADR$292K0.00%3,161-29.0%
1767
EMCORE CORP
290846203
COM NEW$292K0.00%70,862-35.7%
1768
GRIFFON CORP
398433102
COM$292K0.00%23,616-52.9%
1769
TETRA TECH INC NEW
88162G103
COM$292K0.00%10,600New
1770
GSI TECHNOLOGY
36241U106
COM$291K0.00%48,879+65.8%
1771
LAKELAND BANCORP INC
511637100
COM$291K0.00%26,896+73.5%
1772
RICKS CABARET INTL INC
765641303
COM NEW$291K0.00%28,510+181.2%
1773
WESTWOOD HLDGS GROUP INC
961765104
COM$290K0.00%4,829New
1774
AMERICAN SCIENCE & ENGR INC
029429107
COM$289K0.00%4,151-60.5%
1775
AMPCO-PITTSBURGH CORP
032037103
COM$289K0.00%12,619-11.8%
1776
FOX CHASE BANCORP INC NEW
35137T108
COM$289K0.00%17,138+12.2%
1777
FIRST DEFIANCE FINL CORP
32006W106
COM$288K0.00%10,018-0.5%
1778
JGWPT HLDGS INC
46617M109
CL A$288K0.00%25,542New
1779
MAGNA INTL INC
559222401
COM$287K0.00%2,667-98.0%
1780
O REILLY AUTOMOTIVE INC NEW
67103H107
COM$287K0.00%1,904-99.1%
1781
TCP CAP CORP
87238Q103
COM$287K0.00%15,767New
1782
METRO BANCORP INC PA
59161R101
COM$286K0.00%12,374New
1783
USANA HEALTH SCIENCES INC
90328M107
COM$285K0.00%3,647-85.9%
1784
CHINA TELECOM CORP LTD
169426103
SPON ADR H SHS$282K0.00%5,756New
1785
GUANGSHEN RY LTD
40065W107
SPONSORED ADR$282K0.00%15,182New
1786
EROS INTL PLC
G3788M114
SHS NEW$281K0.00%18,500New
1787
FRANKLIN FINL CORP VA
35353C102
COM$281K0.00%12,921+0.5%
1788
STERLING CONSTRUCTION CO INC
859241101
COM$280K0.00%29,830+166.2%
1789
ARC GROUP WORLDWIDE INC
00213H105
COM$279K0.00%18,352New
1790
EMC INS GROUP INC
268664109
COM$279K0.00%9,087+25.1%
1791
LANDEC CORP
514766104
COM$279K0.00%22,369+91.1%
1792
QTS RLTY TR INC
74736A103
COM CL A$278K0.00%9,715New
1793
BUILDERS FIRSTSOURCE INC
12008R107
COM$276K0.00%36,964New
1794
NOVAGOLD RES INC
66987E206
COM NEW$276K0.00%65,564+329.0%
1795
SPDR S&P MIDCAP 400 ETF TR
78467Y107
UTSER1 S&PDCRP$276K0.00%1,057-96.2%
1796
ACCELERON PHARMA INC
00434H108
COM$275K0.00%8,089-65.1%
1797
SIMMONS 1ST NATL CORP
828730200
CL A $1 PAR$275K0.00%6,982-2.3%
1798
CASCADE BANCORP
147154207
COM NEW$273K0.00%52,325New
1799
ESSA BANCORP INC
29667D104
COM$273K0.00%24,467+70.9%
1800
ELECTRO RENT CORP
285218103
COM$271K0.00%16,225+25.6%
1801
GORDMANS STORES INC
38269P100
COM$271K0.00%62,882+24.9%
1802
MATSON INC
57686G105
COM$270K0.00%10,068-34.1%
1803
PARK STERLING CORP
70086Y105
COM$270K0.00%41,013+75.9%
1804
ARMADA HOFFLER PPTYS INC
04208T108
COM$269K0.00%27,804-0.3%
1805
ALBANY INTL CORP
012348108
CL A$268K0.00%7,062-62.5%
1806
CHINA LODGING GROUP LTD
16949N109
SPONSORED ADR$267K0.00%10,629New
1807
SKULLCANDY INC
83083J104
COM$267K0.00%36,818-78.8%
1808
ISHARES
464287861
EUROPE ETF$266K0.00%5,485New
1809
REIS INC
75936P105
COM$266K0.00%12,609New
1810
SILVERCORP METALS INC
82835P103
COM$266K0.00%125,406-51.2%
1811
WILLBROS GROUP INC DEL
969203108
COM$265K0.00%21,495-76.6%
1812
ISHARES
464286772
MSCI STH KOR ETF$264K0.00%4,065New
1813
STMICROELECTRONICS N V
861012102
NY REGISTRY$264K0.00%29,726New
1814
COLLECTORS UNIVERSE INC
19421R200
COM NEW$263K0.00%13,391New
1815
CTC MEDIA INC
12642X106
COM$263K0.00%23,900-95.2%
1816
PROSHARES TR
74347B300
PSHS ULSHT SP500$263K0.00%10,337-45.5%
1817
REPUBLIC BANCORP KY
760281204
CL A$262K0.00%11,021-29.0%
1818
STEELCASE INC
858155203
CL A$258K0.00%17,070-94.4%
1819
UFP TECHNOLOGIES INC
902673102
COM$258K0.00%10,700-23.4%
1820
DURATA THERAPEUTICS INC
26658A107
COM$257K0.00%15,069New
1821
NEW ORIENTAL ED & TECH GRP I
647581107
SPON ADR$257K0.00%9,668-70.7%
1822
PROSHARES TR
74347B201
PSHS ULTSH 20YRS$257K0.00%4,238New
1823
UNIVERSAL TECHNICAL INST INC
913915104
COM$257K0.00%21,119New
1824
NACCO INDS INC
629579103
CL A$256K0.00%5,052+9.0%
1825
GROUPON INC
399473107
COM CL A$254K0.00%38,442New
1826
LYDALL INC DEL
550819106
COM$254K0.00%9,283-42.4%
1827
NICHOLAS FINANCIAL INC
65373J209
COM NEW$254K0.00%17,697+13.8%
1828
TWIN DISC INC
901476101
COM$252K0.00%7,651New
1829
B2GOLD CORP
11777Q209
COM$250K0.00%85,743New
1830
AMICUS THERAPEUTICS INC
03152W109
COM$249K0.00%74,382+44.9%
1831
NATIONAL INTERSTATE CORP
63654U100
COM$249K0.00%8,894-53.0%
1832
NORCRAFT COS INC
65557Y105
COM$248K0.00%17,298+5.5%
1833
SILVER STD RES INC
82823L106
COM$247K0.00%28,442-88.6%
1834
COMPANHIA ENERGETICA DE MINA
204409601
SP ADR N-V PFD$246K0.00%30,878-27.8%
1835
FIRST CONN BANCORP INC MD
319850103
COM$246K0.00%15,301New
1836
ALTRA INDL MOTION CORP
02208R106
COM$245K0.00%6,751-32.7%
1837
AMERICAS CAR MART INC
03062T105
COM$245K0.00%6,218New
1838
ATTUNITY LTD
M15332121
SHS NEW$245K0.00%31,515New
1839
ENVENTIS CORP
29402J101
COM$245K0.00%15,450New
1840
LAREDO PETROLEUM INC
516806106
COM$245K0.00%7,914-96.0%
1841
PROVIDENT FINL SVCS INC
74386T105
COM$245K0.00%14,145-64.2%
1842
SHIP FINANCE INTERNATIONAL L
G81075106
SHS$245K0.00%13,188-88.1%
1843
CSS INDS INC
125906107
COM$242K0.00%9,169New
1844
BRIDGE CAP HLDGS
108030107
COM$241K0.00%9,923-3.4%
1845
MULTI FINELINE ELECTRONIX IN
62541B101
COM$241K0.00%21,806New
1846
WEYERHAEUSER CO
962166104
COM$240K0.00%7,232-61.1%
1847
PHIBRO ANIMAL HEALTH CORP
71742Q106
CL A COM$239K0.00%10,900New
1848
BROOKLINE BANCORP INC DEL
11373M107
COM$238K0.00%25,490-66.9%
1849
JAVELIN MTG INVT CORP
47200B104
COM$237K0.00%16,800+55.8%
1850
WSFS FINL CORP
929328102
COM$236K0.00%3,200-38.5%
1851
REXFORD INDL RLTY INC
76169C100
COM$235K0.00%16,522+26.4%
1852
DREW INDS INC
26168L205
COM NEW$234K0.00%4,695-70.9%
1853
HURCO COMPANIES INC
447324104
COM$234K0.00%8,296-20.3%
1854
CHINA SOUTHN AIRLS LTD
169409109
SPON ADR CL H$233K0.00%15,522New
1855
KMG CHEMICALS INC
482564101
COM$233K0.00%12,948-35.1%
1856
NORANDA ALUM HLDG CORP
65542W107
COM$233K0.00%66,187-71.8%
1857
RADNET INC
750491102
COM$233K0.00%35,200New
1858
PETROLEO BRASILEIRO SA PETRO
71654V408
SPONSORED ADR$231K0.00%15,773New
1859
PROSENSA HLDG N V
N71546100
SHS USD$228K0.00%18,034New
1860
RF INDS LTD
749552105
COM PAR $0.01$228K0.00%38,088New
1861
BEL FUSE INC
077347300
CL B$226K0.00%8,792-36.6%
1862
GENTIVA HEALTH SERVICES INC
37247A102
COM$226K0.00%14,976New
1863
MIRATI THERAPEUTICS INC
60468T105
COM$226K0.00%11,279New
1864
REALNETWORKS INC
75605L708
COM NEW$226K0.00%29,539+107.1%
1865
GFI GROUP INC
361652209
COM$225K0.00%67,789New
1866
GERMAN AMERN BANCORP INC
373865104
COM$224K0.00%8,290New
1867
HCI GROUP INC
40416E103
COM$223K0.00%5,490New
1868
SPARTAN MTRS INC
846819100
COM$222K0.00%48,921+181.9%
1869
HUDSON VALLEY HOLDING CORP
444172100
COM$219K0.00%12,090New
1870
LIFE TIME FITNESS INC
53217R207
COM$219K0.00%4,500-97.6%
1871
UNITED INS HLDGS CORP
910710102
COM$219K0.00%12,700New
1872
VICAL INC
925602104
COM$219K0.00%179,168+776.0%
1873
CHINDEX INTERNATIONAL INC
169467107
COM$216K0.00%9,110New
1874
SENIOR HSG PPTYS TR
81721M109
SH BEN INT$215K0.00%8,855-96.4%
1875
HERSHA HOSPITALITY TR
427825104
SH BEN INT A$213K0.00%31,808-97.9%
1876
INTEVAC INC
461148108
COM$213K0.00%26,521+3.9%
1877
STATOIL ASA
85771P102
SPONSORED ADR$212K0.00%6,861New
1878
COHU INC
192576106
COM$211K0.00%19,704-58.1%
1879
PHI INC
69336T205
COM NON VTG$211K0.00%4,736-44.4%
1880
EPLUS INC
294268107
COM$210K0.00%3,600-62.0%
1881
OPLINK COMMUNICATIONS INC
68375Q403
COM NEW$210K0.00%12,357-22.9%
1882
REACHLOCAL INC
75525F104
COM$210K0.00%29,862+23.9%
1883
CAPITAL CITY BK GROUP INC
139674105
COM$209K0.00%14,349+8.2%
1884
ENDEAVOUR SILVER CORP
29258Y103
COM$208K0.00%38,133New
1885
GATX CORP
361448103
COM$208K0.00%3,112-79.0%
1886
INVESTORS REAL ESTATE TR
461730103
SH BEN INT$208K0.00%22,556-36.8%
1887
INTERNAP NETWORK SVCS CORP
45885A300
COM PAR $.001$206K0.00%29,252New
1888
UTAH MED PRODS INC
917488108
COM$206K0.00%3,998
1889
EXELIXIS INC
30161Q104
COM$205K0.00%60,469-23.5%
1890
ALIMERA SCIENCES INC
016259103
COM$203K0.00%33,891New
1891
NIKE INC
654106103
CL B$202K0.00%2,606New
1892
SINOPEC SHANGHAI PETROCHEMIC
82935M109
SPON ADR H$201K0.00%7,257-9.2%
1893
OMNOVA SOLUTIONS INC
682129101
COM$198K0.00%21,799-73.0%
1894
TOWNEBANK PORTSMOUTH VA
89214P109
COM$198K0.00%12,577New
1895
CHINA UNICOM (HONG KONG) LTD
16945R104
SPONSORED ADR$195K0.00%12,736-47.3%
1896
EQUAL ENERGY LTD
29390Q109
COM$194K0.00%35,816-40.3%
1897
FIRST POTOMAC RLTY TR
33610F109
COM$193K0.00%14,739New
1898
MAINSOURCE FINANCIAL GP INC
56062Y102
COM$193K0.00%11,172New
1899
BANCO SANTANDER BRASIL S A
05967A107
ADS REP 1 UNIT$192K0.00%27,790New
1900
ORASURE TECHNOLOGIES INC
68554V108
COM$191K0.00%22,167-77.4%
1901
GENMARK DIAGNOSTICS INC
372309104
COM$190K0.00%14,090New
1902
NMI HLDGS INC
629209305
CL A$188K0.00%17,855New
1903
OVERSTOCK COM INC DEL
690370101
COM$188K0.00%11,919New
1904
WAUSAU PAPER CORP
943315101
COM$188K0.00%17,397New
1905
CHC GROUP LTD
G07021101
SHS$187K0.00%22,100-63.2%
1906
WALTER ENERGY INC
93317Q105
COM$187K0.00%34,273+22.6%
1907
RADIO ONE INC
75040P405
CL D NON VTG$185K0.00%37,476+73.2%
1908
BAZAARVOICE INC
073271108
COM$183K0.00%23,217New
1909
RADIOSHACK CORP
750438103
COM$183K0.00%184,188New
1910
INTRALINKS HLDGS INC
46118H104
COM$180K0.00%20,272-66.1%
1911
MODEL N INC
607525102
COM$180K0.00%16,256-50.2%
1912
RENREN INC
759892102
SPONSORED ADR$177K0.00%52,952New
1913
FIRST SEC GROUP INC
336312202
COM NEW$175K0.00%80,664New
1914
MIZUHO FINL GROUP INC
60687Y109
SPONSORED ADR$174K0.00%42,551+301.9%
1915
PROSHARES TR
74347R826
PSHS SHTRUSS2000$173K0.00%10,773New
1916
CATCHMARK TIMBER TR INC
14912Y202
CL A$172K0.00%12,596New
1917
PARTNER COMMUNICATIONS CO LT
70211M109
ADR$172K0.00%22,055-3.7%
1918
CONCURRENT COMPUTER CORP NEW
206710402
COM PAR $.01$171K0.00%22,900-53.8%
1919
TREMOR VIDEO INC
89484Q100
COM$168K0.00%35,671New
1920
LIVEPERSON INC
538146101
COM$167K0.00%16,477New
1921
TG THERAPEUTICS INC
88322Q108
COM$167K0.00%17,812New
1922
ZAGG INC
98884U108
COM$167K0.00%30,845-44.7%
1923
GIBRALTAR INDS INC
374689107
COM$166K0.00%10,696-78.6%
1924
IXYS CORP
46600W106
COM$164K0.00%13,369New
1925
COBIZ FINANCIAL INC
190897108
COM$162K0.00%15,103New
1926
DRAGONWAVE INC
26144M103
COM$162K0.00%77,100New
1927
JANUS CAP GROUP INC
47102X105
COM$162K0.00%12,973New
1928
JDS UNIPHASE CORP
46612J507
COM PAR $0.001$161K0.00%12,908New
1929
PERCEPTRON INC
71361F100
COM$159K0.00%12,416New
1930
GLADSTONE LD CORP
376549101
COM$158K0.00%12,166New
1931
CASCADE MICROTECH INC
147322101
COM$152K0.00%11,100New
1932
CELLCOM ISRAEL LTD
M2196U109
SHS$151K0.00%12,509-43.7%
1933
CARDIOME PHARMA CORP
14159U301
COM NO PAR$150K0.00%19,104New
1934
CARROLS RESTAURANT GROUP INC
14574X104
COM$150K0.00%21,114-65.8%
1935
RUBICON MINERALS CORP
780911103
COM$150K0.00%101,606+600.5%
1936
AMBIT BIOSCIENCES CORP
02318X100
COM$149K0.00%21,673+26.7%
1937
FIRST MARBLEHEAD CORP
320771207
COM NEW$148K0.00%28,075+127.8%
1938
LSI INDS INC
50216C108
COM$143K0.00%17,884+13.9%
1939
ALUMINUM CORP CHINA LTD
022276109
SPON ADR H SHS$142K0.00%15,725New
1940
CURIS INC
231269101
COM$141K0.00%75,764New
1941
ENZON PHARMACEUTICALS INC
293904108
COM$141K0.00%134,736-19.4%
1942
MERGE HEALTHCARE INC
589499102
COM$141K0.00%62,263New
1943
REALD INC
75604L105
COM$140K0.00%10,943-90.1%
1944
HIGHER ONE HLDGS INC
42983D104
COM$139K0.00%36,459+47.2%
1945
PROTALIX BIOTHERAPEUTICS INC
74365A101
COM$139K0.00%37,944New
1946
INFORMATION SERVICES GROUP I
45675Y104
COM$136K0.00%28,298-66.1%
1947
GULF RESOURCES INC
40251W309
COM PAR $0.0005$135K0.00%63,007+201.5%
1948
AMERICAN SOFTWARE INC
029683109
CL A$134K0.00%13,621-0.1%
1949
INVENTURE FOODS INC
461212102
COM$131K0.00%11,606-7.2%
1950
READING INTERNATIONAL INC
755408101
CL A$131K0.00%15,306-1.5%
1951
BLYTH INC
09643P207
COM NEW$129K0.00%16,518-36.1%
1952
EXAR CORP
300645108
COM$127K0.00%11,273New
1953
MANNKIND CORP
56400P201
COM$127K0.00%11,514New
1954
JA SOLAR HOLDINGS CO LTD
466090206
SPON ADR REP5ORD$126K0.00%11,630New
1955
RADISYS CORP
750459109
COM$125K0.00%35,808+5.7%
1956
AWARE INC MASS
05453N100
COM$123K0.00%18,800-16.8%
1957
INTERVEST BANCSHARES CORP
460927106
COM$123K0.00%15,788
1958
HALLADOR ENERGY COMPANY
40609P105
COM$121K0.00%12,701
1959
CITIZENS INC
174740100
CL A$116K0.00%15,700+55.3%
1960
ENZO BIOCHEM INC
294100102
COM$115K0.00%21,900New
1961
TRANSGLOBE ENERGY CORP
893662106
COM$114K0.00%15,254-51.1%
1962
IMPERIAL HLDGS INC
452834104
COM$112K0.00%16,405-70.3%
1963
CORINTHIAN COLLEGES INC
218868107
COM$105K0.00%354,950-1.5%
1964
QUIKSILVER INC
74838C106
COM$105K0.00%29,296New
1965
SUMITOMO MITSUI FINL GROUP I
86562M209
SPONSORED ADR$105K0.00%12,402New
1966
JAKKS PAC INC
47012E106
COM$102K0.00%13,200-80.6%
1967
NOVATEL WIRELESS INC
66987M604
COM NEW$102K0.00%53,201+314.8%
1968
PSIVIDA CORP
74440J101
COM$101K0.00%23,274New
1969
NAVIOS MARITIME ACQUIS CORP
Y62159101
SHS$100K0.00%27,000New
1970
DURECT CORP
266605104
COM$98K0.00%53,812New
1971
SEMICONDUCTOR MFG INTL CORP
81663N206
SPONSORED ADR$92K0.00%21,857New
1972
AVIAT NETWORKS INC
05366Y102
COM$88K0.00%68,831-3.2%
1973
BPZ RESOURCES INC
055639108
COM$87K0.00%28,102New
1974
TELENAV INC
879455103
COM$87K0.00%15,192-18.7%
1975
ALEXZA PHARMACEUTICALS INC
015384209
COM NEW$86K0.00%18,710New
1976
MARTHA STEWART LIVING OMNIME
573083102
CL A$86K0.00%18,205New
1977
VIVUS INC
928551100
COM$85K0.00%16,029-94.4%
1978
EMPIRE RESORTS INC
292052206
COM NEW$84K0.00%11,800New
1979
ALASKA COMMUNICATIONS SYS GR
01167P101
COM$81K0.00%44,842+298.9%
1980
HUTCHINSON TECHNOLOGY INC
448407106
COM$79K0.00%31,515+38.2%
1981
MILLER ENERGY RES INC
600527105
COM$79K0.00%12,255New
1982
PARKER DRILLING CO
701081101
COM$79K0.00%12,134-59.5%
1983
CENVEO INC
15670S105
COM$78K0.00%20,985-1.0%
1984
NETSOL TECHNOLOGIES INC
64115A402
COM PAR $.001$78K0.00%19,896+93.2%
1985
SUNESIS PHARMACEUTICALS INC
867328601
COM NEW$75K0.00%11,588New
1986
ALEXCO RESOURCE CORP
01535P106
COM$74K0.00%59,271New
1987
MITSUBISHI UFJ FINL GROUP IN
606822104
SPONSORED ADR$74K0.00%11,961-76.4%
1988
ONCOGENEX PHARMACEUTICALS IN
68230A106
COM$74K0.00%19,869New
1989
DIANA CONTAINERSHIPS INC
Y2069P101
COM$73K0.00%28,944+89.1%
1990
PLURISTEM THERAPEUTICS INC
72940R102
COM$73K0.00%23,528New
1991
DRYSHIPS INC
Y2109Q101
SHS$68K0.00%21,042-53.4%
1992
ORBCOMM INC
68555P100
COM$68K0.00%10,280-32.0%
1993
SYNACOR INC
871561106
COM$68K0.00%26,328-35.2%
1994
IGI LABS INC
449575109
COM$67K0.00%12,700New
1995
MTR GAMING GROUP INC
553769100
COM$64K0.00%11,974-8.4%
1996
AVEO PHARMACEUTICALS INC
053588109
COM$63K0.00%34,550-58.0%
1997
EDUCATION MGMT CORP NEW
28140M103
COM$63K0.00%37,163New
1998
DESTINATION XL GROUP INC
25065K104
COM$62K0.00%11,377New
1999
PENDRELL CORP
70686R104
COM$59K0.00%33,787New
2000
ONCONOVA THERAPEUTICS INC
68232V108
COM$58K0.00%10,600New
2001
CENTRAIS ELETRICAS BRASILEIR
15234Q207
SPONSORED ADR$57K0.00%19,402New
2002
FREESEAS INC
Y26496300
SHS PAR 0.001NEW$56K0.00%82,195New
2003
TOWER GROUP INTL LTD
G8988C105
COM$56K0.00%31,016-17.8%
2004
CINEDIGM CORP
172406100
COM$54K0.00%21,600New
2005
CHINA RECYCLING ENERGY CORP
168913101
COM$53K0.00%30,239+3.6%
2006
LIBERATOR MEDICAL HLDGS INC
53012L108
COM$52K0.00%13,665New
2007
CAMTEK LTD
M20791105
ORD$50K0.00%15,682New
2008
AMERICAN SUPERCONDUCTOR CORP
030111108
COM$48K0.00%29,469+10.0%
2009
HECLA MNG CO
422704106
COM$43K0.00%12,594New
2010
ALPHATEC HOLDINGS INC
02081G102
COM$42K0.00%25,742+79.0%
2011
ACORN ENERGY INC
004848107
COM$41K0.00%17,414New
2012
NATIONAL BK GREECE S A
633643705
SPN ADR REP 1 SH$40K0.00%10,998New
2013
WESTELL TECHNOLOGIES INC
957541105
CL A$40K0.00%16,168-46.6%
2014
SGOCO GROUP LTD
G80751103
SHS$39K0.00%18,909+15.3%
2015
EAGLE BULK SHIPPING INC
Y2187A119
SHS NEW$37K0.00%11,781New
2016
MOSYS INC
619718109
COM$37K0.00%11,734New
2017
GREAT PANTHER SILVER LTD
39115V101
COM$33K0.00%26,182New
2018
HAMPTON ROADS BANKSHARES INC
409321502
COM NEW$33K0.00%19,025New
2019
ECHELON CORP
27874N105
COM$32K0.00%13,286New
2020
GAFISA S A
362607301
SPONS ADR$32K0.00%10,410New
2021
OCLARO INC
67555N206
COM NEW$29K0.00%13,384-85.1%
2022
CERAGON NETWORKS LTD
M22013102
ORD$27K0.00%10,500New
2023
QUANTUM CORP
747906204
COM DSSG$25K0.00%20,891New
2024
CAL DIVE INTL INC DEL
12802T101
COM$16K0.00%12,460New
2025
REXAHN PHARMACEUTICALS INC
761640101
COM$16K0.00%18,816New
2026
DELIA'S INC NEW
246911101
COM$11K0.00%14,000+30.8%
2027
HEMISPHERX BIOPHARMA INC
42366C103
COM$9K0.00%27,841New
Total filing value: $20.99B