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Most Owned Stocks 7

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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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348. 3D Systems Corporation: 4

348. Accessor Intermediate Fixed Income Fund: 4

348. ADMINISTAFF INC: 4

348. AGREE REALTY CP: 4

348. ALCAN INC: 4

348. Allegiant Bond Class I: 4

348. Allegiant Intermediate Bond Class I: 4

348. Allianz PEA Growth Fund Institutional Cl: 4

348. Allianz PEA Opportunity Fd Institutional Cl: 4

348. Allianz CCM Capital Appreciation Fund Institutional Cl: 4

348. Allianz CCM Mid: 4

348. Allianz NFJ Small Cap Value: 4

348. Allianz OCC Renaissance Fund: 4

348. Allianz OCC Value Fund: 4

348. Allianz PEA Target Institutional Cl: 4

348. Allianz RCM Large Cap Growth Fund Instil: 4

348. Allianz RCM MidCap Fund Insti: 4

348. American Century International Growth Investor Class: 4

348. American Dental Partners, Inc.: 4

348. AMERICAN ORIENTL BIO: 4

348. AMICAS, Inc.: 4

348. AMIS Holdings, Inc.: 4

348. ASIA SATELL TELE ADS: 4

348. BANDAG INC: 4

348. Bank of the Ozarks: 4

348. Bel Fuse Inc.: 4

348. BJ's Restaurants, Inc.: 4

348. C S S IND: 4

348. CANADIAN PAC RAILWAY: 4

348. CATO CORP CL A: 4

348. Century Casinos, Inc.: 4

348. Columbia Acorn Tr, Acorn Fund Class Z: 4

348. Columbia Acorn Tr, Acorn Select Fd Cl Z: 4

348. Columbia Fds Srs Tr I, Conservative High Yield Funds Class Z: 4

348. Columbia Fds Srs Tr I, Dividend Income Fund Class Z: 4

348. Columbia Fds Srs Tr I, Federal Securities Fd C: 4

348. Columbia Fds Srs Tr I,Intermediate Bond Fund Class Z: 4

348. Columbia Fds Srs Tr, Columbia LargeCap Enhanced Core Fund Class: 4

348. CompuCredit Corporation: 4

348. CORNELL COMPANIES: 4

348. Credit Acceptance Corporation: 4

348. CyberOptics Corporation: 4

348. Dendrite International, Inc.: 4

348. Diversa Corporation: 4

348. Dodge & Cox Stock Fund: 4

348. Dollar Financial Corp.: 4

348. Dryden Total Return Bond Fund Class C: 4

348. DWS Advisor Fds, DWS Mid Cap Growth Fund Institutional Cl: 4

348. DWS Communications Fd, DWS Communications Fd Insti: 4

348. DWS Investment Tr, DWS Capital Growth Fund: 4

348. DWS Investments Tr, Micro Cap Insti Cl: 4

348. DWS Value Equity Tr, DWS Enhanced S&P 500 Index Fund Class S: 4

348. DXP Enterprises, Inc.: 4

348. EDUCATION RLTY TRUST: 4

348. EMCORE Corporation: 4

348. EPIQ Systems, Inc.: 4

348. Epoch Holding Corporation: 4

348. Evergreen Small: 4

348. FELDMAN MALL PROP: 4

348. First American U.S. Government Mortgage Cl Y: 4

348. FLEETWOOD ENTERPRISE: 4

348. FRIEDMAN BILLINGS: 4

348. Frontier Airlines Holdings, Inc.: 4

348. FuelCell Energy, Inc.: 4

348. GRAY TELEVISION INC: 4

348. Griffin Land & Nurseries, Inc.: 4

348. Hudson Highland Group, Inc.: 4

348. I: 4

348. infoUSA, Inc.: 4

348. INFRASOURCE SERVICES: 4

348. ING JPMorgan Value Opportunities Fund I Class: 4

348. ING Pioneer Mid Cap Value Fund I Class: 4

348. ING Van Kampen Real Estate Fund I Class: 4

348. INTERNATIONAL POWER: 4

348. Internet Capital Group, Inc.: 4

348. ISHARE RS MC VAL FD: 4

348. ISHARE RUS 3000 INDX: 4

348. ISHARE RUS 3000 INDX: 4

348. ISHARE SP500 BAR/GRO: 4

348. ISHARE SPSC600BARGRO: 4

348. ISHARE SPSC600BARVAL: 4

348. Isis Pharmaceuticals, Inc.: 4

348. Janus Orion Fd: 4

348. Janus Overseas Fund: 4

348. John Hancock Strategic Income Fund Class I: 4

348. JPMorgan Diversified Mid Cap Value Select: 4

348. KOOKMIN BK ADS NEW: 4

348. Laudus Rosenberg International Small Capitalization Fund, Insti: 4

348. Laudus Rosenberg U.S. Discovery Fund, Institutional Shares: 4

348. Laudus Rosenberg U.S. Large Capitalization Growth Fd Insti Shs: 4

348. Lawson Products, Inc.: 4

348. LivePerson, Inc.: 4

348. MAGNETEK INC: 4

348. MainStay ICAP International Fund Class C: 4

348. MainStay Small Cap Growth Fund Class I: 4

348. MainStay Small Cap Opportunity Fund Class C: 4

348. MB Financial Inc.: 4

348. MEDIA GENERAL CL A: 4

348. Mercer Insurance Group, Inc.: 4

348. Mercury Computer Systems: 4

348. Meridian Bioscience Inc.: 4

348. MET PRO CP: 4

348. Mikron Infrared, Inc.: 4

348. MISSION WEST PTY NEW: 4

348. Momenta Pharmaceuticals, Inc.: 4

348. Morgan Stanley Convertible Securities Trust Cl D: 4

348. Morgan Stanley Developing Growth Securities Trust Cl D: 4

348. Morgan Stanley Dividend Growth Securities Inc Cl D: 4

348. Morgan Stanley Equally: 4

348. Morgan Stanley Financial Services Trust Class D: 4

348. Morgan Stanley Global Advantage Fund Class D: 4

348. Morgan Stanley Health Sciences Trust Cl D: 4

348. Morgan Stanley Japan Fund Class D: 4

348. Morgan Stanley Limited Duration Fund: 4

348. Morgan Stanley NASDAQ: 4

348. Morgan Stanley Natural Resources Development Securities, Inc. Cl: 4

348. Morgan Stanley Real Estate Fund Cl D: 4

348. Morgan Stanley S&P 500 Index Fund Class D: 4

348. Morgan Stanley Special Growth Fund Class D: 4

348. Morgan Stanley Special Value Fund Class D: 4

348. Morgan Stanley Technology Fund Class D: 4

348. Morgan Stanley U.S. Government Securities Trust Cl D: 4

348. Morgan Stanley Utilities Fd Cl D: 4

348. Morgan Stanley Value Fd Cl D: 4

348. MRV Communications, Inc.: 4

348. MTB Intermediate Term Bond Fund Institutional I Shs: 4

348. MTB Large Cap Growth Fund: 4

348. MTB Mid: 4

348. MTB Mid: 4

348. MTB Short Duration Government Bond Fund Institutional I Shs: 4

348. MTB Small Cap Growth Fund Institutional I Shs: 4

348. NATCO GROUP INC: 4

348. National Western Life Insurance Company: 4

348. Natus Medical Incorporated: 4

348. NeoPharm, Inc.: 4

348. NetLogic Microsystems, Inc.: 4

348. NetRatings, Inc.: 4

348. Newport Corporation: 4

348. NORTHERN DYNASTY MNL: 4

348. NOVO NORDISK A S: 4

348. OmniVision Technologies, Inc.: 4

348. OMNOVA SOLUTIONS INC: 4

348. OPNET Technologies Inc.: 4

348. Packeteer, Inc.: 4

348. PEP BOYS MAN MOE: 4

348. Perry Ellis International Inc.: 4

348. PetMed Express, Inc.: 4

348. Petroleum Development Corporation: 4

348. PIMCO Fds Pac Inv Mgt Srs Far East (Ex: 4

348. PIMCO Fds Pac Inv Mgt Srs Japanese Stksplus Tot Ret Strategy Fd: 4

348. PIMCO Fds, Pacific Inv Mgmt Srs, Stockplus Tot Ret Sht Strategy: 4

348. PIMCO Fds: Pac Inv Mgt Srs European Stocksplus Tot Ret Strategy: 4

348. PIMCO Funds Foreign Bond Fund Institutional Shares: 4

348. PIMCO Funds Global Bond Fund Institutional Shares: 4

348. Pioneer Strategic Income Fund Class Y: 4

348. Popular, Inc.: 4

348. PRA International: 4

348. ProCentury Corporation: 4

348. QLT Inc.: 4

348. RightNow Technologies, Inc.: 4

348. RiverSource Limited Duration Bond Fund Class I: 4

348. RiverSource Short Duration U.S. Goverment Fund Class I: 4

348. S&P MID DEPOSIT RCPT: 4

348. SADIA S.A.: 4

348. Schwab Core Equity Fund: 4

348. Schwab Institutional Select S&P 500 Fund: 4

348. Schwab International Index Fund: 4

348. Schwab Small: 4

348. Schwab Small: 4

348. SEABOARD CP: 4

348. Seligman Fund, Inc. Class A: 4

348. Seligman High Income Fund Series US Government Cl A: 4

348. Seligman Investment Grade Fixed Income Fd Class A: 4

348. SEMICONDUCTOR MFG IN: 4

348. Semitool, Inc.: 4

348. Shenandoah Telecommunications Co: 4

348. Sinclair Broadcast Group, Inc.: 4

348. Sirona Dental Systems, Inc.: 4

348. Somanetics Corporation: 4

348. Southwest Bancorp, Inc.: 4

348. Spectranetics Corporation (The): 4

348. SPSS Inc.: 4

348. Standard Parking Corporation: 4

348. STIFEL FINANCIAL CP: 4

348. STURM RUGER AND CO: 4

348. SUN LIFE FINCL INC: 4

348. SuperGen, Inc.: 4

348. SYNGENTA AG ADS: 4

348. Syntax: 4

348. TELECOM ARGENTIA ADS: 4

348. TELECOM SAO PAULO: 4

348. TERRA INDS INC: 4

348. TESSCO Technologies Incorporated: 4

348. The Hartford U.S. Government Securities Fund: 4

348. The Vantagepoint Funds, Aggressive Opportunities Fund: 4

348. Thrivent Mid Cap Growth Fund: 4

348. Thrivent Partner Mid Cap Value Fund Class I: 4

348. Thrivent Partner Small Cap Growth Fund Class I: 4

348. Thrivent Partner Small Cap Value Fund Class I: 4

348. Timothy Plan Class A: 4

348. Timothy Plan Large/Mid Cap Growth Fund Class A: 4

348. Timothy Plan Large/Mid Cap Value Fund Class A: 4

348. TNS INC: 4

348. Toreador Resources Corporation: 4

348. TVI Corporation: 4

348. Ultratech, Inc.: 4

348. UNITED UTIL PLC ADS: 4

348. USA Mobility, Inc.: 4

348. ValueVision Media, Inc.: 4

348. Van Kampen Comstock Fund Class I: 4

348. Van Kampen Equity and Income Fund Class I: 4

348. Van Kampen International Growth Fund Class I: 4

348. Vanguard Asset Allocation Pt: 4

348. VANGUARD HLTH CR ETF: 4

348. Vertrue Incorporated: 4

348. Vignette Corporation: 4

348. Village Super Market, Inc.: 4

348. VOLT INFO SCI INC: 4

348. Wells Fargo Advantage Intermediate Government Income Fd Admin Cl: 4

348. WINDROSE MED PPTY TR: 4

348. WINTHROP REALTY TR: 4

348. WP CAREY & CO LLC: 4

348. XERIUM TECHNOLOGIES: 4

349. Adept Technology, Inc.: 3

349. Advanced Magnetics, Inc.: 3

349. AFFORDABLE RES CMMTY: 3

349. Aktieselskabet Dampskibsselskabet Torm: 3

349. Akzo Nobel N.V.: 3

349. ALAMO GP INC: 3

349. Allied Healthcare Products, Inc.: 3

349. ALLIED IRISH PLC ADS: 3

349. AMER SAFTY INS HLDGS: 3

349. American Century Emerging Markets Investor Class: 3

349. American Funds Growth Fd of America F: 3

349. American Leaders Fund Class A: 3

349. Anika Therapeutics Inc.: 3

349. ARLINGTON TANKERS: 3

349. Array BioPharma Inc.: 3

349. Asyst Technologies, Inc.: 3

349. ATP Oil & Gas Corporation: 3

349. Auxilium Pharmaceuticals, Inc.: 3

349. Avanex Corporation: 3

349. BALDWIN TECH INC: 3

349. Ballard Power Systems, Inc.: 3

349. Bancorp Rhode Island, Inc.: 3

349. BANTA CORP: 3

349. Biosite, Inc.: 3

349. BIOVAIL CORP: 3

349. BLOUNT INTL INC: 3

349. BROOKFIELD HOMES: 3

349. C&F Financial Corporation: 3

349. CalAmp Corp.: 3

349. Capital Crossing Bank: 3

349. CARACO PHARMA LABS: 3

349. CARBO CERAMICS INC: 3

349. Cardiome Pharma Corporation: 3

349. Casella Waste Systems, Inc.: 3

349. Cash Systems Inc: 3

349. Cavco Industries, Inc.: 3

349. CDC Corporation: 3

349. Charles & Colvard Ltd: 3

349. CHC HELICOPTER CL A: 3

349. CHINA PETRO & CHEM: 3

349. ChipMOS TECHNOLOGIES (Bermuda) LTD.: 3

349. Churchill Downs, Incorporated: 3

349. COEUR D ALENE CP: 3

349. COINMACH SVC CRP IDS: 3

349. Comdisco Holdings Company, Inc.: 3

349. Community Banks, Inc.: 3

349. COMPANIA MIN BUEN: 3

349. Conn's, Inc.: 3

349. CoTherix, Inc.: 3

349. Depomed, Inc.: 3

349. Digimarc Corporation: 3

349. DSP Group, Inc.: 3

349. Dynavax Technologies Corporation: 3

349. E: 3

349. eCollege.com: 3

349. Edgewater Technology, Inc.: 3

349. EMPIRE DISTRICT ELCT: 3

349. Encorium Group, Inc.: 3

349. Encysive Pharmaceuticals Inc: 3

349. EnergySouth, Inc.: 3

349. eResearch Technology Inc.: 3

349. Exponent, Inc.: 3

349. FAIRCHILD CP CL A: 3

349. FAIRPOINT COMM INC: 3

349. Federated Capital Appreciation Funds: 3

349. Federated Kaufmann Fund: 3

349. FIRST COMMONWLTH FIN: 3

349. Fisher Communications, Inc.: 3

349. FLORIDA PUBLIC UT SC: 3

349. Flushing Financial Corporation: 3

349. Franklin Capital Growth Fund Advisor Class: 3

349. Franklin Growth Fund Advisor Class: 3

349. Fred's, Inc.: 3

349. GE International Equity Class A: 3

349. GE U.S. Equity Fund Class A: 3

349. GigaMedia Limited: 3

349. GROUPE DANONE ADS: 3

349. HARVEST NAT RES INC: 3

349. Hawkins, Inc.: 3

349. Hi: 3

349. HOOPER HOLMES INC: 3

349. Hot Topic, Inc.: 3

349. Hotchkis & Wiley Large Cap Value Fund Class A: 3

349. Hurco Companies, Inc.: 3

349. ICO, Inc.: 3

349. INDUSTRIAL SPDR: 3

349. InfoSpace, Inc.: 3

349. Interactive Intelligence, Inc.: 3

349. InterVoice Inc.: 3

349. INTRICON CORP: 3

349. ISHARE DJ ENRGY SC: 3

349. ISHARE DJ HLTHCR SC: 3

349. ISHARE RUS 2000 GROW: 3

349. ISHARE RUS 2000 GROW: 3

349. ISHARE SP EUR 350 IN: 3

349. ISHARE SPMC400BARVAL: 3

349. ISHARES GS NAT RES: 3

349. ISHARES MRGST MIDCOR: 3

349. ITLA Capital Corporation: 3

349. IXYS Corporation: 3

349. Janus Adviser Intech Risk: 3

349. Janus Adviser Intech Risk Managed Value I Shares: 3

349. Janus Contrarian Fund: 3

349. Janus Flexible Bond Fund: 3

349. Janus Growth and Income Fund: 3

349. Janus High Yield Fund: 3

349. Janus Mercury Fund: 3

349. KMG AMERICA CORP: 3

349. Kulicke and Soffa Industries, Inc.: 3

349. L T C PROP INC: 3

349. Lakes Entertainment, Inc.: 3

349. LAMSON SESSIONS CO: 3

349. Lance, Inc.: 3

349. LIBBY INC SC: 3

349. Lifecore Biomedical, Inc.: 3

349. LTX Corporation: 3

349. LUMINENT MTG CAP INC: 3

349. Magna Entertainment Corporation: 3

349. MapInfo Corporation: 3

349. Marsico 21st Century Fd: 3

349. MARTHA STEWART LIV: 3

349. MATSUSHITA EL INDL: 3

349. Mattson Technology, Inc.: 3

349. McDATA Corporation: 3

349. Merix Corporation: 3

349. MESABI TRUST CTF BI: 3

349. MFS Series Trust I: 3

349. Midwest Banc Holdings, Inc.: 3

349. MILLER IND NEW: 3

349. MITY Enterprises Inc.: 3

349. MONACO COACH CP: 3

349. Multimedia Games, Inc.: 3

349. Napster, Inc.: 3

349. Nara Bancorp, Inc.: 3

349. National Penn Bancshares, Inc.: 3

349. Neose Technologies, Inc.: 3

349. Net Perceptions, Inc.: 3

349. NetScout Systems, Inc.: 3

349. North Track Fds, Dow Jones U.S. Financial 100 Plus Fund Class R: 3

349. North Track Fds, Dow Jones U.S. Health Care 100 Plus Fund Class: 3

349. North Track Fds, NYSE Arca Tech 100 Index Fund Class R: 3

349. Northwest Pipe Company: 3

349. OPPENHEIMER HLDGS A: 3

349. Patriot Transportation Holding, Inc.: 3

349. Performance Fds Trust, Intermediate Govt Income Fd Instl Class: 3

349. Performance Fds Trust, Short Term Govt Income Instl Class: 3

349. PLAINS ALL AMER LP: 3

349. POWERSHARES: 3

349. Rainmaker Systems, Inc.: 3

349. RAMCO GERS PROP: 3

349. REED ELSEVIER NV ADS: 3

349. RENTECH INC: 3

349. Richardson Electronics, Ltd.: 3

349. Royal Gold, Inc.: 3

349. Royce Opportunity Fund Investment Class: 3

349. Rydex Dynamic Fds, Dynamic OTC Fund A Class: 3

349. Rydex Dynamic Fds, Dynamic S&P 500 Fund Class A: 3

349. Rydex Series Fds, OTC Fund Class A: 3

349. Rydex Series Funds, Nova Fund Class A: 3

349. Sangamo BioSciences, Inc.: 3

349. SAUL CENTERS INC: 3

349. SAVVIS, Inc.: 3

349. SCHIFF NUTRIT INTL: 3

349. SEI Insti Mgd Tr, Managed Volatility Fund Class A: 3

349. SEQUA CP CL A: 3

349. Sirna Therapeutics, Inc.: 3

349. SMART AND FINAL INC: 3

349. Stereotaxis, Inc.: 3

349. Style Select Series, Inc. Focused Growth and Income Portfolio Cl: 3

349. SunAmerica Style Select Series Inc., Focused Multi: 3

349. SunAmerica Style Select Series Inc., Focused Multi: 3

349. Sunrise Telecom Incorporated: 3

349. Symbion, Inc.: 3

349. TAT Technologies Ltd.: 3

349. TrustCo Bank Corp NY: 3

349. U S G CP: 3

349. U.S. Xpress Enterprises, Inc.: 3

349. Unigene Laboratories, Inc.: 3

349. VALIC Company I International Equities Fund: 3

349. VALIC Company I Stock Index Fund: 3

349. Vanguard Inflation Protected Securities Fund: 3

349. VANGUARD MID: 3

349. Vanguard Short: 3

349. Vanguard Total International Stock Index Fund: 3

349. Vitesse Semiconductor Corporation: 3

349. Waddell & Reed Advisors Core Investment Fund Class Y: 3

349. Waddell & Reed Advisors Limited Term Bond Class Y: 3

349. Waddell & Reed Advisors Select Dividend Income Fd Cl Y: 3

349. Waddell & Reed Advisors Select Value Fund Class Y: 3

349. Wal: 3

349. Wells Fargo Advantage Fund Class Z: 3

349. Wells Fargo Advantage Growth & Income Fd Instl Cl: 3

349. Wells Fargo Advantage Short: 3

349. Wells Fargo Advantage Capital Growth Fund Class I: 3

349. Wells Fargo Advantage Government Securities Fd Institutional Cl: 3

349. Wells Fargo Advantage Oversears Fund Class I: 3

349. Wells Fargo Advantage Ultra Short: 3

349. Wells Fargo Advantge U.S Value Fd Admin Cl: 3

349. WESTLAKE CHEMICAL CO: 3

349. Weyco Group, Inc.: 3

349. WIMM BILL DANN ADS: 3

349. WJ Communications, Inc.: 3

349. WP STUART & CO LTD: 3

349. XOMA Ltd.: 3

349. Yardville National Bancorp: 3

350. @Road, Inc.: 2

350. 21st Century Holding Company: 2

350. ABN AMRO HLDG NV ADS: 2

350. ADVANCED SEMICONDUCT: 2

350. ADVENTRX PHARMACTL: 2

350. AEP Industries Inc.: 2

350. AEterna Zentaris, Inc.: 2

350. Aftermarket Technology Corp.: 2

350. Agile Software Corporation: 2

350. Agilysys, Inc.: 2

350. Allegiant Mid Cap Value Class A: 2

350. Alliance Financial Corporation: 2

350. Allianz NFJ Dividend Value Class D: 2

350. Allion Healthcare, Inc.: 2

350. ALTANA AG ADS: 2

350. Alvarion Ltd.: 2

350. American Century High: 2

350. American Century Target Maturities Trust Series 2015 Investor Cl: 2

350. American Funds AMCAP Fund Class A: 2

350. American Funds Growth Fd of America A: 2

350. American Funds Washington Mutual Invs A: 2

350. American Software, Inc.: 2

350. AMPCO PITTS CP: 2

350. ARCH CHEMICALS INC: 2

350. ARIAD Pharmaceuticals, Inc.: 2

350. Artisan Mid Cap Value Fd Investor Shs: 2

350. Atlas America, Inc.: 2

350. Avatar Holdings Inc.: 2

350. Avigen, Inc.: 2

350. BALCHEM CP: 2

350. Baldwin & Lyons, Inc.: 2

350. BANCO LATIN AMER SA: 2

350. BOWNE AND CO: 2

350. Brookline Bancorp, Inc.: 2

350. Burnham Financial Services Fd Cl A: 2

350. Capital City Bank Group: 2

350. Cascade Microtech, Inc.: 2

350. CASTLE A M AND CO: 2

350. CBIZ INC: 2

350. CE FRANKLIN LTD SC3: 2

350. Central Bancorp, Inc: 2

350. CENTRAL VT PUB SVC: 2

350. Ceragon Networks Ltd.: 2

350. Certicom Corporation: 2

350. Charter Communications, Inc.: 2

350. Charter Financial Corp.: 2

350. Chartered Semiconductor Manufacturing Ltd.: 2

350. Cherokee Inc.: 2

350. Cirrus Logic, Inc.: 2

350. Citizens South Banking Corporation: 2

350. CNOOC LTD ADS: 2

350. Color Kinetics Incorporated: 2

350. COMMUNITY BK SYS INC: 2

350. Conexant Systems, Inc.: 2

350. CONS TOMOKA LAND CO: 2

350. CONSUMER DIS SS SPDR: 2

350. CONTANGO OIL & GAS: 2

350. CorVel Corp.: 2

350. COTT CP: 2

350. COVAD COMM GROUP INC: 2

350. CREDICORP LTD: 2

350. Crucell NV: 2

350. DAIMLERCHRYSLER AG: 2

350. Danka Business Systems PLC: 2

350. Datascope Corp.: 2

350. DIAMONDS TRUST SER 1: 2

350. Dodge & Cox International Stock Fund: 2

350. Dot Hill Systems Corporation: 2

350. Duckwall: 2

350. DUCOMMUN INC: 2

350. EAGLE HOSPITALITY PR: 2

350. Electro Scientific Industries, Inc.: 2

350. Evergreen Solar, Inc.: 2

350. Excel Technology, Inc.: 2

350. EXFO Electro: 2

350. Exide Technologies: 2

350. Fairholme Fd: 2

350. FBR Small Cap Financial Fund: 2

350. FBR Small Cap Fund: 2

350. Fidelity Capital Trust Capital Appreciation Pt.: 2

350. Fidelity Nasdaq Composite Index Tracking Stock: 2

350. Fidelity Select Utilities Growth Portfolio: 2

350. Financial Industries Corporation: 2

350. First Charter Corporation: 2

350. First Financial Bancorp.: 2

350. First Place Financial Corp.: 2

350. First Regional Bancorp: 2

350. FRANCE TELECOM ADS: 2

350. Franklin Balance Sheet Investment Fund: 2

350. Franklin MicroCap Value Fund Class A: 2

350. FRESENIUS MED ADS: 2

350. GE Fixed Income Class Y: 2

350. GE Fixed Income Fund Class A: 2

350. GE International Equity Fund Class Y: 2

350. GE Small Cap Value Equity Class A: 2

350. GE Small Cap Value Equity Class Y: 2

350. GE US Equity Fund Class Y: 2

350. Gehl Company: 2

350. GMX Resources, Inc.: 2

350. GOLDEN CYCLE GOLD CO: 2

350. Golden Phoenix Minerals, Inc.: 2

350. GRUPO AEROPORTUARIO: 2

350. Guardian S&P 500 Index Fund ClassA: 2

350. HDFC BANK LTD: 2

350. HEADWATERS INC: 2

350. Heineken Nv American Depositary Shares: 2

350. HYPERCOM CP: 2

350. I D T CORP: 2

350. iGATE Corporation: 2

350. Immersion Corporation: 2

350. Imperial Sugar Company: 2

350. INDUSTRIOS BACHOCO: 2

350. Inergy, L.P.: 2

350. Infocrossing, Inc.: 2

350. International Bancshares Corporation: 2

350. INTERPOOL INC: 2

350. ISHARE GS SEMICD INX: 2

350. ISHARE MSCI EMU INDX: 2

350. ISHARE MSCI EMU INDX: 2

350. ISHARE MSCI GERMANY: 2

350. ISHARE MSCI GERMANY: 2

350. ISHARE MSCI NETHRLD: 2

350. ISHARE NQ BIOTCH INX: 2

350. ISHARE SP 100 INDEX: 2

350. ISHARE SP500 BAR VAL: 2

350. ISHARE SPMC400BARGRO: 2

350. ISHARES LEHMAN 1: 2

350. ISHARES MRGSR LGVLIX: 2

350. ISHARES MSCI GRW IDX: 2

350. ISHARES NYSE 100 IDX: 2

350. ISHARES S&P GL TELEC: 2

350. ISHARESLEHMAN 7: 2

350. James River Coal Company: 2

350. Janus Short: 2

350. Janus Twenty Fund Inc.: 2

350. JOURNAL REGISTER CO: 2

350. Keryx Biopharmaceuticals, Inc.: 2

350. KINDER MORGAN ENERGY: 2

350. KYOCERA CP: 2

350. L: 2

350. Landec Corporation: 2

350. Longleaf Partners Small Cap Fund: 2

350. Loomis Sayles Funds: 2

350. Magma Design Automation, Inc.: 2

350. Mairs & Power Growth Fund, Inc.: 2

350. Mannatech, Incorporated: 2

350. MARCUS CP: 2

350. MATERIALS SS SPDR FD: 2

350. Matthews Asian Growth and Income Fund: 2

350. Mellon Emerging Markets Fund Class M Shares: 2

350. Mellon International Fund Class M Shares: 2

350. Mellon Mid Cap Stock Fund Class M Shares: 2

350. Mellon Small Cap Stock Fund Class M Shares: 2

350. Mitcham Industries, Inc.: 2

350. Monolithic Power Systems, Inc.: 2

350. Monro Muffler Brake, Inc.: 2

350. MTB Equity Income Fund Institutional I Shs: 2

350. Multi: 2

350. Nabi Biopharmaceuticals: 2

350. National Bankshares, Inc.: 2

350. National Interstate Corporation: 2

350. NATL HEALTH RTY: 2

350. New Covenant Growth Fd: 2

350. New Covenant Income Fd: 2

350. ni Numeric Investors Small Cap Value Fund: 2

350. Nicholas Financial, Inc.: 2

350. NIPPON TELEPHONE ADR: 2

350. NORSK HYDRO ADR: 2

350. North Pittsburgh Systems, Inc.: 2

350. Novavax, Inc.: 2

350. OIL DRI CP OF AMERIC: 2

350. Open Text Corporation: 2

350. ORIENTAL FIN GROUP: 2

350. Otter Tail Corporation: 2

350. PARK NATIONAL CP: 2

350. PDF Solutions, Inc.: 2

350. PEAPACK GLADSTONE FI: 2

350. Pemstar Inc.: 2

350. PEPSIAMERICAS INC: 2

350. Performance Fds Trust, Equity Fund: 2

350. Performance Fds Trust, Mid Cap Growth Fund: 2

350. Performance Leaders Equity Fund: 2

350. Performance Strategic Dividend Fund Class I: 2

350. Pericom Semiconductor Corporation: 2

350. PICO Holdings Inc.: 2

350. Pioneer Cullen Value Fund Class A: 2

350. POWERSHARES DYNAMIC: 2

350. PROLIANCE INTL INC: 2

350. PROQUEST COMPANY: 2

350. PS WILDERHILL ENRGY: 2

350. PSYCHEMEDICS NEW: 2

350. Putnam Capital Opportunities Fund: 2

350. Putnam Fund for Growth & Income Class Y: 2

350. Putnam Income Fund Class Y: 2

350. Putnam International Equity Fund Class Y: 2

350. Putnam Voyager Fund Class Y: 2

350. Qiao Xing Universal Telephone, Inc.: 2

350. QUAKER CHEM CP: 2

350. Regeneration Technologies, Inc.: 2

350. Republic Airways Holdings, Inc.: 2

350. REWARDS NETWORK: 2

350. RiverSource Emerging Markets Bond Fund Class I: 2

350. Royce Value Plus Fund Service Class: 2

350. RS Global Natural Resources Fund: 2

350. Rural/Metro Corporation: 2

350. RYDEX ETF RDX S&P EQ: 2

350. Rydex Series Fds, Hedged Equity Fund A Class: 2

350. Rydex Series Fds, Russell 2000 Advantage Fund H Class: 2

350. Saba Software, Inc.: 2

350. SAGA COMM INC: 2

350. SCPIE HOLDINGS INC: 2

350. SeaChange International, Inc.: 2

350. Seitel, Inc.: 2

350. Senomyx, Inc.: 2

350. Shoe Pavilion, Inc: 2

350. Sify Limited: 2

350. SIX FLAGS INC: 2

350. SM&A: 2

350. Southwest Water Company: 2

350. Span: 2

350. STERLING BANCORP: 2

350. Sterling Construction Company Inc: 2

350. Sterling Financial Corporation: 2

350. STREETTRACKS GOLD TR: 2

350. Summit Bank Corporation: 2

350. SUN TIMES MEDIA GP: 2

350. SunAmerica Income Fds, SunAmerica High Yield Bond Fd Cl A: 2

350. SunAmerica U.S. Government Securities Fund Class A: 2

350. Sunterra Corporation: 2

350. Susquehanna Bancshares, Inc.: 2

350. Syntel, Inc.: 2

350. T D K CP: 2

350. Templeton Growth Fd, Inc. Class A: 2

350. TIAA: 2

350. TIAA: 2

350. TIAA: 2

350. TIAA: 2

350. TIAA: 2

350. TIAA: 2

350. TIAA: 2

350. TIAA: 2

350. Timothy Plan Aggressive Growth Fund Class A: 2

350. Timothy Plan Fixed Income Fund Class A: 2

350. TITAN INTL INC: 2

350. Tocqueville International Value Fund: 2

350. TOR Minerals International Inc: 2

350. TORONTO DOMINION: 2

350. TOTAL SYSTEM SVC INC: 2

350. TREDEGAR CORP: 2

350. Trump Entertainment Resorts Inc: 2

350. Twin Disc, Incorporated: 2

350. U.S. Physical Therapy, Inc.: 2

350. Ultralife Batteries, Inc.: 2

350. Union Bankshares Corporation: 2

350. United PanAm Financial Corporation: 2

350. United Retail Group, Inc.: 2

350. United Western Bancorp, Inc.: 2

350. USB HOLDINGS CO INC: 2

350. VANGRD EUROPEAN ETF: 2

350. Vanguard Explorer Fd: 2

350. Vanguard Morgan Growth Fund: 2

350. Vanguard U.S. Growth Fund: 2

350. VANGUARD VALUE ETF: 2

350. Vanguard Windsor Fund: 2

350. Vanguard Windsor II Fund: 2

350. Vineyard National Bancorp: 2

350. VISTA GOLD NEW: 2

350. VitalStream Holdings, Inc.: 2

350. Waddell & Reed Advisors Global Bond Cl Y: 2

350. Waddell & Reed Advisors Intl Growth Fd Cl Y: 2

350. Waddell & Reed Advisors New Concepts Fd Inc Cl Y: 2

350. Waddell & Reed Advisors Vanguard Fund Class Y: 2

350. Waste Industries USA, Inc.: 2

350. Wells Fargo Advantasge Short Duration Government Bond Fund Class: 2

350. Westaff Inc.: 2

350. Wm. Blair Funds Small Cap Growth Fund Cl I: 2

350. X: 2

350. XO Holdings, Inc.: 2

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