MMM-Engine.info

DSCODiscovery Laboratories Inc.0.362554180050%
ASRVAmeriserv Financial, Inc.2.149790018.88%
CWLZCowlitz Bancorp.0.202480017.64%
USATUsa Technologies Inc.1.80269920017.64%
ENCOEncorium Group Inc.0.55770014.58%
BRNBarnwell Industries Inc.7.257050014.17%
WSBWsb Holdings, Inc.2.93220014%
MMUSMakemusic Inc.5.12370011.06%
JTXJackson Hewitt Tax Service Inc.1.70321190010.38%
CCBGCapital City Bank Group Inc.13.58397009.78%
ABVAAlliance Bankshares Corporation4.8981009.64%
CAEIChina Architectural Engineering, Inc.1.501886009.48%
EEEEvergreen Energy, Inc.2.509704008.69%
QUIKQuicklogic Corp.5.899565008.27%
CAKMerrill LYNCH1.918555007.9%
IFSBIndependence Federal Savings Bank0.554007.84%
BHIBaker Hughes Incorporated62.32159515006.52%
ASTMAastrom Biosciences, Inc.2.8122652006.43%
SPIRSpire Corp.5.16182006.39%
BOVABank of Virginia3.002006.38%
CASBCascade Financial Corp.0.71600005.97%
EFSCEnterprise Financial Services Corp.12.381074005.81%
SVBISevern Bancorp Inc.4.4114005.75%
RTIXRti Biologics, Inc.2.803320005.66%
AOSAo Smith Corp.42.0410925005.62%
BPAXBiosante Pharmaceuticals, Inc.1.9787904005.34%
FFCHFirst Financial Holdings Inc.11.68253005.32%
CFKCe Franklin Ltd.7.93195005.31%
ASBAdvansource Biomaterials Corporation0.20204005.26%
MAGMagnetek Inc.1.861082005.08%
LOJNLojack Corp.6.88570005.03%
WNCWabash National Corp.11.7620034005%
PCSMetropcs Communications Inc.13.4985923004.98%
SANMSanmina-SCI Corp.14.7731317004.97%
IBCPIndependent Bank Corporation3.195009004.93%
OPKOpko Health, Inc.3.837075004.93%
LWSNLawson Software, Inc.9.6222386004.9%
CLMSCalamos Asset Management Inc.15.502071004.8%
TFCOTufco Technologies Inc.3.351004.68%
HPOLHarris Interactive Inc.1.341966004.68%
DYNTDynatronics Corp.0.90301004.65%
LBIXLeading Brands Inc.3.99330004.45%
VOLVolt Information Sciences Inc.6.366360004.43%
ORCCOnline Resources Corp.6.653679004.39%
OZRKBank of the Ozarks, Inc.44.101107004.35%
SYTSyngenta AG65.228674004.33%
GLBCGlobal Crossing Ltd.13.511105004.32%
ISIGInsignia Systems Inc.6.87301004.24%
TELKTelik Inc.1.001266004.16%
HRCHill-Rom Holdings, Inc.41.3910121004.12%
BOMPowershares DB Base Metals Dble Shrt ETN11.67263004.1%
CLFCCenter Financial Corporation7.434528004.06%
TVLLin TV Corp.4.90417004.03%
ERICLm Ericsson Telephone Co.12.19152137003.92%
CAKEThe Cheesecake Factory Incorporated31.1819744003.89%
IOTIncome Opportunity Realty Investors Inc.3.803003.82%
PRGOPerrigo Co.73.4612515003.78%
CSXCsx Corp.70.2588087003.75%
FLICFirst of Long Island Corp.29.02100003.75%
PWXProvidence & Worcester Railroad Co.15.859003.73%
PSUNPacific Sunwear of California Inc.4.5012127003.68%
ALTIAltair Nanotechnologies, Inc.2.56544003.64%
HUNHuntsman Corporation17.0036523003.59%
GGCGeorgia Gulf Corp.27.143574003.58%
PNXPhoenix Companies Inc.2.616087003.57%
ORXEOre Pharmaceutical Holdings Inc.0.292003.57%
BFLYBluefly Inc.3.2150003.54%
ERIEmrise Corp.0.8825003.52%
ZIPRZiprealty Inc.2.65427003.51%
PTNPalatin Technologies Inc.1.18179003.5%
TRGTTargacept, Inc.26.161253003.48%
TXRHTexas Roadhouse Inc.17.996623003.45%
SHWSherwin-Williams Co.86.0922619003.34%
ACFNAcorn Energy, Inc.4.05110003.31%
SHLDSears Holdings Corporation77.5712281003.22%
NPNNuveen PENNSYLVANIA14.08119003.15%
FFKYFirst Financial Service Corp.4.2526003.15%
OVRLOverland Storage Inc.1.99398003.1%
DTOPowershares DB Crude Oil Dble Short ETN60.573555003.04%
SBCFSeacoast Banking Corp. of Florida1.711696003.01%
CYTXCytori Therapeutics, Inc.5.8511177002.99%
HMPRHampton Roads Bankshares Inc.0.70430002.94%
TMFDirexion Daily 30 Yr Trs Bull 3X Shares32.481890002.91%
CBLICleveland BioLabs, Inc.7.402653002.77%
RENTRentrak Corporation26.88271002.75%
CRHCrh plc22.088533002.74%
LIMELime Energy Co.5.24604002.74%
STELStellarone Corporation13.67350002.7%
MPVMassmutual Participation Investors14.85146002.69%
FAFFirst American Corp.15.753132002.67%
BWLDBuffalo Wild Wings Inc.43.924383002.66%
PFEDPark Bancorp Inc.3.852002.66%
OKSBSouthwest Bancorp Inc.14.36938002.64%
BAXBaxter International Inc.50.9852465002.63%
EXKEndeavour Silver Corp.5.8421443002.63%
GABCGerman American Bancorp Inc.17.97168002.62%
SVNTSavient Pharmaceuticals, Inc.10.1648566002.62%
WINNWinn-Dixie Stores Inc.6.367323002.58%
CIBBancolombia S.A.60.794746002.58%
DGITDg FastChannel, Inc.28.002817002.56%
SUSSSusser Holdings Corporation14.41504002.56%
RRIRri Energy, Inc.3.62169102002.54%
CGICeladon Group Inc.14.902063002.54%
ROMERome Bancorp Inc.12.18110002.52%
AKNAkorn Inc.9.50250002.48%
BAMMBooks-A-Million Inc.5.79290002.47%
ACHNAchillion Pharmaceuticals, Inc.4.591522002.45%
JBSSJohn B Sanfilippo & Son Inc.12.29151002.41%
DECKDeckers Outdoor Corp.74.1313371002.41%
CHCIComstock Homebuilding Companies Inc.1.29713002.38%
STVChina Digital TV Holding Co., Ltd.6.862021002.38%
CTGXComputer Task Group Inc.12.04590002.38%
CMLSCumulus Media Inc.3.87771002.38%
CHCOCity Holding Co.35.19964002.38%
ACEAce Limited62.1327786002.35%
MRGEMerge Healthcare Incorporated.4.363242002.34%
OFCCorporate Office Properties Trust Inc.35.858290002.34%
FBNFurniture Brands International Inc.4.8014627002.34%
UFSDomtar Corporation86.608913002.33%
NECBNortheast Community Bancorp, Inc.6.2011002.31%
ASEIAmerican Science & Engineering Inc.86.27950002.3%
ARRSArris Group Inc.12.4814375002.29%
FFKTFarmers Capital Bank Corp.7.1574002.28%
MSFGMainsource Financial Group9.90322002.27%
GTSTriple-S Management Corporation18.511504002.26%
CBNJCape Bancorp, Inc.9.95274002.26%
MKSMsdw SATURNS CL A20.3122002.26%
STSSupreme Industries Inc.3.2023002.23%
HAINThe Hain Celestial Group, Inc.27.423154002.23%
TDSC3d Systems Corp.29.16672002.2%
BROBrown & Brown Inc.24.9814046002.2%
GCOMGlobecomm Systems Inc.9.29310002.2%
AETIAmerican Electric Technologies, Inc2.3524002.17%
WMTWal-Mart Stores Inc.57.26204811002.15%
REDFRediff.com India Ltd.7.6015797002.15%
CSBKClifton Savings Bancorp Inc.11.66314002.1%
WALWestern Alliance Bancorporation7.273276002.1%
HALLHallmark Financial Services Inc.8.77537002.09%
LYTSLsi Industries Inc.7.342004002.08%
ABDAcco Brands Corporation8.312179002.08%
REISReis, Inc.6.85125002.08%
MODModine Manufacturing Company17.173399002.08%
PYNPimco New York Municipal Income Fund III8.37161002.07%
CCIXColeman Cable, Inc.6.43127002.06%
LPSBLaporte Bancorp, Inc.9.424002.05%
HTBKHeritage Commerce Corp.4.4643002.05%
ZQKQuiksilver Inc.4.468572002.05%
BTUPeabody Energy Corp.60.5070526002.04%
UNHUnitedhealth Group, Inc.40.62100001002.03%
PAASPan American Silver Corp.31.9135889002.01%
SNHSenior Housing Properties Trust22.2415018002.01%
PNRGPrimeenergy Corp.20.4015002%
ECBEEcb Bancorp Inc.13.807001.99%
UREUltra Real Estate ProShares52.7310212001.99%
PBHPrestige Brands Holdings Inc.11.311323001.98%
MSSRMccormick & Schmick's Seafood Restaurants, Inc.8.74164001.98%
IOSPInnospec Inc.19.54533001.98%
PKYParkway Properties Inc.17.551231001.97%
MCYMercury General Corp.43.661146001.96%
AIXGAixtron Aktiengesellschaft40.921698001.96%
LOWLowe's Companies Inc.25.56110010001.95%
RYNRayonier Inc.58.8611510001.95%
NTLSNtelos Holdings Corp.19.381472001.94%
FRGFronteer Development Group Inc.9.0324723001.91%
MXTMaxcom Telecomunicaciones S.A.B. de C.V.3.758001.9%
TBNKTerritorial Bancorp Inc.19.76404001.9%
MHNBlackrock MuniHoldings New York Insured Fund, Inc.13.10856001.86%
PBNYProvident New York Bancorp9.81373001.86%
MNTGMtr Gaming Group, Inc.2.20164001.85%
NIONuveen Insured Municipal Opportunity Fund Inc.13.226249001.84%
PCCCPc Connection, Inc.8.90212001.83%
ATRCAtricure, Inc.11.13852001.82%
CIRCircor International, Inc.41.39435001.82%
TOWNTowne Bank15.70271001.81%
EDVVanguard Extended Dur Trs Idx ETF79.30124001.81%
COLBColumbia Banking System Inc.19.971669001.78%
RFILRf Industries Ltd.6.8334001.78%
PBMPacific Booker Minerals Inc.9.1628001.77%
AUDCAudiocodes Ltd.6.892200001.77%
EBFEnnis Inc.16.183428001.76%
AJGArthur J Gallagher & Co.29.454308001.76%
ROCKGibraltar Industries, Inc.11.571060001.75%
ENMDEntremed Inc.5.28254001.73%
TKRTimken Co.51.0310546001.73%
NBYNovabay Pharmaceuticals, Inc.1.77431001.72%
SDBTSoundbite Communications, Inc.2.9622001.71%
ZMHZimmer Holdings Inc.56.3826346001.71%
TOMOTomotherapy Incorporated3.58863001.7%
EFREaton Vance Senior Floating Rate Trust16.871165001.68%
THMInternational Tower Hill Mines Ltd.8.463099001.68%
DDPPowershares DB Commodity Short ETN33.472001.67%
AMACAmerican Medical Alert Corp.6.1017001.66%
SUNSunoco Inc.42.0629222001.66%
VMVVan Kampen Massachusetts Value Municipal Income Trust11.5729001.66%
RSHRadioshack Corp.15.8855924001.66%
NSUNevsun Resources Ltd.5.5416438001.65%
WBSWebster Financial Corp.23.3214355001.65%
WRIWeingarten Realty Investors24.509598001.65%
HALHalliburton Company40.20189793001.64%
HTLDHeartland Express, Inc.16.156999001.63%
CTRPCtrip.com International Ltd.43.4618521001.63%
DVDDover Motorsports Inc.1.86320001.63%
BOBEBob Evans Farms Inc.32.911171001.63%
DLIADelia*s, Inc.1.88564001.62%
MBRMercantile Bancorp Inc.1.25102001.62%
TRNTrinity Industries Inc.28.166831001.62%
GENCGencor Industries Inc.7.62150001.6%
ESSAEssa Bancorp, Inc.12.68165001.6%
PFCBPf Chang's China Bistro Inc.47.703896001.59%
CHEChemed Corp.63.82973001.59%
PEFPowershares FTSE RAFI Europe36.2035001.59%
TCBITexas Capital BancShares Inc.22.464592001.58%
CTBCooper Tire & Rubber Co.23.124433001.58%
PSECProspect Capital Corporation11.6011991001.57%
ABRArbor Realty Trust Inc.5.81454001.57%
ISLEIsle of Capri Casinos Inc.9.715045001.56%
NTZNatuzzi SpA3.25253001.56%
NLCNalco Holding Co.30.0314344001.55%
TSCOTractor Supply Company48.366317001.55%
PTRYPantry Inc.16.991754001.55%
INOInovio Biomedical Corporation1.312202001.55%
SOHUSohu.com Inc.67.855758001.55%
LHCGLhc Group, Inc.28.251059001.54%
AGAPowershares DB Agriculture Dble Shrt ETN16.50163001.53%
WILCG. Willi Food-International Ltd.7.26214001.53%
PYJPplus TR SER CMT-124.4732001.53%
RHIRobert Half International Inc.33.8312154001.5%
MDTMedtronic, Inc.38.1460485001.49%
POLPolyone Corporation12.8811625001.49%
TVETennessee Valley Authority25.12142001.49%
KNLKnoll Inc.16.991484001.49%
PNCLPinnacle Airlines Corp.7.54452001.48%
SXIStandex International Corp.29.43238001.48%
TCAPTriangle Capital Corporation19.25889001.47%
PICPowershares Dynamic Insurance16.6782001.46%
NNCNuveen North Carolina Premium Income Municipal Fund13.85106001.46%
CRFCornerstone Total Return Fund Inc.8.30656001.46%
SPARSpartan Motors Inc.6.291374001.45%
AMSGAmsurg Corp.21.02713001.44%
MEASMeasurement Specialties Inc.27.461156001.44%
XRMXerium Technologies Inc.19.601203001.44%
DSMDreyfus Strategic Municipal Bond Fund Inc.7.711645001.44%
NFBKNorthfield Bancorp, Inc.13.38236001.44%
BECBeckman Coulter Inc.72.095587001.43%
DCTDct Industrial Trust Inc.5.6722044001.43%
GENTGentium S.p.A9.19382001.43%
APXBlackrock Apex Municipal Fund Inc.8.48631001.43%
UMPQUmpqua Holdings Corporation12.0913455001.42%
MACMacerich Co.47.0011416001.42%
PYGPplus TR SPR-1 7.023.0024001.41%
LAKELakeland Industries Inc.8.6866001.4%
GSBCGreat Southern Bancorp Inc.23.19229001.39%
PRAAPortfolio Recovery Associates Inc.70.82840001.38%
UHSUniversal Health Services Inc.42.8811313001.37%
WREWashington Real Estate Investment Trust30.923881001.37%
FFGFbl Financial Group Inc.28.91181001.36%
MBNDMultiband Corporation2.99126001.35%
HCNHealth Care REIT Inc.48.5012184001.35%
FIXComfort Systems USA Inc.12.81943001.34%
TDXTdx Independence In-Target ETF25.6320001.34%
AEYAddvantage Technologies Group Inc.3.04113001.33%
MMLPMartin Midstream Partners LP40.89653001.33%
EHTHEhealth, Inc.12.221994001.32%
STLDSteel Dynamics Inc.18.3234057001.32%
NCINavigant Consulting Inc.10.035133001.31%
MIMMi Developments Inc.27.051585001.31%
REGRegency Centers Corporation42.345040001.31%
MNROMonro Muffler Brake Inc.32.472874001.31%
BKCCBlackrock Kelso Capital Corporation11.663146001.3%
STRLSterling Construction Co. Inc.13.29899001.29%
ACYAerocentury Corp.18.8449001.29%
CFFNCapitol Federal Financial11.9324397001.27%
AIVApartment Investment & Management Co.25.3510174001.27%
MPRMet-Pro Corp.11.16213001.27%
FJAMld EMBARQ PPLUS CTC24.6314001.27%
PVTBPrivatebancorp Inc.15.1911647001.26%
ARTXArotech Corp.1.61204001.25%
GUTGabelli Utility Trust6.49763001.24%
DPWDigital Power Corp.1.6224001.24%
KNSYKensey Nash Corp.24.58740001.23%
HOLXHologic Inc.19.6328678001.23%
ADZPowershares DB Agriculture Short ETN22.8912001.23%
IDTIIntegrated Device Technology Inc.6.5420973001.23%
ESLEsterline Technologies Corp.70.05986001.22%
FBNCFirst Bancorp16.48247001.22%
CKSWClicksoftware Technologies Ltd.7.411256001.22%
BLXBanco Latinoamericano de Comercio Exterior, S.A17.511277001.21%
CHNGChina Natural Gas, Inc.5.871827001.2%
PEIXPacific Ethanol, Inc.0.847451001.2%
LSILsi Corporation5.9184666001.19%
NFCNuveen Connecticut Dividend Advantage Municipal Fund13.5616001.19%
CFICulp Inc.10.14618001.19%
MERCMercer International Inc.8.472636001.19%
IPARInter Parfums Inc.18.05760001.17%
AXUAlexco Resource Corporation6.105021001.16%
CSACogdell Spencer Inc.6.095061001.16%
CNLCleco Corp.31.453450001.15%
FPICFpic Insurance Group Inc.37.56383001.15%
ABBCAbington Bancorp Inc.11.46267001.14%
BDXBecton, Dickinson and Company84.6118159001.13%
CASCCascade Corp.48.06474001.13%
IBMInternational Business Machines Corp.161.4482608001.13%
ATKAlliant Techsystems Inc.75.753289001.13%
GSSGolden Star Resources, Ltd.3.6050222001.12%
VTNVan Kampen Trust for Investment Grade New York Municipals13.49227001.12%
FORRForrester Research Inc.36.12939001.11%
SAHSonic Automotive Inc.12.673027001.11%
THFFFirst Financial Corp.30.93157001.11%
MHLDMaiden Holdings, Ltd.8.25869001.1%
PROJDeltek, Inc7.30296001.1%
CUBCubic Corp.47.671229001.1%
MFAMfa Financial, Inc.8.2336832001.1%
MPAAMotorcar Parts of America Inc.14.82470001.09%
STJSt. Jude Medical Inc.42.6249554001.09%
UNFUnifirst Corp.54.47637001.09%
LKQXLkq Corp.24.325665001.08%
CSSCss Industries Inc.18.58100001.08%
NEWTNewtek Business Services Inc.1.8724001.08%
TRMBTrimble Navigation Ltd.43.203418001.07%
VRTSVirtus Investment Partners, Inc.45.91533001.07%
RURLRural/Metro Corp.14.06855001.07%
COGOCogo Group, Inc.8.611934001.05%
SURGSynergetics USA, Inc.4.81737001.05%
TZOOTravelzoo Inc.45.052491001.05%
BZMBlackrock Maryland Municipal Bond Trust14.4038001.05%
PCNPimco Corporate Income Fund16.261610001.05%
EMCIEmc Insurance Group Inc.22.2163001.04%
TGITriumph Group Inc.96.112492001.04%
CMTCore Molding Technologies Inc.5.8249001.04%
ARCCAres Capital Corporation16.5222384001.03%
NNBNuveen Virginia Dividend Advantage Municipal Fund 213.72125001.03%
OLBKOld Line Bancshares Inc.7.8317001.03%
CRWSCrown Crafts Inc.5.00380001.01%
SSDSimpson Manufacturing Co., Inc.30.712015001.01%
RCKBRockville Financial Inc.14.98953001.01%
MFSFMutualfirst Financial Inc.10.0057001.01%
SBHSally Beauty Holdings Inc.13.016259001%
SRIStoneridge Inc.15.092807001%
MYIBlackrock MuniYield Insured Fund, Inc.12.081828001%
AMWDAmerican Woodmark Corp.21.19531001%
ITFIshares S&P/TOPIX 150 Index48.3196001%
BKRSBakers Footwear Group Inc.1.01460001%
ALGAlamo Group Inc.26.49192000.99%
SFKUltrashort Russell1000 Growth ProShares22.2528000.99%
JSTJinpan International Ltd.10.12540000.99%
CHHChoice Hotels International Inc.37.66686000.99%
GNTXGentex Corp.30.848269000.98%
MVFBlackrock MuniVest Fund, Inc.9.192199000.98%
TRSTTrustco Bank Corp. NY6.161265000.98%
BKRMichael Baker Corporation31.19109000.97%
VPFValpey Fisher Corp.3.115000.97%
FSRFlagstone Reinsurance Holdings Ltd.12.54765000.96%
RGENRepligen Corporation5.211236000.96%
TALTal International Group, Inc.31.511329000.96%
NYVNuveen NEW YORK13.60171000.96%
DLLRDollar Financial Corp.29.282717000.96%
ATAIAta, Inc.4.2325000.95%
FIOIshares FTSE NAREIT Industrl/Offc Cp Idx27.5546000.95%
AFSIAmtrust Financial Services, Inc.18.091145000.94%
GEJGeneral ELEC CAP COR25.511126000.94%
CTASCintas Corp.28.986153000.94%
PPOPolypore International Inc.44.873052000.94%
NUCNuveen California Quality Income Municipal Fund12.96492000.93%
CRYCryolife Inc.5.44637000.92%
SBACSba Communications Corp.40.6410622000.91%
FFIVF5 Networks Inc.107.5356728000.91%
PCLPlum Creek Timber Co. Inc.41.7817384000.91%
ATUActuant Corporation27.669084000.91%
FORMFormfactor Inc.8.914198000.9%
REXXRex Energy Corporation12.323944000.9%
LIFELife Technologies Corporation54.4917502000.9%
PXLWPixelworks Inc.3.35401000.9%
EXRExtra Space Storage Inc.19.005354000.9%
TMKTorchmark Corp.62.265042000.9%
LNETLodgenet Interactive Corporation3.382554000.89%
DHFDreyfus High Yield Strategies Fund4.532807000.89%
MITIMicromet, Inc.6.755301000.89%
CMICummins Inc.107.0725745000.88%
KRNYKearny Financial Corp.9.13220000.88%
OREXOrexigen Therapeutics, Inc.9.0720656000.88%
TBUSDri Corporation1.1478000.88%
ANENAnaren Inc.21.58451000.88%
HWAYHealthways Inc.11.572562000.87%
MNEBlackrock Muni New York Intermediate Duration Fund, Inc.12.69238000.87%
HYYStrd 6.25 VERIZON25.3815000.87%
UNMUnum Group25.4120766000.87%
IBKCIberiabank Corp.59.591089000.86%
CPSTCapstone Turbine Corp.1.1618971000.86%
CUTClaymore/Beacon Global Timber Index22.161504000.86%
TISATop Image Systems Ltd.1.1654000.86%
BAPCredicorp Ltd.111.242891000.85%
VRTAVestin Realty Mortgage I, Inc1.201000.84%
NTCNuveen Connecticut Premium Income Municipal Fund13.16126000.84%
VCFDelaware Investments Colorado Municipal Income Fund, Inc.13.2071000.84%
HWKNHawkins Inc.45.21385000.84%
IIMMorgan Stanley Insured Municipal Income Trust13.16573000.84%
BMRCBank of Marin Bancorp33.9588000.83%
CMSCms Energy Corp.19.5438747000.82%
CGNXCognex Corp.30.521428000.82%
OPTCOptelecom-NKF Inc.2.45113000.82%
CALDCallidus Software Inc.6.101888000.82%
NZXNuveen Georgia Dividend Advantage Municipal Fund13.5028000.82%
CKECCarmike Cinemas Inc.7.31627000.82%
MICMacquarie Infrastructure Company LLC21.111241000.81%
WABCWestamerica Bancorp.50.801344000.81%
RPTPRaptor Pharmaceuticals Corp.3.711830000.81%
NQINuveen Insured Quality Municipal Fund Inc.12.331229000.81%
ASTEAstec Industries, Inc.31.011146000.81%
WMKWeis Markets, Inc.39.93193000.8%
TIFTiffany & Co.58.6015039000.8%
TWITitan International Inc.18.765313000.8%
XFPLehman 6.125 AM GN A20.06252000.8%
WEAWestern Asset Premier Bond Fund14.94443000.8%
TRMSTrimeris Inc.2.51233000.8%
FMBIFirst Midwest Bancorp Inc.12.605887000.8%
KSWKsw Inc.3.7665000.8%
JBHTJb Hunt Transport Services Inc.41.708461000.79%
IMCMorgan Stanley Insured Municipal Bond Trust12.6192000.79%
EEAEuropean Equity Fund Inc.7.68116000.78%
NXKNuveen New York Dividend Advantage Municipal Fund 212.79143000.78%
IIINInsteel Industries Inc.11.54290000.78%
UTIWUti Worldwide, Inc.21.882889000.78%
PFIPowershares Dynamic Financials19.4041000.77%
PHXPanhandle Oil and Gas Inc.26.0581000.77%
LBAILakeland Bancorp Inc.10.43236000.77%
RRDR.R. Donnelley & Sons Company18.2525695000.77%
DUGUltrashort Oil & Gas ProShares35.064371000.77%
PKIPerkinelmer Inc.25.1410447000.76%
AYRAircastle LTD10.603628000.76%
LWCSpdr Barclays Capital Long Crdt Term Bd35.4935000.76%
NMYNuveen Maryland Premium Income Municipal Fund13.41201000.75%
MRTNMarten Transport Ltd.20.13942000.75%
PHTPioneer High Income Trust15.991066000.75%
ODFLOld Dominion Freight Line Inc.32.351977000.74%
SCBTScbt Financial Corp.32.66168000.74%
JACKJack in the Box Inc.22.883570000.74%
MHKMohawk Industries Inc.58.434913000.74%
HPSJohn Hancock Preferred Income Fund III16.15978000.74%
CAPCai International Inc.19.28540000.73%
NGTEastern American Natural Gas Trust23.39201000.73%
HTSHatteras Financial Corp28.748586000.73%
NSRNeustar, Inc.27.442138000.73%
DNPDnp Select Income Fund Inc.9.534256000.73%
UTHRUnited Therapeutics Corp.67.093447000.73%
TRADTradestation Group Inc.6.992343000.72%
SLXPSalix Pharmaceuticals Ltd.41.969439000.72%
ITBIshares Dow Jones US Home Construction13.8420990000.72%
JZKLehman ABS SPRINT A123.4712000.72%
HZOMarinemax Inc.8.49753000.71%
RTHRetail HOLDRs107.5311075000.71%
NCBNuveen CALIFORNIA14.09100000.71%
RXDUltrashort Health Care ProShares28.2132000.71%
FGCFpl GROUP CAPITAL IN25.61141000.7%
SIROSirona Dental Systems Inc.44.383111000.7%
QCORQuestcor Pharmaceuticals, Inc.15.736595000.7%
HMEHome Properties Inc.54.479687000.7%
VOXVanguard Telecom Services ETF65.31509000.7%
GLADGladstone Capital Corporation11.47684000.7%
THQIThq Inc.5.728712000.7%
GAMGeneral American Investors Company, Inc.27.14821000.7%
OSIROsiris Therapeutics, Inc.7.13530000.7%
AMTAmerican Tower Corp.51.3750743000.7%
PRXPar Pharmaceutical Companies Inc.35.472165000.7%
CRXLCrucell NV33.301115000.69%
EDEEmpire District Electric Co.21.851364000.69%
CMGChipotle Mexican Grill, Inc.221.993801000.69%
UTLUnitil Corp.23.07797000.69%
SUPGSupergen Inc.2.943508000.68%
DEIDouglas Emmett Inc17.6518452000.68%
SHBIShore Bancshares Inc.10.363000.68%
GABGabelli Equity Trust, Inc.5.974331000.67%
METMetlife, Inc.46.3838999000.67%
BKKBlackrock Municipal 2020 Term Trust14.85242000.67%
CYCCCyclacel Pharmaceuticals, Inc.1.514833000.66%
NMDNuveen MUNICIPAL HI10.60805000.66%
FDPFresh Del Monte Produce Inc.27.441780000.66%
AYNAlliance New York Municipal Income Fund Inc.13.57111000.66%
WFMIWhole Foods Market, Inc.52.4815400000.65%
GEFGreif Inc.64.501940000.65%
SJFUltrashort Russell1000 Value ProShares32.8911000.64%
USMOUsa Mobility, Inc.17.23935000.64%
ADEPAdept Technology Inc.4.7040000.64%
GRMNGarmin Ltd.31.729077000.63%
AXTIAxt Inc.11.094796000.63%
SCONSuperconductor Technologies Inc.1.58676000.63%
MINIMobile Mini, Inc.20.511372000.63%
CRPCredit SUISSE 7.9%26.77851000.63%
NVXNuveen California Dividend Advantage Municipal Fund 212.92220000.62%
OMEOmega Protein Corp.8.051102000.62%
MHDBlackrock MuniHoldings Fund, Inc.14.55376000.62%
AUXLAuxilium Pharmaceuticals Inc.23.067108000.61%
RDIReading International Inc.5.0346000.6%
CXWCorrections Corp. of America25.055536000.6%
TOFCTower Financial Corporation8.2515000.6%
SHORShoretel, Inc.8.272259000.6%
ALKAlaska Air Group Inc.61.137343000.6%
FXHFirst Trust Health Care AlphaDEX26.50216000.6%
RITLmp Real Estate Income Fund Inc.10.03419000.6%
NKONuveen Insured New York Dividend Advantage Municipal Fund13.30233000.6%
INWKInnerworkings Inc.6.60941000.6%
BXSBancorpsouth, Inc.15.069682000.6%
GERGeneral Electric Capital Corp.25.45228000.59%
FDMFirst Trust Dow Jones Select MicroCap22.09429000.59%
WSOWatsco Inc.62.475576000.59%
CRMECardiome Pharma Corp.6.881671000.58%
FCFFirst Commonwealth Financial Corp.6.893338000.58%
MFTBlackrock MuniYield Insured Investment Fund11.99510000.58%
ERTSElectronic Arts Inc.15.3832501000.58%
MYNBlackrock MuniYield New York Insured Fund, Inc.12.011017000.58%
RZVRydex S&P SmallCap 600 Pure Value38.67231000.57%
KTNStr PD AON A 8.20526.2324000.57%
WEYSWeyco Group Inc.23.03127000.56%
TYWTs&W/Claymore Tax-Advantaged Balanced Fund10.74484000.56%
LMATLemaitre Vascular, Inc.7.1141000.56%
GLBLGlobal Industries Ltd.7.178945000.56%
ICUIIcu Medical, Inc.37.48954000.56%
GILTGilat Satellite Networks Ltd.5.39107000.55%
CDYCardero Resource Corp.1.821707000.55%
TTEST-3 Energy Services Inc.44.901374000.55%
ANADAnadigics, Inc.7.257021000.55%
AFAMAlmost Family Inc.35.181003000.54%
AGCA/C GLB CVT S&I FD9.63870000.52%
PSYBlackrock Credit Allocation Income Trust II, Inc.9.731176000.51%
ACMAecom Technology Corporation29.3611004000.51%
ROMUltra Technology ProShares68.84326000.51%
ENXEaton Vance Insured New York Municipal Bond Fund11.75273000.51%
FGPFerrellgas Partners LP27.811639000.5%
AHTAshford Hospitality Trust Inc.9.872632000.5%
EVPEaton Vance Pennsylvania Municipal Income Trust11.9458000.5%
NNANavios Maritime Acquisition Corporation4.01316000.5%
CACHCache Inc.3.99243000.5%
NCMINational CineMedia, Inc.18.081851000.5%
MYMBlackrock MuniYield Michigan Insured Fund II, Inc.11.87375000.5%
SCJIshares MSCI Japan Small Cap Index47.5686000.5%
SSGUltrashort Semiconductor ProShares9.991228000.5%
WRLDWorld Acceptance Corp.54.941360000.49%
CCMPCabot Microelectronics Corp.44.51784000.49%
BFKBlackrock Municipal Income Trust12.151184000.49%
FULHb Fuller Co.23.023185000.48%
BIVVanguard Intermediate-Term Bond ETF83.03951000.48%
CVSCvs Caremark Corporation35.1667919000.48%
CFTIshares Barclays Credit Bond104.74271000.48%
PEJPowershares Dynamic Leisure & Entertain18.76276000.48%
DRPDws RREEF WLD RE NEW18.79250000.48%
PCFPutnam High Income Securities Fund8.42265000.47%
PBTQPowershares Global Biotech25.5428000.47%
ACOAmcol International Corp.31.85510000.47%
APEIAmerican Public Education, Inc.35.74553000.47%
PMXPimco Municipal Income Fund III10.501160000.47%
APUAmerigas Partners LP50.46410000.47%
XLKTechnology Select Sector SPDR26.20110135000.46%
PRSTPresstek Inc.2.14365000.46%
ESCEmeritus Corp.19.48786000.46%
SWKStanley Works66.3810465000.46%
FDSFactset Research Systems Inc.97.431519000.46%
ASGLiberty All Star Growth Fund Inc.4.28298000.46%
TROWT. Rowe Price Group, Inc.66.8314523000.46%
GLQClough Global Equity Fund14.98356000.46%
IHIIshares Dow Jones US Medical Devices60.68829000.46%
TPLTexas Pacific Land Trust36.5272000.46%
HARLHarleysville Savings Financial Corporation14.986000.46%
AAMEAtlantic American Corp.2.1923000.45%
MGUMacquarie Global Infrastructure Total Return Fund Inc.17.49870000.45%
FOEFerro Corp.15.315109000.45%
JCENuveen COR EQ ALPHA13.571563000.44%
MXAMinnesota Municipal Income Portfolio Inc.13.62325000.44%
HCHMl CANADA CP HOLDRS128.001000.44%
MOTMotorola Inc.9.11316609000.44%
EEQEnbridge Energy Management LLC63.55278000.44%
NGSNatural Gas Services Group Inc.17.89306000.44%
HLSHealthsouth Corp.22.924661000.43%
TNADirexion Daily Small Cap Bull 3X Shares71.0570643000.43%
NKTRNektar Therapeutics11.4910607000.43%
PWPPowershares Dynamic Mid Cap Value16.1541000.43%
EMIEaton Vance Michigan Municipal Income Trust11.4632000.43%
PUIPowershares Dynamic Utilities15.9892000.43%
ELRSpdr Dow Jones Large Cap60.4221000.43%
TVCTenn VAL PWR D 2825.40109000.43%
OPYOppenheimer Holdings Inc.25.38202000.43%
PSSIPss World Medical Inc.22.962207000.43%
RIFAew Real Estate Income Fund29.86551000.43%
WTBAWest Bancorp., Inc.7.13164000.42%
BIOBio-Rad Laboratories, Inc.110.05683000.42%
YSIU-Store-It Trust9.4312633000.42%
CXEMfs High Income Municipal Trust4.68465000.42%
FMERFirstmerit Corporation18.969437000.42%
SYKESykes Enterprises, Incorporated19.501159000.41%
SLSSls International Inc.9.58403000.41%
BMTCBryn Mawr Bank Corp.17.09239000.41%
FCTFirst Trust Four Corners Senior Floating Return Income Fund II14.431836000.41%
MPXMarine Products Corp.7.33407000.41%
BLKBBlackbaud Inc.26.371151000.41%
KIESpdr KBW Insurance43.863675000.41%
CCRNCross Country Healthcare, Inc.7.27360000.41%
WCAAWca Waste Corporation4.8911000.41%
MLGMetlife 5.875 SR NT25.0075000.4%
NEWPNewport Corp.17.232113000.4%
WMWElements Morningstar Wide Moat Focus ETN12.29173000.4%
AMSCAmerican Superconductor Corporation27.567212000.4%
NCTYThe9 Limited7.51269000.4%
EGOVNic Inc.10.231641000.39%
CNTYCentury Casinos Inc.2.57292000.39%
HZD6.40% CORPORATE-BACK25.4525000.39%
AEZAmerican Oil & Gas Inc.10.20101922000.39%
QCRHQcr Holdings Inc.7.7027000.39%
MUCBlackrock MuniHoldings California Insured Fund, Inc.12.62628000.39%
UISUnisys Corporation28.003701000.39%
OMCOmnicom Group Inc.45.9116163000.39%
RLHRed Lion Hotels Corporation7.91386000.38%
RADARada Electronic Industries Ltd.2.647000.38%
RAILFreightcar America Inc.28.38834000.38%
HJRMssac LTD BR SATURNS24.384000.37%
VBRVanguard Small Cap Value ETF67.401233000.37%
MCHPMicrochip Technology Inc.37.3222709000.37%
DGASDelta Natural Gas Co. Inc.31.9932000.37%
TDGTransdigm Group Incorporated77.091661000.37%
WMGWarner Music Group Corp.5.4415618000.36%
AWHAllied World Assurance Company Holdings Ltd.60.672516000.36%
ICBMorgan Stanley Income Securities Inc.16.52128000.36%
EVNEaton Vance Municipal Income Trust11.01858000.36%
MSAMine Safety Appliances Co.30.47577000.36%
TDYTeledyne Technologies Inc.46.862441000.36%
IEXIdex Corporation39.192215000.35%
DMFDreyfus Municipal Income Inc.8.40319000.35%
CNSCohen & Steers Inc.28.411022000.35%
ATNIAtlantic Tele-Network Inc.39.19582000.35%
BWZSpdr Barclays Cap S/T Intl Treasury Bond37.54389000.34%
ADPAutomatic Data Processing, Inc.49.6921942000.34%
TUCMac-Gray Corp.14.81712000.33%
NCUNuveen California Premium Income Municipal Fund12.06187000.33%
MWNDirexion Daily Mid Cap Bear 3X Shares8.87453000.33%
SONSonoco Products Co.35.922612000.33%
MVVUltra MidCap400 ProShares65.582934000.33%
AWXAvalon Holdings Corp.3.022000.33%
FFBCFirst Financial Bancorp.17.961902000.33%
AMLNAmylin Pharmaceuticals, Inc.15.0514292000.33%
PPGPpg Industries Inc.83.5811679000.32%
VOLCVolcano Corporation27.802312000.32%
NXQNuveen Select Tax Free Income Portfolio 212.50350000.32%
DNBDun & Bradstreet Corp.86.451911000.32%
NPYNuveen Pennsylvania Premium Income Municipal Fund 212.20131000.32%
JEQJapan Equity Fund Inc.6.20798000.32%
JFRNuveen Senior Income Fund - Nuveen Floating Rate Income Fund12.222091000.32%
MTSMontgomery Street Income Securities Inc.15.72113000.31%
SAASIncontact, Inc.3.18848000.31%
VNVViacom INC 6.85% SNR25.68349000.31%
UTIUniversal Technical Institute Inc.19.10709000.31%
IEIIshares Barclays 3-7 Year Treasury Bond115.26668000.3%
MUJBlackrock MuniHoldings New Jersey Insured Fund, Inc.13.35606000.3%
MYDBlackrock MuniYield Fund, Inc.13.031873000.3%
SFDSmithfield Foods Inc.20.1517232000.29%
MGFMfs Government Markets Income Trust6.74803000.29%
LCCUs Airways Group, Inc.10.1349043000.29%
NUNNuveen New York Quality Income Municipal Fund13.52418000.29%
JKLIshares Morningstar Small Value Index84.0660000.29%
CSGPCostar Group Inc.57.36917000.29%
TWCTime Warner Cable Inc.67.9022224000.29%
DDTDillards CAP 7.523.70140000.29%
RWLRevenueshares Large Cap24.42499000.28%
VOQVan Kampen Ohio Quality Municipal Trust13.9453000.28%
INTTIntest Corp.3.581447000.28%
GOLFGolfsmith International Holdings Inc.3.5141000.28%
IXPIshares S&P Global Telecommunications59.801208000.28%
DPODow 30 EHC PRM INC10.59832000.28%
RSOResource Capital Corp.7.073335000.28%
BDVBlackrock Dividend Achievers Trust10.541348000.28%
CLCTCollectors Universe Inc.13.84412000.28%
FXYCurrencyshares Japanese Yen Trust120.162318000.27%
DCOMDime Community Bancshares Inc.14.79898000.27%
QQQXNasdaq Premium Income and Growt14.49590000.27%
HCBKHudson City Bancorp, Inc.11.06147629000.27%
PCMPcm Fund Inc.10.75175000.27%
EVFEaton Vance Senior Income Trust7.34945000.27%
AEISAdvanced Energy Industries, Inc.14.823032000.27%
MWGMorgan ST CAP TR IV22.80321000.26%
FLOFlowers Foods, Inc.26.452833000.26%
IXNIshares S&P Global Technology64.03317000.26%
INDIng GROEP PERP DEBT22.65357000.26%
BNDVanguard Total Bond Market ETF80.4013808000.26%
EXIIshares S&P Global Industrials55.96140000.26%
DARADara BioSciences, Inc3.85935000.26%
RFVRydex S&P Midcap 400 Pure Value35.0990000.25%
SORSource Capital Inc.54.5380000.25%
NRONeuberger Berman Real Estate Securities Income Fund Inc.3.952202000.25%
MCABlackrock MuniYield California Insured Fund, Inc.12.361039000.24%
VODVodafone Group plc28.84108064000.24%
FAZDirexion Daily Financial Bear 3X Shares8.57235740000.23%
ACCLAccelrys Inc.8.51577000.23%
USBUs Bancorp25.14159000.23%
FTFFranklin Templeton Limited Duration Income Trust13.02794000.23%
DUFDuff & Phelps Corporation17.251533000.23%
SKYSkyline Corp.21.26249000.23%
NPINuveen Premium Income Municipal Fund Inc.12.691304000.23%
WHRWhirlpool Corp.87.778370000.23%
WLDNWilldan Group, Inc.4.244000.23%
IJTIshares S&P SmallCap 600 Growth72.091587000.23%
MYJBlackrock MuniYield New Jersey Fund, Inc.13.26425000.22%
DPLDpl Inc.26.545596000.22%
ROPRoper Industries Inc.74.935046000.22%
QDELQuidel Corp.13.581401000.22%
DZZPowershares DB Gold Double Short ETN9.0017409000.22%
FTOFrontier Oil Corp.17.7216297000.22%
JKJIshares Morningstar Small Core Index89.58173000.22%
BDFRivus Bond Fund17.79112000.22%
NVNNuveen New York Select Quality Municipal Fund Inc.13.40405000.22%
RADSRadiant Systems Inc.18.184768000.22%
GKSRG&K Services Inc.31.88613000.22%
JKFIshares Morningstar Large Value Index61.50160000.22%
GPKGraphic Packaging Holding Company4.512745000.22%
WSCIWsi Industries Inc.4.5196000.22%
ENOCEnernoc, Inc.23.741627000.21%
HPIJohn Hancock Preferred Income Fund18.70513000.21%
ALVAutoliv, Inc.77.696394000.21%
SVASinovac Biotech Ltd.4.771466000.21%
QLDUltra QQQ ProShares87.5241846000.21%
GSICGsi Commerce Inc.23.3410927000.21%
QXMQiao Xing Mobile Communication Co., Ltd.4.67686000.21%
USHSUs Home Systems Inc.5.0033000.2%
TAYDTaylor Devices Inc.4.9022000.2%
GFREGulf Resources, Inc.9.751313000.2%
KNOLKnology, Inc.14.511311000.2%
IKRBank AMER INTERNOTES24.9147000.2%
MFRIMfri Inc.10.28107000.19%
XFHLehman ABS 8.20 MOTO25.4631000.19%
NVLSNovellus Systems, Inc.35.6126573000.19%
COGTCogent Inc.10.513636000.19%
EMQEntergy Mississippi Inc.25.3021000.19%
PNWPinnacle West Capital Corp.42.116459000.19%
RLRNRenaissance Learning Inc.10.99388000.18%
ROIWisdomtree LargeCap Growth37.6213000.18%
TEGIntegrys Energy Group, Inc.48.173483000.18%
DGIIDigi International Inc.10.95641000.18%
IFASIshares FTSE EPRA/NAREIT Dev Asia Idx32.3426000.18%
IGDIng Global Equity Dividend & Premium Opportunity Fund11.072549000.18%
VKLVan Kampen Select Sector Municipal Trust10.76366000.18%
VAWVanguard Materials ETF81.65755000.18%
PMCPharmerica Corporation11.302508000.17%
DHILDiamond Hill Investment Group Inc.70.5246000.17%
VSBNVsb Bancorp Inc.11.7711000.17%
UTFCohen & Steers Select Utility Fund Inc.17.032929000.17%
STBAS&T Bancorp Inc.22.51436000.17%
PHMDPhotomedex, Inc.5.7518000.17%
XHBSpdr S&P Homebuilders17.9637693000.16%
CHTPChelsea Therapeutics International Ltd.6.203068000.16%
MDYMidcap SPDRs167.6246596000.16%
IJHIshares S&P MidCap 400 Index92.169916000.16%
ERHEvergreen Utilities and High Income Fund11.83266000.16%
NRIMNorthrim Bancorp Inc.18.5019000.16%
CPVCentracore Properties Trust25.20919000.15%
BIFBoulder Growth & Income Fund Inc.6.39561000.15%
KOFCoca-Cola FEMSA S.A.B de CV79.34435000.15%
SCDLmp Capital and Income Fund Inc.12.60317000.15%
BBKBlackrock Municipal Bond Trust13.33211000.15%
PISMl DEP 8.75 PFDPLUS25.14220000.15%
AELAmerican Equity Investment Life Holding Co.12.992756000.15%
OSTEOsteotech, Inc.6.50322000.15%
EISIshares MSCI Israel Cap Invest Mkt Index59.8091000.15%
OIBMorgan Stanley Municipal Income Opportunities Trust II6.59411000.15%
HYGIshares iBoxx $ High Yield Corporate Bd91.536864000.15%
VIVVivo Participacoes S.A.35.518921000.14%
TTECTeletech Holdings Inc.20.291592000.14%
VGTVanguard Information Technology ETF64.231725000.14%
SJLUltrashort Russell MidCap Val ProShares14.293000.14%
BKTBlackrock Income Trust Inc.6.811668000.14%
PIVPowershares Value Line Timeliness Select13.64399000.14%
CIUIshares Barclays Intermediate Credit Bd106.0614238000.14%
RYJClaymore/Raymond James SB-1 Equity21.3065000.14%
PMNAPowershares MENA Frontier Countries14.02757000.14%
REXIResource America Inc.6.77195000.14%
MASMasco Corporation13.3834837000.14%
AWFAlliancebernstein Global High Income Fund, Inc.14.362047000.13%
HTDJohn Hancock Tax Advantaged Dividend Income Fund15.301031000.13%
XLBMaterials Select Sector SPDR37.93131908000.13%
CUBAHerzfeld Caribbean Basin Fund Inc.7.3050000.13%
MCDMcdonald's Corp.75.4869598000.13%
CFPCornerstone PRG INC7.77913000.12%
ULCMUlticom Inc.8.0664000.12%
IDGIng GROEP NV PERP23.121036000.12%
VOEVanguard Mid-Cap Value ETF54.111043000.12%
CLMTCalumet Specialty Products Partners LP23.98921000.12%
HBEHenry Bros. Electronics, Inc.8.1933000.12%
BOKFBok Financial Corp.55.02404000.12%
PTEPowershares Dynamic Telecom & Wireless16.38257000.12%
DSPGDsp Group Inc.7.78290000.12%
PGFPowershares Financial Preferred17.705312000.11%
EWGIshares MSCI Germany Index25.0634718000.11%
KNRStr PD 6.80 BMY26.0913000.11%
BWVIpath CBOE S&P 500 BuyWrite Index ETN48.3197000.1%
RMTRoyce Micro-Cap Trust, Inc.9.65837000.1%
DTDWisdomtree Total Dividend47.38264000.1%
IWCIshares Russell Microcap Index49.523909000.1%
MBBIshares Barclays MBS Bond105.661178000.1%
IGIWestern ASSET INVT19.75493000.1%
ARIIAmerican Railcar Industries19.19590000.1%
CEPHCephalon Inc.59.2516040000.1%
FISIFinancial Institutions Inc.18.84265000.1%
KMMDws Multi-Market Income Trust9.99337000.1%
MGKVanguard Mega Cap 300 Gr Index ETF48.54625000.1%
UYMUltra Basic Materials ProShares48.3110903000.1%
SVMSilvercorp Metals Inc.9.6727412000.1%
IPCMIpc The Hospitalist Company, Inc.37.051501000.1%
NWLINational Western Life Insurance Company165.4022000.09%
MTXMinerals Technologies Inc.64.20951000.09%
VIGVanguard Dividend Appreciation ETF53.787495000.09%
MQTBlackrock MuniYield Quality Fund II, Inc.11.021154000.09%
ADXThe Adams Express Company11.111470000.09%
IWFIshares Russell 1000 Growth Index58.8449332000.08%
MIWEaton Vance Insured Michigan Municipal Bond Fund12.1971000.08%
WGLWgl Holdings Inc.36.591820000.08%
GTIVGentiva Health Services Inc.23.902267000.08%
RRRRsc Holdings, Inc.11.9413129000.08%
KVRCorts TR GE CAP CL A24.7667000.08%
GARGeorgia PWR CO PFD26.07368000.07%
PKBPowershares Dynamic Building & Construct13.57100000.07%
CPEXCpex Pharmaceuticals, Inc.26.6723000.07%
LNTAlliant Energy Corporation37.636345000.07%
PHRPrudential FINL PFD27.94356000.07%
JBILehman ABS 7.875 DUK25.966000.07%
VMMDelaware Investments Minnesota Municipal Income Fund II12.52136000.07%
BUCYBucyrus International Inc.90.6811404000.07%
NVYNuveen Pennsylvania Dividend Advantage Municipal Fund 212.902000.07%
SLHSolera Holdings Inc.51.994257000.07%
SHYIshares Barclays 1-3 Year Treasury Bond84.0216271000.07%
THSTreehouse Foods Inc.48.781858000.06%
EPDEnterprise Products Partners LP43.0311503000.06%
RNPCohen & Steers REIT & Preferred Income Fund Inc.14.32823000.06%
AOKIshares S&P Conservative Allocation28.9485000.06%
SAISaic, Inc.16.5218084000.06%
XLYConsumer Discret Select Sector SPDR37.9957133000.05%
PRFPowershares FTSE RAFI US 100057.38690000.05%
IVWIshares S&P 500 Growth Index66.968143000.04%
XLGRydex Russell Top 5092.45311000.04%
GJMGmac Inc.23.25442000.04%
NJRNew Jersey Resources Corp.43.041524000.04%
DREDuke Realty Corp.22.6166000.04%
WBCWabco Holdings Inc.58.364400000.03%
DFYDelphi FIN 8.0 SR NT25.1937000.03%
WYNWyndham Worldwide Corporation29.1526567000.03%
VUGVanguard Growth ETF62.783806000.03%
XFRLehman 6.25 BR-MY SQ25.492000.03%
ILMNIllumina Inc.69.7711906000.02%
NWNNorthwest Natural Gas Company45.301201000.02%
KMTKennametal Inc.42.466476000.02%
OEFIshares S&P 100 Index58.4515075000.01%
IYFIshares Dow Jones US Financial Sector58.968442000.01%
SWMSchweitzer-Mauduit International Inc.61.911544000.01%
FNLCThe First Bancorp, Inc.15.11120000%
MCZMad Catz Interactive Inc.0.854382000%
NSFCNorthern States Financial Corporation2.090000%
PJEMl PPLUS 8.25 FMC-125.780000%
CPIICpi International, Inc.19.43175000%
XFNXfone, Inc.1.29145000%
PULBPulaski Financial Corporation7.50142000%
ZZCSealy CORPORATION80.600000%
GJNFltg RT ASSET BK TR21.719000%
XFBLehman ABS 8.12525.090000%
HCFHighland CRED STRTGY7.862122000%
MHYWestern Asset Managed High Income Fund Inc.6.151208000%
KFFBKentucky First Federal Bancorp, Inc.9.200000%
GGBGerdau S.A.13.6435540000%
TOFTofutti Brands Inc.2.2012000%
JVSJets DOW JONES50.150000%
IKANIkanos Communications, Inc.1.273272000%
CTVCommscope Inc.31.480000%
FFFDNorth Central Bancshares Inc.16.350000%
AFPUnited Capital Corp.28.957000%
OBASOptibase Ltd.1.510000%
RXLProshares Ultra Health Care54.021954000%
FULTFulton Financial Corp.10.495853000%
MUIBlackrock Muni Intermediate Duration Fund, Inc.13.641621000%
CXMCardium Therapeutics Inc.0.394495000%
PHAPulte HOMES INC NT23.9519000%
PYEPplus TR SER CSF-1 A25.750000%
HDSNHudson Technologies Inc.1.9377000%
TCMTongjitang Chinese Medicines Co.4.4132000%
UWBKUnited Western Bancorp, Inc.0.380000%
HIOWestern Asset High Income Opportunity Fund Inc.6.221644000%
PRLSPeerless Systems Corp.3.3512000%
ETVEaton Vance Tax-Managed Buy-Write Opportunities Fund13.042261000%
MNIThe McClatchy Company5.185179000%
PSDVPsivida Corp.4.50505000%
CGAChina Green Agriculture, Inc.8.372333000%
PZZProspect Medical Holdings Inc.8.49358000%
KRYCrystallex International Corp.0.277285000%
JZJLehman ABS AT&T25.350000%
SPPRSupertel Hospitality, Inc.1.65134000%
XWESWorld Energy Solutions Inc2.590000%
GAIGlobal-Tech Advanced Innovations Inc.8.500000%
ASPAmerican Strategic Income Portfolio Inc.12.00277000%
NOXNeuberger Berman Income Opportunity Fund Inc.7.800000%
HITTHittite Microwave Corporation59.162004000%
HTXHutchison Telecommunications International Ltd.4.190000%
TFISpdr Barclays Capital Municipal Bond21.431905000%
OPMROptimal Group Inc.2.380000%
CTZNCitizens First Bancorp Inc.0.02107000%
TACTTransact Technologies Incorporated9.4175000%
HSMHelios Strategic Mortgage Income Fund, Inc.6.1286000%
FCYForest CTY ENT SR NT22.8654000%
ADCTAdc Telecommunications Inc.12.749172000%
SDTHShengdatech, Inc.4.102257000%
RAABlackrock California Investment Quality Municipal Trust14.260000%
ATHXAthersys, Inc.2.88539000%
DNBFDnb Financial Corp.10.060000%
SNTSSantarus Inc.3.233298000%
ATEAdvantest Corp.22.1159000%
MRFAmerican Income Fund Inc.8.52389000%
DIVXDivx, Inc.9.620000%
JAVJavelin Pharmaceuticals, Inc.2.200000%
SVTServotronics Inc.8.503000%
KCTStr PD 7.5 SHER-WILL25.720000%
NXZNuveen Dividend Advatage Municipal Fund 212.791336000%
CCBPComm Bancorp Inc.44.070000%
YTECYucheng Technologies Limited3.75741000%
DCWDcw TOTAL RETURN FD5.240000%
IKNXIkonics Corp.7.500000%
IWBIshares Russell 1000 Index71.698215000%
GRAW.R. Grace & Co.35.733257000%
OPXTOpnext, Inc.1.971938000%
IRYSpdr S&P International HealthCare Sector30.790000%
DBRWisdomtree International Health Care23.880000%