Most Owned Stocks 8
From ValueWiki
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.
351. 1-800-Flowers.com: 1
351. 4 KIDS ENTERTAINMENT: 1
351. 99C ONLY STORES: 1
351. A C R GROUP INC: 1
351. AAON, Inc.: 1
351. Aber Diamond Corporation: 1
351. Abington Community Bancorp, Inc.: 1
351. ABIOMED, Inc.: 1
351. ABN AMRO River Road Small Cap Value Class N: 1
351. Acacia Research Corporation: 1
351. ACMAT Corporation Class A: 1
351. Actuate Corporation: 1
351. Adeza Biomedical Corporation: 1
351. ADVANTEST (KAB) ADS: 1
351. Advocat, Inc.: 1
351. Advocat, Inc.: 1
351. Aehr Test Systems: 1
351. AIM Financial Services Fd Cl A Shs, a ser of AIM Sector Fds: 1
351. AIM Global Health Care Fund Cl A: 1
351. AIM Leisure Fd Cl A Shs, a ser of AIM Sector Fds: 1
351. Airspan Networks Inc.: 1
351. Aladdin Knowledge Systems Limited: 1
351. Albany Molecular Research, Inc.: 1
351. Alger Capital Appreciation Fund Class A: 1
351. Alger Small Cap Growth Fund Class A: 1
351. Alliance Semiconductor Corporation: 1
351. Alliance Semiconductor Corporation: 1
351. ALLIANCE WORLD II: 1
351. AllianceBernstein International Growth Fund, Inc. Class A Shares: 1
351. AllianceBernstein International Value Fund: 1
351. ALLIANZ AKTIENGESELL: 1
351. Allianz NFJ Dividend Value Fund Insti Class: 1
351. ALLIED DEFENSE GROUP: 1
351. Alpine International Real Estate Equity Fund Class Y: 1
351. Amcore Financial, Inc.: 1
351. AMER ITAL PASTA: 1
351. AMER SHARED HOSP: 1
351. AMER VANGUARD CP: 1
351. American Century Target Maturities Trust Series 2010 Investor Cl: 1
351. American Century Utilities Fund Investor Class: 1
351. American Funds Capital World Growth & Income A: 1
351. American Funds High: 1
351. American Locker Group, Inc.: 1
351. American Pacific Corporation: 1
351. Ameristock Mutual Fund: 1
351. Answerthink, Inc.: 1
351. ANWORTH MTG ASSET CP: 1
351. Applied Signal Technology, Inc.: 1
351. Applix, Inc.: 1
351. Art Technology Group, Inc.: 1
351. Artisan International Value Fund Investor Shs: 1
351. Artisan Small Cap Value: 1
351. ASM International N.V.: 1
351. Astronics Corporation: 1
351. AtheroGenics, Inc.: 1
351. Atlas American Enterprise Bond Fund: 1
351. Atlas Dual Focus Fund: 1
351. Atlas Emerging Growth Fund Class A: 1
351. Atlas Global Growth Fund Class A: 1
351. Atlas Strategic Growth Fund Class A: 1
351. Atlas Strategic Income Fund Class A: 1
351. Atlas Value Fund: 1
351. Audiovox Corporation: 1
351. Autobytel Inc.: 1
351. AXA Enterprise Mergers and Acquisitions Fund Class A: 1
351. Axcan Pharma Inc.: 1
351. BAKER MICHAEL CP: 1
351. BANCO BILBAO ARG SA: 1
351. BANCO BRADESCO ADS: 1
351. BANCOLOMBIA SA: 1
351. Bancshares of Florida, Inc.: 1
351. BANK OF NOVA SCOTIA: 1
351. BARRY R G CORP: 1
351. BASF AG SCHAFT ADS: 1
351. Bassett Furniture Industries, Incorporated: 1
351. BE Semiconductor Industries NV: 1
351. Bell Microproducts Inc.: 1
351. BENTLEY PHARMACEUTIC: 1
351. Berwyn Income Fund: 1
351. Biophan Technologies Inc: 1
351. Birner Dental Management Services, Inc.: 1
351. Bitstream Inc.: 1
351. Bjurman, Barry Micro: 1
351. BlackRock Health Sciences Portfolio Investor Class A: 1
351. BlackRock International Opportunities Portf Service Cl: 1
351. BlackRock International Opportunities Portfolio: 1
351. BlastGard International, Inc.: 1
351. Blue Coat Systems Inc: 1
351. Bogle Investment Management Small Cap Growth Fd Investor Cl: 1
351. BOLT TECHNOLOGY: 1
351. Books: 1
351. Brandywine Blue Fund, Inc.: 1
351. Brandywine Fd Inc.: 1
351. Bridgeway Small Cap Value Fd Cl N: 1
351. Bridgeway Ultra: 1
351. BRITISH AMER TOB ADR: 1
351. C P I CORP: 1
351. C R H PLC ADR: 1
351. C T S CP: 1
351. Cadus Corporation: 1
351. Calamos Global Growth and Income Fund Class A: 1
351. Calamos Growth & Income Fund Class A: 1
351. Calamos Growth Fd Cl A: 1
351. Calamos Market Neutral Fund Class A: 1
351. CALGON CARBON CP: 1
351. California Coastal Communities Inc: 1
351. California First National Bancorp: 1
351. Cambiar Conquistador Fund Investor Class: 1
351. Cambiar Opportunity Fund Portfolio Investor Class: 1
351. Canarc Resource Corporation (Canada): 1
351. CANTERBURY PARK HL: 1
351. Capstone Turbine Corporation: 1
351. CARRIAGE SVCS INC: 1
351. CASH TECHNOLOGIES: 1
351. CECO Environmental Corp.: 1
351. Century Bancorp, Inc.: 1
351. CGM Focus Fund: 1
351. CGM Realty Fund: 1
351. CHECKPOINT SYSTMS SC: 1
351. CHESAPEAKE UTIL CP: 1
351. CHINA UNICOM LTD: 1
351. CHINA YUCHAI INTL LT: 1
351. Chordiant Software, Inc.: 1
351. CIBER INC: 1
351. City Bank: 1
351. Clayton Williams Energy, Inc.: 1
351. Clipper Fund Inc.: 1
351. CMGI, Inc.: 1
351. Coca: 1
351. Cohen&Steers International Realty Fund Class I: 1
351. Commerce Funds Midcap Growth Fund, Institutional Cl: 1
351. Commerce Funds The Bond Fund: 1
351. Commerce Funds The Growth Fund: 1
351. Commerce Funds The International Equity Fund: 1
351. Commerce Funds Value Fund, Institutional Shares: 1
351. Commercial National Financial Corporation: 1
351. COMMUN SYSTEMS INC: 1
351. COMPANIA CERV UNI SA: 1
351. Computer Task Group, Incorporated: 1
351. Conor Medsystems, Inc.: 1
351. Conrad Industries, Inc.: 1
351. Constellation CIP Ultra Short Duration Fixed Income Fd, Cl I: 1
351. Constellation TIP Small Cap Value Opportunities Fd, Cl II: 1
351. Copytele, Inc.: 1
351. CPFL ENERGIA SA ADS: 1
351. Daily Journal Corp. (S.C.): 1
351. DARLING INTL INC: 1
351. Davis Appreciation and Income Fund Class A: 1
351. Davis New York Venture Fund A: 1
351. Dawson Geophysical Company: 1
351. Dearborn Bancorp, Inc.: 1
351. DECORATOR INDS: 1
351. Delta Woodside Industries, Inc.: 1
351. DELTIC TIMBER CP: 1
351. DELUXE CP: 1
351. Deswell Industries, Inc.: 1
351. Dialysis Corporation of America: 1
351. Diamond Hill Long: 1
351. Dodge & Cox Income Fund: 1
351. Dominion Homes Inc.: 1
351. Dreyfus Appreciation Fund, Inc.: 1
351. Dreyfus International Funds; Inc; Dreyfus Premier Emerging Marke: 1
351. DryShips Inc.: 1
351. DWS High Income Srs, High Income Fund Class A: 1
351. DWS Value Srs, DWS Dreman High Return Equity Fund Class A: 1
351. DWS Value Srs, DWS Dreman Small Cap Value Class A: 1
351. Dynatronics Corporation: 1
351. Eaton Vance High Income Fund Class A: 1
351. Ebix Inc: 1
351. Echelon Corporation: 1
351. EDGAR Online, Inc.: 1
351. Edge Petroleum Corporation: 1
351. Electronic Clearing House, Inc.: 1
351. Elizabeth Arden, Inc.: 1
351. eLong, Inc.: 1
351. EMPIRE FIN HOLDING: 1
351. ENBRIDGE EGY PT LP: 1
351. Endologix Inc: 1
351. ENERGY PARTNERS LTD: 1
351. Enpath Medical, Inc.: 1
351. ePlus Inc.: 1
351. Escalade, Incorporated: 1
351. eSpeed, Inc.: 1
351. Evergreen Health Care Fd Cl I: 1
351. EXCEL MARITIME CARR: 1
351. Excelsior International Fund: 1
351. Excelsior Value and Restructuring Fund: 1
351. F.I.S.T. Convertible Securities Fund Class A: 1
351. Factory Card & Party Outlet Corporation: 1
351. FalconStor Software, Inc.: 1
351. Famous Dave's of America, Inc.: 1
351. Fauquier Bankshares, Inc.: 1
351. FBR Gas Utility Index Fund: 1
351. Fidelity Dividend Growth Fund: 1
351. Fidelity International Discovery: 1
351. Fidelity Select Energy: 1
351. Fidelity Select Wireless: 1
351. Fidelity U.S. Bond Index Portfolio: 1
351. Fidelity Utilities Fund: 1
351. Financial Institutions, Inc.: 1
351. First Defiance Financial Corp.: 1
351. First Eagle Global Fund Class A: 1
351. FNB Corporation: 1
351. FOUNTAIN PWRB IND: 1
351. FPA Funds Trust, FPA Crescent Portfolio: 1
351. Franklin AGE High Income Fund Class A: 1
351. Franklin Gold and Precious Metals Fund Class A: 1
351. Franklin Income Fund Class A: 1
351. Franklin Large Cap Value Fund: 1
351. Franklin Mutual Beacon Fund, Cl A: 1
351. Franklin Mutual Discovery Fund, Class A: 1
351. Franklin Small Cap Value Fund, Class A: 1
351. Franklin Templeton Global Long Short Fund Class A: 1
351. FUJIFILM Holdings Corporation: 1
351. Futuremedia Public Limited Company: 1
351. FX Energy, Inc.: 1
351. Gabelli ABC Fund (The): 1
351. Gaiam, Inc.: 1
351. GAINSCO INC: 1
351. GALLAHER GRP PLC: 1
351. Gartmore Small Cap Fund Class A: 1
351. Gateway Fund: 1
351. GENCORP INC: 1
351. GenTek, Inc.: 1
351. GERDAU AMERISTEEL CP: 1
351. GLATFELTER: 1
351. Glenayre Technologies, Inc.: 1
351. Global Sources Ltd.: 1
351. GOLDEN STAR RES LTD: 1
351. Goldman Sachs Growth & Income Fund Institutional Shares: 1
351. Goldman Sachs Growth Opportunities Fund Class A: 1
351. Goldman Sachs Mid Cap Value Fund Class A Shares: 1
351. GP STRATEGIES CP: 1
351. GRACE W R CO NEW: 1
351. GRAHAM CP: 1
351. GRAPHIC PKG INTL NEW: 1
351. GREAT AM FIN RES: 1
351. GREAT ATLANTIC PAC: 1
351. GREEN MT POWER CP: 1
351. Greenspring Fund Inc.: 1
351. GSI Group, Inc.: 1
351. HANSON PLC (HLDG CO): 1
351. Hardinge, Inc.: 1
351. Hartford Capital Appreciation Fund: 1
351. HAVERTY FURN COS SC: 1
351. HAWAIIAN ELEC INDS: 1
351. HEAD N.V.: 1
351. Heska Corporation: 1
351. HMN Financial, Inc.: 1
351. Hodges Fund a series of Professionally Managed Portfolios: 1
351. Hollywood Media Corp.: 1
351. HOMEBANC CORP: 1
351. HomeFed Corporation: 1
351. HopFed Bancorp, Inc.: 1
351. Hotchkis and Wiley Mid: 1
351. Hotchkis and Wiley Small Cap Value Fund CL A: 1
351. Hussman Strategic Growth Fd: 1
351. Hythiam, Inc.: 1
351. I: 1
351. I: 1
351. iBasis, Inc.: 1
351. ILOG S.A.: 1
351. Imax Corporation: 1
351. Immunomedics, Inc.: 1
351. IMPERIAL OIL LMT: 1
351. InFocus Corporation: 1
351. ING Mercury Large Cap Value Fund Class I: 1
351. ING T Rowe Price Cap Appreciation Fund I Class: 1
351. ING Van Kampen Equity and Income Portfolio Initial Class: 1
351. Insignia Systems, Inc.: 1
351. Inspire Pharmaceuticals, Inc.: 1
351. Integral Systems, Inc.: 1
351. IntegraMed America, Inc.: 1
351. INTELLI: 1
351. Interep National Radio Sales, Inc. Class A: 1
351. International Assets Holding Corporation: 1
351. INTERPHARM HLDGS INC: 1
351. INTERTAPE POLYMER GP: 1
351. Intervideo, Inc.: 1
351. inTest Corporation: 1
351. INX Inc.: 1
351. ISHARE DJ IND SEC IN: 1
351. ISHARE GS NTWKG INX: 1
351. ISHARE MSCI UK INDEX: 1
351. ISHARES S&P/TOPIX150: 1
351. ISHARES TR GLOBAL EN: 1
351. Jacada Ltd.: 1
351. JAKKS Pacific, Inc.: 1
351. James Small Cap Fund Class A (The): 1
351. Jefferson Bancshares, Inc.: 1
351. John Hancock Classic Value Fund Class A: 1
351. John Hancock High Yield Fund Class A: 1
351. Jones Soda Co.: 1
351. JPMorgan Small Cap Equity Select Share Class: 1
351. JSC MMC Norilsk Nickel Spons ADR: 1
351. Julius Baer Global High Yield Bond Fund Class A: 1
351. Julius Baer International Equity Fd Cl A: 1
351. Julius Baer International Equity Fd Cl I Shs: 1
351. KEELEY Small Cap Value Fund: 1
351. KENNETH COLE PROD IN: 1
351. Kinetics Small Cap Opportunities Fd: 1
351. KINGSWAY FINANCIAL S: 1
351. KMG Chemicals, Inc.: 1
351. Knology, Inc.: 1
351. Kreisler Manufacturing Corporation: 1
351. KT CORP ADS: 1
351. KVH Industries, Inc.: 1
351. Lakeland Industries, Inc.: 1
351. LanOptics Ltd.: 1
351. Legg Mason Value Trust Inc.: 1
351. Lenovo Group Ltd Sponsored ADR (Hong Kong): 1
351. Leuthhold Core Investment Fund: 1
351. Leuthhold Select Industries Fd: 1
351. Leuthold Core Investment Fund: 1
351. Linktone Ltd.: 1
351. LJ International, Inc.: 1
351. LLOYDS TSB GRP ADS: 1
351. LogicVision, Inc.: 1
351. Longleaf Partners Fund: 1
351. LONGVIEW FIBRE CO: 1
351. Loomis Sayles Institutional High Income Fund: 1
351. Luminex Corporation: 1
351. Lynch Interactive Corporation: 1
351. MAC GRAY CP: 1
351. MAD CATZ INTERACTIVE: 1
351. MainSource Financial Group, Inc.: 1
351. MainStay Funds High Yield Corporate Bond Class A: 1
351. MAIR Holdings, Inc.: 1
351. Makita Corp.: 1
351. MannKind Corporation: 1
351. MARKWEST HYDROCARBON: 1
351. MASSBANK Corp.: 1
351. MASTEC INC.: 1
351. Matrixx Initiatives Inc.: 1
351. Matthews Pacific Tiger Fund Class I: 1
351. MDC Partners Inc.: 1
351. Meadow Valley Corporation: 1
351. Mechanical Technology Incorporated: 1
351. Medtox Scientific, Inc.: 1
351. Mercer International Inc.: 1
351. MERCHANTS GP INC: 1
351. Merger Fund (The): 1
351. MERIDIAN RES CP: 1
351. MESA ROYALTY TR: 1
351. Methode Electronics, Inc.: 1
351. Metrologic Instruments, Inc.: 1
351. MFRI, Inc.: 1
351. Microtek Medical Holdings Inc: 1
351. Mid: 1
351. Millea Holdings Inc. ADR: 1
351. MINEFINDERS LTD: 1
351. MIVA, Inc.: 1
351. ML BIOTECH HLDR12/39: 1
351. ML PHARMA HOLDR12/40: 1
351. ML UTILITIE HLDR1240: 1
351. Mobility Electronics, Inc.: 1
351. Mobius Management Systems, Inc: 1
351. MOCON, Inc.: 1
351. Modtech Holdings Inc.: 1
351. Monarch Casino & Resort, Inc.: 1
351. Mutual Beacon Fd Cl Z (Series of Franklin Mutual Ser Fd Inc.): 1
351. Mutual Discovery Fd Cl Z (Series of Franklin Mutual Ser Fd Inc.: 1
351. Mutual Financial Services Fund, Class Z: 1
351. Mutual Recovery Fund Class A: 1
351. NAM TAI ELECTRONICS: 1
351. Nanometrics Incorporated: 1
351. National Technical Systems, Inc.: 1
351. NATL HEALTHCARE CP: 1
351. Natrol, Inc.: 1
351. Navarre Corporation: 1
351. Needham Growth Fund: 1
351. Neuberger Berman International Fund: 1
351. Nevada Geothermal Power, Inc. (Canada): 1
351. New Century Bancorp, Inc. (NC): 1
351. NEW DRAGON ASIA CP A: 1
351. NexMed, Inc.: 1
351. NIC Inc.: 1
351. NIDEC CP (NIHON) ADS: 1
351. Nissan Motor Co., Ltd.: 1
351. NMS Communications Corporation: 1
351. Nobility Homes, Inc.: 1
351. Noble International, Ltd.: 1
351. NOMURA HOLDINGS ADR: 1
351. NORTH AM GALVANIZING: 1
351. NORTH EUROPEAN OIL: 1
351. Northeast Investors Trust: 1
351. Northern Empire Bancshares: 1
351. NORTHGATE MINERALS L: 1
351. Northrim BanCorp Inc: 1
351. Novatel Wireless, Inc.: 1
351. Oakmark Equity and Income Fund Cl I: 1
351. Oakmark International Fund Cl I: 1
351. Oakmark International Small Cap Fund Cl I: 1
351. Oakmark Select Fund (The) Cl I: 1
351. OCM Gold Fund: 1
351. Old Mutual Adv Fds II, Old Mutual Heitman REIT Fd Cl Z: 1
351. Old Mutual Analytic Defensive Equity Fund Class Z: 1
351. OMNI Energy Services Corp.: 1
351. OnScreen Technologies, Inc.: 1
351. Oppenheimer Developing Markets Fund Class A: 1
351. Oppenheimer International Small Company Fund Class A: 1
351. OPTi Inc.: 1
351. Optimal Group, Inc.: 1
351. ORLEANS HOMEBUILDERS: 1
351. Orthovita, Inc.: 1
351. Overstock.com, Inc.: 1
351. PAB Bankshares, Inc.: 1
351. Pacific Advisors Fund, Inc. Small Cap Fund: 1
351. Pacific Premier Bancorp Inc: 1
351. Pain Therapeutics: 1
351. PARANAESE DE EN COPL: 1
351. Parkvale Financial Corporation: 1
351. Parnassus Fund (The): 1
351. Partners Trust Financial Group, Inc.: 1
351. Paulson Capital Corp.: 1
351. Pediatric Services of America, Inc.: 1
351. Peet's Coffee & Tea, Inc.: 1
351. Penns Woods Bancorp, Inc.: 1
351. Pennsylvania Mutual Fd, Investment Class: 1
351. Peoples Community Bancorp, Inc.: 1
351. PERDIGAO S.A.: 1
351. PERINI CP: 1
351. Permanent Pt: 1
351. PERMIAN BASIN ROY TR: 1
351. Perritt Micro Cap Opportunities Fund.: 1
351. PERU COPPER: 1
351. PIMCO All Asset Fund: 1
351. PIMCO Commodity Real Return Strategy Class A: 1
351. Pinnacle Financial Partners, Inc.: 1
351. Pioneer Equity Income Fund: 1
351. Pioneer High Yield Fund Class A: 1
351. Pioneer Mid: 1
351. Placer Sierra Bancshares: 1
351. PLAYBOY ENT HLD CL B: 1
351. Plug Power, Inc.: 1
351. PMA Capital Corporation: 1
351. Polaris Global Value Fund: 1
351. POPE TALBOT INC: 1
351. PowerDsine Ltd.: 1
351. POWERSHARES DYNAMIC: 1
351. PriceSmart, Inc.: 1
351. PRIMECAP Odyssey Aggressive Growth Fund: 1
351. PRIMECAP Odyssey Growth Fund: 1
351. Prospect Energy Corporation: 1
351. Provectus Pharmaceutical Inc: 1
351. Prudent Global Income Fund: 1
351. PS FTSE RAFI US 1000: 1
351. PWRSHR DYN BIO&GENOM: 1
351. PXRE GROUP LTD: 1
351. Pyramid Breweries, Inc.: 1
351. Quaker Fabric Corporation: 1
351. Quaker Strategic Growth Fund Class A: 1
351. Quanta Capital Holdings Ltd.: 1
351. R E L M WIRELESS: 1
351. Ramtron International Corporation: 1
351. RCN Corp.: 1
351. RED LION HOTELS CP: 1
351. Regency Affiliates Inc: 1
351. Renaissance Learning, Inc.: 1
351. Rentrak Corporation: 1
351. RETAIL VENTURES INC: 1
351. RHODIA ADS: 1
351. Riverview Bancorp Inc: 1
351. ROYAL KPN N.V.: 1
351. RS Partners Fund: 1
351. Rydex Series Funds, Large: 1
351. Rydex Series Trust Transportation Fund Investor Class: 1
351. S1 Corporation: 1
351. SAN JUAN BASIN ROYAL: 1
351. Sanderson Farms, Inc.: 1
351. SCBT Financial Corporation: 1
351. SCHAWK INC: 1
351. Schneider Small Cap Value Fund: 1
351. Schroder U.S. Opportunities Fund Investor Shares: 1
351. Schwab Hedged Equity Fund Select Shares: 1
351. Schwab S&P 500 Index Fund: 1
351. SCOTTISH RE GRP LTD: 1
351. Sea Containers Ltd.: 1
351. Security Equity Fund Mid Cap Value Series Class A: 1
351. SEI Institutional Managed Trust Large Cap Growth Class A: 1
351. SEI Institutional Trust Large Cap Value Pt. Class A: 1
351. Selected American Shares Inc. Class D: 1
351. Shoe Carnival, Inc.: 1
351. Sigmatel, Inc.: 1
351. SIGNET GRP PLC ADR: 1
351. Silicon Storage Technology, Inc.: 1
351. Siliconware Precision Industries Company, Ltd.: 1
351. SimpleTech Inc: 1
351. SIMULATIONS PLUS INC: 1
351. Sirius Satellite Radio Inc.: 1
351. Sky Financial Group, Inc.: 1
351. SLS International, Inc.: 1
351. Solexa, Inc.: 1
351. Sonic Foundry, Inc.: 1
351. SONUS Pharmaceuticals, Inc.: 1
351. Spartan 500 Index Fund Investor Class: 1
351. Spartan Extended Market Index Fund Investor Class: 1
351. Spartan International Index Fund Investor Class: 1
351. SPARTON CP: 1
351. SPECTRUM BRANDS INC.: 1
351. SSGA Emerging Markets Fund: 1
351. ST DJ WS REIT ETF: 1
351. St Joseph Capital Corp: 1
351. ST KBW BANK: 1
351. STAAR Surgical Company: 1
351. STANDARD REGIST: 1
351. Stanley Furniture Company, Inc.: 1
351. Star Scientific, Inc.: 1
351. State Auto Financial Corporation: 1
351. Strattec Security Corporation: 1
351. Stratton Funds Inc., Stratton Small: 1
351. Sun Bancorp, Inc.: 1
351. SUPERIOR UNIFORM GRP: 1
351. SupportSoft Inc.: 1
351. Symbollon Pharmaceuticals, Inc. Class A: 1
351. Synagro Technologies, Inc.: 1
351. Synergy Financial Group, Inc.: 1
351. Sypris Solutions, Inc.: 1
351. T. Rowe Price Emerging Markets Stock Fund: 1
351. T. Rowe Price New Era Fd: 1
351. T.Rowe Price Emerging Europe & Mediterranean Fund: 1
351. TATA MOTORS INC: 1
351. TECHNICAL OLYMPIC: 1
351. Tegal Corporation: 1
351. TELEKOM AUSTRIA AG: 1
351. Templeton Developing Markets Trust Class A: 1
351. Templeton World Fund Class A: 1
351. TEPPCO PARTNERS LP: 1
351. TERRA NITR CO COM UT: 1
351. TERREMARK WORLDWIDE: 1
351. TEXAS PACIFIC LAND: 1
351. The Arbitrage Fund Class R: 1
351. The Schneider Value Fund Class PPP: 1
351. The Vantagepoint Funds, U.S. Government Securites Fund: 1
351. Third Avenue International Value Fund: 1
351. Third Avenue Real Estate Value Fd: 1
351. Third Avenue Value Fund: 1
351. Thompson Plumb Growth Fund: 1
351. Thornburg Core Growth Fund Class I: 1
351. Thornburg International Value Fund Class A: 1
351. Thornburg Investment Income Builder Fund Class I: 1
351. Thornburg Value Fund Class I Shares: 1
351. TiVo Inc.: 1
351. TRANSCANADA CORP: 1
351. TRANSMERIDIAN EXPLOR: 1
351. Travelzoo Inc: 1
351. Trimedyne, Inc.: 1
351. Trinity Biotech plc: 1
351. Tumbleweed Communications Corp.: 1
351. TurboChef Technologies, Inc.: 1
351. UCN, Inc.: 1
351. Ultra Small: 1
351. Unico American Corporation: 1
351. UNIFI INC: 1
351. UNITED CAPITAL CP: 1
351. UNITED MICROELECTRON: 1
351. United Security Bancshares, Inc.: 1
351. Uranium Resources, Inc.: 1
351. USA Technologies, Inc.: 1
351. VAN KAMPEN SR INCOME: 1
351. VANGRD EMRG MKT ETF: 1
351. Vanguard Capital Value Fund: 1
351. VANGUARD COM STP ETF: 1
351. Vanguard GNMA Fund: 1
351. Vanguard Growth & Income Fund: 1
351. Vanguard Health Care Fund Admiral Shares: 1
351. Vanguard Horizon Fund, Vanguard Capital Opportunity Fund: 1
351. Vanguard Index Trust 500 Index Fund: 1
351. Vanguard International Growth Fund: 1
351. Vanguard International Value Fund: 1
351. Vanguard Mid: 1
351. Vanguard Primecap Fund: 1
351. Varsity Group Inc: 1
351. VECTOR GROUP LTD: 1
351. VECTREN CORP: 1
351. ViaCell, Inc.: 1
351. Vical Incorporated: 1
351. VioQuest Pharmaceuticals, Inc.: 1
351. VIRCO MFG CP: 1
351. VistaCare: 1
351. VIVUS, Inc.: 1
351. VNUS Medical Technologies, Inc.: 1
351. VOTORANTIM CELULOSE: 1
351. VPGI Corp. New: 1
351. VSE Corporation: 1
351. Waddell & Reed Advisors Bond Fd Cl Y: 1
351. Waddell & Reed Advisors Fxd Income Fds, Inc. Govt Sec Fd Cl Y: 1
351. Waddell & Reed Advisors High Income Fd Cl Y: 1
351. Waddell & Reed Advisors Small Cap Fund Class Y: 1
351. Warrantech Corporation: 1
351. Warwick Valley Telephone Company: 1
351. Wasatch Micro Cap Fund: 1
351. Waterside Capital Corporation: 1
351. Web.com, Inc.: 1
351. Webzen Inc: 1
351. Wells Fargo Advantage Endeavor Select Fund Class A: 1
351. WESCO FINANCIAL CP: 1
351. West Coast Bancorp: 1
351. Westwood Equity Fund Class AAA: 1
351. Willow Financial Bancorp, Inc.: 1
351. WIPRO LTD.: 1
351. WIRELESS TELECOM GRP: 1
351. Wm. Blair Funds Small Cap Growth Fund Cl N: 1
351. WorldWater & Power Corp.: 1
351. WPCS International Incorporated: 1
351. XATA Corporation: 1
351. Z: 1
351. ZiLOG, Inc.: 1
351. Zygo Corporation: 1
351. ZymoGenetics, Inc.: 1










