Presents

Jeff Cooper's Expansion Range Breakout

For October 01, 2004


Symbol
Company Name
Industry Group
Close
Change
% Change
QP2 EPS Rank
QP2 RS Rank
PE
Vol (k)
50 Day Avg Vol (k)
Float (mil)
Shares Short (mil)
% Float Short
ABM ABM INDS INC COM Bldg-Maintenance 20.66 0.51 2.53
39
77
26 131.2 116.6 37 1.177 3.15
ABN ABN AMRO HLDG NV SPONSORED ADR Banking-Money Center 23.05 0.29 1.27
47
60
6 134.0 193.2 1392 1.132 0.08
ADPT ADAPTEC INC COM Comp-Memory Devices 7.98 0.38 5.00
68
37
43 1084.1 804.6 109 3.655 3.34
ADSK AUTODESK INC COM Comp-Graphics 49.90 1.27 2.61
90
97
37 2234.7 1813.5 110 4.245 3.86
AEC ASSOCIATED ESTATES RLTY CORP COM Fin-Equity Reit 10.49 0.50 5.01
41
91
-19 97.1 73.3 17 0.206 1.18
AHT ASHFORD HOSPITALITY TR INC COM SHS Fin-Equity Reit 9.50 0.10 1.06
95
53
-864 146.8 73.3 21 0.400 1.87
AIRN AIRSPAN NETWORKS INC COM Comm-Equip 6.00 0.57 10.50
51
97
-9 1103.5 299.2 33 1.102 3.35
ALO ALPHARMA INC CL A Health-Drugs Generic 19.85 1.56 8.53
10
43
50 1403.7 673.4 40 2.755 6.89
ALVR ALVARION LTD SHS Comm-Equip 13.49 0.55 4.25
96
91
450 1104.4 661.2 36 0.985 2.77
AMH AMERUS GROUP CO COM Insur-Life 42.55 1.55 3.78
33
61
11 249.5 216.1 38 3.425 8.92
AMT AMERICAN TOWER CORP CL A Comm-Equip 15.24 -0.11 -0.72
69
77
-20 2628.5 1966.8 215 16.868 7.86
AMX AMERICA MOVIL S A DE C V SPON ADR L SHS Comm-Wireless 40.00 0.97 2.49
85
88
14 1674.0 1338.7 387 3.957 1.02
AN AUTONATION INC COM Retail-Misc 17.32 0.24 1.41
54
30
13 1659.1 1035.8 165 12.074 7.30
ANEN ANAREN INC COM Comm-Equip 14.08 0.62 4.61
98
26
41 155.0 125.2 19 0.650 3.35
ARG AIRGAS INC COM Cheml-Specialty 25.10 1.03 4.28
69
75
22 540.7 323.6 60 2.462 4.12
ARI ARDEN RLTY INC COM Fin-Equity Reit 33.13 0.55 1.69
17
62
32 152.3 189.6 59 1.207 2.05
ARJ ARCH CHEMICALS INC COM Cheml-Specialty 29.49 0.99 3.47
82
75
24 76.6 60.5 23 0.601 2.59
ARLP ALLIANCE RESOURCE PARTNERS L UNIT LTD PRT IN Energy-Alternatives 56.08 0.41 0.74
76
91
16 62.8 68.9 10 0.061 0.60
ARTI ARTISAN COMPONENTS INC COM Comp-EDA Tools 30.06 0.95 3.26
95
92
53 395.6 663.9 22 1.545 7.12
ATU ACTUANT CORP CL A NEW Machines-Tools/Rel Prod 43.65 2.44 5.92
16
81
45 511.2 150.9 22 1.496 6.71
ATW ATWOOD OCEANICS INC COM Oil/Gas-Drilling 49.44 1.90 4.00
20
94
-67 179.3 117.7 11 0.359 3.36
AVID AVID TECHNOLOGY INC COM Leisure-Movies 48.56 1.69 3.61
96
20
28 975.8 469.9 31 3.284 10.49
AVY AVERY DENNISON CORP COM Office-Supplies Mfg 64.92 -0.86 -1.31
42
60
24 506.6 276.0 97 2.695 2.77
AYI ACUITY BRANDS INC COM Bldg-Misc Constr Prod 25.08 1.31 5.51
62
67
17 186.9 127.9 40 0.932 2.30
AZPN ASPEN TECHNOLOGY INC COM Comp-Enterprise 7.31 0.32 4.58
3
95
-8 604.8 516.1 40 7.251 17.90
BAY BAYER A G SPONSORED ADR Diversified Operations 28.18 0.75 2.73
3
65
-11 99.2 84.7 723 0.767 0.11
BBD BANCO BRADESCO S A SP ADR PFD NEW Banking-Foreign 54.66 1.96 3.72
64
74
39 114.1 87.5 80 0.571 0.72
BDC BELDEN CDT INC COM Comm-Equip 22.47 0.67 3.07
21
72
292 129.8 173.5 20 1.980 9.73
BEBE BEBE STORES INC COM Retail-Apparel/Shoe 20.68 -0.44 -2.08
92
61
24 249.3 251.1 8 2.170 25.53
BEIQ BEI TECHNOLOGIES INC COM Elec-Measuring Instr 30.00 2.60 9.49
91
88
39 192.7 101.8 12 0.440 3.83
BGFV BIG 5 SPORTING GOODS CORP COM Retail-Misc 23.75 0.95 4.17
86
77
17 139.1 112.0 13 0.273 2.12
BHI BAKER HUGHES INC COM Oil/Gas-Machinery/Equip 44.57 0.85 1.94
65
85
36 2353.0 2227.6 332 10.209 3.08
BHP BHP BILLITON LTD SPONSORED ADR Mining-Misc Ores 21.18 0.43 2.07
82
85
19 1428.3 757.4 3081 0.702 0.02
BJS BJ SVCS CO COM Oil/Gas-Field Services 53.52 1.11 2.12
75
87
27 2339.9 2341.3 158 7.288 4.60
BKI BUCKEYE TECHNOLOGIES INC COM Paper Products 11.74 0.59 5.29
20
63
-12 148.1 93.6 29 0.836 2.88
BMC BMC SOFTWARE INC COM Comp-Enterprise 16.46 0.65 4.11
84
59
82 1802.9 1276.0 220 4.369 1.99
BMO BANK MONTREAL QUE COM Banking-Money Center 44.35 0.69 1.58
86
69
13 80.5 27.9 496 0.089 0.02
BOH BANK HAWAII CORP COM Banking-West 48.65 1.40 2.96
85
78
20 227.0 228.5 52 0.949 1.83
BRE BRE PPTYS INC CL A Fin-Equity Reit 38.95 0.60 1.56
9
62
43 221.4 186.3 49 1.203 2.44
BVF BIOVAIL CORP COM Health-Drugs 18.28 0.98 5.66
18
7
609 1817.1 940.4 134 5.366 4.02
BXP BOSTON PPTYS INC COM Fin-Equity Reit 56.25 0.86 1.55
7
68
23 474.7 299.4 87 1.931 2.21
BXS BANCORPSOUTH INC COM Banking-Southeast 23.99 1.00 4.35
40
47
15 159.5 98.0 65 1.117 1.71
CACS CARRIER ACCESS CORP COM Comm-Equip 8.17 1.22 17.55
93
93
33 973.0 549.3 15 1.808 11.82
CAM COOPER CAMERON CORP COM Oil/Gas-Machinery/Equip 55.98 1.14 2.08
27
72
47 827.2 927.3 53 2.576 4.85
CBE COOPER INDS LTD CL A Elec-Misc Products 61.64 2.64 4.47
62
69
19 1372.5 414.4 89 0.638 0.72
CBH COMMERCE BANCORP INC N J COM Banking-Northeast 56.75 1.55 2.81
92
62
19 543.8 1123.9 73 9.744 13.29
CBR CIBER INC COM Comp-Services 7.86 0.34 4.52
74
51
21 350.2 345.5 52 2.238 4.26
CDR CEDAR SHOPPING CTRS INC COM NEW Fin-Equity Reit 14.00 0.05 0.36
36
27
-2 91.0 79.1 2 0.190 8.26
CINF CINCINNATI FINL CORP COM Insur-Prop/Cas/Titl 41.63 0.41 0.99
93
32
13 584.1 381.7 144 1.125 0.78
CK CROMPTON CORP COM Cheml-Specialty 9.93 0.44 4.64
86
95
38 2242.6 1106.1 113 3.042 2.70
CKN CASH SYSTEMS INC COM Office-Equip 7.15 0.64 9.83
52
51
65 142.4 55.5 4 0.028 0.72
CMCSA COMCAST CORP NEW CL A Media-Cable/Wireless 29.11 0.87 3.08
94
25
182 9837.1 6664.9 2091 24.435 1.17
CMCSK COMCAST CORP NEW CL A SPL Media-Cable/Wireless 28.86 0.94 3.37
9
28
-51 7191.4 4731.9 2144 59.305 2.77
CMI CUMMINS INC COM Transpt-Heavy Trucks/Prts 75.30 1.41 1.91
91
91
18 663.1 754.5 41 2.004 4.84
CMP COMPASS MINERALS INTL INC COM Mining-Misc Ores 22.74 0.54 2.43
36
85
23 133.0 94.1 30 0.518 1.76
CMVT COMVERSE TECHNOLOGY INC COM PAR $0.10 Comm-Equip 19.80 0.97 5.15
86
71
180 3365.5 2144.2 194 8.918 4.59
CNT CENTERPOINT PPTYS TR COM Fin-Equity Reit 44.02 0.44 1.01
64
74
38 222.9 109.0 46 1.664 3.63
COGN COGNOS INC COM Comp-Enterprise 36.67 1.15 3.24
90
56
29 1383.7 721.2 90 1.628 1.81
CPF CENTRAL PAC FINL CORP COM Banking-West 28.84 1.32 4.80
37
56
14 182.7 57.6 14 1.105 8.19
CR CRANE CO COM Diversified Operations 29.48 0.56 1.94
39
58
15 321.4 251.9 57 1.367 2.38
CRDN CERADYNE INC CALIF COM Elec-Misc Products 45.01 1.10 2.51
96
96
40 496.2 667.0 14 2.344 16.99
CRK COMSTOCK RES INC COM Oil/Gas-U S Explo/Prod 22.09 1.17 5.59
38
89
16 449.3 396.7 34 0.720 2.13
CRR CARBO CERAMICS INC COM Oil/Gas-Machinery/Equip 74.75 2.61 3.62
71
93
32 131.4 115.2 10 0.570 5.43
CRXL CRUCELL N V SPONSORED ADR Health-Biomed/Genetics 8.55 0.47 5.82
17
93
-9 219.3 112.1 32 0.134 0.42
CTR CATO CORP NEW CL A Retail-Apparel/Shoe 22.80 0.55 2.47
36
40
15 74.5 85.2 19 0.309 1.60
CTXS CITRIX SYS INC COM Comp-Enterprise 19.07 1.55 8.85
46
19
25 4813.2 1633.7 168 5.714 3.39
DFS DEPARTMENT 56 INC COM Consumr-Misc Products 16.25 -0.05 -0.31
6
68
13 82.5 39.2 12 0.243 2.04
DGX QUEST DIAGNOSTICS INC COM Health-Services 88.00 -0.22 -0.25
77
77
20 702.3 527.4 79 5.551 7.02
DHC DANIELSON HLDG CORP COM Insur-Prop/Cas/Titl 6.96 0.87 14.29
61
99
-139 804.5 165.2 50 1.573 3.15
DIOD DIODES INC COM Elec-Semiconductors Mfg 27.25 1.49 5.78
98
91
24 218.7 111.8 6 0.421 6.48
DO DIAMOND OFFSHORE DRILLNG INC COM Oil/Gas-Drilling 33.84 0.85 2.58
42
94
-188 1594.7 1366.2 57 11.362 19.97
DOV DOVER CORP COM Machines-Gen Industrial 39.65 0.78 2.01
84
43
23 1062.2 733.1 201 2.130 1.06
DPL DPL INC COM Utility-Electric 20.82 0.24 1.17
10
64
19 189.8 276.0 124 2.635 2.12
DPTR DELTA PETE CORP COM NEW Oil/Gas-U S Explo/Prod 13.86 0.82 6.29
72
95
82 860.8 507.3 28 3.399 12.18
DSL DOWNEY FINL CORP COM Fin-Savings Loan 56.77 1.81 3.29
12
61
16 83.0 73.6 21 0.491 2.31
DSPG DSP GROUP INC COM Elec-Semiconductors Mfg 21.96 0.91 4.32
93
15
15 274.0 266.5 27 0.668 2.49
DT DEUTSCHE TELEKOM AG SPONSORED ADR Comm-Svcs Intl 19.27 0.61 3.27
45
73
34 924.9 474.6 2349 9.038 0.38
EE EL PASO ELEC CO COM NEW Utility-Electric 16.40 0.33 2.05
41
77
33 522.3 183.5 47 0.733 1.56
EGN ENERGEN CORP COM Utility-Gas 52.88 1.33 2.58
41
79
17 162.1 148.9 33 0.905 2.74
ELNK EARTHLINK INC COM Internet-Services 10.75 0.45 4.37
95
77
21 1434.9 1736.8 130 9.076 6.99
ELRC ELECTRO RENT CORP COM Bus Serv-Leasing 11.50 0.46 4.17
62
26
19 51.8 30.0 21 0.254 1.23
ENTG ENTEGRIS INC COM Elec-Semiconductor Equip 9.21 0.87 10.43
98
13
28 808.8 389.4 40 2.741 6.84
ESL ESTERLINE TECHNOLOGIES CORP COM Diversified Operations 32.97 2.38 7.78
44
87
26 275.6 155.1 20 0.613 3.14
FAC FIRST ACCEPTANCE CORP COM Real Estate-Operations 7.66 0.51 7.13
48
82
-128 183.0 49.1 20 0.290 1.42
FBN FURNITURE BRANDS INTL INC COM Hsehold/Coml Furniture 25.62 0.54 2.15
21
50
16 584.8 460.8 44 2.938 6.66
FCS FAIRCHILD SEMICONDUCTOR INTL COM Elec-Semiconductors Mfg 15.28 1.11 7.83
73
47
46 2848.8 1942.2 82 4.341 5.27
FCTR FIRST CHARTER CORP COM Banking-Southeast 25.13 0.96 3.97
33
75
27 74.9 41.3 28 0.428 1.51
FED FIRSTFED FINL CORP COM Fin-Savings Loan 49.97 1.09 2.23
51
75
13 59.8 62.2 15 0.388 2.57
FFIC FLUSHING FINL CORP COM Fin-Savings Loan 19.50 0.49 2.58
72
73
15 84.0 47.7 17 0.259 1.51
FMBI FIRST MIDWEST BANCORP DEL COM Banking-Midwest 35.52 0.96 2.78
53
56
18 96.6 85.6 44 0.705 1.61
FOE FERRO CORP COM Bldg-Paint Prod 22.46 0.65 2.98
25
25
33 175.6 302.3 38 1.626 4.27
FRK FLORIDA ROCK INDS INC COM Bldg-Cement/Concrt 50.24 1.25 2.55
79
85
19 381.4 250.4 31 1.446 4.62
FTO FRONTIER OIL CORP COM Oil/Gas-Refining/Mktg 24.19 0.58 2.46
82
88
10 482.9 199.8 19 1.158 5.97
FUL FULLER H B CO COM Bldg-Paint Prod 28.06 0.66 2.41
21
54
21 101.3 96.8 28 0.947 3.43
FWHT FINDWHAT COM COM Internet-Services 19.69 0.96 5.13
65
57
34 1011.2 536.7 11 3.887 34.40
FWRD FORWARD AIR CORP COM Transpt-Trucking 41.17 1.15 2.87
81
79
31 211.4 156.7 17 0.369 2.15
GAS NICOR INC COM Utility-Gas 37.43 0.73 1.99
11
51
18 283.6 277.0 44 4.332 9.96
GBX GREENBRIER COS INC COM Transpt-Equip Mfg 25.19 1.19 4.96
98
93
24 66.3 43.5 6 0.091 1.57
GDI GARDNER DENVER INC COM Machines-Gen Industrial 29.11 1.54 5.59
65
72
19 95.0 89.0 16 0.486 3.08
GFF GRIFFON CORP COM Diversified Operations 21.88 0.78 3.70
85
52
14 166.0 131.2 26 3.153 12.13
GGG GRACO INC COM Machines-Gen Industrial 35.61 2.11 6.30
79
81
26 544.4 240.8 66 1.032 1.58
GKSRA G & K SVCS INC CL A Bus Serv-Misc 40.78 1.04 2.62
42
55
24 68.9 45.4 19 0.245 1.28
GLB GLENBOROUGH RLTY TR INC COM Fin-Equity Reit 21.22 0.45 2.17
18
60
-119 202.1 151.2 30 0.824 2.78
GNW GENWORTH FINL INC COM CL A Insur-Life 23.99 0.69 2.96
40
52
12 1763.8 871.1 145 1.779 1.23
GPC GENUINE PARTS CO COM Retail/Whlsle-Auto Parts 39.09 0.71 1.85
50
61
18 557.4 440.2 170 2.493 1.47
GPIC GAMING PARTNERS INTL CORP COM Leisure-Gaming 10.26 1.71 20.00
66
99
38 92.4 12.8 2 0.001 0.05
GTY GETTY RLTY CORP NEW COM Real Estate-Operations 26.89 0.67 2.56
8
54
18 69.1 33.4 13 0.302 2.31
GVA GRANITE CONSTR INC COM Bldg-Heavy Const 25.02 1.12 4.69
13
90
24 345.1 248.3 32 1.291 4.02
HCBK HUDSON CITY BANCORP COM Banking-Northeast 36.00 0.26 0.73
62
64
31 77.8 181.6 51 1.327 2.60
HCN HEALTH CARE REIT INC COM Fin-Equity Reit 35.82 0.62 1.76
36
59
24 300.9 210.1 51 0.855 1.67
HCP HEALTH CARE PPTY INVS INC COM Fin-Equity Reit 26.30 0.30 1.15
64
53
24 534.8 320.5 130 2.929 2.25
HIB HIBERNIA CORP CL A Banking-Southeast 27.02 0.61 2.31
60
75
15 660.8 509.4 150 1.524 1.02
HIW HIGHWOODS PROPERTIES INC COM Fin-Equity Reit 25.38 0.77 3.13
4
45
-110 246.8 222.2 51 1.354 2.65
HMN HORACE MANN EDUCATORS CP NEW COM Insur-Prop/Cas/Titl 17.91 0.33 1.88
89
60
18 333.2 194.4 42 0.918 2.17
HPT HOSPITALITY PPTYS TR COM SH BEN INT Fin-Equity Reit 43.34 0.85 2.00
29
60
13 300.3 202.8 62 1.340 2.14
HRP HRPT PPTYS TR COM SH BEN INT Fin-Equity Reit 11.15 0.16 1.46
62
64
18 519.0 568.9 174 1.908 1.10
HSC HARSCO CORP COM Diversified Operations 46.91 2.01 4.48
54
55
20 184.0 105.4 41 0.138 0.34
HTCH HUTCHINSON TECHNOLOGY INC COM Comp-Memory Devices 28.07 1.34 5.01
19
40
18 346.9 440.2 25 6.346 25.49
HTG HERITAGE PPTY INVT TR INC COM Fin-Equity Reit 29.74 0.57 1.95
32
46
34 215.0 145.4 46 0.904 1.96
HTLD HEARTLAND EXPRESS INC COM Transpt-Trucking 18.98 0.53 2.87
72
56
25 525.0 268.7 45 0.954 2.12
HURC HURCO COMPANIES INC COM Machines-Tools/Rel Prod 14.86 1.47 10.98
99
99
20 798.6 80.1 5 0.067 1.34
IART INTEGRA LIFESCIENCES HLDGS C COM NEW Health-Products 32.99 0.88 2.74
50
44
34 156.8 208.7 21 1.222 5.88
IBN ICICI BK LTD ADR Banking-Foreign 14.25 0.45 3.26
4
86
-23 225.7 303.4 205 0.599 0.29
IDC INTERACTIVE DATA CORP COM Bus Serv-Misc 19.25 0.43 2.28
49
67
25 162.3 105.4 33 1.517 4.60
IDXC IDX SYS CORP COM Comp-Health 33.44 0.99 3.05
61
80
32 171.0 112.0 18 0.488 2.68
IHP IHOP CORP NEW COM Retail-Restaurants 38.56 0.35 0.92
16
62
24 97.1 101.1 20 0.802 4.01
IMN IMATION CORP COM Comp-Memory Devices 37.09 1.50 4.21
29
30
19 267.5 265.6 35 2.777 7.84
IMOS CHIPMOS TECH BERMUDA LTD SHS Elec-Semiconductor Equip 8.02 1.03 14.74
89
99
18 2354.8 691.6 28 0.529 1.91
INT WORLD FUEL SVCS CORP COM Oil/Gas-Field Services 38.75 2.95 8.24
43
54
19 109.2 53.0 11 0.173 1.59
INTL INTER TEL INC COM Comm-Equip 22.91 1.29 5.97
60
28
20 340.4 228.7 20 1.658 8.21
ION IONICS INC COM Pollution Ctl-Equip 27.95 0.95 3.52
6
56
-25 144.3 103.1 20 3.087 15.83
IPCC INFINITY PPTY & CAS CORP COM Insur-Prop/Cas/Titl 30.89 1.36 4.61
82
45
8 128.6 184.2 20 0.488 2.38
IPMT IPAYMENT INC COM Bus Serv-Misc 40.96 0.80 1.99
99
85
28 123.0 117.8 9 0.357 3.92
ITU BANCO ITAU HLDG FINANCIERA S SP ADR 500 PFD Banking-Foreign 58.15 2.65 4.77
99
87
7 302.0 91.3 114 0.674 0.59
IVIL IVILLAGE INC COM Internet-Services 6.31 0.31 5.17
82
97
-37 996.6 344.2 71 3.940 5.56
JDAS JDA SOFTWARE GROUP INC COM Comp-Enterprise 11.44 0.62 5.73
38
14
52 225.7 219.8 28 1.109 3.99
JDO JED OIL INC COM Oil/Gas-Cdn Exp/Prod 12.74 0.25 2.00
22
50
-344 102.9 21.3 2 0.029 1.71
JP JEFFERSON PILOT CORP COM Insur-Life 50.63 0.97 1.95
35
49
14 449.4 557.2 136 2.238 1.64
KEG KEY ENERGY SVCS INC COM Oil/Gas-Field Services 11.50 0.45 4.07
80
74
96 897.0 721.9 130 4.280 3.29
KEX KIRBY CORP COM Transpt-Shipping 41.49 1.34 3.34
61
74
23 92.3 69.6 22 0.648 2.99
KEYW ESSEX CORP COM Comm-Equip 12.54 1.01 8.76
97
98
209 243.3 117.9 8 0.086 1.13
KMI KINDER MORGAN INC KANS COM Utility-Gas 63.39 0.57 0.91
59
55
19 392.2 428.8 96 2.625 2.73
KMT KENNAMETAL INC COM Machines-Tools/Rel Prod 46.30 1.15 2.55
81
61
23 231.0 202.8 36 0.637 1.78
KMX CARMAX INC COM Retail-Misc 22.86 1.31 6.08
31
17
23 3289.9 1372.1 100 12.274 12.29
KOOL THERMOGENESIS CORP COM NEW Health-Instruments 5.00 0.20 4.17
75
85
-45 351.5 105.9 43 1.574 3.68
KRC KILROY RLTY CORP COM Fin-Equity Reit 38.82 0.79 2.08
16
76
28 138.8 119.9 26 1.145 4.42
KTC KT CORP SPONSORED ADR Comm-Svcs Intl 18.73 0.66 3.65
0
28
0 414.7 445.6 318 2.667 0.84
KWK QUICKSILVER RESOURCES INC COM Oil/Gas-U S Explo/Prod 35.10 2.43 7.44
55
97
70 950.8 583.1 45 3.252 7.19
LIFE LIFELINE SYS INC COM Health-Instruments 25.10 0.68 2.78
55
83
33 75.7 27.3 11 0.140 1.27
LLL L-3 COMMUNICATIONS HLDGS INC COM Elec-Military 68.41 1.41 2.10
88
82
22 1175.9 716.4 100 3.115 3.11
LNC LINCOLN NATL CORP COM Insur-Life 48.43 1.43 3.04
61
70
13 834.8 690.6 172 3.139 1.82
LOGI LOGITECH INTERNATIONAL S A SPONSORED ADR Comp-Peripheral Eq 49.29 0.97 2.01
91
84
18 112.5 42.8 44 0.073 0.17
LOJN LO JACK CORP COM Bus Serv-Security 11.15 -0.05 -0.45
85
86
19 233.4 107.1 15 0.126 0.83
LSCC LATTICE SEMICONDUCTOR CORP COM Elec-Semiconductors Mfg 5.26 0.35 7.13
6
11
-23 1701.5 1079.1 111 5.634 5.09
LTD LIMITED BRANDS INC COM Retail-Apparel/Shoe 21.83 -0.46 -2.06
48
81
15 2830.6 2007.9 389 8.117 2.09
LXP LEXINGTON CORPORATE PPTYS TR COM Fin-Equity Reit 22.45 0.74 3.41
49
65
18 204.9 134.6 43 0.835 1.93
LYG LLOYDS TSB GROUP PLC SPONSORED ADR Banking-Foreign 31.94 0.46 1.46
29
49
8 141.8 110.9 1404 0.451 0.03
MAN MANPOWER INC WIS COM Bus Serv-Employment 46.32 1.83 4.11
95
56
21 1064.2 703.7 86 1.408 1.63
MET METLIFE INC COM Insur-Life 39.38 0.73 1.89
80
77
12 2369.6 1907.0 400 6.334 1.58
MFC MANULIFE FINL CORP COM Insur-Diversified 44.27 0.48 1.10
77
81
16 296.9 380.5 796 8.994 1.13
MFE MCAFEE INC COM Internet-Network Svcs 20.72 0.62 3.08
83
85
27 1452.5 1618.4 155 5.148 3.32
MHP MCGRAW HILL COS INC COM Media-Books 79.03 -0.66 -0.83
86
65
20 812.9 584.5 190 1.069 0.56
MHS MEDCO HEALTH SOLUTIONS INC COM Retail-Drug Stores 31.71 0.81 2.62
66
59
18 1604.9 1369.6 52 3.078 5.95
MOLX MOLEX INC COM Elec-Connectors 30.95 1.13 3.79
94
40
34 1047.6 696.8 119 7.919 6.65
MTLG METROLOGIC INSTRS INC COM Comp-Imaging 16.71 0.86 5.43
95
22
20 122.3 134.6 8 0.836 10.45
MXT METRIS COS INC COM Fin-Consum/Bus Loans 9.90 0.12 1.23
8
95
-5 1523.9 571.7 33 9.875 30.02
NAII NATURAL ALTERNATIVES INTL COM NEW Consumr-Cosmetic/Per Care 10.19 0.85 9.10
71
95
22 84.5 34.7 5 0.057 1.24
NCC NATIONAL CITY CORP COM Banking-Super Regional 39.29 0.67 1.73
45
72
11 1950.9 1794.2 583 11.611 1.99
NCI NAVIGANT CONSULTING INC COM Bus Serv-Misc 23.50 1.54 7.01
94
91
39 963.3 268.4 47 3.726 8.00
NCOG NCO GROUP INC COM Bus Serv-Misc 27.30 0.35 1.30
43
51
17 122.9 160.7 29 1.127 3.90
NFLD NORTHFIELD LABORATORIES INC COM Health-Biomed/Genetics 14.30 0.93 6.96
36
95
-13 232.9 171.8 18 4.448 25.27
NGAS NGAS RESOURCES INC COM Oil/Gas-U S Explo/Prod 5.36 0.41 8.28
51
81
30 327.0 139.4 13 0.068 0.54
NHP NATIONWIDE HLTH PPTYS COM Fin-Equity Reit 21.38 0.63 3.04
29
66
24 519.1 282.1 66 2.467 3.75
NNN COMMERCIAL NET LEASE RLTY COM Fin-Equity Reit 18.70 0.48 2.63
31
50
18 151.0 142.9 48 1.054 2.21
NOK NOKIA CORP ADR SPONSORED Comm-Equip 14.39 0.67 4.88
52
26
15 16614.3 11182.0 4556 17.718 0.39
NOVN NOVEN PHARMACEUTICALS INC COM Health-Drugs 21.95 1.11 5.33
37
87
39 208.5 148.2 23 0.537 2.31
NVI NATIONAL VISION INC COM Retail-Apparel/Shoe 5.70 0.57 11.11
93
99
5 303.9 66.8 4 0.000 0.00
O REALTY INCOME CORP COM Fin-Equity Reit 46.15 1.12 2.49
33
59
19 211.0 124.7 38 1.501 3.91
OII OCEANEERING INTL INC COM Oil/Gas-Field Services 38.77 1.93 5.24
25
87
31 313.2 183.7 24 0.598 2.48
OLN OLIN CORP COM PAR $1. Diversified Operations 19.65 -0.35 -1.75
63
70
61 1210.3 499.8 60 4.303 7.17
OMC OMNICOM GROUP INC COM Bus Serv-Advertising 73.80 0.74 1.01
60
36
20 1548.4 1038.3 180 3.573 1.99
ORCL ORACLE CORP COM Comp-Enterprise 11.90 0.62 5.50
69
37
22 69549.6 43703.2 3810 43.375 1.14
OSK OSHKOSH TRUCK CORP COM Machines-Const/Mining 59.07 2.01 3.52
74
80
19 299.0 219.1 32 0.814 2.52
OVRL OVERLAND STORAGE INC COM Comp-Memory Devices 14.42 0.43 3.07
22
45
18 175.4 92.7 11 0.200 1.80
PBCP PROVIDENT BANCORP INC DEL COM Fin-Savings Loan 11.92 0.18 1.53
35
66
46 65.1 64.1 18 1.054 5.92
PBI PITNEY BOWES INC COM Office-Equip 45.30 1.20 2.72
30
51
20 1100.9 497.0 231 1.802 0.78
PBR PETROBRAS BRASILEIRO ADR SPONSORED Oil/Gas-Intl Integrated 36.72 1.47 4.17
27
91
7 2446.7 1162.5 610 2.932 0.48
PBR A PETROLEO BRASILEIRO SA PETRO SPONSORED ADR Oil/Gas-Refining/Mktg 32.99 1.07 3.35
0
90
0 1529.5 746.0 63 3.069 4.89
PCAR PACCAR INC COM Transpt-Heavy Trucks/Prts 70.59 1.47 2.13
88
86
18 1229.1 1126.2 151 3.712 2.45
PCG PG&E CORP COM Utility-Electric 30.46 0.06 0.20
44
66
17 1485.1 1697.0 365 14.508 3.98
PCL PLUM CREEK TIMBER CO INC COM Fin-Equity Reit 35.48 0.45 1.28
66
72
21 726.9 500.4 182 2.867 1.58
PCP PRECISION CASTPARTS CORP COM Aerospace-Defense Eqp 61.53 1.48 2.46
35
88
24 311.7 373.7 65 1.097 1.69
PCSA AIRGATE PCS INC COM NEW Comm-Wireless 20.57 0.97 4.95
59
79
-4 108.6 69.1 11 0.348 3.25
PCTY PARTY CITY CORP COM Retail-Discount 15.15 0.38 2.57
48
75
19 80.8 65.6 13 0.212 1.61
PDQ PRIME HOSPITALITY CORP COM Leisure-Hotels Motels 12.23 0.06 0.49
58
84
612 419.8 526.9 37 1.713 4.68
PFG PRINCIPAL FINANCIAL GROUP IN COM Insur-Diversified 36.71 0.74 2.06
36
56
17 873.9 888.4 310 4.458 1.44
PHI PHILIPPINE LONG DISTANCE TEL ADR SPONSORED Comm-Svcs Intl 25.84 0.80 3.19
58
93
13 224.5 152.5 142 1.672 1.17
PKOH PARK OHIO HLDGS CORP COM Diversified Operations 20.97 3.07 17.15
90
98
-43 300.9 85.8 7 0.046 0.69
PLMD POLYMEDICA INDS INC COM Health-Whlsle Drg/Sund 31.48 0.68 2.21
40
56
21 160.3 186.1 21 3.931 18.72
PLT PLANTRONICS INC NEW COM Elec-Misc Products 45.05 1.81 4.19
91
89
30 655.4 368.7 46 0.988 2.12
PMACA PMA CAP CORP CL A Insur-Prop/Cas/Titl 8.13 0.58 7.68
1
21
-2 414.6 219.6 28 1.479 5.23
PMTI PALOMAR MED TECHNOLOGIES INC COM NEW Health-Instruments 24.07 2.15 9.81
94
99
80 1333.3 296.5 13 1.349 10.62
PNM PNM RES INC COM Utility-Electric 22.96 0.45 2.00
38
65
17 220.9 211.7 60 1.889 3.13
PNP PAN PAC RETAIL PPTYS INC COM Fin-Equity Reit 55.25 1.15 2.13
57
68
23 209.0 178.1 40 0.644 1.63
PNX PHOENIX COS INC NEW COM Insur-Life 11.02 0.60 5.76
52
23
15 217.4 353.4 89 7.586 8.52
POL POLYONE CORP COM Cheml-Plastics 8.15 0.63 8.38
61
94
-29 994.9 318.6 90 1.783 1.99
PQE PROQUEST COMPANY COM Bus Serv-Misc 26.15 0.45 1.75
50
23
15 136.6 111.6 19 3.538 18.82
PRA PROASSURANCE CORP COM Insur-Prop/Cas/Titl 35.75 0.73 2.08
88
73
21 82.5 88.2 27 1.000 3.75
PRE PARTNERRE LTD COM Insur-Prop/Cas/Titl 55.81 1.12 2.05
39
39
7 403.5 262.3 54 0.789 1.47
PRPX PORTEC RAIL PRODS INC COM Transpt-Equip Mfg 8.30 0.60 7.79
32
45
19 62.2 7.5 4 0.012 0.32
PSFT PEOPLESOFT INC COM Comp-Enterprise 22.83 2.98 15.01
12
85
176 73615.9 6617.7 329 8.467 2.57
PTR PETROCHINA CO LTD SPONSORED ADR Oil/Gas-Intl Integrated 54.40 0.64 1.19
49
90
10 370.5 273.9 174 0.965 0.55
PWAV POWERWAVE TECHNOLOGIES INC COM Comm-Equip 6.58 0.42 6.82
25
22
-14 1495.1 1211.5 103 5.156 5.02
PXP PLAINS EXPL& PRODTN CO COM Oil/Gas-U S Explo/Prod 24.68 0.82 3.44
33
94
16 696.1 439.0 71 2.730 3.83
PZE PETROBRAS ENERGIA PARTCPTNS SP ADR B SHS Oil/Gas-Intl Integrated 11.30 0.31 2.82
16
80
7 69.2 92.8 88 0.229 0.26
RCI RENAL CARE GROUP INC COM Health-Outpnt/Hm Care 32.64 0.41 1.27
82
75
21 404.3 236.2 66 1.842 2.80
RE EVEREST RE GROUP LTD COM Insur-Prop/Cas/Titl 75.50 1.17 1.57
64
23
8 481.0 366.1 56 0.197 0.35
RES RPC INC COM Oil/Gas-Field Services 18.74 0.86 4.81
83
92
28 113.9 57.4 10 0.134 1.38
RESC ROANOKE ELEC STL CORP COM Steel-Producers 15.49 1.17 8.17
98
84
11 285.7 17.8 10 0.002 0.02
RGC REGAL ENTMT GROUP CL A Leisure-Movies 19.40 0.30 1.57
19
48
21 931.7 495.4 19 4.702 24.24
RGF R & G FINANCIAL CORP CL B Banking-Southeast 39.90 1.25 3.23
90
94
15 123.4 149.2 16 0.709 4.43
RIG TRANSOCEAN INC ORD Oil/Gas-Drilling 36.51 0.73 2.04
13
93
124 3935.1 3436.2 301 16.955 5.63
RIV RIVIERA HLDGS CORP COM Leisure-Gaming 18.53 -0.77 -3.99
83
99
-10 65.7 20.5 2 0.005 0.20
ROL ROLLINS INC COM Bldg-Maintenance 25.47 1.18 4.86
85
81
25 114.1 98.4 19 0.734 3.82
ROS ROSTELECOM LONG DISTANCE & I ADR SPONSORED Comm-Svcs Intl 13.81 0.28 2.07
36
78
12 95.9 72.4 58 0.284 0.49
RRI RELIANT ENERGY INC COM Utility-Electric 10.02 0.69 7.40
3
85
-3 3053.6 1412.2 292 12.361 4.23
RSTI ROFIN SINAR TECHNOLOGIES INC COM Elec-Lasers Sys 31.11 1.73 5.89
94
91
18 216.8 141.4 15 0.266 1.81
RYAN RYANS RESTAURANT GROUP INC COM Retail-Restaurants 15.44 0.60 4.04
58
48
13 164.8 168.6 41 1.070 2.58
SFI ISTAR FINL INC COM Fin-Equity Reit 42.00 0.77 1.87
63
45
14 380.9 266.2 102 0.726 0.71
SGTL SIGMATEL INC COM Elec-Semiconductors Mfg 23.41 2.20 10.37
88
37
33 2451.5 502.3 35 1.407 4.02
SHI SINOPEC SHANGHAI PETROCHEMIC SPON ADR H Cheml-Basic 39.25 0.54 1.39
67
94
9 64.0 45.5 44 0.175 0.40
SHLM SCHULMAN A INC COM Cheml-Plastics 22.54 0.50 2.27
49
76
24 154.9 125.2 26 0.913 3.47
SII SMITH INTL INC COM Oil/Gas-Machinery/Equip 61.77 1.04 1.71
36
88
43 1101.4 1294.7 79 6.784 8.63
SIMG SILICON IMAGE INC COM Elec-Semiconductors Mfg 14.40 1.76 13.92
47
97
-160 4851.3 927.7 72 2.602 3.59
SINT SI INTL INC COM Comp-Services 25.25 3.34 15.24
87
86
24 1874.4 105.0 5 0.320 6.96
SIR SIRVA INC COM Transpt-Trucking 24.16 1.26 5.50
96
61
43 584.3 213.7 70 0.562 0.81
SIVB SILICON VY BANCSHARES COM Banking-West 38.28 1.11 2.99
48
73
45 383.2 257.7 26 2.634 10.09
SJR SHAW COMMUNICATIONS INC CL B CV Media-Cable/Wireless 17.28 0.60 3.60
93
68
246 68.4 53.8 194 1.035 0.53
SKIL SKILLSOFT PLC SPONSORED ADR Internet-Services 6.93 0.24 3.59
40
45
30 187.3 395.1 89 1.214 1.37
SKYW SKYWEST INC COM Transpt-Airlines 15.83 0.78 5.18
59
20
12 599.6 453.0 34 2.153 6.26
SLB SCHLUMBERGER LTD COM Oil/Gas-Field Services 68.25 0.94 1.40
40
78
47 5061.0 3593.0 570 7.915 1.39
SLG SL GREEN RLTY CORP COM Fin-Equity Reit 52.49 0.68 1.31
46
76
20 248.2 190.3 31 1.115 3.60
SNH SENIOR HSG PPTYS TR SH BEN INT Fin-Equity Reit 18.32 0.50 2.81
44
65
22 211.2 159.9 32 1.290 4.07
SNSA STOLT NIELSEN S A SP ADR REG COM Oil/Gas-Field Services 20.89 0.44 2.15
38
97
-4 50.8 53.6 18 0.192 1.09
SNV SYNOVUS FINL CORP COM Banking-Southeast 26.94 0.79 3.02
60
39
20 833.2 433.8 238 4.500 1.89
SNX SYNNEX CORP COM Elec-Parts Distributors 18.80 1.10 6.21
66
83
14 94.5 36.9 6 0.406 6.55
SRNA SERENA SOFTWARE INC COM Comp-Enterprise 17.93 1.20 7.17
91
24
19 739.7 488.3 25 2.546 10.06
SSI SPECTRASITE INC COM Comm-Svcs US 46.16 -0.34 -0.73
43
70
110 385.5 250.0 49 1.054 2.16
STC STEWART INFORMATION SVCS CRP COM Insur-Prop/Cas/Titl 41.90 2.50 6.35
19
88
7 116.3 72.1 17 0.371 2.18
STI SUNTRUST BKS INC COM Banking-Super Regional 71.24 0.83 1.18
48
63
14 2192.1 1004.6 244 10.287 4.21
STO STATOIL ASA SPONSORED ADR Oil/Gas-Intl Integrated 14.80 0.36 2.49
47
86
12 141.0 115.0 390 0.043 0.01
STSA STERLING FINL CORP WASH COM Fin-Savings Loan 36.00 0.76 2.16
53
79
17 64.2 77.2 21 0.822 3.91
STZ CONSTELLATION BRANDS INC CL A Beverages-Alcoholic 39.03 0.97 2.55
73
67
16 873.6 423.5 93 2.267 2.44
SUI SUN CMNTYS INC COM Fin-Equity Reit 39.95 0.76 1.94
2
45
-19 95.4 59.6 17 0.414 2.48
SWM SCHWEITZER-MAUDUIT INTL INC COM Paper Products 34.00 1.60 4.94
34
77
15 53.0 41.1 13 0.411 3.19
SYNA SYNAPTICS INC COM Comp-Peripheral Eq 21.66 1.50 7.44
63
94
44 1141.3 496.3 18 2.097 11.78
TARO TARO PHARMACEUTICAL INDS LTD ORD PAR IL 100 Health-Drugs Generic 23.75 0.38 1.63
5
1
21 1659.4 1151.6 26 1.418 5.43
TCR CORNERSTONE RLTY INCOME TR I COM Fin-Equity Reit 10.00 0.24 2.46
15
70
-56 212.8 121.5 49 1.087 2.20
TEF TELEFONICA S A ADR SPONSORED Comm-Svcs Intl 46.70 1.71 3.80
29
67
27 189.8 117.9 1536 0.695 0.05
TELK TELIK INC COM Health-Biomed/Genetics 23.53 1.23 5.52
22
49
-16 1069.5 643.2 40 3.709 9.20
TII THOMAS INDS INC COM Machines-Gen Industrial 33.00 1.60 5.10
61
56
15 125.2 37.5 13 0.232 1.74
TINY HARRIS & HARRIS GROUP INC COM Fin-Traded Equity Funds 11.35 1.01 9.77
42
76
-49 677.9 302.5 16 1.802 11.48
TKC TURKCELL ILETISIM HIZMETLERI SPON ADR NEW Comm-Wireless 11.83 0.62 5.53
94
90
15 408.7 200.0 115 0.731 0.63
TKR TIMKEN CO COM Metal Industrial Products 25.49 0.87 3.53
84
81
30 668.4 324.4 65 2.488 3.80
TMK TORCHMARK CORP COM Insur-Life 54.46 1.28 2.41
65
66
14 419.0 401.1 106 2.110 1.99
TNB THOMAS & BETTS CORP COM Elec-Connectors 28.17 1.35 5.03
92
87
25 394.1 429.2 58 1.842 3.19
TNP TSAKOS ENERGY NAVIGATION LTD SHS Transpt-Shipping 36.57 1.42 4.04
74
96
8 243.9 251.4 17 0.281 1.68
TNT AO TATNEFT ADR SPONS REG S Oil/Gas-Intl Specialty 33.01 1.41 4.46
7
91
6 78.0 57.4 65 0.329 0.50
TOC THOMSON CORP COM Diversified Operations 35.49 0.80 2.31
98
54
23 57.2 27.0 211 0.579 0.27
TOO TOO INC COM Retail-Apparel/Shoe 18.70 0.63 3.49
33
77
22 764.3 384.4 34 1.395 4.07
TRBS TEXAS REGL BANCSHARES INC CL A VTG Banking-West 31.91 0.82 2.64
64
74
22 125.9 143.6 42 0.537 1.28
TRMK TRUSTMARK CORP COM Banking-Southeast 32.36 1.28 4.12
57
67
15 108.9 88.8 40 0.639 1.59
TRMS TRIMERIS INC COM Health-Biomed/Genetics 15.95 0.90 5.98
69
15
-6 308.8 240.6 19 3.028 16.11
TRO TELE CENTRO OESTE CELULAR PA ADR SPON REP PF Comm-Wireless 10.75 0.55 5.39
66
83
8 314.3 193.5 48 0.615 1.27
TSRA TESSERA TECHNOLOGIES INC COM Elec-Semiconductors Mfg 24.91 2.81 12.71
4
93
51 1769.0 424.1 39 1.054 2.71
TUP TUPPERWARE CORP COM Hsehold-Housewares 17.94 0.96 5.65
53
65
16 1546.1 433.4 44 6.359 14.49
TXU TXU CORP COM Utility-Electric 48.70 0.78 1.63
26
93
21 2235.4 2293.0 294 11.566 3.94
TY TRI CONTL CORP COM Fin-Traded Equity Funds 16.90 0.29 1.75
59
49
4 133.1 98.6 116 0.880 0.76
UBB UNIBANCO-UNIAO DE BANCOS BRA GDR REP PFD UT Banking-Foreign 25.80 1.57 6.48
82
75
14 775.8 385.5 76 1.128 1.48
UFPI UNIVERSAL FST PRODS INC COM Bldg-Wood Prod 36.30 2.10 6.14
74
81
15 122.3 57.0 16 0.633 4.01
UNFI UNITED NAT FOODS INC COM Retail/Whlsle-Food 27.63 1.03 3.87
79
84
35 308.4 367.7 34 2.816 8.26
USFC USF CORP COM Transpt-Trucking 37.16 1.27 3.54
88
60
19 247.0 142.7 28 1.116 4.04
USM UNITED STATES CELLULAR CORP COM Comm-Wireless 44.65 1.50 3.48
48
84
29 59.0 62.9 9 0.380 4.22
UTEK ULTRATECH INC COM Elec-Semiconductor Equip 17.62 1.95 12.44
38
20
104 614.9 426.2 21 1.761 8.23
VIP OPEN JT STK CO-VIMPELCOMMUNI ADR SPONSORED Comm-Wireless 114.74 5.94 5.46
91
92
16 587.5 439.8 31 0.922 3.02
VOL VOLT INFORMATION SCIENCES IN COM Bus Serv-Employment 29.70 0.93 3.23
99
85
24 79.2 32.5 8 0.128 1.58
VRC VARCO INTL INC DEL COM Oil/Gas-Field Services 27.65 0.83 3.09
37
90
31 680.4 1201.8 77 1.409 1.82
VRSN VERISIGN INC COM Internet-Network Svcs 20.98 1.10 5.53
27
86
78 6630.8 2535.7 249 10.922 4.39
VVC VECTREN CORP COM Utility-Gas 25.34 0.16 0.64
17
38
18 151.3 168.9 72 1.139 1.58
WABC WESTAMERICA BANCORPORATION COM Banking-West 56.18 1.29 2.35
68
68
19 80.9 84.6 29 1.122 3.84
WEDC WHITE ELECTRONICS DESIGNS CO COM Elec-Misc Products 5.32 0.43 8.79
14
7
18 248.9 84.3 19 0.283 1.46
WFT WEATHERFORD INTERNATIONAL LT COM Oil/Gas-Machinery/Equip 51.88 0.86 1.69
35
82
33 1369.3 1163.1 108 4.554 4.21
WIT WIPRO LTD SPON ADR 1 SH Comp-Services 19.30 0.41 2.17
85
95
53 455.2 159.0 111 1.469 1.32
WMB WILLIAMS COS INC COM Oil/Gas-Prod/Pipeline 12.48 0.38 3.14
3
63
-78 5901.5 2306.9 520 14.617 2.81
WPP WAUSAU-MOSINEE PAPER CORP COM Paper Products 17.37 0.72 4.32
71
69
48 192.6 123.1 36 0.924 2.57
WRI WEINGARTEN RLTY INVS COM Fin-Equity Reit 33.84 0.83 2.51
29
54
26 314.4 247.4 68 0.892 1.32
WSBC WESBANCO INC COM Banking-Southeast 30.59 1.51 5.19
68
69
16 76.1 28.4 18 0.356 1.92
WST WEST PHARMACEUTICAL SVCS INC COM Health-Dent/Med Supplies 21.53 0.68 3.26
55
68
14 82.8 61.3 30 0.530 1.78
WTNY WHITNEY HLDG CORP COM Banking-Southeast 42.83 0.83 1.98
48
54
18 50.3 76.2 38 0.268 0.71
WTR AQUA AMERICA INC COM Utility-Water 22.25 0.14 0.63
58
62
27 149.0 139.2 93 2.215 2.39
WTZ WESTERN SILVER CORP COM Mining-Misc Ores 9.78 0.38 4.04
17
98
-88 248.9 224.3 31 0.937 3.02
WWW WOLVERINE WORLD WIDE INC COM Shoes & Apparel 26.36 1.16 4.60
43
69
18 275.8 182.1 38 1.168 3.07
XRAY DENTSPLY INTL INC NEW COM Health-Dent/Med Supplies 53.33 1.39 2.68
78
54
23 491.2 357.6 71 1.607 2.26
ZOLT ZOLTEK COS INC COM Cheml-Specialty 9.05 0.16 1.80
26
99
-10 90.5 33.9 11 1.205 11.26