Above: Some random hippie.
In the CNBC clip below, they discuss with a guest (Jeff Kleintop of LPL Financial) whether now is the perfect time to go bearish or "super bullish"...
Whatever "super bullish" means... LOL.
(Yes, I'm a finance writer who still uses abbreviations like LOL in official correspondence.)
Regardless of the silly term, it's a discussion worth watching:
For entertainment purposes only; information provided may be
inaccurate, incomplete, or out of date. No warranties or guarantees
provided. Stocks, precious metals and ETFs can lose value.
UPDATED FOR 9/9: Here is our extended Outlaw Midcap Plus Watch List (subject to change; not a "buy" or "sell" recommendation).
Company / Symbol / Market Cap ($)
Bucyrus International, Inc (BUCY) 5.00B
Pitney Bowes Inc (PBI) 4.99B
BorgWarner Inc (BWA) 4.98B
China Eastern Airlines Corp. Ltd. ADR (CEA) 4.77B
Nuance Communications Inc (NUAN) 4.94B
McAfee, Inc (MFE) 4.90B
Allegheny Technologies Incorporated ATI 4.91B
Digital Realty Trust, Inc. DLR 4.61B
Northeast Utilities System NU 4.86B
Owens-Illinois, Inc. OI 4.94B
ResMed Inc. RMD 4.91B
H&R Block, Inc. HRB 4.86B
ONEOK, Inc. OKE 4.84B
Human Genome Sciences HGSI 4.84B
Jacobs Engineering Group Inc. JEC 4.83B
Henry Schein, Inc. HSIC 4.80B
SCANA Corporation SCG 4.79B
NetEase.com, Inc. (ADR) NTES 4.78B
SPDR Barclays Capital High Yield B (ETF) JNK 4.81B
Gerdau Ameristeel Corporation (USA) GNA 4.76B
Alpha Natural Resources, Inc. ANR 4.67B
Dr. Reddy's Laboratories Limited (ADR) RDY 4.81B
AMETEK, Inc. AME 4.69B
Alexion Pharmaceuticals, Inc. ALXN 4.73B
CB Richard Ellis Group, Inc. CBG 4.72B
CareFusion Corporation CFN 4.71B
Dendreon Corporation DNDN 4.69B
International Game Technology IGT 4.63B
Legg Mason, Inc. LM 4.73B
Och-Ziff Capital Management Group LLC OZM 4.69B
Church & Dwight Co., Inc. CHD 4.65B
Advance Auto Parts, Inc. AAP 4.64B
Federal Realty Inv. Trust FRT 4.64B
FLIR Systems, Inc. FLIR 4.62B
Autoliv Inc. ALV 4.62B
Quanta Services, Inc. PWR 4.62B
CGI Group Inc. (USA) GIB 4.57B
Advanced Semiconductor Engineering (ADR) ASX 4.55B
NiSource Inc. NI 4.53B
Companhia de Saneamento Basico (ADR) SBS 4.51B
CarMax, Inc KMX 4.50B
Hertz Global Holdings, Inc. HTZ 4.50B
Cincinnati Financial Corporation CINF 4.49B
MGM Resorts International. MGM 4.48B
Cephalon, Inc. CEPH 4.47B
ProShares UltraShort 20+ Year Trea (ETF) TBT 4.46B
Crown Holdings, Inc. CCK 4.45B
Nationwide Health Properties Inc. NHP 4.45B
Rovi Corporation ROVI 4.44B
Liberty Media Corp (Capital) LCAPA 4.44B
Linn Energy, LLC LINE 4.43B
Hewitt Associates, Inc. HEW 4.42B
Qiagen NV QGEN 4.42B
iShares S&P US Pref Stock Idx Fnd (ETF) PFF 4.42B
Pride International, Inc. PDE 4.42B
Advance Auto Parts Inc CL 'WD' AAP.WD 4.41B
Embraer - Empr Bras Aeronautica (ADR) ERJ 4.41B
Celanese Corporation CE 4.39B
SL Green Realty Corp. SLG 4.39B
Pall Corporation PLL 4.39B
JB Hunt Transport Services, Inc. JBHT 4.38B
Technology SPDR (ETF) XLK 4.37B
Helmerich & Payne, Inc. HP 4.35B
General Growth Properties, Inc GGP 4.35B
TransAlta Corporation (USA) TAC 4.34B
Huntington Bancshares Incorporated HBAN 4.34B
PowerShares DB Com Indx Trckng Fund(ETF) DBC 4.34B
El Paso Pipeline Partners, LP EPB 4.33B
Everest Re Group, Ltd. RE 4.33B
Newell Rubbermaid Inc. NWL 4.33B
Liberty Media Corp (Capital) LCAPB 4.32B
FMC Corporation FMC 4.32B
Whiting Petroleum Corporation WLL 4.32B
DENTSPLY International Inc. XRAY 4.28B
SBA Communications Corporation SBAC 4.26B
Harmony Gold Mining Co. (ADR) HMY 4.25B
Makita Corporation (ADR) MKTAY 4.23B
Vanguard Europe Pacific ETF VEA 4.22B
Pinnacle West Capital Corporation PNW 4.20B
Beckman Coulter, Inc. BEC 4.20B
iShares Lehman Short Treasury Bond (ETF) SHV 4.20B
Chipotle Mexican Grill, Inc. CMG 4.19B
Eastman Chemical Company EMN 4.17B
Torchmark Corporation TMK 4.16B
Tomkins plc (ADR) TKS 4.15B
PartnerRe Ltd. PRFD 'D' PRE-D 4.15B
Valeant Pharmaceuticals International VRX 4.15B
Assurant, Inc. AIZ 4.13B
Citigroup Inc PRFD 'H' C-H 4.12B
Brasil Telecom SA (ADR) BTM 4.09B
MeadWestvaco Corp. MWV 4.11B
Arch Capital Group Ltd. ACGL 4.08B
Mettler-Toledo International Inc. MTD 4.05B
ANSYS, Inc. ANSS 4.08B
McCormick & Co., Inc. CL 'CV' MKC.CV 4.06B
Charter Communications, Inc. CCMM 4.10B
WR Berkley Corporation WRB 4.04B
Sunoco, Inc. SUN 4.03B
Public Storage PRFD 'F' PSA-F 4.06B
Enerplus Resources Fund (USA) ERF 4.04B
NSTAR NST 3.97B
National Fuel Gas Co. NFG 3.99B
Jefferies Group, Inc. JEF 4.04B
Braskem SA (ADR) BAK 3.95B
Owens Corning OC 4.04B
Cintas Corporation CTAS 3.98B
Wyndham Worldwide Corporation WYN 3.99B
Axis Capital Holdings Limited AXS 3.97B
Vanguard Growth (ETF) VUG 3.95B
Allegheny Energy, Inc. AYE 3.93B
Albemarle Corporation ALB 3.98B
NVR, Inc. NVR 3.94B
Pactiv Corporation PTV 4.12B
Manpower Inc. MAN 3.98B
Interpublic Group of Companies, Inc. IPG 3.94B
Ford Motor Company Capital Trust II % Cumulative Convertible Securities F-S 3.98B
Advantest Corp. (ADR) ATE 3.88B
IHS Inc. IHS 3.91B
Martin Marietta Materials, Inc. MLM 3.90B
Avnet, Inc. AVT 3.89B
United States Cellular Corporation USM 3.88B
Walter Energy, Inc. WLT 3.86B
Avery Dennison Corporation AVY 3.98B
iShares Russell 2000 Value Index (ETF) IWN 3.88B
NASDAQ OMX Group, Inc. NDAQ 3.88B
Masco Corporation MAS 3.93B
Ashland Inc. ASH 3.99B
Green Mountain Coffee Roasters Inc. GMCR 3.86B
AMB Property Corporation AMB 3.88B
TRW Automotive Holdings Corp. TRW 3.91B
UAL Corporation UAUA 3.85B
Hellenic Telecom Organization SA (ADR) OTE 3.73B
Wells Fargo & Co. PRFD 'L' WFC-L 3.86B
Robert Half International Inc. RHI 3.93B
Rayonier Inc. RYN 3.82B
TFS Financial Corporation TFSL 3.84B
Marshall & Ilsley Corporation MI 3.74B
Alliant Energy Corporation LNT 3.82B
Hansen Natural Corporation HANS 3.82B
Equifax Inc. EFX 3.82B
Sirius XM Radio Inc. SIRI 3.81B
Navistar International Corporation NAV 3.79B
The Washington Post Company WPO 3.89B
AutoNation, Inc. AN 3.83B
PetSmart, Inc. PETM 3.79B
Clear Channel Outdoor Holdings, Inc. CCO 3.85B
SEI Investments Company SEIC 3.78B
OGE Energy Corp. OGE 3.78B
Titanium Metals Corporation TIE 3.92B
China Southern Airlines Limited (ADR) ZNH 3.66B
Pepco Holdings, Inc. POM 3.74B
American Water Works Co., Inc. AWK 3.74B
iShares Dow Jones Select Dividend (ETF) DVY 3.72B
Net Servicos de Comunicacao SA (ADR) NETC 3.71B
MDU Resources Group, Inc. MDU 3.71B
Energizer Holdings, Inc. ENR 3.68B
International Flavors & Fragrances Inc. IFF 3.68B
DeVry Inc. DV 3.67B
CMS Energy Corporation CMS 3.66B
New Oriental Education & Tech. Group Inc EDU 3.65B
Integrys Energy Group, Inc. TEG 3.64B
Baytex Energy Trust (USA) BTE 3.64B
NuStar Energy LP NS 3.64B
MSCI Inc. MSCI 3.63B
KBR, Inc. KBR 3.63B
Kansas City Southern KSU 3.62B
iShares S&P 500 Value Index (ETF) IVE 3.61B
Trimble Navigation Limited TRMB 3.60B
Donaldson Company, Inc. DCI 3.60B
Constellation Brands, Inc. STZ.B 3.58B
Arch Coal, Inc. ACI 3.58B
iShares MSCI Pacific ex-Japan Idx (ETF) EPP 3.58B
Gildan Activewear Inc. (USA) GIL 3.57B
Zions Bancorporation ZION 3.56B
Constellation Brands, Inc. STZ 3.56B
Telecom Argentina SA (ADR) TEO 3.56B
Gol Linhas Aereas Inteligentes SA (ADR) GOL 3.54B
TECO Energy, Inc. TE 3.54B
Sealed Air Corp. SEE 3.54B
The Dun & Bradstreet Corporation DNB 3.54B
Sealed Air Corp. SEE 3.54B
RR Donnelley & Sons Company RRD 3.48B
Baytex Energy Trust (USA) BTE 3.64B
Covance Inc. CVD 3.44B
Hologic, Inc. HOLX 3.46B
Eaton Vance Corp. EV 3.45B
Molex Incorporated MOLX 3.46B
Molex Incorporated MOLXA 3.46B
IDEXX Laboratories, Inc. IDXX 3.45B
Cabot Oil & Gas Corporation COG 3.41B
Gol Linhas Aereas Inteligentes SA (ADR) GOL 3.54B
Stakool, Inc. STKO 3.45B
iShares MSCI Canada Index (ETF) EWC 3.46B
Kansas City Southern KSU 3.62B
National Semiconductor Corporation NSM 3.45B
Donaldson Company, Inc. DCI 3.60B
Telecom Argentina SA (ADR) TEO 3.56B
Arch Coal, Inc. ACI 3.58B
Satyam Computer Services Limited(ADR) SAY 3.34B
NBTY, Inc. NTY 3.42B
Utilities SPDR (ETF) XLU 3.40B
Reinsurance Group of America RGA 3.52B
Weyerhaeuser Company WY 8.70B
Gannett Co., Inc. GCI 3.21B
Centrais Eletricas Brasileiras SA (ADR) EBR.B 3.37B
Genpact Limited G 3.38B
Patterson Companies, Inc. PDCO 3.34B
Alumina Limited (ADR) AWC 3.36B
Markel Corporation MKL 3.35B
Liberty Property Trust LRY 3.42B
Energen Corporation EGN 3.34B
Markel Corporation MKL 3.35B
Biovail Corporation (USA) BVF 3.32B
Trina Solar Limited (ADR) TSL 3.35B
Phillips-Van Heusen Corporation PVH 3.32B
Patterson Companies, Inc. PDCO 3.34B
URS Corporation URS 3.34B
Pentair, Inc. PNR 3.32B
Cabot Oil & Gas Corporation COG 3.41B
RenaissanceRe Holdings Ltd. RNR 3.31B
Mohawk Industries, Inc. MHK 3.29B
Skyworks Solutions, Inc. SWKS 3.31B
Wimm-Bill-Dann Foods OJSC (ADR) WBD 3.32B
Vanguard Value ETF VTV 3.32B
iShares Russell 2000 Growth Index (ETF) IWO 3.30B
Nalco Holding Company NLC 3.25B
iShares Russell 3000 Index (ETF) IWV 3.30B
Strayer Education, Inc. STRA 3.29B
Realty Income Corp O 3.33B
Siliconware Precision Industries (ADR) SPIL 3.29B
BOK Financial Corporation BOKF 3.28B
Sonoco Products Company SON 3.24B
American Financial Group AFG 3.27B
Compania Cervecerias Unidas SA (ADR) CCU 3.27B
Companhia Energetica de Minas Gerais - CEMIG CL 'C' CIG.C 3.22B
Beckman Coulter, Inc. BEC 4.20B
UDR, Inc. UDR 3.31B
Jabil Circuit, Inc. JBL 3.28B
Gannett Co., Inc. GCI 3.21B
Synopsys, Inc. SNPS 3.25B
Merrill Lynch Depositor, Inc. Preferred Stock: PreferredPlus Trust Series CCR-1 8.05% CPP 3.22B
Companhia Energetica de Minas Gerais - CEMIG CL 'C' CIG.C 3.22B
Steel Dynamics, Inc. STLD 3.22B
AmeriCredit Corp. ACF 3.22B
Interactive Data Corp. IDC 3.21B
Gannett Co., Inc. GCI 3.21B
Wells Fargo Capital VIII Gtd Tr Pfd Secs GWF 3.21B
Aixtron AG (ADR) AIXG 3.21B
Pharmaceutical Product Development, Inc. PPDI 3.20B
Magyar Telekom Plc. (ADR) MTA 3.19B
Raymond James Financial, Inc. RJF 3.19B
PulteGroup, Inc. PHM 3.19B
Commerce Bancshares, Inc. CBSH 3.19B
Sterlite Industries India Limited (ADR) SLT 3.19B
LSI Corporation LSI 3.18B
Ralcorp Holdings, Inc. RAH 3.17B
Forest Oil Corporation FST 3.17B
MetroPCS Communications, Inc. PCS 3.17B
Abercrombie & Fitch Co. ANF 3.17B
Taubman Centers, Inc. PRFD 'G' TCO-G 3.17B
Global Payments Inc. GPN 3.17B
EXCO Resources, Inc. XCO 3.17B
iShares Lehman 7-10 Yr Treas. Bond (ETF) IEF 3.16B
United States Natural Gas Fund, LP UNG 3.16B
E TRADE Financial Corporation ETFC 3.16B
Leggett & Platt, Inc. LEG 3.16B
Sims Metal Management Ltd (ADR) SMS 3.15B
Essex Property Trust, Inc. ESS 3.15B
Icahn Enterprises, LP IEP 3.14B
Eaton Vance Tax-Managed Global Dive Eq EXG 3.14B
Georgia Power Co. GPU 3.14B
Cullen/Frost Bankers, Inc. CFR 3.14B
ON Semiconductor Corp. ONNN 3.13B
MSC Industrial Direct Co., Inc. MSM 3.14B
iShares Barclays 20+ Yr Treas.Bond (ETF) TLT 3.11B
Cobalt International Energy, Inc. COBALT INTERNATIONAL ENERGY, INC. CIE 3.11B
Piedmont Office Realty Trust, Inc. PDM 3.08B
The Valspar Corporation VAL 3.13B
CGG Veritas (ADR) CGV 3.12B
Plains Exploration & Production Company PXP 3.07B
Copart, Inc. CPRT 3.09B
Alexandria Real Estate Equities, Inc. ARE 3.04B
DPL Inc. DPL 3.09B
BE Aerospace, Inc. BEAV 3.09B
Central Fund of Canada Limited (USA) CEF 3.08B
Transatlantic Holdings, Inc. TRH 3.09B
Massey Energy Company MEE 3.14B
Validus Holdings, Ltd. VR 3.08B
The Scotts Miracle-Gro Company SMG 3.08B
iShares MSCI South Korea Index Fund(ETF) EWY 3.07B
iShares Russell Midcap Growth Idx. (ETF) IWP 3.06B
Omnicare, Inc. OCR 3.05B
Industrial SPDR (ETF) XLI 3.06B
Bank of America Corp. PRFD 'L' BAC-L 3.05B
ProShares UltraShort S&P500 (ETF) SDS 3.04B
Old Republic International Corporation ORI 3.03B
GameStop Corp. GME 3.05B
Total System Services, Inc. TSS 3.02B
Cheniere Energy Partners, LP CQP 3.03B
AGL Resources Inc. AGL 3.01B
Citigroup Inc PRFD 'P' C-P 2.99B
Abraxis Bioscience, Inc. ABII 3.02B
NV Energy, Inc. NVE 2.96B
LKQ Corporation LKQX 2.92B
Foster Wheeler Ltd. FWLT 2.89B
Camden Property Trust CPT 2.88B
AGCO Corporation AGCO 2.87B
UGI Corporation UGI 2.91B
Alliance Data Systems Corporation ADS 3.03B
PT Indosat Tbk (ADR) IIT 2.94B
The Goodyear Tire & Rubber Company GT 2.71B
Lululemon Athletica inc. LULU 2.71B
Vanguard Small-Cap ETF VB 2.88B
Herbalife Ltd. HLF 2.91B
Waste Connections, Inc. WCN 2.77B
Weingarten Realty Investors PRFD 'D' WRI-D 2.93B
Tellabs, Inc. TLAB 2.90B
McDermott International, Inc. Common Stock Ex-Distribution When Issued MDR* 2.88B
Questar Corporation STR 2.90B
ITT Educational Services, Inc. ESI 3.08B
MICROS Systems, Inc. MCRS 2.85B
Assured Guaranty Ltd. AGO 2.79B
HCC Insurance Holdings, Inc. HCC 2.86B
Regency Centers Corporation REG 2.81B
Alberto-Culver Company ACV 2.92B
Consumer Staples Select Sect. SPDR (ETF) XLP 2.89B
Reliance Steel & Aluminum RS 2.70B
iShares Barclays Inter Crd Bd Fund ETF) CIU 2.80B
Cosan Limited CZZ 2.79B
Chimera Investment Corporation CIM 2.85B
Dick's Sporting Goods, Inc. DKS 2.88B
Elan Corporation, plc (ADR) ELN 2.81B
Spectra Energy Partners, LP SEP 2.88B
iShares MSCI Taiwan Index (ETF) EWT 2.88B
Lazard Ltd LAZ 2.85B
Jones Lang LaSalle Incorporated JLL 2.86B
Bank of America Corp. PRFD 'H' BAC-H 2.87B
White Mountains Insurance Group, Ltd. WTM 2.87B
Williams-Sonoma, Inc. WSM 2.83B
The Timken Company TKR 2.88B
tw telecom inc. TWTC 2.86B
Brown & Brown, Inc. BRO 2.86B
Affiliated Managers Group, Inc. AMG 2.86B
AptarGroup, Inc. ATR 2.89B
Rowan Companies, Inc. RDC 2.84B
SPX Corporation SPW 2.86B
Embotelladora Andina SA (ADR) AKO.A 2.84B
Southern Union Company SUG 2.83B
Community Health Systems CYH 2.84B
Toll Brothers, Inc. TOL 2.82B
Pengrowth Energy Trust (USA) PGH 2.84B
Spirit AeroSystems Holdings, Inc. SPR 2.87B
Oshkosh Corporation OSK 2.85B
Acergy SA (ADR) ACGY 2.83B
AECOM Technology Corporation ACM 2.82B
Embotelladora Andina SA (ADR) AKO.B 2.81B
Arrow Electronics, Inc. ARW 2.81B
iShares Russell Midcap Value Index (ETF) IWS 2.81B
Broadridge Financial Solutions, Inc. BR 2.81B
Coventry Health Care, Inc. CVH 2.81B
Big Lots, Inc. BIG 2.82B
ITC Holdings Corp. ITC 2.81B
Sensata Technologies Holding NV ST 2.80B
First Niagara Financial Group Inc. FNFG 2.80B
Aeropostale, Inc. ARO 2.85B
United Therapeutics Corporation UTHR 2.79B
Informatica Corporation INFA 2.79B
Liberty Media Corp (Starz) LSTZB 2.80B
Gentex Corporation GNTX 2.79B
Greif, Inc. GEF.B 2.79B
Endo Pharmaceuticals ENDP 2.78B
AllianceBernstein Holding LP AB 2.75B
Inergy, LP NRGY 2.78B
CTC Media, Inc. CTCM 2.77B
Senior Housing Properties Trust SNH 2.75B
SM Energy Co. SM 2.72B
Greif, Inc. GEF 2.80B
Liberty Media Corp (Starz) LSTZA 2.75B
City National Corporation CYN 2.85B
Dresser-Rand Group Inc. DRC 2.76B
Del Monte Foods Company DLM 2.75B
Amylin Pharmaceuticals, Inc. AMLN 2.74B
The Shaw Group Inc. SHAW 2.77B
Bank of America Corp. PRFD 'Q' BML-Q 2.74B
Lennar Corporation LEN 2.70B
Lennar Corporation LEN.B 2.72B
Hubbell Incorporated HUB.B 2.74B
DreamWorks Animation SKG, Inc. DWA 2.72B
MercadoLibre, Inc. MELI 2.71B
Hubbell Incorporated HUB.A 2.71B
Jarden Corporation JAH 2.60B
Fossil, Inc. FOSL 2.59B
Alleghany Corporation Y 2.68B
Solera Holdings, Inc. SLH 2.61B
Lamar Advertising Company LAMR 2.43B
Telecom Corp of New Zealand (ADR) NZT 2.61B
Atmos Energy Corporation ATO 2.66B
Developers Diversified Realty Corp. DDR 2.57B
Ingram Micro Inc. IM 2.60B
Arthur J. Gallagher & Co. AJG 2.65B
Talecris Biotherapeutics Holdings Corp TLCR 2.64B
IAC/InterActiveCorp IACI 2.54B
Oceaneering International OII 2.63B
Aqua America, Inc. WTR 2.64B
Novellus Systems, Inc. NVLS 2.58B
Towers Watson & Co TW 2.49B
Cellcom Israel Ltd. CEL 2.55B
Ares Capital Corporation ARCC 2.65B
Lexmark International, Inc. LXK 2.53B
Gardner Denver, Inc. GDI 2.54B
Regency Energy Partners LP RGNC 2.59B
Westar Energy, Inc. WR 2.57B
Vanguard Large-Cap ETF VV 2.55B
Logitech International SA (USA) LOGI 2.54B
ProShares Short S&P500 (ETF) SH 2.29B
Focus Media Holding Limited (ADR) FMCN 2.44B
IDEX Corporation IEX 2.49B
iShares S&P Latin America 40 Index (ETF) ILF 2.49B
MEMC Electronic Materials, Inc. WFR 2.35B
Snap-on Incorporated SNA 2.48B
First Horizon National Corporation FHN 2.60B
American Eagle Outfitters AEO 2.46B
Kinetic Concepts, Inc. KCI 2.56B
Frontline Ltd. (USA) FRO 2.38B
East West Bancorp, Inc. EWBC 2.50B
Partner Communications Company Ltd (ADR) PTNR 2.43B
Polycom, Inc. PLCM 2.53B
MarkWest Energy Partners, LP MWE 2.52B
Health Care SPDR (ETF) XLV 2.57B
Duke Realty Corporation DRE 2.49B
Signet Jewelers Ltd. SIG 2.41B
TransDigm Group Incorporated TDG 2.46B
Riverbed Technology, Inc. RVBD 2.20B
SINA Corporation (USA) SINA 2.46B
Barclays Bank Plc PRFD 'D' BCS-D 2.53B
BRE Properties, Inc. BRE 2.46B
Corpbanca (ADR) BCA 2.45B
Tractor Supply Company TSCO 2.50B
Apartment Investment and Management Co. AIV 2.42B
WebMD Health Corp. WBMD 2.48B
Packaging Corporation of America PKG 2.52B
Compass Minerals International, Inc. CMP 2.50B
Salix Pharmaceuticals, Ltd. SLXP 2.45B
RadioShack Corporation RSH 2.51B
Lennox International Inc. LII 2.40B
AmeriGas Partners, LP APU 2.47B
Tupperware Brands Corporation TUP 2.50B
Merck & Co., Inc PRFD 'B' MRK-B 2.51B
CommScope, Inc. CTV 2.29B
Hospitality Properties Trust HPT 2.45B
Shanda Interactive Entertainment Ltd ADR SNDA 2.49B
Covanta Holding Corporation CVA 2.42B
National Instruments Corp NATI 2.48B
Pan American Silver Corp. (USA) PAAS 2.48B
Mack-Cali Realty Corp. CLI 2.46B
Allied World Assurance Holdings, Ltd. AWH 2.47B
iShares Dow Jones US Real Estate (ETF) IYR 2.45B
Weingarten Realty Investors WRI 2.43B
Erie Indemnity Company ERIE 2.47B
TAM SA (ADR) TAM 2.44B
Atmel Corporation ATML 2.46B
Vanguard Mid-Cap ETF VO 2.46B
Guangshen Railway Co. Ltd (ADR) GSH 2.46B
Corn Products International, Inc. CPO 2.46B
Thoratec Corporation THOR 2.45B
CAE, Inc. (USA) CAE 2.43B
Bio-Rad Laboratories, Inc. BIO 2.43B
iShares S&P 100 Index (ETF) OEF 2.43B
Panera Bread Company PNRA 2.43B
iShares S&P MidCap 400 Growth (ETF) IJK 2.43B
Gafisa SA (ADR) GFA 2.40B
PowerShares Exchange-Traded Fund Trust II ETF BAB 2.43B
Bio-Rad Laboratories, Inc. BIO.B 2.43B
WABCO Holdings Inc. WBC 2.43B
JDS Uniphase Corporation JDSU 2.41B
Patterson-UTI Energy, Inc. PTEN 2.41B
RPM International Inc. RPM 2.43B
BJ's Wholesale Club, Inc. BJ 2.43B
Wesco Financial Corporation WSC 2.40B
James Hardie Industries SE JHX 2.46B
Sunoco Logistics Partners LP SXL 2.40B
Bank of Hawaii Corporation BOH 2.39B
Great Plains Energy Incorporated GXP 2.39B
Cytec Industries Inc. CYT 2.39B
Itron, Inc. ITRI 2.39B
Health Net, Inc. HNT 2.39B
John Wiley & Sons Inc JW.A 2.38B
John Wiley & Sons Inc JW.B 2.37B
Smithfield Foods, Inc. SFD 2.37B
Mercury General Corporation MCY 2.37B
Allscripts-Misys Healthcare Solutions MDRX 2.37B
Concur Technologies, Inc. CNQR 2.36B
SUPERVALU INC. SVU 2.36B
Temple-Inland, Inc. TIN 2.36B
Capitol Federal Financial CFFN 2.36B
Alterra Capital Holdings Ltd. ALTE 2.35B
InterOil Corporation (USA) IOC 2.35B
REGAL-BELOIT CORPORATION RBC 2.35B
Gartner, Inc. IT 2.35B
Mariner Energy, Inc. ME 2.35B
Burger King Holdings, Inc. BKC 2.34B
Hanesbrands Inc. HBI 2.34B
Associated Banc-Corp ASBC 2.33B
Lincoln Electric Holdings, Inc. LECO 2.33B
Education Management Corp EDMC 2.33B
Atlas Energy, Inc. ATLS 2.33B
Huntsman Corporation HUN 2.33B
Lincare Holdings Inc. LNCR 2.32B
Wells Fargo & Co. PRFD 'J' WFC-J 2.32B
PerkinElmer, Inc. PKI 2.31B
J. Crew Group, Inc. JCG 2.31B
Kennametal Inc. KMT 2.30B
Sappi Limited (ADR) SPP 2.31B
Frontier Communications Corp FTR 2.29B
Vanguard European ETF VGK 2.29B
The St. Joe Company JOE 2.28B
Open Text Corporation (USA) OTEX 2.29B
Carlisle Companies, Inc. CSL 2.30B
Ryder System, Inc. R 2.32B
Tempur-Pedic International Inc. TPX 2.29B
Tibco Software Inc. TIBX 2.28B
AVX Corporation AVX 2.29B
Federated Investors, Inc. FII 2.16B
Silgan Holdings Inc. SLGN 2.28B
Alere, Inc. ALR 2.27B
Valley National Bancorp VLY 2.27B
Charles River Laboratories CRL 2.25B
AMR Corporation AMR 2.25B
WMS Industries Inc. WMS 2.24B
Corporate Office Properties Trust OFC 2.22B
Domtar Corp. (USA) UFS 2.27B
AOL, Inc. AOL 2.20B
Brocade Communications Systems, Inc. BRCD 2.24B
Morningstar, Inc. MORN 2.24B
Rackspace Hosting, Inc. RAX 2.24B
Citigroup Inc PRFD 'I' C-I 2.20B
TCF Financial Corporation TCB 2.22B
DNP Select Income Fund Inc. DNP 2.22B
Alliant Techsystems Inc. ATK 2.25B
Flowers Foods, Inc. FLO 2.22B
Corrections Corporation of America CXW 2.22B
Kirby Corporation KEX 2.21B
Hawaiian Electric Industries, Inc. HE 2.21B
American National Insurance Company ANAT 2.21B
Mednax Inc. MD 2.21B
Elbit Systems Ltd. (ADR) ESLT 2.21B
Vanguard Dividend Appreciation ETF VIG 2.21B
Great Plains Energy, Inc. PRFD 'E' GXP-E 2.21B
Oil States International, Inc. OIS 2.21B
iShares MSCI Australia Index Fund (ETF) EWA 2.20B
VistaPrint NV VPRT 2.20B
Jack Henry & Associates, Inc. JKHY 2.19B
Teleflex Incorporated TFX 2.19B
Melco Crown Entertainment Ltd MPEL 2.19B
Dean Foods Company DF 2.18B
Rambus Inc. RMBS 2.18B
Harman International Industries Inc./DE/ HAR 2.17B
Quicksilver Resources Inc KWK 2.17B
Varian Semiconductor VSEA 2.17B
Terex Corporation TEX 2.17B
Health Care REIT Inc. PRFD 'F' HCN-F 2.16B
Penn National Gaming, Inc PENN 2.16B
Taubman Centers, Inc. TCO 2.16B
Novell, Inc. NOVL 2.16B
Gen-Probe Incorporated GPRO 2.14B
Techne Corporation TECH 2.13B
Rollins, Inc. ROL 2.13B
Wabtec Corporation WAB 2.13B
Foot Locker, Inc. FL 2.13B
Nordson Corporation NDSN 2.13B
Methanex Corporation (USA) MEOH 2.13B
Banco Macro SA (ADR) BMA 2.12B
Rollins, Inc. ROL 2.13B
Teleflex Incorporated TFX 2.19B
Foot Locker, Inc. FL 2.13B
Alliance Holdings GP, LP AHGP 2.12B
Rackspace Hosting, Inc. RAX 2.23B
Emergency Medical Services Corporation EMS 1.94B
Endurance Specialty Holdings Ltd. ENH 2.13B
Royal Gold, Inc. RGLD 2.10B
Cytec Industries Inc. CYT 2.39B
Regal Entertainment Group RGC 2.08B
Smurfit-Stone Container Corporation Common Stock SSCC 2.07B
NCR Corporation NCR 2.11B
Wabtec Corporation WAB 2.13B
Highwoods Properties, Inc. HIW 2.12B
Parametric Technology PMTC 2.08B
Career Education Corp. CECO 2.08B
Citigroup Inc PRFD 'I' C-I 2.23B
Rydex S&P Equal Weight ETF RSP 2.09B
Harman International Industries Inc./DE/ HAR 2.17B
Precision Drilling Corporation PDS 2.00B
MFA Mortgage Investments MFA 2.08B
Harsco Corporation HSC 2.13B
Aspen Insurance Holdings Limited AHL 2.06B
HSBC Holdings Plc HCS 2.06B
Omega Healthcare Investors, Inc. OHI 2.09B
Citigroup Inc. Floating Rate Trust Preferred Securities (TruPS) C-J 2.07B
KONAMI CORPORATION (ADR) KNM 2.08B
Mylan Inc. - Mandatory Convertible Preferred Stock MYLNP 2.04B
Dril-Quip, Inc. DRQ 1.95B
BioMarin Pharmaceutical Inc. BMRN 1.98B
First Citizens BancShares Inc. FCNCA 1.97B
Brigham Exploration Company BEXP 1.88B
Polaris Industries Inc. PII 2.00B
Safety First Trust Series 2009-2 ABI 2.03B
NetLogic Microsystems, Inc. NETL 1.86B
Weight Watchers International, Inc. WTW 2.00B
Tech Data Corporation TECD 1.94B
Landstar System, Inc. LSTR 2.02B
SPDR S&P Dividend (ETF) SDY 1.98B
SXC Health Solutions Corp. (USA) SXCI 2.03B
Vectren Corporation VVC 2.00B
Barclays Bank PLC iPath Exchange Traded Notes due June 12, 2036 Linked to Dow Jones - UBSCommodity Index Total Return DJP 2.02B
GrafTech International Ltd. GTI 1.90B
Vanguard Intermediate-Term Bond ETF BIV 1.94B
ADTRAN, Inc. ADTN 1.96B
Apollo Investment Corp. AINV 1.90B
AllianceBernstein Income Fund Inc. ACG 1.99B
iShares Cohen & Steers Realty Maj. (ETF) ICF 1.95B
Precision Drilling Corporation PDS 2.05B
BP Prudhoe Bay Royalty Trust BPT 1.95B
Highwoods Properties, Inc. PRFD 'B' HIW-B 1.98B
United States Oil Fund LP (ETF) USO 1.95B
Tesla Motors Inc TSLA 1.89B
iShares S&P Natl AMTFr Mncpl Bd Fd (ETF) MUB 1.97B
Suntech Power Holdings Co., Ltd. (ADR) STP 1.94B
FirstMerit Corporation FMER 1.94B
Mechel OAO PRFD MTL- 1.98B
Investors Real Estate Trust IRETP 1.97B
iShares Cohen & Steers Realty Maj. (ETF) ICF 2.00B
Dril-Quip, Inc. DRQ 2.03B
Regeneron Pharmaceuticals, Inc. REGN 1.97B
Acme Packet, Inc. APKT 1.97B
Ritchie Bros. Auctioneers (USA) RBA 1.95B
Armstrong World Industries, Inc. AWI 2.06B
TC Pipelines, LP TCLP 1.96B
Atheros Communications, Inc. ATHR 1.96B
Unit Corporation UNT 1.96B
Washington Federal Inc. WFSL 1.96B
CoreLogic Inc. CLGX 1.97B
New Gold Inc. (USA) NGD 1.96B
Silicon Laboratories SLAB 1.96B
Nuveen Muni Value Fund Inc NUV 1.97B
United States Oil Fund LP (ETF) USO 1.99B
BP Prudhoe Bay Royalty Trust BPT 2.00B
Suntech Power Holdings Co., Ltd. (ADR) STP 1.98B
Nicor Inc. GAS 1.96B
Vanguard Intermediate-Term Bond ETF BIV 2.01B
Teekay Corporation TK 2.05B
Woodward Governor Company WGOV 1.94B
StanCorp Financial Group, Inc. SFG 1.77B
Post Properties, Inc. PRFD 'B' PPS-B 1.92B
The Dress Barn, Inc. DBRN 1.93B
Forest City Enterprises, Inc. FCE.B 1.93B
GrafTech International Ltd. GTI 2.01B
E-TRACS USB Bloomberg Commodity Index Exchange Traded Notes E-TRACS UBS Bloomberg CMCI Agriculture ETN UAG 1.96B
Watsco, Incorporated WSO 1.84B
Forest City Enterprises, Inc. FCE.A 1.92B
iShares S&P MidCap 400 Value Index (ETF) IJJ 1.92B
ProAssurance Corporation PRA 1.92B
Post Properties, Inc. PRFD 'B' PPS-B 1.92B
KKR & Co. LP KKR 1.81B
Forest City Enterprises, Inc. FCE.A 1.92B
Central European Distribution Corp CEDC 1.90B
National Retail Properties, Inc. NNN 1.92B
Bruker Corporation BRKR 1.90B
Psychiatric Solutions, Inc. PSYS 1.89B
PowerShares DB Agriculture Fund DBA 1.87B
Deckers Outdoor Corporation DECK 1.88B
Diebold Incorporated DBD 1.88B
Piedmont Natural Gas Company, Inc. PNY 1.89B
SVB Financial Group SIVB 1.88B
Eaton Vance Limited Duration Income Fund EVV 1.87B
JetBlue Airways Corporation JBLU 1.87B
IESI BFC Ltd BIN 1.89B
Natural Resource Partners LP NRP 1.85B
Shanda Games Limited(ADR) GAME 1.87B
Under Armour, Inc. UA 1.88B
Targa Resources Partners LP NGLS 1.86B
CyberSource Corporation CYBS 1.86B
Copano Energy, LLC CPNO 1.86B
Superior Energy Services, Inc. SPN 1.85B
Hill-Rom Holdings, Inc. HRC 1.86B
PMC-Sierra, Inc. PMCS 1.86B
Graco Inc. GGG 1.86B
Casey's General Stores, Inc. CASY 1.85B
Bally Technologies Inc. BYI 1.84B
Seacor Holdings, Inc. CKH 1.68B
The Warnaco Group, Inc. WRC 1.84B
Compuware Corporation CPWR 1.85B
Watsco, Incorporated WSO.B 1.84B
Protective Life Corp. PL 1.84B
Longtop Financial Technologies Limited LFT 1.86B
Cypress Semiconductor Corporation CY 1.83B
Seaboard Corporation SEB 1.83B
Yingli Green Energy Hold. Co. Ltd. (ADR) YGE 1.82B
CBL & Associates Properties, Inc. CBL 1.85B
CLARCOR Inc. CLC 1.83B
Watsco, Incorporated WSO 1.84B
Direxion Daily Finan. Bull 3X Shs(ETF) FAS 1.67B
Douglas Emmett, Inc. DEI 1.86B
Wendy's Arby's Group Inc. WEN 1.78B
iShares MSCI Cntry Asa Jpn Idx Fnd(ETF) AAXJ 1.82B
Eaton Vance Tax Managed Diversified Eq. ETY 1.76B
Acuity Brands, Inc. AYI 1.80B
Level 3 Communications, Inc. LVLT 1.82B
WGL Holdings, Inc. WGL 1.82B
Nu Skin Enterprises, Inc. NUS 1.81B
Chico's FAS, Inc. CHS 1.81B
Sotheby's BID 1.80B
Teradyne, Inc. TER 1.83B
CARBO Ceramics Inc. CRR 1.83B
Knight Transportation KNX 1.80B
The Cooper Companies, Inc. COO 1.81B
Steris Corporation STE 1.82B
Provident Energy Trust (USA) PVX 1.80B
Brasil Telecom SA CL 'C' BTM.C 1.78B
ING Groep NV ISG 1.79B
Brasil Telecom SA CL 'C' BTM.C 1.80B
VCA Antech, Inc. WOOF 1.97B
Platinum Underwriters Holdings, Ltd. PTP 1.72B
Washington Real Estate Investment Trust WRE 1.73B
Valhi, Inc. VHI 1.57B
JPMorgan Chase & Co. PRFD 'I' JPM-I 1.79B
Baldor Electric Company BEZ 1.70B
Fortress Investment Group LLC FIG 1.83B
iShares JPMorgan USD Emer Mkt Bnd Fd ETF EMB 1.63B
Wendy's Arby's Group Inc. WEN 1.76B
Grupo Aeroportuario del Pacifico (ADR) PAC 1.78B
Teekay LNG Partners LP TGP 1.73B
Syntel, Inc. SYNT 1.54B
DST Systems, Inc. DST 1.74B
Entertainment Properties Trust EPR 1.70B
StanCorp Financial Group, Inc. SFG 1.91B
Cadence Design Systems, Inc. CDNS 1.70B
WR Grace & Co. GRA 1.64B
Eaton Vance Tax Managed Diversified Eq. ETY 1.76B
Alaska Air Group, Inc. ALK 1.73B
Atwood Oceanics, Inc. ATW 1.71B
Vishay Intertechnology VSH 1.64B
QLogic Corporation QLGC 2.06B
WACHOVIA CORPORATION NON CUMUL WB-S 1.76B
Tata Communications Limited (ADR) TCL 1.72B
Home Properties, Inc. HME 1.72B
Vishay Intertechnology, Inc. VSH.W 1.75B
Werner Enterprises, Inc. WERN 1.72B
EMCOR Group, Inc. EME 1.65B
Mindray Medical International Limited MR 1.70B
PowerShares Emerging Infra PF (FTF) PXR 1.74B
Sirona Dental Systems, Inc. SIRO 1.74B
Deutsche Bk Contingent Cap Tr III Tr Pfd Secs DTK 1.74B
Suburban Propane Partners, LP SPH 1.74B
Alliance Resource Partners, LP ARLP 1.74B
Vina Concha y Toro SA (ADR) VCO 1.74B
Veeco Instruments Inc. VECO 1.73B
Cleco Corporation CNL 1.73B
The Toro Company TTC 1.74B
MGIC Investment Corp. MTG 1.77B
American Medical Systems Holdings, Inc. AMMD 1.73B
JP Morgan Chase & Co Cap Secs Var Ser Z 12/31/2048 JPM-Z 1.73B
Consumer Discretionary SPDR (ETF) XLY 1.72B
Intrepid Potash, Inc. IPI 1.76B
Quest Software, Inc. QSFT 1.72B
Duncan Energy Partners LP DEP 1.72B
Owens & Minor, Inc. OMI 1.73B
Cabot Corporation CBT 1.74B
Aberdeen Asia-Pacific Income Fund, Inc. FAX 1.71B
AB Svensk Ekportkredit (Swedish Export Credit Corporation) Accelerated Return Notes Linked to the Russell 2000 Index AGR 1.68B
IDACORP, Inc. IDA 1.70B
Mirant Corporation MIR 1.72B
Tesoro Corporation TSO 1.70B
Sohu.com Inc. SOHU 1.70B
HEALTHSOUTH Corp. HLS 1.67B
Western Gas Partners, LP WES 1.68B
KAR Auction Services Inc KAR 1.75B
Home Inns & Hotels Management Inc. (ADR) HMIN 1.69B
WESCO International, Inc. WCC 1.67B
Ruddick Corporation RDK 1.69B
Nice Systems Ltd. (ADR) NICE 1.68B
Johnson Controls Inc PRFD 'Z' JCI-Z 1.68B
Citigroup Inc PRFD 'M' C-M 1.68B
Seacor Holdings, Inc. CKH 1.68B
Popular, Inc. BPOP 1.68B
Materials SPDR (ETF) XLB 1.67B
Unitrin, Inc. UTR 1.67B
Clean Harbors, Inc. CLH 1.67B
HSN, Inc. HSNI 1.67B
Brinker International, Inc. EAT 1.67B
Ferrellgas Partners, LP FGP 1.67B
Columbia Sportswear Company COLM 1.67B
Direxion Daily Finan. Bull 3X Shs(ETF) FAS 1.67B
Health Management Associates, Inc. HMA 1.66B
ING Groep NV IGK 1.66B
Skechers USA, Inc. SKX 1.66B
LifePoint Hospitals, Inc. LPNT 1.66B
Neustar, Inc NSR 1.66B
Echostar Corporation SATS 1.66B
TreeHouse Foods Inc. THS 1.66B
FTI Consulting, Inc. FCN 1.66B
Wells Fargo & Co. BWF 1.65B
SuccessFactors, Inc. SFSF 1.65B
Aruba Networks, Inc. ARUN 1.65B
Oil Service HOLDRs (ETF) OIH 1.65B
Exterran Holdings, Inc. EXH 1.64B
AO Smith Corporation AOS 1.64B
CapitalSource, Inc. CSE 1.64B
AK Steel Holding Corporation AKS 1.64B
Mid-America Apartment MAA 1.64B
Brookdale Senior Living, Inc. BKD 1.58B
CapitalSource, Inc. CSE 1.64B
Ruddick Corporation RDK 1.68B
Ariba, Inc. ARBA 1.62B
CommonWealth REIT CWH 1.61B
Federal-Mogul Corporation FDML 1.62B
Fulton Financial Corp. FULT 1.62B
Neustar, Inc NSR 1.66B
Quality Systems, Inc. QSII 1.62B
Solutia Inc. SOA 1.79B
Con-way Inc. CNW 1.63B
ICON plc (ADR) ICLR 1.61B
Mid-America Apartment MAA 1.64B
Sally Beauty Holdings, Inc. SBH 1.62B
PowerShares Fin. Preferred Port. (ETF) PGF 1.61B
Unitrin, Inc. UTR 1.67B
Kilroy Realty Corporation KRC 1.64B
iShares MSCI Mexico Inv. Mt. Idx. (ETF) EWW 1.63B
Giant Interactive Group Inc GA 1.57B
Brinker International, Inc. EAT 1.67B
AK Steel Holding Corporation AKS 1.64B
iShares MSCI Singapore Index Fund (ETF) EWS 1.57B
iShares S&P SmallCap 600 Growth (ETF) IJT 1.60B
iShares S&P GSCI Commodity-Indexed (ETF) GSG 1.61B
Signature Bank SBNY 1.58B
Monster Worldwide, Inc. MWW 1.63B
Genesee & Wyoming Inc. GWR 1.58B
Alexander's, Inc. ALX 1.63B
JP Morgan Chase & Co Capital XXVIII Fixed-to-Floating rate Capital Securities, Series BB (and the Guarantee by JPMorgan Chase & Co. with respect theret JPM-B 1.59B
WestAmerica Bancorp. WABC 1.57B
ProShares Ultra S&P500 (ETF) SSO 1.42B
AO Smith Corporation AOS 1.64B
Prosperity Bancshares, Inc. PRSP 1.57B
Syniverse Holdings, Inc. SVR 1.58B
Oasis Petroleum Inc. OAS 1.57B
Primerica, Inc. PRI 1.56B
Live Nation Entertainment, Inc. LYV 1.59B
RPC, Inc. RES 1.63B
iShares S&P SmallCap 600 Value Idx (ETF) IJS 1.59B
iShares S&P NA Nat. Re. Sc. Idx. Fd(ETF) IGE 1.58B
ELEMENTS Benjamin Graham Small Cap Value Index ETN IV BSC 1.59B
Cinemark Holdings, Inc. CNK 1.61B
Empresas ICA SA (ADR) ICA 1.58B
Crucell NV (ADR) CRXL 1.55B
Equity Lifestyle Properties, Inc. ELS 1.59B
Commercial Metals Company CMC 1.59B
Zebra Technologies Corp. ZBRA 1.55B
HMS Holdings Corp. HMSY 1.54B
LaSalle Hotel Properties LHO 1.59B
Market Vectors Agribusiness (ETF) MOO 1.56B
Carter's, Inc. CRI 1.54B
Express, Inc. EXPR 1.56B
Incyte Corporation INCY 1.53B
Trinity Industries, Inc. TRN 1.58B
The India Fund, Inc. IFN 1.56B
Kayne Anderson MLP Investment Co. KYN 1.53B
Lancaster Colony Corp. LANC 1.52B
Corus Entertainment Inc. (USA) CJR 1.55B
Anixter International Inc. AXE 1.55B
Pharmaceutical HOLDRs (ETF) PPH 1.48B
Kayne Anderson MLP Investment Co. KYN 1.53B
Berry Petroleum Company BRY 1.53B
Dillard's, Inc. DDS 1.53B
Incyte Corporation INCY 1.53B
Equity One, Inc. EQY 1.53B
Life Time Fitness, Inc. LTM 1.53B
Medicis Pharmaceutical Corporation MRX 1.52B
Lancaster Colony Corp. LANC 1.52B
Valassis Communications, Inc. VCI 1.52B
Investors Bancorp, Inc. ISBC 1.52B
Patni Computer Systems Limited (ADR) PTI 1.52B
Semiconductor Manufacturing Int'l (ADR) SMI 1.52B
New Jersey Resources Corporation NJR 1.52B
First American Financial Corp FAF 1.51B
Grupo Aeroportuario del Sureste (ADR) ASR 1.51B
Capella Education Company CPLA 1.50B
Coinstar, Inc. CSTR 1.50B
Catalyst Health Solutions, Inc. CHSI 1.50B
Sapient Corporation SAPE 1.50B
World Fuel Services Corporation INT 1.50B
Rent-A-Center, Inc RCII 1.50B
Petrobras Energia SA (ADR) PZE 1.50B
UMB Financial Corporation UMBF 1.49B
Arris Group, Inc. ARRS 1.49B
Intersil Corporation ISIL 1.49B
OneBeacon Insurance Group, Ltd. OB 1.49B
Pilgrim's Pride Corporation PPC 1.49B
Ship Finance International Limited SFL 1.49B
Atlas Air Worldwide Holdings, Inc. AAWW 1.48B
Pharmaceutical HOLDRs (ETF) PPH 1.48B
World Fuel Services Corporation INT 1.50B
Berry Petroleum Company BRY 1.53B
Ship Finance International Limited SFL 1.49B
JPMorgan Chase Capital XXIX 6.70% Capital Securities, Series CC JPM-C 1.47B
Valassis Communications, Inc. VCI 1.52B
MetLife Inc PRFD 'B' MET-B 1.47B
Madison Square Garden, Inc. MSG 1.47B
Hilltop Holdings, Inc. PRFD 'A' HTH-A 1.48B
PIMCO High Income Fund PHK 1.47B
Bill Barrett Corporation BBG 1.46B
Semiconductor Manufacturing Int'l (ADR) SMI 1.52B
Loral Space & Communications Ltd. LORL 1.46B
Cousins Properties Inc. PRFD 'B' CUZ-B 1.46B
Myriad Genetics, Inc. MYGN 1.46B
Dillard's, Inc. DDS 1.53B
iShares MSCI Hong Kong Index Fund (ETF) EWH 1.47B
Heartland Express, Inc. HTLD 1.46B
Credit Suisse Guernsey BRH Cap Nt Tier 1 (Guernsey) CRP 1.45B
Hittite Microwave Corporation HITT 1.46B
Plantronics, Inc. PLT 1.54B
Emdeon Inc. Class A Common Stock EM 1.46B
Ulta Salon, Cosmetics & Fragrance, Inc. ULTA 1.45B
ViaSat, Inc. VSAT 1.44B
Webster Financial Corporation WBS 1.46B
BancorpSouth, Inc. BXS 1.39B
The Cheesecake Factory Incorporated CAKE 1.44B
US Airways Group, Inc. LCC 1.59B
Potlatch Corporation PCH 1.42B
Pilgrim's Pride Corporation PPC 1.49B
Thor Industries, Inc. THO 1.43B
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