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Most Owned Stocks 5

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This is a ValueWiki ranking of stocks owned by the most Funds.
This data is culled from the the top 25 holdings of all US Funds.
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337. AIM Mid Cap Basic Value Fund: 15

337. AIM Real Estate Fund: 15

337. ALCATEL LUCENT: 15

337. BARCLAYS PLC ADR: 15

337. Black Box Corporation: 15

337. BOK Financial Corporation: 15

337. C: 15

337. CENTERPOINT ENERGY: 15

337. Coinstar, Inc.: 15

337. Columbia Acorn Tr, Acorn USA Fd Cl Z: 15

337. Columbia Fds Srs Tr I, Mid Cap Growth Fund Class Z: 15

337. Columbia Fds Srs Tr, MidCap Value Fund Class Z: 15

337. Columbia Fds Srs Tr, Columbia International Value Fund Class Z: 15

337. Columbia Fds Srs Tr, Columbia Marsico International Opportuniti: 15

337. Columbia Fds Srs Tr, Columbia Small Company Fund Class Z: 15

337. Columbia Fds Srs Tr, Columbia Convertible Securities Fund Class: 15

337. Columbia Fds Srs Tr, Columbia SmallCap Value II Fund Class Z: 15

337. Columbia Fds Srs Tr, Large Cap Core Fund Class Z: 15

337. Columbia Fds Srs Tr, Marsico Focused Equities Fund Class Z: 15

337. CONS GRAPHICS INC: 15

337. Delaware American Government Bond Fund: 15

337. Delaware Corporate Bond Fund: 15

337. Delaware Emerging Markets Fund: 15

337. Delaware High: 15

337. Delaware Inflation Protected Bond Fund Insti Class: 15

337. Delaware International Equity Fund: 15

337. Delaware Large Cap Growth Fund Class I: 15

337. Delaware Limited: 15

337. Delaware Select Growth Fund: 15

337. Delaware Small Cap Core Fund Institutional: 15

337. Delaware Trend Fund: 15

337. E D O CP: 15

337. First American Mid Cap Growth Opportunities Cl Y: 15

337. First American Mid Cap Value Fund Y: 15

337. First American Small Cap Select Cl Y: 15

337. Flow International Corporation: 15

337. Gartmore Emerging Markets: 15

337. Gartmore International Growth: 15

337. Gartmore Nationwide Fund: 15

337. Gartmore U.S. Growth Leaders: 15

337. GETTY RLTY HLDG CO: 15

337. Goldman Sachs Global Income Fund Institutional Shares: 15

337. Goldman Sachs High Yield Fund Institutional Shares: 15

337. Goldman Sachs Real Estate Securities Fund: 15

337. Goldman Sachs Structured International Equity Fund Institutional: 15

337. Goldman Sachs Structured Large Cap Growth Fund Institutional Sh: 15

337. Goldman Sachs Structured Small Cap Equity Fund Institutional Sha: 15

337. GRAMERCY CAP CORP: 15

337. IBERIABANK Corporation: 15

337. ISHARE RUS 1000 VALU: 15

337. ISHARE RUS 1000 VALU: 15

337. ISHARE RUS MC INDX: 15

337. ISHARES DOW SEL DIV: 15

337. ISHARES GS $ INVEST: 15

337. JO: 15

337. John Hancock Funds II Large Cap Fund NAV Class: 15

337. KADANT INC: 15

337. Kensey Nash Corporation: 15

337. KINDRED HEALTHCARE#: 15

337. Knot, Inc. (The): 15

337. MassMutual Premier Short: 15

337. MassMutual Select Aggressive Growth Fd Cl S: 15

337. MassMutual Select Focused Value Fd Cl S: 15

337. MERCURY GENERAL CP: 15

337. MITTAL STEEL CO NV: 15

337. Morningstar, Inc.: 15

337. NEWMARKET CORP: 15

337. Oppenheimer Core Bond Fund Class Y: 15

337. Oppenheimer Main Street Opportunity Fd Cl Y: 15

337. Oppenheimer Main Street Small Cap Fd Cl Y: 15

337. Oppenheimer Real Estate Fund Class Y: 15

337. Perficient, Inc.: 15

337. PIMCO Fds Emerging Markets Bond Fd Institu: 15

337. PIMCO Funds High Yield Fund Institutional Shares: 15

337. PIMCO Funds Total Return Fund Institutional Shares: 15

337. Ryanair Holdings plc: 15

337. SafeNet Inc: 15

337. SEI International Equity Fund A Shares: 15

337. Smith & Wesson Holding Corporation: 15

337. SMITHFIELD FOODS: 15

337. STERIS CORP: 15

337. Symyx Technologies, Inc.: 15

337. TANGER FACTORY OUT: 15

337. Tekelec: 15

337. TELEFONICA SA: 15

337. TENNECO INC: 15

337. The Bancorp, Inc.: 15

337. United America Indemnity, Ltd.: 15

337. UNITED IND CP: 15

337. Vanguard Bond Index Fund Total Bond Market Index Fd: 15

337. Vanguard Index Trust Total Stock Market Index Fund: 15

337. VISTEON CP: 15

338. Advent Software, Inc.: 14

338. Ansoft Corporation: 14

338. ARBITRON INC: 14

338. AVIS BUDGET GROUP, I: 14

338. AZTAR CP: 14

338. BancFirst Corporation: 14

338. BANKATLANTIC BNCP A: 14

338. BHP BILLITON LIMITED: 14

338. CAPITOL BANCORP LTD: 14

338. Cascade Bancorp: 14

338. CENTRAL PACIFIC FNCL: 14

338. City Holding Company: 14

338. CNS, Inc.: 14

338. Connetics Corporation: 14

338. Cree, Inc.: 14

338. FARO Technologies, Inc.: 14

338. FIVE STAR QUAL CARE: 14

338. Fuel: 14

338. GENERAL MARITIME CP: 14

338. Genesis HealthCare Corporation: 14

338. Global Crossing Ltd.: 14

338. HAEMONETICS CP: 14

338. I H O P CORP: 14

338. Interwoven, Inc.: 14

338. Intevac, Inc.: 14

338. ISHARE RUS 2000 INDX: 14

338. ISHARE RUS 2000 INDX: 14

338. John Hancock Funds II Large Cap Value Fd NAV Class: 14

338. John Hancock Funds II Small Company Value Fund NAV Class: 14

338. John Hancock Funds II U.S. Government Securities Fund NAV Class: 14

338. LOUISIANA PACIFIC CP: 14

338. Martek Biosciences Corporation: 14

338. METAL MGMT INC: 14

338. MKS Instruments, Inc.: 14

338. NACCO INDS CL A: 14

338. OLD NATIONAL BANCORP: 14

338. Oppenheimer International Bond Fund Class Y: 14

338. Orbotech Ltd.: 14

338. OXFORD INDS: 14

338. PARKER DRILLING CO: 14

338. PETROCHINA CO ADS: 14

338. Pozen, Inc.: 14

338. Raven Industries, Inc.: 14

338. RiverSource Aggressive Growth Fund Class I: 14

338. RiverSource Diversified Equity Income Fund Class I: 14

338. RiverSource Fundamental Growth Fund Class I: 14

338. RiverSource Fundamental Value Fund Class I: 14

338. RiverSource Growth Fund Class I: 14

338. RiverSource Inflation Protection Securites Fund Class I: 14

338. RiverSource International Aggressive Growth Fund Class I: 14

338. RiverSource International Equity Fund Class I: 14

338. RiverSource International Opportunity Fund Class I: 14

338. RiverSource International Select Value Fund Class I: 14

338. RiverSource Large Cap Equity Fund Class I: 14

338. RiverSource Small Cap Growth Fund Class I: 14

338. RiverSource Value Fund Class I: 14

338. Salix Pharmaceuticals, Ltd.: 14

338. Sanmina: 14

338. Santarus, Inc.: 14

338. Semtech Corporation: 14

338. STEINWAY MUSICAL: 14

338. Symmetricom, Inc.: 14

338. TSAKOS ENERGY NAVIG: 14

338. UNIONBANCAL CP: 14

338. WEBSTER FINL CORP: 14

338. WESTWOOD ONE INC: 14

338. WILMINGTON TRUST CP: 14

339. 24/7 Real Media, Inc.: 13

339. Ambassadors Group, Inc.: 13

339. Amkor Technology, Inc.: 13

339. Amsurg Corp.: 13

339. Axcelis Technologies, Inc.: 13

339. BARNES GP INC: 13

339. BASIC ENERGY SRVC: 13

339. BUCKLE INC: 13

339. C N A SURETY CP: 13

339. Cogent, Inc.: 13

339. COHN & STEERS: 13

339. Columbus McKinnon Corporation: 13

339. DEUTSCHE BANK AG: 13

339. Diamond Management & Technology Consultants, Inc.: 13

339. DOWNEY FINANCIAL CP: 13

339. E N I SPA ADR: 13

339. ENPRO INDUSTRIES INC: 13

339. ENTRAVISION COMM CP: 13

339. FEI Company: 13

339. Finish Line, Inc. (The): 13

339. First Consulting Group, Inc.: 13

339. Glacier Bancorp, Inc.: 13

339. GLIMCHER RAELTY TRST: 13

339. HEICO CP: 13

339. ICICI BK LTD ADS: 13

339. Iconix Brand Group, Inc.: 13

339. ICU Medical, Inc.: 13

339. John Hancock Classic Value Fund Class I: 13

339. Kos Pharmaceuticals, Inc.: 13

339. LANDAUR INC: 13

339. LG. PHILIPS: 13

339. LSI Industries Inc.: 13

339. MCCLATCHY CO HLD: 13

339. Medallion Financial Corp.: 13

339. Millicom International Cellular S.A.: 13

339. MSC.Software Corporation: 13

339. NEENAH PAPER INC: 13

339. O2Micro International Limited: 13

339. R P C INC: 13

339. SERONO SA ADS: 13

339. Shanda Interactive Entertainment Limited: 13

339. SYNNEX CORP: 13

339. TALX Corporation: 13

339. The Vantagepoint Funds, Equity Income Fund: 13

339. The Vantagepoint Funds, International Fund: 13

339. The Vantagepoint Growth & Income Fund: 13

339. TIMBERLAND CO A: 13

339. UNISOURCE ENERGY CP: 13

339. United Community Banks, Inc.: 13

339. UNIVERSAL CP: 13

339. Verint Systems Inc.: 13

340. ALEXANDERS INC: 12

340. Align Technology, Inc.: 12

340. AMER ST WATER: 12

340. Amerco: 12

340. ANGLOGOLD ASHANTI LT: 12

340. Applied Micro Circuits Corporation: 12

340. ARM Holdings, plc: 12

340. Atlantic Tele: 12

340. AXA Enterprise Multimanager Mid Cap Growth Fund Class Y: 12

340. AXA Enterprise Short Duration Bond Fund Class Y: 12

340. AXA Enterprise Small Company Growth Fund Class Y: 12

340. AXA Enterprise Small Company Value Fund Class Y: 12

340. BB&T Total Return Bond Fund: 12

340. BRUNSWICK CP: 12

340. CBRL Group Inc.: 12

340. CKE RESTAURANTS: 12

340. CKX, Inc.: 12

340. Computer Programs and Systems, Inc.: 12

340. Comtech Group, Inc.: 12

340. Courier Corporation: 12

340. Covansys Corporation: 12

340. Dionex Corporation: 12

340. Dryden International Equity Fund Class C: 12

340. Dryden Large: 12

340. DWS High Income Srs, DWS High Income Fund: 12

340. DWS Insti Fds, DWS Commodity Securities Fund Class Institutional: 12

340. DWS International Fd, DWS Emerging Markets Fund Class S: 12

340. DWS Securities Tr, Health Care Fd Institutional: 12

340. DWS Technology Fd, DWS Technology Fund: 12

340. DWS Value Srs, DWS Dreman Small Cap Value Fund: 12

340. ENBRIDGE INC: 12

340. Erie Indemnity Company: 12

340. Evergreen Core Bond Fund Class I: 12

340. Evergreen Disciplined Value Fund Insti Shs: 12

340. Evergreen International Equity Fund: 12

340. Evergreen Ultra Short Opportunities Fund Class I: 12

340. Fidelity Blue Chip Growth Fund: 12

340. Fidelity Capital and Income Fund: 12

340. Fidelity Disciplined Equity Fund: 12

340. Fidelity Equity Income Fund: 12

340. Fidelity Growth and Income Pt: 12

340. Fidelity Growth Co Fund: 12

340. Fidelity High Income Fund: 12

340. Fidelity Mid: 12

340. Fidelity OTC Pt: 12

340. Fidelity Small Cap Growth Fund: 12

340. Fidelity Small Cap Independence: 12

340. Fidelity Small Cap Value Fund: 12

340. Fidelity Value Fund: 12

340. FPIC Insurance Group, Inc.: 12

340. Franklin Flex Cap Growth Fund, Advisor Class: 12

340. Gentiva Health Services, Inc.: 12

340. Gevity HR, Inc.: 12

340. Gibraltar Industries, Inc.: 12

340. GOODYEAR TIRE RUBBER: 12

340. GuideStone Fds, Equity Index Fund GS2 Class: 12

340. GuideStone Fds, Equity Index Fund GS4 Class: 12

340. GuideStone Fds, Growth Equity Fund GS2 Class: 12

340. GuideStone Fds, Growth Equity Fund GS4 Class: 12

340. GuideStone Fds, International Equity Fund GS2 Class: 12

340. GuideStone Fds, International Equity Fund GS4 Class: 12

340. GuideStone Fds, Low: 12

340. GuideStone Fds, Low: 12

340. GuideStone Fds, Small Cap Equity Fund GS4 Class: 12

340. GuideStone Fds, Value Equity Fund GS4 Class: 12

340. GulfMark Offshore, Inc.: 12

340. HARTE HANKS INC: 12

340. HNI CORP INC: 12

340. HOVNANIAN ENT INC: 12

340. HUB INTL LTD: 12

340. ING Baron Small Cap Growth Ptfl: 12

340. ING Oppenheimer Strategic Income Portf Initial Class: 12

340. ING UBS US Small Cap Growth Portfolio Initial Class: 12

340. J & J Snack Foods Corp.: 12

340. Jennison 20/20 Focus Fund Class R: 12

340. Jennison Equity Opportunity Fund Class R: 12

340. Jennison Growth Fund Class R: 12

340. Jennison U.S. Emerging Growth Fund Class R: 12

340. Jennison Value Fund Class R: 12

340. JPMorgan Core Plus Bond Select: 12

340. JPMorgan Government Bond Fund Select: 12

340. JPMorgan Intermediate Bond Fund Select: 12

340. JPMorgan International Equity Fund Select: 12

340. JPMorgan Market Expansion Index Fund Select: 12

340. JPMorgan Ultra Short Duration Bond Fund Select: 12

340. Legg Mason Partners Core Plus Bond Fund Inc. Y: 12

340. Legg Mason Partners Inv Tr, Large Capitalization Growth Fund Cla: 12

340. LEGGETT PLATT INC: 12

340. MainStay Floating Rate Fund Class I: 12

340. MainStay High Yield Corporate Bond Fund Class I: 12

340. MainStay ICAP Equity Fund Class I: 12

340. MainStay ICAP International Fund Class I: 12

340. MainStay Indexed Bond Fund Class I: 12

340. MainStay Intermediate Term Bond Fund Class I: 12

340. McGrath RentCorp: 12

340. Medical Action Industries Inc.: 12

340. MYERS INDS INC: 12

340. NOVASTAR FINL INC: 12

340. ODYSSEY RE HOLDINGS: 12

340. ONYX Pharmaceuticals, Inc.: 12

340. Pacific Capital Bancorp: 12

340. Phoenix Global Utilities Fund Class A: 12

340. Phoenix Market Neutral Fund Class A: 12

340. Phoenix Real Estate Securities Class A: 12

340. Pioneer Emerging Markets Fund Cl Y: 12

340. Pioneer Government Income Fund Class Y: 12

340. Pioneer Growth Opportunities Fund Class Y: 12

340. Pioneer High Yield Fund Class Y: 12

340. Pioneer Mid: 12

340. Pioneer Real Estate Shares: 12

340. RARE Hospitality International Inc.: 12

340. Republic Bancorp Inc.: 12

340. RiverSource Core Bond Fund Class I: 12

340. RiverSource Diversified Bond Fund Class I: 12

340. RiverSource Emerging Markets Fund Class I: 12

340. RiverSource Mid Cap Growth Fund Class I: 12

340. Seligman Communications & Information Fund, Inc. Class A: 12

340. Seligman Emerging Markets Fund Class A: 12

340. Seligman Global Smaller Companies Fund Cl A: 12

340. Seligman Smaller: 12

340. Smith Micro Software, Inc.: 12

340. SONY CP ADR: 12

340. STATOIL ASA ADS: 12

340. Stolt: 12

340. SurModics, Inc.: 12

340. The Vantagepoint Funds, Core Bond Index Fund Class I: 12

340. TheStreet.com, Inc.: 12

340. Ulticom, Inc.: 12

340. Ultra Clean Holdings, Inc.: 12

340. VASCO Data Security International, Inc.: 12

340. WABASH NATL CP: 12

340. Wild Oats Markets, Inc.: 12

341. ACCURIDE CORPORATION: 11

341. Adolor Corporation: 11

341. AFC Enterprises, Inc.: 11

341. AMER AXLE&MFG HLDS: 11

341. American Century International Bond: 11

341. AngioDynamics, Inc.: 11

341. Ares Capital Corporation: 11

341. Borland Software Corporation: 11

341. BOYD GAMING CORP: 11

341. BRISTOW GROUP INC: 11

341. BT GROUP PLC ADS: 11

341. BUCKEYE TECH INC: 11

341. CAPITAL LEASE FNDING: 11

341. CASCADE CP: 11

341. CEPHEID: 11

341. Commercial Vehicle Group, Inc.: 11

341. Cost Plus, Inc.: 11

341. Crosstex Energy, Inc.: 11

341. CSK AUTO CP: 11

341. CyberSource Corporation: 11

341. DOMTAR LTD: 11

341. F N B CP: 11

341. FEDERAL SIGNAL CP: 11

341. Fidelity Diversified International Fund: 11

341. Fidelity Europe Fund: 11

341. Fidelity Government Income Fund: 11

341. Fidelity Intermediate Bond Fund: 11

341. Fidelity Investment Grade Bond Fund: 11

341. Fidelity Japan Fund: 11

341. Fidelity Overseas Fund: 11

341. Fidelity Southeast Asia Fund: 11

341. Fidelity Strategic Real Return Fund: 11

341. FIRST HORIZON NTL CP: 11

341. Franklin Gold and Precious Metals Fund Advisor Class: 11

341. GILDAN ACTIVEWEAR: 11

341. Hutchinson Technology Incorporated: 11

341. II: 11

341. InterMune, Inc.: 11

341. IRWIN FINANCIAL CORP: 11

341. John Hancock Funds II Small Company Fund NAV Class: 11

341. KONINKLIJKE PHLP NEW: 11

341. ManTech International Corporation: 11

341. MarketAxess Holdings, Inc.: 11

341. Marten Transport, Ltd.: 11

341. NATIONAL GRID PLC: 11

341. Netease.com, Inc.: 11

341. Nuvelo, Inc.: 11

341. Online Resources Corporation: 11

341. Open Solutions, Inc.: 11

341. Pacific Sunwear of California, Inc.: 11

341. Petrohawk Energy Corporation: 11

341. Pimco CommodityRealReturn Strategy Fund: 11

341. PIMCO Developing Local Markets Fund: 11

341. PIMCO Diversified Income Fund: 11

341. PIMCO Fds Real Estate Return Strategy Fd Insti Cl: 11

341. PIMCO Fds Total Return Mortgage Fd: 11

341. PIMCO Fds, Pacific Inv Mgmt Srs, Floating Income Fund Insti Clas: 11

341. PIMCO Fundamental IndexPlus Tr Fund: 11

341. PIMCO Funds Convertible Fund: 11

341. PIMCO Funds Long: 11

341. PIMCO Funds Low Duration Fund Institutional Shares: 11

341. PIMCO Funds Real Return Fund: 11

341. PIMCO Funds Short Term Fund Institutional Shares: 11

341. PIMCO Funds StocksPlus Fund Institutional Shares: 11

341. PIMCO Real Return Asset Fund: 11

341. PIMCO StocksPLUS Total Return Fund,: 11

341. RAILAMERICA INC: 11

341. Res: 11

341. Stratasys, Inc.: 11

341. SunAmerica Focused International Portfolio: 11

341. SunAmerica Style Select Series Inc., Focused Large: 11

341. SunAmerica Style Select Series Inc., Focused Large: 11

341. TD BANKNORTH INC.: 11

341. TECO ENERGY INC: 11

341. TENNANT CO: 11

341. The Vantagepoint Funds, Growth Fund: 11

341. TRIUMPH GROUP INC: 11

341. TRW AUTOMOTIVE HLDGS: 11

341. UNIFIRST CP: 11

341. UNIVERSAL TECH INST: 11

341. URSTADT BIDDLE A: 11

341. VALMONT INDS INC: 11

341. Vanguard Emerging Markets Stock Index Fund: 11

341. Vanguard European Stock Index Fund: 11

341. Vanguard Pacific Stock Index Fund: 11

341. WASH REAL EST INV TR: 11

341. WORTHINGTON INDS: 11

341. WSFS Financial Corporation: 11

341. Young Innovations, Inc.: 11

341. Zoll Medical Corporation: 11

342. [[BYI|]]: 10

342. AIM Capital Development Fund Class I Shares: 10

342. AIM Dynamics Fd Insitutional Class, a ser of AIM Stock Fds: 10

342. AIM Intermediate Government Fund Insit Class: 10

342. Associated Banc: 10

342. BELO CORP: 10

342. Big 5 Sporting Goods Corporation: 10

342. BUILD A BEAR WORKSHP: 10

342. CAPITAL TRUST SBI: 10

342. CEC ENTERTAINMENT: 10

342. Cell Genesys, Inc.: 10

342. CH ENERGY GRP HLDG: 10

342. Columbia Fds Srs Tr, Columbia s Short: 10

342. Columbia Fds Srs Tr, Columbia Total Return Bond Fund Class Z: 10

342. Columbia Sportswear Company: 10

342. Concurrent Computer Corporation: 10

342. Cross Country Healthcare, Inc.: 10

342. DOW JONES CO INC: 10

342. ECI Telecom Ltd.: 10

342. Encore Wire Corporation: 10

342. ENTERPRISE PT UTS: 10

342. EON AG ADS: 10

342. EVERGREEN ENERGY INC: 10

342. Fidelity Fund: 10

342. First American Small Cap Growth opportunities Cl Y: 10

342. FirstService Corporation: 10

342. Franklin Aggressive Growth Fd Advisor Class: 10

342. Franklin Real Estate Securities Fd Shares Beneficial Interest Ad: 10

342. Franklin Small Cap Growth Fd II Advisor Cl: 10

342. Franklin Strategic Income Fd Advisor Class: 10

342. Franklin Strategic Mortgage Portfolio: 10

342. Franklin Strategic Series Natural Resources Fund Advisor Class: 10

342. Franklin Total Return Fund Advisor Class: 10

342. Franklin U.S. Government Securities Fund Advisor Class: 10

342. Gartmore Bond: 10

342. Gartmore High Yield Bond: 10

342. Gartmore Micro Cap Equity Fund: 10

342. Gartmore Mid Cap Growth Fund: 10

342. Gemstar: 10

342. General Communication, Inc.: 10

342. GENESCO INC: 10

342. Given Imaging Ltd.: 10

342. Goldman Sachs Core Fixed Income Fund Institutional Shares: 10

342. Goldman Sachs Emerging Markets Equity Fund Institutional Shares: 10

342. Goldman Sachs Emerging Mkts Debt Fd Insti Cl: 10

342. Goldman Sachs Short Duration Government Fd Institutional Shares: 10

342. ICT Group, Inc.: 10

342. INFINEON TECH ADS: 10

342. InPhonic, Inc.: 10

342. Insituform Technologies, Inc.: 10

342. Internap Network Services Corporation: 10

342. ISHARE SP MC 400 INX: 10

342. ISHARE SP SC 600 INX: 10

342. ISHARES LEHMAN TIPS: 10

342. John Hancock Funds II Emerging Growth Fund NAV Class: 10

342. John Hancock Funds II Mid Cap Value Fund NAV Class: 10

342. John Hancock Funds II Small Cap Fund NAV Class: 10

342. John Hancock Funds II Special Value Fund NAV Class: 10

342. K 2 INC: 10

342. Key Energy Services, Inc.: 10

342. LA BARGE INC: 10

342. Littelfuse, Inc.: 10

342. LODGIAN INC: 10

342. Lord Abbett Affiliated Fund Inc. Class Y: 10

342. Lord Abbett Investment Trust: 10

342. M D C HOLDINGS: 10

342. MAGELLAN MIDSTREAM: 10

342. MAGNA INTL CL A: 10

342. MANULIFE FIN CORP: 10

342. MassMutual Select Emerging Growth Fd Cl S: 10

342. MassMutual Select Small Company Value Fund Class S: 10

342. Matria Healthcare, Inc.: 10

342. Matrix Service Company: 10

342. MERIDIAN GOLD INC.: 10

342. Mutual European Fd Cl Z (Series of Franklin Mutual Ser Fd Inc.): 10

342. Nations High Income Fund Class Z: 10

342. New River Pharmaceuticals Inc.: 10

342. Oppenheimer Global Opportunities Fund Class Y: 10

342. Oppenheimer Limited: 10

342. Oppenheimer Real Asset Fd Cl Y: 10

342. Palm, Inc.: 10

342. PHARMACUTICAL CO: 10

342. Phoenix Fundamental Growth Fund Class A: 10

342. Phoenix Growth & Income Fund Class A: 10

342. Phoenix International Strategies Fund Class A: 10

342. Phoenix Total Value Fund Class A: 10

342. RiverSource Income Opportunities Fund Class I: 10

342. Seacoast Banking Corporation of Florida: 10

342. Sonus Networks, Inc.: 10

342. SOVRAN STORAGE: 10

342. SPEEDWAY MOTORSPORTS: 10

342. STAGE STORES INC: 10

342. Stamps.com Inc.: 10

342. SYMMETRY MEDICAL INC: 10

342. Synaptics Incorporated: 10

342. Templeton China World Fund, Advisor Class: 10

342. Templeton Foreign Fund, Advisor: 10

342. Templeton Global Bond Fund Advisor Class: 10

342. Templeton Growth Fund, Inc.: 10

342. THERMOGENESIS Corp.: 10

342. TIM PARTICIPACOES SA: 10

342. TriCo Bancshares: 10

342. U.S. Global Investors, Inc.: 10

342. Warren Resources, Inc.: 10

342. Zoran Corporation: 10

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