Jacobs Levy Equity Management Inc (884414) Portfolio


Number of Companies: 937
Inflow: $1,188,600 K
Outflow: $-1,648,126 K
Net Flow: $-459,525 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
5 1 Targa Resources Corp (TRGP) Midstream Oil And Gas 1,060,881 New Holding 1,060,881 $29.86 $31,677 $31,677
9 1 Devon Energy Corp (DVN) Exploration And Production 889,581 Added More 802,260 $27.44 $22,014 $24,410
217 14 Marathon Oil Corp (MRO) Exploration And Production 2,112,207 Added More 1,968,147 $11.14 $21,925 $23,529
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 44,627 New Holding 44,627 $470.97 $21,017 $21,017
2521 4 Leucadia National Corp (LUK) Investment Companies 1,220,606 New Holding 1,220,606 $16.17 $19,737 $19,737
3044 9 Costco Wholesale Corp (COST) Mass Merchants 111,119 Added More 109,560 $157.58 $17,264 $17,510
3068 39 Mcdonalds Corp (MCD) Restaurants 167,020 Added More 136,180 $125.68 $17,115 $20,991
2523 7 Wellcare Health Plans Inc (WCG) Managed Care 188,130 Added More 179,800 $92.75 $16,676 $17,449
2856 20 Kinder Morgan Inc (KMI) Midstream Oil And Gas 893,234 New Holding 893,234 $17.86 $15,953 $15,953
3048 15 Nvr Inc (NVR) Homebuilders 13,176 Added More 9,051 $1732.40 $15,679 $22,826
2925 29 Alliance Data Systems Corp (ADS) Consumer Finance 66,573 New Holding 66,573 $220.00 $14,646 $14,646
3054 25 Intuitive Surgical Inc (ISRG) Medical Equipment 24,262 New Holding 24,262 $601.04 $14,582 $14,582
2373 6 3d Systems Corp (DDD) Other Hardware 883,019 New Holding 883,019 $15.47 $13,660 $13,660
652 14 Netscout Systems Inc (NTCT) Communications Equipment 577,003 New Holding 577,003 $22.96 $13,253 $13,253
58 4 Qep Resources Inc (QEP) Exploration And Production 1,024,454 Added More 920,954 $14.11 $12,994 $14,455
2065 4 Trinity Industries Inc (TRN) Railroad Rolling Stock 704,950 New Holding 704,950 $18.30 $12,907 $12,907
268 4 Triumph Group Inc (TGI) Aircraft And Parts 484,564 Added More 406,984 $31.48 $12,811 $15,254
3012 21 Kimberly-Clark Corp (KMB) Household Products 92,970 New Holding 92,970 $134.50 $12,505 $12,505
646 5 Netapp Inc (NTAP) Computer Hardware And Storage 1,192,099 Added More 441,417 $27.29 $12,046 $32,532
228 2 Microstrategy Inc-Cl A (MSTR) Infrastructure Software 87,138 Added More 66,636 $179.72 $11,975 $15,660
2756 51 Incyte Corp (INCY) Biotech 163,920 New Holding 163,920 $72.47 $11,879 $11,879
2684 27 Visteon Corp (VC) Auto Parts 150,457 Added More 145,050 $79.58 $11,544 $11,974
2664 113 Sl Green Realty Corp (SLG) Reit 120,712 Added More 117,992 $96.87 $11,431 $11,694
2977 67 Qualcomm Inc (QCOM) Semiconductor Devices 251,860 Added More 215,520 $51.13 $11,021 $12,880
381 8 Ensco Plc-Cl A (ESV) Oil And Gas Services And Equip 1,143,007 Added More 1,062,607 $10.37 $11,019 $11,852
141 2 Jones Lang Lasalle Inc (JLL) Real Estate Services 107,655 Added More 93,856 $117.32 $11,011 $12,630
2380 15 Whole Foods Market Inc (WFM) Food And Drug Stores 344,640 New Holding 344,640 $31.11 $10,721 $10,721
3045 52 Markel Corp (MKL) P And C Insurance 11,525 New Holding 11,525 $891.57 $10,275 $10,275
94 5 Alnylam Pharmaceuticals Inc (ALNY) Biotech 163,591 New Holding 163,591 $62.77 $10,268 $10,268
17 2 Hormel Foods Corp (HRL) Packaged Food 558,500 Added More 232,730 $43.24 $10,063 $24,149
2575 67 Akorn Inc (AKRX) Specialty Pharma 412,650 New Holding 412,650 $23.53 $9,709 $9,709
2536 14 Colfax Corp (CFX) Flow Control Equipment 323,556 New Holding 323,556 $28.59 $9,250 $9,250
167 2 Comscore Inc (SCOR) Information Services 307,124 New Holding 307,124 $30.04 $9,226 $9,226
2596 18 Community Health Systems Inc (CYH) Health Care Facilities 490,670 New Holding 490,670 $18.51 $9,082 $9,082
249 6 Alkermes Plc (ALKS) Specialty Pharma 259,631 New Holding 259,631 $34.18 $8,876 $8,876
27 1 Dominos Pizza Inc (DPZ) Restaurants 78,207 Added More 67,278 $131.86 $8,871 $10,312
429 26 Svb Financial Group (SIVB) Banks 182,196 Added More 86,013 $102.05 $8,777 $18,593
2228 21 Vmware Inc-Class A (VMW) Infrastructure Software 440,688 Added More 167,687 $52.31 $8,771 $23,052
424 6 Textron Inc (TXT) Aircraft And Parts 568,335 Added More 238,340 $36.45 $8,689 $20,721
55 1 Home Bancshares Inc (HOMB) Banks 242,587 Added More 204,687 $40.95 $8,381 $9,933
3074 26 Facebook Inc-A (FB) Internet Media 92,544 Added More 72,284 $114.09 $8,247 $10,559
2497 2 Bunge Ltd (BG) Agricultural Products Whslrs 379,609 Added More 142,060 $56.66 $8,050 $21,512
11 1 Western Digital Corp (WDC) Computer Hardware And Storage 469,390 Added More 164,470 $47.24 $7,769 $22,173
345 17 Cobalt International Energy (CIE) Exploration And Production 2,603,338 Added More 2,497,538 $2.97 $7,417 $7,731
473 12 Oceaneering Intl Inc (OII) Oil And Gas Services And Equip 223,086 New Holding 223,086 $33.24 $7,415 $7,415
65 5 Regency Centers Corp (REG) Reit 105,535 Added More 98,645 $74.84 $7,383 $7,899
270 5 Finisar Corporation (FNSR) Communications Equipment 394,800 New Holding 394,800 $18.24 $7,201 $7,201
2419 22 Borgwarner Inc (BWA) Auto Parts 186,026 New Holding 186,026 $38.40 $7,143 $7,143
2432 7 Lexmark International Inc-A (LXK) Office Electronics 441,889 Added More 206,199 $33.43 $6,893 $14,772
337 10 Verint Systems Inc (VRNT) Application Software 205,702 New Holding 205,702 $33.38 $6,866 $6,866
2980 11 Alleghany Corp (Y) Reinsurance 16,624 Added More 12,929 $496.20 $6,415 $8,248
2998 8 Express Scripts Holding Co (ESRX) Health Care Supply Chain 119,410 Added More 92,640 $68.69 $6,363 $8,202
444 8 Flowers Foods Inc (FLO) Packaged Food 342,521 New Holding 342,521 $18.45 $6,322 $6,322
2796 120 Federal Realty Invs Trust (FRT) Reit 40,343 New Holding 40,343 $156.05 $6,295 $6,295
330 3 Advisory Board Cothe (ABCO) Professional Services 191,152 New Holding 191,152 $32.25 $6,164 $6,164
185 1 Olin Corp (OLN) Basic And Diversified Chemicals 351,281 New Holding 351,281 $17.37 $6,101 $6,101
2595 9 Spirit Airlines Inc (SAVE) Airlines 125,104 New Holding 125,104 $47.98 $6,002 $6,002
63 1 Childrens Place Incthe (PLCE) Specialty Apparel Stores 87,416 Added More 71,140 $83.47 $5,938 $7,296
2264 13 Caseys General Stores Inc (CASY) Food And Drug Stores 121,328 Added More 52,020 $113.32 $5,894 $13,748
3062 63 Atandt Inc (T) Telecom Carriers 1,379,730 Added More 145,620 $39.16 $5,703 $54,044
535 5 American Equity Invt Life Hl (AEL) Life Insurance 328,152 New Holding 328,152 $16.79 $5,512 $5,512
79 3 Firstenergy Corp (FE) Integrated Utilities 164,180 Added More 150,820 $35.97 $5,424 $5,905
3033 16 Goldman Sachs Group Inc (GS) Institutional Brokerage 34,440 New Holding 34,440 $156.97 $5,406 $5,406
2727 10 Everest Re Group Ltd (RE) Reinsurance 41,790 Added More 27,300 $197.42 $5,389 $8,250
2095 63 Allscripts Healthcare Soluti (MDRX) Application Software 796,477 Added More 405,537 $13.21 $5,357 $10,521
2962 270 M And T Bank Corp (MTB) Banks 47,286 New Holding 47,286 $111.00 $5,248 $5,248
2792 26 Edison International (EIX) Integrated Utilities 75,632 Added More 71,972 $71.88 $5,174 $5,437
694 5 Teekay Corp (TK) Marine Shipping 591,292 New Holding 591,292 $8.66 $5,120 $5,120
3061 12 Chevron Corp (CVX) Integrated Oils 53,610 New Holding 53,610 $95.40 $5,114 $5,114
1950 4 Ch Robinson Worldwide Inc (CHRW) Logistics Services 250,100 Added More 67,260 $74.23 $4,992 $18,564
2777 25 P G And E Corp (PCG) Integrated Utilities 120,460 Added More 82,580 $59.72 $4,931 $7,193
32 1 Amtrust Financial Services (AFSI) P And C Insurance 188,915 New Holding 188,915 $25.87 $4,889 $4,889
256 2 Be Aerospace Inc (BEAV) Aircraft And Parts 112,590 Added More 103,780 $46.11 $4,786 $5,192
2118 64 Zynga Inc - Cl A (ZNGA) Application Software 5,086,950 Added More 2,094,986 $2.28 $4,776 $11,598
449 4 Ascena Retail Group Inc (ASNA) Specialty Apparel Stores 427,000 New Holding 427,000 $11.06 $4,722 $4,722
176 9 Bbandt Corp (BBT) Banks 140,860 New Holding 140,860 $33.27 $4,686 $4,686
556 9 Axiall Corp (AXLL) Basic And Diversified Chemicals 212,560 New Holding 212,560 $21.84 $4,642 $4,642
442 19 Laredo Petroleum Inc (LPI) Exploration And Production 583,907 New Holding 583,907 $7.93 $4,630 $4,630
148 3 Cray Inc (CRAY) Computer Hardware And Storage 170,231 Added More 104,300 $41.91 $4,371 $7,134
2914 19 Clorox Company (CLX) Household Products 42,819 Added More 34,629 $126.05 $4,365 $5,397
2877 30 Dte Energy Company (DTE) Integrated Utilities 47,840 New Holding 47,840 $90.66 $4,337 $4,337
155 3 Helix Energy Solutions Group (HLX) Oil And Gas Services And Equip 767,816 New Holding 767,816 $5.60 $4,299 $4,299
2638 3 Nasdaq Inc (NDAQ) Security And Cmdty Exchanges 63,860 New Holding 63,860 $66.37 $4,239 $4,239
747 19 Pdl Biopharma Inc (PDLI) Biotech 1,264,679 New Holding 1,264,679 $3.33 $4,211 $4,211
98 1 Fmc Technologies Inc (FTI) Oil And Gas Services And Equip 289,540 Added More 153,100 $27.36 $4,188 $7,921
2585 9 Endurance Specialty Holdings (ENH) Reinsurance 74,514 Added More 63,400 $65.33 $4,142 $4,868
210 1 Belden Inc (BDC) Electrical Components 67,146 New Holding 67,146 $61.38 $4,121 $4,121
30 1 Resmed Inc (RMD) Health Care Supplies 70,800 New Holding 70,800 $57.82 $4,093 $4,093
2742 5 United Natural Foods Inc (UNFI) Food Products Wholesalers 99,048 New Holding 99,048 $40.29 $3,991 $3,991
2594 11 Dun And Bradstreet Corp (DNB) Information Services 83,017 Added More 36,297 $103.08 $3,741 $8,557
103 4 Semgroup Corp-Class A (SEMG) Midstream Oil And Gas 165,431 New Holding 165,431 $22.40 $3,705 $3,705
2863 35 Darden Restaurants Inc (DRI) Restaurants 214,476 Added More 53,820 $66.30 $3,568 $14,219
533 1 Allegiant Travel Co (ALGT) Airlines 33,459 Added More 19,542 $178.05 $3,479 $5,957
138 3 Bruker Corp (BRKR) Life Science Equipment 433,075 Added More 124,130 $28.00 $3,475 $12,126
2687 17 Howard Hughes Corpthe (HHC) Real Estate Owners And Developers 32,267 New Holding 32,267 $105.88 $3,416 $3,416
2679 4 Ncr Corporation (NCR) Transaction Mgmt Systems 180,156 Added More 114,126 $29.93 $3,415 $5,392
2056 40 Phh Corp (PHH) Mortgage Finance 271,204 New Holding 271,204 $12.54 $3,400 $3,400
2415 6 Kennametal Inc (KMT) Metalworking Machinery 148,220 New Holding 148,220 $22.49 $3,333 $3,333
2299 22 Icu Medical Inc (ICUI) Medical Devices 37,270 Added More 31,330 $104.09 $3,261 $3,879
2366 14 Kindred Healthcare Inc (KND) Health Care Facilities 261,047 New Holding 261,047 $12.35 $3,223 $3,223
16 2 Idexx Laboratories Inc (IDXX) Life Science Equipment 41,010 New Holding 41,010 $78.32 $3,211 $3,211
2561 17 Owens-Illinois Inc (OI) Containers And Packaging 256,890 Added More 200,660 $15.96 $3,202 $4,099
2593 22 Varian Medical Systems Inc (VAR) Medical Equipment 39,940 New Holding 39,940 $80.01 $3,195 $3,195
174 11 Energen Corp (EGN) Exploration And Production 86,604 New Holding 86,604 $36.59 $3,168 $3,168
2850 27 Southern Cothe (SO) Integrated Utilities 61,030 New Holding 61,030 $51.73 $3,157 $3,157
1870 16 Chart Industries Inc (GTLS) Fabricated Metal And Hardware 144,410 New Holding 144,410 $21.71 $3,136 $3,136
2631 13 Group 1 Automotive Inc (GPI) Automotive Retailers 61,830 Added More 53,170 $58.68 $3,120 $3,628
2440 7 Synnex Corp (SNX) Consumer Elec And Applc Whslrs 36,223 Added More 33,333 $92.58 $3,086 $3,353
121 7 Carrizo Oil And Gas Inc (CRZO) Exploration And Production 99,240 New Holding 99,240 $30.92 $3,068 $3,068
1595 7 Navistar International Corp (NAV) Commercial Vehicles 257,277 Added More 243,900 $12.52 $3,053 $3,221
2310 4 Owens And Minor Inc (OMI) Health Care Supply Chain 112,970 Added More 71,590 $40.41 $2,893 $4,566
1756 48 Sanchez Energy Corp (SN) Exploration And Production 520,234 New Holding 520,234 $5.49 $2,856 $2,856
305 2 American Axle And Mfg Holdings (AXL) Auto Parts 262,188 Added More 182,410 $15.39 $2,807 $4,035
2912 18 Cr Bard Inc (BCR) Health Care Supplies 109,151 Added More 13,840 $202.66 $2,804 $22,121
288 23 Alexandria Real Estate Equit (ARE) Reit 30,600 New Holding 30,600 $90.88 $2,781 $2,781
2088 4 Suncoke Energy Inc (SXC) Steel Raw Material Suppliers 420,784 New Holding 420,784 $6.50 $2,735 $2,735
106 1 Core-Mark Holding Co Inc (CORE) Food Products Wholesalers 32,680 New Holding 32,680 $81.55 $2,665 $2,665
2874 86 Electronic Arts Inc (EA) Application Software 295,438 Added More 40,070 $66.11 $2,649 $19,531
2463 40 White Mountains Insurance Gp (WTM) P And C Insurance 3,287 New Holding 3,287 $802.59 $2,638 $2,638
2280 12 Scientific Games Corp-A (SGMS) Casinos And Gaming 273,300 New Holding 273,300 $9.43 $2,577 $2,577
2305 48 Acorda Therapeutics Inc (ACOR) Biotech 94,820 New Holding 94,820 $26.45 $2,507 $2,507
2040 39 Tidewater Inc (TDW) Oil And Gas Services And Equip 361,799 New Holding 361,799 $6.83 $2,471 $2,471
3077 22 Procter And Gamble Cothe (PG) Household Products 41,440 Added More 29,820 $82.30 $2,454 $3,410
2811 75 Range Resources Corp (RRC) Exploration And Production 73,800 New Holding 73,800 $32.38 $2,389 $2,389
112 2 Dreamworks Animation Skg-A (DWA) Entertainment Content 95,760 New Holding 95,760 $24.95 $2,389 $2,389
2377 33 Virtusa Corp (VRTU) It Services 62,195 New Holding 62,195 $37.45 $2,329 $2,329
2697 8 Kohls Corp (KSS) Department Stores 49,490 New Holding 49,490 $46.61 $2,306 $2,306
2732 71 Southwestern Energy Co (SWN) Exploration And Production 284,500 New Holding 284,500 $8.07 $2,295 $2,295
2435 107 Lasalle Hotel Properties (LHO) Reit 90,690 New Holding 90,690 $25.30 $2,295 $2,295
530 3 Enernoc Inc (ENOC) Infrastructure Construction 306,500 New Holding 306,500 $7.48 $2,292 $2,292
2873 52 Juniper Networks Inc (JNPR) Communications Equipment 1,085,388 Added More 89,800 $25.51 $2,290 $27,688
2491 7 Reinsurance Group Of America (RGA) Reinsurance 151,730 Added More 23,630 $96.25 $2,274 $14,604
384 8 Adtran Inc (ADTN) Communications Equipment 324,309 Added More 111,289 $20.21 $2,250 $6,557
463 1 Greenbrier Companies Inc (GBX) Railroad Rolling Stock 80,638 New Holding 80,638 $27.63 $2,228 $2,228
534 1 Lannett Co Inc (LCI) Generic Pharma 123,820 New Holding 123,820 $17.93 $2,220 $2,220
434 5 Iconix Brand Group Inc (ICON) Apparel Footwear And Acc Design 274,613 New Holding 274,613 $8.05 $2,210 $2,210
2023 7 Medidata Solutions Inc (MDSO) Information Services 56,790 New Holding 56,790 $38.70 $2,198 $2,198
3036 50 American International Group (AIG) P And C Insurance 40,630 New Holding 40,630 $54.04 $2,196 $2,196
2589 260 Western Alliance Bancorp (WAL) Banks 306,831 Added More 64,198 $33.38 $2,142 $10,242
2272 20 World Acceptance Corp (WRLD) Consumer Finance 55,719 New Holding 55,719 $37.91 $2,112 $2,112
231 8 Oclaro Inc (OCLR) Semiconductor Devices 666,387 Added More 384,062 $5.40 $2,073 $3,598
2388 6 Sears Holdings Corp (SHLD) Department Stores 135,168 New Holding 135,168 $15.31 $2,069 $2,069
762 5 Cvr Energy Inc (CVI) Refining And Marketing 78,831 New Holding 78,831 $26.10 $2,057 $2,057
339 2 Ak Steel Holding Corp (AKS) Steel Producers 494,527 New Holding 494,527 $4.13 $2,042 $2,042
2763 22 L-3 Communications Holdings (LLL) Aircraft And Parts 17,010 New Holding 17,010 $118.50 $2,015 $2,015
2104 2 Pharmerica Corp (PMC) Health Care Supply Chain 90,310 New Holding 90,310 $22.11 $1,996 $1,996
1858 4 Aspen Insurance Holdings Ltd (AHL) Reinsurance 154,681 Added More 41,740 $47.70 $1,990 $7,378
2866 42 American Water Works Co Inc (AWK) Utility Networks 28,510 New Holding 28,510 $68.93 $1,965 $1,965
550 1 Anixter International Inc (AXE) Emsodm 37,290 New Holding 37,290 $52.11 $1,943 $1,943
38 3 Continental Resources Incok (CLR) Exploration And Production 97,260 Added More 63,790 $30.36 $1,936 $2,952
108 8 Sovran Self Storage Inc (SSS) Reit 16,320 New Holding 16,320 $117.94 $1,924 $1,924
3011 13 Citigroup Inc (C) Diversified Banks 81,800 Added More 45,820 $41.75 $1,912 $3,415
2826 41 Consolidated Edison Inc (ED) Utility Networks 23,970 New Holding 23,970 $76.62 $1,836 $1,836
2207 18 Imperva Inc (IMPV) Infrastructure Software 54,560 Added More 36,250 $50.50 $1,830 $2,755
1670 30 Atwood Oceanics Inc (ATW) Oil And Gas Services And Equip 199,500 New Holding 199,500 $9.17 $1,829 $1,829
2933 13 Ulta Salon Cosmetics And Fragr (ULTA) Other Spec Retail Discr 13,362 Added More 9,352 $193.74 $1,811 $2,588
1525 4 Sagent Pharmaceuticals Inc (SGNT) Generic Pharma 148,114 New Holding 148,114 $12.17 $1,802 $1,802
2408 46 Nabors Industries Ltd (NBR) Oil And Gas Services And Equip 272,400 Added More 193,800 $9.20 $1,782 $2,506
385 5 Invacare Corp (IVC) Health Care Supplies 151,939 Added More 135,350 $13.17 $1,782 $2,001
660 7 Slm Corp (SLM) Consumer Finance 357,355 Added More 277,355 $6.36 $1,763 $2,272
327 2 Magellan Health Inc (MGLN) Managed Care 76,476 Added More 25,880 $67.93 $1,758 $5,195
918 16 Bristow Group Inc (BRS) Oil And Gas Services And Equip 92,100 New Holding 92,100 $18.92 $1,742 $1,742
358 6 Mcdermott Intl Inc (MDR) Oil And Gas Services And Equip 424,120 New Holding 424,120 $4.09 $1,734 $1,734
604 3 General Cable Corp (BGC) Electrical Components 230,953 Added More 138,758 $12.21 $1,694 $2,819
224 2 Rovi Corp (ROVI) Communications Equipment 82,460 New Holding 82,460 $20.51 $1,691 $1,691
1962 16 Teledyne Technologies Inc (TDY) Aircraft And Parts 92,093 Added More 19,090 $88.13 $1,682 $8,117
669 25 Manhattan Associates Inc (MANH) Application Software 29,490 New Holding 29,490 $56.86 $1,677 $1,677
259 8 Intercept Pharmaceuticals In (ICPT) Biotech 13,040 New Holding 13,040 $128.47 $1,675 $1,675
710 53 First Financial Bancorp (FFBC) Banks 115,190 Added More 91,140 $18.18 $1,656 $2,094
399 2 Cliffs Natural Resources Inc (CLF) Steel Raw Material Suppliers 543,093 New Holding 543,093 $3.00 $1,629 $1,629
936 25 Immunogen Inc (IMGN) Biotech 225,900 Added More 191,200 $8.52 $1,629 $1,924
457 6 Innophos Holdings Inc (IPHS) Basic And Diversified Chemicals 52,286 New Holding 52,286 $30.91 $1,616 $1,616
1515 24 United Fire Group Inc (UFCS) P And C Insurance 35,388 New Holding 35,388 $43.82 $1,550 $1,550
469 10 Infoblox Inc (BLOX) Communications Equipment 232,717 Added More 90,114 $17.10 $1,540 $3,979
2216 48 Polycom Inc (PLCM) Communications Equipment 832,577 Added More 138,093 $11.15 $1,539 $9,283
1969 11 Ingles Markets Inc-Class A (IMKTA) Food And Drug Stores 41,021 New Holding 41,021 $37.50 $1,538 $1,538
2325 60 Noble Energy Inc (NBL) Exploration And Production 48,630 New Holding 48,630 $31.41 $1,527 $1,527
613 7 Unisys Corp (UIS) It Services 280,906 Added More 198,144 $7.70 $1,525 $2,162
560 7 Centurylink Inc (CTL) Telecom Carriers 47,300 New Holding 47,300 $31.95 $1,511 $1,511
295 17 East West Bancorp Inc (EWBC) Banks 303,515 Added More 46,150 $32.48 $1,498 $9,858
2217 66 Sps Commerce Inc (SPSC) Application Software 34,740 New Holding 34,740 $42.93 $1,491 $1,491
2997 129 Avalonbay Communities Inc (AVB) Reit 38,336 Added More 7,794 $190.19 $1,482 $7,291
115 4 Zions Bancorporation (ZION) Banks 171,140 Added More 60,890 $24.20 $1,474 $4,143
2949 126 Boston Properties Inc (BXP) Reit 34,142 Added More 11,542 $127.08 $1,466 $4,338
2137 89 Sabra Health Care Reit Inc (SBRA) Reit 72,164 New Holding 72,164 $20.09 $1,449 $1,449
1250 31 Sucampo Pharmaceuticals-Cl A (SCMP) Specialty Pharma 129,690 New Holding 129,690 $10.93 $1,417 $1,417
149 9 Gulfport Energy Corp (GPOR) Exploration And Production 128,830 Added More 49,550 $28.34 $1,404 $3,651
988 17 Transocean Ltd (RIG) Oil And Gas Services And Equip 153,600 New Holding 153,600 $9.14 $1,403 $1,403
379 7 Superior Energy Services Inc (SPN) Oil And Gas Services And Equip 104,308 New Holding 104,308 $13.39 $1,396 $1,396
2078 5 Freightcar America Inc (RAIL) Railroad Rolling Stock 159,763 Added More 87,594 $15.58 $1,364 $2,489
2619 33 Insperity Inc (NSP) Professional Services 72,540 Added More 26,380 $51.73 $1,364 $3,752
2526 4 Consol Energy Inc (CNX) Coal Operations 118,200 New Holding 118,200 $11.29 $1,334 $1,334
2714 11 Staples Inc (SPLS) Other Spec Retail Discr 120,800 New Holding 120,800 $11.03 $1,332 $1,332
2308 19 Wolverine World Wide Inc (WWW) Apparel Footwear And Acc Design 70,600 New Holding 70,600 $18.42 $1,300 $1,300
2695 114 Macerich Cothe (MAC) Reit 16,300 New Holding 16,300 $79.23 $1,291 $1,291
1083 12 Veeco Instruments Inc (VECO) Semiconductor Mfg 66,185 New Holding 66,185 $19.48 $1,289 $1,289
2070 2 Aarons Inc (AAN) Consumer Goods Rental 50,440 New Holding 50,440 $25.10 $1,266 $1,266
3046 32 Air Products And Chemicals Inc (APD) Basic And Diversified Chemicals 8,710 New Holding 8,710 $144.05 $1,254 $1,254
472 7 Kraton Performance Polymers (KRA) Basic And Diversified Chemicals 190,907 Added More 72,060 $17.29 $1,246 $3,302
1013 6 Textainer Group Holdings Ltd (TGH) Commercial Finance 83,955 New Holding 83,955 $14.84 $1,245 $1,245
1117 10 Accuray Inc (ARAY) Medical Equipment 214,959 New Holding 214,959 $5.78 $1,242 $1,242
577 40 First Bancorp Puerto Rico (FBP) Banks 418,346 New Holding 418,346 $2.92 $1,221 $1,221
2129 65 Pros Holdings Inc (PRO) Application Software 102,983 New Holding 102,983 $11.79 $1,214 $1,214
522 3 Avon Products Inc (AVP) Household Products 249,550 New Holding 249,550 $4.81 $1,200 $1,200
542 13 Wgl Holdings Inc (WGL) Utility Networks 16,560 New Holding 16,560 $72.37 $1,198 $1,198
2253 9 Penske Automotive Group Inc (PAG) Automotive Retailers 39,330 Added More 31,440 $37.90 $1,191 $1,490
2252 69 Bazaarvoice Inc (BV) Application Software 368,997 New Holding 368,997 $3.15 $1,162 $1,162
487 2 Callaway Golf Company (ELY) Sporting Goods 299,000 Added More 126,232 $9.12 $1,151 $2,726
2959 33 Duke Energy Corp (DUK) Integrated Utilities 14,060 New Holding 14,060 $80.68 $1,134 $1,134
162 3 Depomed Inc (DEPO) Specialty Pharma 80,300 New Holding 80,300 $13.93 $1,118 $1,118
128 7 Iberiabank Corp (IBKC) Banks 21,810 New Holding 21,810 $51.27 $1,118 $1,118
191 1 Verifone Systems Inc (PAY) Transaction Mgmt Systems 39,530 New Holding 39,530 $28.24 $1,116 $1,116
2417 251 Tcf Financial Corp (TCB) Banks 562,179 Added More 90,851 $12.26 $1,113 $6,892
2908 125 Prologis Inc (PLD) Reit 25,170 New Holding 25,170 $44.18 $1,112 $1,112
2686 22 Pinnacle West Capital (PNW) Integrated Utilities 14,760 New Holding 14,760 $75.07 $1,108 $1,108
158 4 Campbell Soup Co (CPB) Packaged Food 31,600 Added More 17,180 $63.79 $1,095 $2,015
2550 65 Chesapeake Energy Corp (CHK) Exploration And Production 265,900 New Holding 265,900 $4.12 $1,095 $1,095
1702 6 Celadon Group Inc (CGI) Trucking 103,670 New Holding 103,670 $10.48 $1,086 $1,086
418 3 Garmin Ltd (GRMN) Consumer Electronics 27,020 New Holding 27,020 $39.95 $1,079 $1,079
2010 81 Ps Business Parks Incca (PSB) Reit 10,570 New Holding 10,570 $100.51 $1,062 $1,062
867 10 Treehouse Foods Inc (THS) Packaged Food 12,230 New Holding 12,230 $86.75 $1,060 $1,060
2273 6 Taser International Inc (TASR) Defense Primes 53,300 New Holding 53,300 $19.62 $1,046 $1,046
2781 29 Servicenow Inc (NOW) Infrastructure Software 44,842 Added More 17,100 $61.18 $1,046 $2,743
1698 3 Cloud Peak Energy Inc (CLD) Coal Operations 525,794 New Holding 525,794 $1.95 $1,025 $1,025
549 38 Everbank Financial Corp (EVER) Banks 82,197 Added More 67,797 $15.09 $1,023 $1,240
2894 15 Morgan Stanley (MS) Institutional Brokerage 40,820 New Holding 40,820 $25.01 $1,020 $1,020
383 9 Diamond Offshore Drilling (DO) Oil And Gas Services And Equip 97,860 Added More 46,740 $21.73 $1,015 $2,126
1948 9 Nn Inc (NNBR) Flow Control Equipment 73,668 New Holding 73,668 $13.68 $1,007 $1,007
1048 13 Cna Financial Corp (CNA) P And C Insurance 42,359 Added More 31,259 $32.18 $1,005 $1,363
739 11 Rignet Inc (RNET) Telecom Carriers 73,496 New Holding 73,496 $13.68 $1,005 $1,005
1654 8 Clean Energy Fuels Corp (CLNE) Refining And Marketing 339,967 New Holding 339,967 $2.93 $996 $996
2284 246 Pinnacle Financial Partners (PNFP) Banks 20,117 New Holding 20,117 $49.06 $986 $986
571 22 Glu Mobile Inc (GLUU) Application Software 346,943 New Holding 346,943 $2.82 $978 $978
2931 30 Capital One Financial Corp (COF) Consumer Finance 34,680 Added More 14,100 $69.30 $977 $2,403
601 14 Sjw Corp (SJW) Utility Networks 26,506 New Holding 26,506 $36.34 $963 $963
357 1 Universal Forest Products (UFPI) Wood Building Materials 11,170 New Holding 11,170 $85.82 $958 $958
609 2 Quad Graphics Inc (QUAD) Printing Services 215,918 Added More 73,448 $12.94 $950 $2,793
680 6 Fortinet Inc (FTNT) Infrastructure Software 30,510 New Holding 30,510 $30.62 $934 $934
2758 24 Pvh Corp (PVH) Apparel Footwear And Acc Design 9,390 New Holding 9,390 $99.05 $930 $930
765 2 Atlas Air Worldwide Holdings (AAWW) Air Freight 21,760 New Holding 21,760 $42.27 $919 $919
377 5 Esterline Technologies Corp (ESL) Aircraft And Parts 19,250 Added More 14,310 $64.07 $916 $1,233
557 11 Walter Investment Management (WAC) Mortgage Finance 118,841 New Holding 118,841 $7.64 $907 $907
2605 14 Air Lease Corp (AL) Commercial Finance 39,540 Added More 28,220 $32.11 $906 $1,270
797 52 Alexanders Inc (ALX) Reit 2,357 New Holding 2,357 $380.54 $896 $896
459 11 Newpark Resources Inc (NR) Oil And Gas Services And Equip 206,300 New Holding 206,300 $4.32 $891 $891
235 3 Plantronics Inc (PLT) Communications Equipment 22,703 New Holding 22,703 $39.18 $889 $889
1971 31 Infinity Property And Casualty (IPCC) P And C Insurance 10,958 New Holding 10,958 $80.50 $882 $882
2573 17 United States Steel Corp (X) Steel Producers 54,630 New Holding 54,630 $16.04 $876 $876
2801 62 Nvidia Corp (NVDA) Semiconductor Devices 36,340 Added More 24,450 $35.63 $871 $1,294
664 5 Resolute Forest Products (RFP) Paper 157,983 New Holding 157,983 $5.51 $870 $870
2803 33 Kellogg Co (K) Packaged Food 11,370 New Holding 11,370 $76.55 $870 $870
2453 7 Stratasys Ltd (SSYS) Other Hardware 33,400 New Holding 33,400 $25.92 $865 $865
1886 60 Avid Technology Inc (AVID) Application Software 292,305 Added More 127,900 $6.76 $864 $1,975
316 16 Hess Corp (HES) Exploration And Production 16,000 New Holding 16,000 $52.65 $842 $842
2027 43 Ixia (XXIA) Communications Equipment 257,444 Added More 67,073 $12.46 $835 $3,207
750 2 Comfort Systems Usa Inc (FIX) Building Sub Contractors 25,850 New Holding 25,850 $31.77 $821 $821
2882 11 Omnicom Group (OMC) Advertising And Marketing 9,800 New Holding 9,800 $83.23 $815 $815
1762 23 Kulicke And Soffa Industries (KLIC) Semiconductor Mfg 246,183 Added More 71,909 $11.32 $814 $2,786
276 3 Westlake Chemical Corp (WLK) Basic And Diversified Chemicals 17,450 New Holding 17,450 $46.29 $807 $807
404 5 Hni Corp (HNI) Home And Office Furnishings 20,590 New Holding 20,590 $39.16 $806 $806
3069 19 Autozone Inc (AZO) Automotive Retailers 41,914 Added More 996 $796.69 $793 $33,392
615 4 Dxp Enterprises Inc (DXPE) Industrial Distribution And Rental 44,901 New Holding 44,901 $17.55 $788 $788
871 9 Insteel Industries Inc (IIIN) Fabricated Metal And Hardware 25,550 New Holding 25,550 $30.57 $781 $781
500 11 Interdigital Inc (IDCC) Communications Equipment 14,000 New Holding 14,000 $55.65 $779 $779
344 23 Chemical Financial Corp (CHFC) Banks 21,820 New Holding 21,820 $35.68 $778 $778
212 1 Piper Jaffray Cos (PJC) Institutional Brokerage 31,964 Added More 15,650 $49.56 $775 $1,584
355 1 Arrow Electronics Inc (ARW) Technology Distributors 138,448 Added More 12,010 $64.41 $773 $8,917
382 9 Raptor Pharmaceutical Corp (RPTP) Specialty Pharma 167,700 New Holding 167,700 $4.60 $771 $771
142 5 Inphi Corp (IPHI) Semiconductor Devices 23,020 New Holding 23,020 $33.34 $767 $767
2115 18 Teekay Tankers Ltd-Class A (TNK) Marine Shipping 207,500 New Holding 207,500 $3.67 $761 $761
2504 49 Ciena Corp (CIEN) Communications Equipment 389,840 Added More 40,010 $19.02 $760 $7,414
2244 18 Groupon Inc (GRPN) Internet Media 190,400 New Holding 190,400 $3.99 $759 $759
2744 119 Hcp Inc (HCP) Reit 23,210 New Holding 23,210 $32.58 $756 $756
2245 243 National Bank Hold-Cl A (NBHC) Banks 82,376 Added More 37,044 $20.38 $755 $1,679
2412 20 Deckers Outdoor Corp (DECK) Apparel Footwear And Acc Design 12,520 New Holding 12,520 $59.91 $750 $750
546 14 Tetra Technologies Inc (TTI) Oil And Gas Services And Equip 116,533 New Holding 116,533 $6.35 $739 $739
2389 9 Marketaxess Holdings Inc (MKTX) Information Services 10,920 Added More 5,900 $124.83 $736 $1,363
319 1 Domtar Corp (UFS) Paper 51,950 Added More 18,120 $40.50 $733 $2,103
150 7 Cerner Corp (CERN) Application Software 62,050 Added More 13,670 $52.95 $723 $3,286
933 3 Arc Document Solutions Inc (ARC) Printing Services 159,452 New Holding 159,452 $4.50 $717 $717
2326 51 Teradata Corp (TDC) Telecom Carriers 27,200 New Holding 27,200 $26.24 $713 $713
1980 6 Americas Car-Mart Inc (CRMT) Automotive Retailers 28,330 New Holding 28,330 $25.00 $708 $708
2951 12 Ecolab Inc (ECL) Other Commercial Services 6,220 New Holding 6,220 $111.51 $693 $693
2548 257 Bbcn Bancorp Inc (BBCN) Banks 162,110 Added More 45,610 $15.19 $692 $2,462
1107 3 Landstar System Inc (LSTR) Logistics Services 46,071 Added More 10,721 $64.61 $692 $2,976
2643 17 First Solar Inc (FSLR) Renewable Energy Equipment 13,690 Added More 10,050 $68.47 $688 $937
849 7 Barrett Business Svcs Inc (BBSI) Professional Services 23,780 New Holding 23,780 $28.75 $683 $683
1958 13 Kapstone Paper And Packaging (KS) Containers And Packaging 49,331 New Holding 49,331 $13.85 $683 $683
2464 16 Idacorp Inc (IDA) Integrated Utilities 9,110 New Holding 9,110 $74.58 $679 $679
986 8 Scholastic Corp (SCHL) Publishing And Broadcasting 35,690 Added More 18,120 $37.36 $677 $1,333
2100 2 Ascent Capital Group Inc-A (ASCMA) Security Services 45,700 New Holding 45,700 $14.81 $676 $676
1914 26 Heidrick And Struggles Intl (HSII) Professional Services 28,270 New Holding 28,270 $23.70 $669 $669
1577 12 Silicon Graphics Internation (SGI) Computer Hardware And Storage 224,779 Added More 93,779 $7.12 $667 $1,600
328 3 Gatx Corp (GMT) Commercial Finance 24,330 Added More 13,930 $47.50 $661 $1,155
1445 6 Arctic Cat Inc (ACAT) Recreational Vehicles 39,140 New Holding 39,140 $16.79 $657 $657
632 12 Rait Financial Trust (RAS) Mortgage Finance 209,053 New Holding 209,053 $3.14 $656 $656
3076 10 Johnson And Johnson (JNJ) Large Pharma 326,830 Added More 6,060 $108.19 $655 $35,363
2180 15 Newmarket Corp (NEU) Specialty Chemicals 1,647 New Holding 1,647 $396.26 $652 $652
2537 256 Privatebancorp Inc (PVTB) Banks 86,190 Added More 16,840 $38.59 $650 $3,326
118 5 Bank Of The Ozarks (OZRK) Banks 24,920 Added More 15,460 $41.97 $648 $1,045
2701 17 Whirlpool Corp (WHR) Home Improvement 3,582 New Holding 3,582 $180.33 $645 $645
2055 39 Stewart Information Services (STC) Mortgage Finance 17,587 New Holding 17,587 $36.27 $638 $638
2111 17 Blucora Inc (BCOR) Internet Media 123,285 New Holding 123,285 $5.16 $636 $636
1959 5 Roadrunner Transportation Sy (RRTS) Logistics Services 71,749 Added More 51,052 $12.46 $636 $893
2124 1 Andersons Incthe (ANDE) Agricultural Products Whslrs 20,200 New Holding 20,200 $31.41 $634 $634
1122 11 Citi Trends Inc (CTRN) Specialty Apparel Stores 35,490 New Holding 35,490 $17.83 $632 $632
1190 5 Usa Truck Inc (USAK) Trucking 33,394 New Holding 33,394 $18.84 $629 $629
561 2 Momenta Pharmaceuticals Inc (MNTA) Generic Pharma 68,000 New Holding 68,000 $9.24 $628 $628
720 16 Newmont Mining Corp (NEM) Precious Metal Mining 23,350 New Holding 23,350 $26.58 $620 $620
1865 15 American Science And Engineeri (ASEI) Comml And Res Bldg Equip And Sys 22,400 New Holding 22,400 $27.69 $620 $620
264 1 Emcor Group Inc (EME) Building Sub Contractors 93,091 Added More 12,750 $48.59 $619 $4,524
2429 9 Sanmina Corp (SANM) Emsodm 57,080 Added More 26,350 $23.37 $616 $1,334
1064 9 Coca-Cola Bottling Co Consol (COKE) Beverages 3,810 New Holding 3,810 $159.75 $608 $608
2067 27 Rpx Corp (RPXC) Professional Services 52,700 New Holding 52,700 $11.26 $593 $593
2145 9 Blue Nile Inc (NILE) Ecommerce Discretionary 22,800 New Holding 22,800 $25.70 $586 $586
1517 33 Verastem Inc (VSTM) Biotech 369,972 New Holding 369,972 $1.58 $584 $584
1965 58 Aegerion Pharmaceuticals Inc (AEGR) Specialty Pharma 155,145 New Holding 155,145 $3.70 $574 $574
959 7 Intl Fcstone Inc (INTL) Institutional Brokerage 21,470 New Holding 21,470 $26.73 $573 $573
497 12 Neophotonics Corp (NPTN) Semiconductor Devices 40,781 New Holding 40,781 $14.04 $572 $572
1757 17 Navidea Biopharmaceuticals I (NAVB) Medical Equipment 45,100 New Holding 45,100 $12.52 $564 $564
299 3 Ensign Group Incthe (ENSG) Health Care Facilities 33,640 Added More 24,500 $22.63 $554 $761
1671 31 Carbo Ceramics Inc (CRR) Oil And Gas Services And Equip 38,600 New Holding 38,600 $14.20 $548 $548
695 4 K12 Inc (LRN) Educational Services 71,320 Added More 53,120 $9.89 $525 $705
2233 47 Celldex Therapeutics Inc (CLDX) Biotech 137,700 New Holding 137,700 $3.78 $520 $520
2175 3 Green Plains Inc (GPRE) Biofuels 32,600 New Holding 32,600 $15.96 $520 $520
364 4 Argo Group International (AGII) P And C Insurance 31,589 Added More 8,940 $57.38 $513 $1,812
2062 44 Emcore Corp (EMKR) Communications Equipment 183,463 Added More 101,491 $5.00 $507 $917
1877 18 Analogic Corp (ALOG) Medical Equipment 6,400 New Holding 6,400 $79.01 $505 $505
1941 23 Ciber Inc (CBR) It Services 237,841 New Holding 237,841 $2.11 $501 $501
1875 41 Extreme Networks Inc (EXTR) Communications Equipment 956,530 Added More 146,100 $3.11 $454 $2,974
2343 26 Innospec Inc (IOSP) Basic And Diversified Chemicals 10,439 New Holding 10,439 $43.36 $452 $452
1970 15 Almost Family Inc (AFAM) Health Care Services 12,040 New Holding 12,040 $37.24 $448 $448
192 2 J2 Global Inc (JCOM) Telecom Carriers 7,230 New Holding 7,230 $61.58 $445 $445
2795 12 Gnc Holdings Inc-Cl A (GNC) Other Spec Retail Discr 13,850 New Holding 13,850 $31.75 $439 $439
486 8 Altisource Portfolio Sol (ASPS) Mortgage Finance 18,200 New Holding 18,200 $24.15 $439 $439
451 6 Tower International Inc (TOWR) Auto Parts 74,310 Added More 15,970 $27.20 $434 $2,021
1808 10 Skullcandy Inc (SKUL) Consumer Electronics 144,530 Added More 117,000 $3.56 $416 $514
2360 6 Healthways Inc (HWAY) Managed Care 41,180 New Holding 41,180 $10.09 $415 $415
2688 6 Realogy Holdings Corp (RLGY) Real Estate Services 11,420 New Holding 11,420 $36.11 $412 $412
3049 6 General Electric Co (GE) Electrical Power Equipment 75,117 Added More 12,970 $31.79 $412 $2,387
2452 10 Morningstar Inc (MORN) Information Services 62,000 Added More 4,595 $88.26 $405 $5,472
1180 63 Ashford Hospitality Trust (AHT) Reit 86,980 Added More 63,483 $6.38 $405 $554
2250 8 Glatfelter (GLT) Paper 19,370 New Holding 19,370 $20.73 $401 $401
202 1 Wesco International Inc (WCC) Industrial Distribution And Rental 7,330 New Holding 7,330 $54.66 $400 $400
2827 39 Computer Sciences Corp (CSC) It Services 11,460 New Holding 11,460 $34.38 $394 $394
2797 69 Anacor Pharmaceuticals Inc (ANAC) Specialty Pharma 7,330 New Holding 7,330 $53.45 $391 $391
2318 98 Cbl And Associates Properties (CBL) Reit 56,380 Added More 32,600 $11.90 $387 $670
2506 27 Fresh Del Monte Produce Inc (FDP) Packaged Food 9,180 New Holding 9,180 $42.07 $386 $386
784 7 Zumiez Inc (ZUMZ) Specialty Apparel Stores 19,348 New Holding 19,348 $19.92 $385 $385
1839 13 Bel Fuse Inc-Cl B (BELFB) Electrical Components 26,016 New Holding 26,016 $14.60 $379 $379
883 5 Sterling Construction Co (STRL) Infrastructure Construction 86,332 Added More 73,532 $5.15 $378 $444
1474 31 Xoma Corp (XOMA) Biotech 483,828 New Holding 483,828 $0.77 $372 $372
2872 19 Itt Corp (ITT) Flow Control Equipment 22,350 Added More 10,090 $36.88 $372 $824
468 4 Fluidigm Corp (FLDM) Life Science Equipment 46,000 New Holding 46,000 $8.07 $371 $371
2572 8 Hawaiian Holdings Inc (HA) Airlines 18,400 Added More 7,730 $47.18 $364 $868
1633 36 Harmonic Inc (HLIT) Communications Equipment 727,783 Added More 111,337 $3.27 $364 $2,379
731 18 Chemocentryx Inc (CCXI) Biotech 145,313 New Holding 145,313 $2.49 $361 $361
1728 8 Kratos Defense And Security (KTOS) Engineering Services 72,100 New Holding 72,100 $4.95 $356 $356
412 13 Interactive Intelligence Gro (ININ) Application Software 9,750 New Holding 9,750 $36.41 $355 $355
2814 122 Equity Residential (EQR) Reit 4,730 New Holding 4,730 $75.02 $354 $354
1672 30 Arlington Asset Investment-A (AI) Mortgage Finance 28,250 New Holding 28,250 $12.53 $353 $353
218 3 Starz - A (STRZA) Entertainment Content 13,300 New Holding 13,300 $26.33 $350 $350
837 6 Quinstreet Inc (QNST) Advertising And Marketing 121,043 Added More 99,443 $3.42 $340 $413
804 8 Higher One Holdings Inc (ONE) Consumer Finance 101,100 Added More 86,300 $3.91 $337 $395
406 10 Seadrill Ltd (SDRL) Oil And Gas Services And Equip 102,000 New Holding 102,000 $3.30 $336 $336
2349 19 Bankrate Inc (RATE) Internet Media 36,438 New Holding 36,438 $9.17 $334 $334
1773 7 Liquidity Services Inc (LQDT) Ecommerce Discretionary 77,593 Added More 64,293 $5.18 $333 $401
2058 44 Osiris Therapeutics Inc (OSIR) Biotech 57,900 New Holding 57,900 $5.71 $330 $330
1489 10 Exactech Inc (EXAC) Medical Devices 16,049 New Holding 16,049 $20.26 $325 $325
1031 18 Pioneer Energy Services Corp (PES) Oil And Gas Services And Equip 147,016 New Holding 147,016 $2.20 $323 $323
1535 3 Aerovironment Inc (AVAV) Defense Primes 61,442 Added More 11,330 $28.32 $320 $1,740
1771 7 Key Tronic Corp (KTCC) Emsodm 44,615 New Holding 44,615 $7.15 $318 $318
1435 21 Employers Holdings Inc (EIG) P And C Insurance 33,900 New Holding 33,900 $9.39 $318 $318
1889 21 Orasure Technologies Inc (OSUR) Life Science Equipment 43,900 New Holding 43,900 $7.23 $317 $317
1204 11 Ampco-Pittsburgh Corp (AP) Fabricated Metal And Hardware 22,789 New Holding 22,789 $13.91 $316 $316
920 84 Great Southern Bancorp Inc (GSBC) Banks 8,500 New Holding 8,500 $37.13 $315 $315
952 11 Senomyx Inc (SNMX) Packaged Food 157,091 Added More 120,471 $2.60 $313 $408
1105 6 Adams Resources And Energy Inc (AE) Refining And Marketing 7,620 New Holding 7,620 $39.98 $304 $304
1155 2 Westmoreland Coal Co (WLB) Coal Operations 42,200 New Holding 42,200 $7.21 $304 $304
2005 21 Carrols Restaurant Group Inc (TAST) Restaurants 21,041 New Holding 21,041 $14.44 $303 $303
779 62 Preferred Banklos Angeles (PFBC) Banks 10,030 New Holding 10,030 $30.25 $303 $303
1750 20 Sequenom Inc (SQNM) Life Science Equipment 214,806 New Holding 214,806 $1.41 $302 $302
1629 31 Internap Corp (INAP) Telecom Carriers 109,141 New Holding 109,141 $2.73 $297 $297
1856 11 Itt Educational Services Inc (ESI) Educational Services 96,300 New Holding 96,300 $3.09 $297 $297
2764 31 Harman International (HAR) Auto Parts 7,200 Added More 3,340 $89.04 $297 $641
1159 1 Cenveo Inc (CVO) Office Supplies 656,150 New Holding 656,150 $0.45 $295 $295
2706 15 Chicago Bridge And Iron Co Nv (CBI) Infrastructure Construction 8,010 New Holding 8,010 $36.59 $293 $293
2627 68 Murphy Oil Corp (MUR) Exploration And Production 11,600 New Holding 11,600 $25.19 $292 $292
782 8 Angiodynamics Inc (ANGO) Medical Devices 23,500 New Holding 23,500 $12.29 $288 $288
1840 14 Quantum Corp (QTM) Computer Hardware And Storage 1,087,263 Added More 471,894 $0.61 $287 $663
1749 11 Libbey Inc (LBY) Home Improvement 15,438 New Holding 15,438 $18.60 $287 $287
2358 39 Navigators Group Inc (NAVG) P And C Insurance 22,345 Added More 3,410 $83.87 $285 $1,874
1802 33 Matrix Service Co (MTRX) Oil And Gas Services And Equip 50,400 Added More 15,900 $17.70 $281 $892
130 1 Heico Corp (HEI) Aircraft And Parts 4,660 New Holding 4,660 $60.13 $280 $280
1812 23 Bsquare Corp (BSQR) 45,807 New Holding 45,807 $5.92 $271 $271
260 1 Pool Corp (POOL) Other Wholesalers 73,880 Added More 3,070 $87.73 $269 $6,482
1442 18 Amyris Inc (AMRS) Basic And Diversified Chemicals 242,305 New Holding 242,305 $1.11 $268 $268
2612 12 Darling Ingredients Inc (DAR) Agricultural Producers 20,300 New Holding 20,300 $13.17 $267 $267
1110 14 Cra International Inc (CRAI) Professional Services 13,520 New Holding 13,520 $19.63 $265 $265
1787 58 Supportcom Inc (SPRT) Application Software 306,650 New Holding 306,650 $0.86 $263 $263
177 5 J And J Snack Foods Corp (JJSF) Packaged Food 2,410 New Holding 2,410 $108.27 $260 $260
921 85 First Financial Corpindiana (THFF) Banks 7,480 New Holding 7,480 $34.20 $255 $255
623 8 Tenneco Inc (TEN) Auto Parts 24,200 Added More 4,930 $51.50 $253 $1,246
23 2 Seagate Technology (STX) Computer Hardware And Storage 7,310 New Holding 7,310 $34.45 $251 $251
1699 9 Five Star Quality Care (FVE) Health Care Facilities 186,343 Added More 109,743 $2.29 $251 $426
950 4 Northwest Pipe Co (NWPX) Steel Producers 27,125 New Holding 27,125 $9.22 $250 $250
2658 14 Evercore Partners Inc-Cl A (EVR) Institutional Brokerage 4,820 New Holding 4,820 $51.75 $249 $249
1285 27 Curis Inc (CRIS) Biotech 153,900 New Holding 153,900 $1.61 $247 $247
1090 11 Perceptron Inc (PRCP) Professional Services 50,700 New Holding 50,700 $4.85 $245 $245
1218 143 First Business Financial Ser (FBIZ) Banks 10,630 New Holding 10,630 $22.93 $243 $243
1985 42 Shoretel Inc (SHOR) Communications Equipment 346,336 Added More 32,502 $7.44 $241 $2,576
865 2 Oppenheimer Holdings-Cl A (OPY) Wealth Management 15,154 New Holding 15,154 $15.78 $239 $239
1655 18 Ultra Clean Holdings Inc (UCTT) Semiconductor Mfg 80,099 Added More 44,499 $5.36 $238 $429
2791 27 St Jude Medical Inc (STJ) Medical Devices 116,300 Added More 4,300 $55.00 $236 $6,396
1004 2 Big 5 Sporting Goods Corp (BGFV) Sporting Goods Stores 39,500 Added More 21,200 $11.11 $235 $438
1737 9 Layne Christensen Company (LAYN) Infrastructure Construction 32,300 New Holding 32,300 $7.19 $232 $232
961 7 Medgenics Inc (MDGN) Health Care Supplies 52,600 New Holding 52,600 $4.40 $231 $231
1096 10 Tillys Inc-Class A Shrs (TLYS) Specialty Apparel Stores 61,169 Added More 34,308 $6.69 $229 $409
1010 25 Coherent Inc (COHR) Semiconductor Devices 2,490 New Holding 2,490 $91.90 $228 $228
930 19 Spectrum Pharmaceuticals Inc (SPPI) Specialty Pharma 51,540 Added More 35,740 $6.36 $227 $327
2600 110 Douglas Emmett Inc (DEI) Reit 7,520 New Holding 7,520 $30.11 $226 $226
33 1 Ingredion Inc (INGR) Agricultural Producers 2,110 New Holding 2,110 $106.79 $225 $225
147 1 Atmos Energy Corp (ATO) Utility Networks 3,020 New Holding 3,020 $74.26 $224 $224
287 9 Netsuite Inc (N) Application Software 3,270 New Holding 3,270 $68.48 $223 $223
35 1 Lions Gate Entertainment Cor (LGF) Entertainment Content 10,100 New Holding 10,100 $21.85 $220 $220
3009 8 General Dynamics Corp (GD) Defense Primes 4,570 Added More 1,630 $131.36 $214 $600
683 4 Elizabeth Arden Inc (RDEN) Household Products 25,717 New Holding 25,717 $8.19 $210 $210
1603 13 Imation Corp (IMN) Computer Hardware And Storage 148,753 Added More 135,324 $1.55 $209 $230
1640 192 Pacific Mercantile Bancorp (PMBC) Banks 29,764 New Holding 29,764 $7.00 $208 $208
2741 39 Ppl Corp (PPL) Utility Networks 81,220 Added More 5,460 $38.07 $207 $3,092
3038 56 Regeneron Pharmaceuticals (REGN) Biotech 575 New Holding 575 $360.44 $207 $207
2895 36 Tyson Foods Inc-Cl A (TSN) Packaged Food 3,080 New Holding 3,080 $66.66 $205 $205
1863 9 Delek Us Holdings Inc (DK) Refining And Marketing 57,485 Added More 12,818 $15.24 $195 $876
794 20 Applied Micro Circuits Corp (AMCC) Semiconductor Devices 407,307 Added More 30,006 $6.46 $193 $2,631
605 24 Brightcove (BCOV) Application Software 75,093 Added More 30,994 $6.24 $193 $468
1544 27 Gulf Island Fabrication Inc (GIFI) Oil And Gas Services And Equip 67,433 Added More 24,537 $7.85 $192 $529
1661 11 Xerium Technologies Inc (XRM) Industrial Machinery 35,800 New Holding 35,800 $5.22 $186 $186
1511 10 Genworth Financial Inc-Cl A (GNW) Life Insurance 67,600 New Holding 67,600 $2.73 $184 $184
963 28 Rex Energy Corp (REXX) Exploration And Production 238,600 New Holding 238,600 $0.77 $183 $183
712 10 Black Box Corp (BBOX) It Services 33,587 Added More 13,487 $13.47 $181 $452
1132 6 Allegheny Technologies Inc (ATI) Steel Producers 11,000 New Holding 11,000 $16.29 $179 $179
1080 115 Capital City Bank Group Inc (CCBG) Banks 12,167 New Holding 12,167 $14.59 $177 $177
924 4 Commercial Vehicle Group Inc (CVGI) Commercial Vehicles 179,844 Added More 66,928 $2.65 $177 $476
852 23 Halozyme Therapeutics Inc (HALO) Biotech 18,600 New Holding 18,600 $9.47 $176 $176
1121 6 Kopin Corp (KOPN) Consumer Electronics 99,300 New Holding 99,300 $1.66 $164 $164
1751 56 Liveperson Inc (LPSN) Application Software 28,165 New Holding 28,165 $5.85 $164 $164
160 2 Nektar Therapeutics (NKTR) Specialty Pharma 11,880 New Holding 11,880 $13.75 $163 $163
736 25 Clayton Williams Energy Inc (CWEI) Exploration And Production 18,200 New Holding 18,200 $8.92 $162 $162
2174 241 Prosperity Bancshares Inc (PB) Banks 32,710 Added More 3,480 $46.38 $161 $1,517
927 2 Jakks Pacific Inc (JAKK) Toys And Games 20,500 New Holding 20,500 $7.44 $152 $152
2138 10 Caesars Entertainment Corp (CZR) Casinos And Gaming 22,000 New Holding 22,000 $6.80 $149 $149
1039 106 Bancfirst Corp (BANF) Banks 10,016 Added More 2,560 $57.02 $145 $571
1556 20 A H Belo Corp-A (AHC) Publishing And Broadcasting 41,800 Added More 29,900 $4.81 $143 $201
2574 11 Asbury Automotive Group (ABG) Automotive Retailers 8,020 Added More 2,370 $59.84 $141 $479
2398 55 Telephone And Data Systems (TDS) Telecom Carriers 76,290 Added More 4,560 $30.09 $137 $2,295
671 15 Vocera Communications Inc (VCRA) Communications Equipment 94,840 Added More 10,565 $12.75 $134 $1,209
2563 18 Bemis Company (BMS) Containers And Packaging 86,805 Added More 2,600 $51.77 $134 $4,494
1237 22 Key Energy Services Inc (KEG) Oil And Gas Services And Equip 362,200 New Holding 362,200 $0.37 $134 $134
1165 9 Navios Maritime Acquisition (NNA) Marine Shipping 170,929 Added More 83,529 $1.59 $132 $271
2846 20 Lincoln National Corp (LNC) Life Insurance 276,500 Added More 3,346 $39.20 $131 $10,838
521 35 Washington Federal Inc (WAFD) Banks 174,722 Added More 5,720 $22.65 $129 $3,957
1823 8 Intrepid Potash Inc (IPI) Agricultural Chemicals 116,037 New Holding 116,037 $1.11 $128 $128
322 20 Old National Bancorp (ONB) Banks 71,100 Added More 10,400 $12.19 $126 $866
913 4 Enzo Biochem Inc (ENZ) Health Care Services 27,839 New Holding 27,839 $4.55 $126 $126
1022 5 Enphase Energy Inc (ENPH) Renewable Energy Equipment 53,394 New Holding 53,394 $2.33 $124 $124
1625 41 Vivus Inc (VVUS) Specialty Pharma 87,700 New Holding 87,700 $1.40 $122 $122
1532 21 Cdi Corp (CDI) Professional Services 45,800 Added More 19,493 $6.28 $122 $287
1232 10 Nl Industries (NL) Comml And Res Bldg Equip And Sys 49,914 New Holding 49,914 $2.26 $112 $112
1924 26 Brooks Automation Inc (BRKS) Semiconductor Mfg 10,231 New Holding 10,231 $10.40 $106 $106
1431 32 Kvh Industries Inc (KVHI) Communications Equipment 11,000 New Holding 11,000 $9.55 $105 $105
1844 15 Unilife Corp (UNIS) Health Care Supplies 152,500 New Holding 152,500 $0.68 $103 $103
282 22 Equity One Inc (EQY) Reit 62,960 Added More 3,530 $28.66 $101 $1,804
975 2 Pc Connection Inc (PCCC) Consumer Elec And Applc Whslrs 18,180 Added More 3,880 $25.80 $100 $469
2587 41 Xl Group Plc (XL) P And C Insurance 10,230 Added More 2,670 $36.79 $98 $376
904 4 West Marine Inc (WMAR) Automotive Retailers 23,200 Added More 10,600 $9.09 $96 $210
755 5 Career Education Corp (CECO) Educational Services 43,800 Added More 20,700 $4.54 $93 $198
1115 15 Prgx Global Inc (PRGX) Professional Services 43,258 Added More 19,635 $4.72 $92 $204
2092 45 Communications Systems Inc (JCS) Communications Equipment 12,522 New Holding 12,522 $7.35 $92 $92
1152 30 Vaalco Energy Inc (EGY) Exploration And Production 97,554 New Holding 97,554 $0.94 $91 $91
2276 22 Avg Technologies (AVG) Infrastructure Software 22,032 Added More 4,300 $20.75 $89 $457
835 16 Synergy Pharmaceuticals Inc (SGYP) Specialty Pharma 31,800 New Holding 31,800 $2.76 $87 $87
1765 24 Kelly Services Inc -A (KELYA) Professional Services 35,260 Added More 4,540 $19.12 $86 $674
898 30 Guidance Software Inc (GUID) Application Software 97,773 Added More 19,715 $4.30 $84 $420
1058 22 Alaska Comm Systems Group (ALSK) Telecom Carriers 85,175 Added More 45,275 $1.78 $80 $151
1742 16 New York And Co (NWY) Specialty Apparel Stores 65,002 Added More 19,660 $3.96 $77 $257
637 45 Hanmi Financial Corporation (HAFC) Banks 17,600 Added More 3,500 $22.02 $77 $387
2494 56 Frontier Communications Corp (FTR) Telecom Carriers 12,200 New Holding 12,200 $5.59 $68 $68
1057 26 Pixelworks Inc (PXLW) Semiconductor Devices 207,202 Added More 30,811 $2.19 $67 $453
1683 31 New York Mortgage Trust Inc (NYMT) Mortgage Finance 13,400 New Holding 13,400 $4.74 $63 $63
1050 10 Famous Daves Of America (DAVE) Restaurants 10,400 New Holding 10,400 $6.09 $63 $63
1023 102 Trico Bancshares (TCBK) Banks 32,680 Added More 2,500 $25.32 $63 $827
1789 51 Pernix Therapeutics Holdings (PTX) Specialty Pharma 55,150 New Holding 55,150 $1.05 $57 $57
2209 19 Logmein Inc (LOGM) Infrastructure Software 6,910 Added More 1,140 $50.45 $57 $348
2541 17 Portland General Electric Co (POR) Integrated Utilities 10,870 Added More 1,430 $39.49 $56 $429
2930 31 Exelon Corp (EXC) Integrated Utilities 369,700 Added More 1,570 $35.86 $56 $13,257
2466 11 Fmc Corp (FMC) Agricultural Chemicals 70,220 Added More 1,320 $40.36 $53 $2,834
656 3 Regal Beloit Corp (RBC) Industrial Machinery 11,780 Added More 790 $63.09 $49 $743
25 2 Marvell Technology Group Ltd (MRVL) Semiconductor Devices 1,508,118 Added More 4,540 $10.31 $46 $15,548
1705 54 Exa Corp (EXA) Application Software 20,083 Added More 3,600 $12.95 $46 $260
1711 3 Performant Financial Corp (PFMT) Other Financial Services 33,800 Added More 21,797 $1.70 $37 $57
931 87 Christopher And Banks Corp (CBK) Banks 12,500 New Holding 12,500 $2.39 $29 $29
772 21 Arqule Inc (ARQL) Biotech 277,729 Added More 13,979 $1.60 $22 $444
1119 2 Hhgregg Inc (HGG) Consumer Elec And Applc Stores 10,100 New Holding 10,100 $2.11 $21 $21
423 7 New Jersey Resources Corp (NJR) Utility Networks 7,820 Added More 550 $36.43 $20 $284
2915 18 Acuity Brands Inc (AYI) Comml And Res Bldg Equip And Sys 2,460 Added More 80 $218.13 $17 $536
598 4 Exponent Inc (EXPO) Engineering Services 5,630 Added More 310 $51.00 $15 $287
1003 20 Us Cellular Corp (USM) Telecom Carriers 5,700 Added More 300 $45.68 $13 $260
464 7 Aar Corp (AIR) Aircraft And Parts 9,400 Added More 400 $23.27 $9 $218
1643 4 Ezcorp Inc-Cl A (EZPW) Other Spec Retail Discr 21,000 Added More 2,398 $2.97 $7 $62
1549 9 Voxx International Corp (VOXX) Consumer Electronics 116,699 Added More 1,497 $4.47 $6 $521
1484 13 Bebe Stores Inc (BEBE) Specialty Apparel Stores 11,600 New Holding 11,600 $0.55 $6 $6
2191 27 Cheesecake Factory Incthe (CAKE) Restaurants 72,943 Added More 100 $53.09 $5 $3,872
1126 6 Intevac Inc (IVAC) Industrial Machinery 42,082 Added More 1,166 $4.50 $5 $189
1593 15 Bravo Brio Restaurant Group (BBRG) Restaurants 73,729 Added More 500 $7.75 $3 $571
891 9 Volt Info Sciences Inc (VISI) Professional Services 15,340 Added More 40 $7.53 $0 $115
405 6 Hff Inc-Class A (HF) Mortgage Finance 35,117 No Change 0 $27.53 $0 $966
856 8 Astronics Corp (ATRO) Aircraft And Parts 8,222 No Change 0 $38.15 $0 $313
289 24 Weingarten Realty Investors (WRI) Reit 28,220 No Change 0 $37.52 $0 $1,058
642 5 Splunk Inc (SPLK) Infrastructure Software 23,000 No Change 0 $48.93 $0 $1,125
419 14 Qlik Technologies Inc (QLIK) Application Software 23,900 No Change 0 $28.92 $0 $691
2222 15 Qlogic Corp (QLGC) Computer Hardware And Storage 36,200 No Change 0 $13.44 $0 $486
251 2 Express Inc (EXPR) Specialty Apparel Stores 120,900 No Change 0 $21.41 $0 $2,588
1626 37 Infinity Pharmaceuticals Inc (INFI) Biotech 11,850 No Change 0 $5.27 $0 $62
1636 21 Quaker Chemical Corp (KWR) Basic And Diversified Chemicals 9,883 No Change 0 $84.86 $0 $838
338 4 Heartware International Inc (HTWR) Medical Devices 14,180 No Change 0 $31.42 $0 $445
2146 40 Dril-Quip Inc (DRQ) Oil And Gas Services And Equip 32,660 No Change 0 $60.56 $0 $1,977
1884 54 Emergent Biosolutions Inc (EBS) Specialty Pharma 58,133 No Change 0 $36.34 $0 $2,113
790 3 Marriott Vacations World (VAC) Lodging 8,690 No Change 0 $67.50 $0 $586
2379 250 Bankunited Inc (BKU) Banks 22,070 No Change 0 $34.43 $0 $760
397 5 Old Republic Intl Corp (ORI) P And C Insurance 18,390 No Change 0 $18.28 $0 $336
1691 27 Amerisafe Inc (AMSF) P And C Insurance 11,590 No Change 0 $52.54 $0 $608
2181 3 Abm Industries Inc (ABM) Building Maintenance Services 26,996 No Change 0 $32.31 $0 $872
1171 134 Bancorpsouth Inc (BXS) Banks 22,431 No Change 0 $21.30 $0 $478
1648 193 Territorial Bancorp Inc (TBNK) Banks 10,400 No Change 0 $26.05 $0 $271
2135 6 Renaissancere Holdings Ltd (RNR) Reinsurance 14,457 No Change 0 $119.83 $0 $1,732
2703 9 Owens Corning (OC) Non Wood Building Materials 59,190 No Change 0 $47.27 $0 $2,798
496 4 Neenah Paper Inc (NP) Paper 13,180 No Change 0 $63.66 $0 $839
2077 14 American Woodmark Corp (AMWD) Home Improvement 3,800 No Change 0 $74.58 $0 $283
1239 2 Fuel Tech Inc (FTEK) Pollution Control Equipment 69,107 Sold Some -393 $1.75 $-0 $120
1994 224 Park Sterling Corp (PSTB) Banks 13,000 Sold Some -200 $6.67 $-1 $86
262 4 Motorola Solutions Inc (MSI) Communications Equipment 3,336 Sold Some -23 $75.69 $-1 $252
956 91 Hometrust Bancshares Inc (HTBI) Banks 14,013 Sold Some -200 $18.33 $-3 $256
2483 26 Lancaster Colony Corp (LANC) Packaged Food 2,186 Sold Some -40 $110.57 $-4 $241
1827 25 Kornferry International (KFY) Professional Services 25,300 Sold Some -170 $28.29 $-4 $715
144 1 Robert Half Intl Inc (RHI) Professional Services 10,320 Sold Some -160 $46.58 $-7 $480
88 4 Pnm Resources Inc (PNM) Integrated Utilities 41,910 Sold Some -240 $33.72 $-8 $1,413
2450 27 Huntsman Corp (HUN) Basic And Diversified Chemicals 117,730 Sold Some -700 $13.30 $-9 $1,565
551 21 Realpage Inc (RP) Application Software 11,100 Sold Some -500 $20.84 $-10 $231
1106 13 Navigant Consulting Inc (NCI) Professional Services 47,800 Sold Some -700 $15.81 $-11 $755
1043 35 Innerworkings Inc (INWK) Application Software 19,200 Sold Some -1,700 $7.95 $-13 $152
564 3 Toll Brothers Inc (TOL) Homebuilders 11,410 Sold Some -500 $29.51 $-14 $336
1244 26 Arbor Realty Trust Inc (ABR) Mortgage Finance 20,500 Sold Some -2,200 $6.77 $-14 $138
723 16 Pc-Tel Inc (PCTI) Communications Equipment 67,417 Sold Some -3,775 $4.78 $-18 $322
1402 19 First Acceptance Corp (FAC) P And C Insurance 0 Sold All -10,357 $1.80 $-18 $0
1690 36 Kemet Corp (KEM) Semiconductor Devices 173,002 Sold Some -9,884 $1.93 $-19 $333
1526 20 Innodata Inc (INOD) Professional Services 0 Sold All -10,700 $2.26 $-24 $0
991 4 Johnson Outdoors Inc-A (JOUT) Recreational Vehicles 21,753 Sold Some -1,101 $22.21 $-24 $483
1503 11 Alphatec Holdings Inc (ATEC) Medical Devices 289,300 Sold Some -111,684 $0.24 $-26 $69
992 9 Datalink Corp (DTLK) Computer Hardware And Storage 32,208 Sold Some -3,100 $9.14 $-28 $294
1772 57 Synacor Inc (SYNC) Application Software 75,179 Sold Some -23,400 $1.40 $-32 $105
1563 35 Westell Technologies Inc-A (WSTL) Communications Equipment 54,723 Sold Some -28,700 $1.17 $-33 $64
870 17 Cumberland Pharmaceuticals (CPIX) Specialty Pharma 14,050 Sold Some -7,610 $4.49 $-34 $63
1147 6 Ballantyne Strong Inc (BTN) Electronics Components 19,933 Sold Some -7,909 $4.59 $-36 $91
2844 13 Archer-Daniels-Midland Co (ADM) Agricultural Producers 163,786 Sold Some -1,000 $36.31 $-36 $5,947
1605 14 Thestreet Inc (TST) Internet Media 24,600 Sold Some -30,743 $1.24 $-38 $30
161 10 Dupont Fabros Technology (DFT) Reit 29,698 Sold Some -950 $40.52 $-38 $1,203
2544 50 Seattle Genetics Inc (SGEN) Biotech 7,700 Sold Some -1,100 $35.09 $-38 $270
1414 16 Emmis Communications-Class A (EMMS) Publishing And Broadcasting 0 Sold All -73,575 $0.58 $-42 $0
893 11 Servicesource International (SREV) It Services 0 Sold All -10,200 $4.26 $-43 $0
2157 11 Myr Group Incdelaware (MYRG) Infrastructure Construction 17,320 Sold Some -1,800 $25.11 $-45 $434
1417 29 Elephant Talk Communications (ETAK) Telecom Carriers 0 Sold All -208,621 $0.22 $-45 $0
812 17 Telenav Inc (TNAV) Communications Equipment 54,355 Sold Some -8,030 $5.90 $-47 $320
294 2 Watsco Inc (WSO) Industrial Distribution And Rental 15,430 Sold Some -360 $134.74 $-48 $2,079
1926 8 Plexus Corp (PLXS) Emsodm 13,000 Sold Some -1,240 $39.52 $-49 $513
771 5 Reachlocal Inc (RLOC) Advertising And Marketing 49,927 Sold Some -27,840 $1.79 $-49 $89
940 12 Hallmark Finl Services Inc (HALL) P And C Insurance 40,834 Sold Some -4,367 $11.50 $-50 $469
1667 3 Maiden Holdings Ltd (MHLD) Reinsurance 49,150 Sold Some -3,900 $12.94 $-50 $636
225 13 Popular Inc (BPOP) Banks 27,980 Sold Some -1,800 $28.61 $-51 $800
923 31 Rosetta Stone Inc (RST) Application Software 104,668 Sold Some -7,717 $6.71 $-51 $702
1596 22 Hudson Global Inc (HSON) Professional Services 39,900 Sold Some -22,000 $2.37 $-52 $94
1458 9 Aviat Networks Inc (AVNW) Electronics Components 165,248 Sold Some -74,200 $0.71 $-52 $117
2086 46 Rudolph Technologies Inc (RTEC) Semiconductor Devices 128,641 Sold Some -3,900 $13.66 $-53 $1,757
780 15 Parker Drilling Co (PKD) Oil And Gas Services And Equip 0 Sold All -26,200 $2.12 $-55 $0
846 22 Sigma Designs Inc (SIGM) Semiconductor Devices 396,261 Sold Some -8,626 $6.80 $-58 $2,694
1770 15 Consumer Portfolio Services (CPSS) Consumer Finance 0 Sold All -14,700 $4.23 $-62 $0
280 16 Banner Corporation (BANR) Banks 17,925 Sold Some -1,500 $42.04 $-63 $753
798 5 Clear Channel Outdoor-Cl A (CCO) Publishing And Broadcasting 0 Sold All -13,800 $4.70 $-64 $0
504 20 Carbonite Inc (CARB) Application Software 76,788 Sold Some -8,300 $7.97 $-66 $612
1307 4 Intermolecular Inc (IMI) Flow Control Equipment 0 Sold All -26,500 $2.53 $-67 $0
1545 10 Starrett Ls Co -Cl A (SCX) Home Improvement 32,008 Sold Some -6,791 $10.35 $-70 $331
1468 30 Aveo Pharmaceuticals Inc (AVEO) Biotech 289,229 Sold Some -76,584 $0.92 $-70 $266
1108 7 Marchex Inc-Class B (MCHX) Advertising And Marketing 123,701 Sold Some -16,300 $4.45 $-72 $550
1876 9 Gain Capital Holdings Inc (GCAP) Institutional Brokerage 0 Sold All -11,300 $6.56 $-74 $0
630 6 Omnova Solutions Inc (OMN) Specialty Chemicals 41,700 Sold Some -13,568 $5.56 $-75 $231
1682 4 Hardinge Inc (HDNG) Metalworking Machinery 28,542 Sold Some -6,100 $12.47 $-76 $355
1029 4 Universal American Corp (UAM) Managed Care 0 Sold All -10,800 $7.14 $-77 $0
1795 39 Rigel Pharmaceuticals Inc (RIGL) Biotech 712,538 Sold Some -38,200 $2.08 $-79 $1,482
101 6 Epr Properties (EPR) Reit 21,790 Sold Some -1,210 $66.62 $-80 $1,451
2292 65 Cambrex Corp (CBM) Specialty Pharma 80,369 Sold Some -1,890 $44.00 $-83 $3,536
914 82 Provident Financial Services (PFS) Banks 50,369 Sold Some -4,200 $20.19 $-84 $1,016
1769 9 Spartan Motors Inc (SPAR) Commercial Vehicles 85,429 Sold Some -21,963 $3.95 $-86 $337
1913 20 Bloomin Brands Inc (BLMN) Restaurants 13,860 Sold Some -5,190 $16.87 $-87 $233
1493 22 Selective Insurance Group (SIGI) P And C Insurance 41,878 Sold Some -2,410 $36.61 $-88 $1,533
503 36 Senior Housing Prop Trust (SNH) Reit 23,600 Sold Some -5,100 $17.88 $-91 $422
53 2 Dexcom Inc (DXCM) Medical Equipment 5,550 Sold Some -1,400 $67.91 $-95 $376
1550 38 Pharmathene Inc (PIP) Specialty Pharma 0 Sold All -51,698 $1.89 $-97 $0
1566 9 Synalloy Corp (SYNL) Specialty Chemicals 0 Sold All -12,500 $7.92 $-99 $0
2391 102 Post Properties Inc (PPS) Reit 64,752 Sold Some -1,690 $59.74 $-100 $3,868
1710 199 Trustco Bank Corp Ny (TRST) Banks 164,293 Sold Some -16,700 $6.06 $-101 $995
1809 24 Cohu Inc (COHU) Semiconductor Mfg 60,044 Sold Some -9,156 $11.88 $-108 $713
738 28 Jive Software Inc (JIVE) Application Software 456,378 Sold Some -30,407 $3.78 $-114 $1,725
2125 20 Masimo Corp (MASI) Medical Devices 17,010 Sold Some -3,300 $41.84 $-138 $711
1012 8 Limelight Networks Inc (LLNW) Infrastructure Software 223,934 Sold Some -79,050 $1.81 $-143 $405
1315 8 Houston Wire And Cable Co (HWCC) Electrical Components 44,578 Sold Some -20,572 $6.99 $-143 $311
513 4 Gibraltar Industries Inc (ROCK) Fabricated Metal And Hardware 46,249 Sold Some -5,080 $28.60 $-145 $1,322
226 18 Diamondrock Hospitality Co (DRH) Reit 32,050 Sold Some -14,700 $10.12 $-148 $324
75 2 Keycorp (KEY) Banks 1,126,290 Sold Some -13,650 $11.04 $-150 $12,434
2761 11 Viacom Inc-Class B (VIAB) Entertainment Content 8,270 Sold Some -3,790 $41.27 $-156 $341
654 47 Stonegate Bank (SGBK) Banks 15,009 Sold Some -5,331 $29.95 $-159 $449
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 13,680 Sold Some -2,820 $59.22 $-167 $810
2641 2 State Street Corp (STT) Instl Trust Fiduciary And Custody 5,680 Sold Some -3,080 $58.52 $-180 $332
232 19 Brandywine Realty Trust (BDN) Reit 42,570 Sold Some -13,920 $14.03 $-195 $597
61 4 Kilroy Realty Corp (KRC) Reit 3,360 Sold Some -3,160 $61.86 $-195 $207
1685 53 Calix Inc (CALX) Application Software 349,613 Sold Some -28,400 $7.09 $-201 $2,478
2339 32 Mantech International Corp-A (MANT) It Services 66,103 Sold Some -6,320 $31.99 $-202 $2,114
2122 25 Jack In The Box Inc (JACK) Restaurants 9,350 Sold Some -3,200 $63.86 $-204 $597
901 3 Thor Industries Inc (THO) Recreational Vehicles 18,510 Sold Some -3,310 $63.77 $-211 $1,180
64 1 Cbre Group Inc - A (CBG) Real Estate Services 0 Sold All -7,330 $28.82 $-211 $0
2153 238 Comerica Inc (CMA) Banks 382,400 Sold Some -5,700 $37.86 $-215 $14,481
769 6 On Assignment Inc (ASGN) Professional Services 0 Sold All -5,860 $36.91 $-216 $0
52 1 Team Health Holdings Inc (TMH) Health Care Services 0 Sold All -5,280 $41.81 $-220 $0
1947 11 Tivo Inc (TIVO) Consumer Electronics 404,394 Sold Some -23,400 $9.51 $-222 $3,845
471 1 Nautilus Inc (NLS) Sporting Goods 26,900 Sold Some -11,600 $19.32 $-224 $519
713 27 Sciquest Inc (SQI) Application Software 0 Sold All -17,000 $13.88 $-235 $0
2613 14 National Instruments Corp (NATI) Measurement Instruments 0 Sold All -7,900 $30.11 $-237 $0
773 5 Waddell And Reed Financial-A (WDR) Investment Management 0 Sold All -10,240 $23.54 $-241 $0
507 33 Fnb Corp (FNB) Banks 0 Sold All -18,820 $13.01 $-244 $0
1631 16 Richardson Elec Ltd (RELL) Semiconductor Mfg 0 Sold All -49,618 $5.16 $-256 $0
2287 23 Proofpoint Inc (PFPT) Infrastructure Software 0 Sold All -4,820 $53.77 $-259 $0
1791 12 Lhc Group Inc (LHCG) Health Care Services 0 Sold All -7,390 $35.56 $-262 $0
2671 19 Sealed Air Corp (SEE) Containers And Packaging 11,880 Sold Some -5,640 $48.00 $-270 $570
2875 29 Public Service Enterprise Gp (PEG) Integrated Utilities 0 Sold All -5,930 $47.13 $-279 $0
2198 63 Usana Health Sciences Inc (USNA) Specialty Pharma 0 Sold All -2,350 $121.41 $-285 $0
2825 30 Foot Locker Inc (FL) Specialty Apparel Stores 38,660 Sold Some -4,450 $64.50 $-287 $2,493
708 9 Exlservice Holdings Inc (EXLS) It Services 41,920 Sold Some -5,600 $51.79 $-290 $2,171
594 2 Advanced Energy Industries (AEIS) Renewable Energy Equipment 8,000 Sold Some -8,490 $34.79 $-295 $278
456 35 Silver Bay Realty Trust Corp (SBY) Reit 85,258 Sold Some -20,800 $14.85 $-308 $1,266
2458 17 Herman Miller Inc (MLHR) Home And Office Furnishings 0 Sold All -10,070 $30.88 $-311 $0
109 1 Helen Of Troy Ltd (HELE) Household Products 0 Sold All -3,010 $103.69 $-312 $0
2142 35 Assurant Inc (AIZ) P And C Insurance 29,501 Sold Some -4,120 $77.15 $-317 $2,276
1507 11 Perry Ellis International (PERY) Apparel Footwear And Acc Design 26,900 Sold Some -17,706 $18.41 $-325 $495
2938 11 Starwood Hotels And Resorts (HOT) Lodging 0 Sold All -3,950 $83.43 $-329 $0
2945 7 Henry Schein Inc (HSIC) Health Care Supply Chain 36,163 Sold Some -1,930 $172.63 $-333 $6,242
2048 24 Koppers Holdings Inc (KOP) Basic And Diversified Chemicals 0 Sold All -14,900 $22.46 $-334 $0
1832 14 West Pharmaceutical Services (WST) Health Care Supplies 0 Sold All -4,850 $69.32 $-336 $0
814 53 Central Pacific Financial Co (CPF) Reit 19,900 Sold Some -15,857 $21.77 $-345 $433
2420 12 Applied Industrial Tech Inc (AIT) Industrial Distribution And Rental 0 Sold All -8,120 $43.40 $-352 $0
285 5 Rowan Companies Plc-A (RDC) Oil And Gas Services And Equip 89,880 Sold Some -21,940 $16.10 $-353 $1,447
1297 15 Kmg Chemicals Inc (KMG) Basic And Diversified Chemicals 0 Sold All -15,400 $23.07 $-355 $0
968 9 Spirit Aerosystems Hold-Cl A (SPR) Aircraft And Parts 0 Sold All -8,200 $45.36 $-371 $0
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 209,110 Sold Some -5,440 $68.48 $-372 $14,321
2345 10 Meritor Inc (MTOR) Commercial Vehicles 153,286 Sold Some -46,510 $8.06 $-374 $1,235
3035 2 United Parcel Service-Cl B (UPS) Courier Services 0 Sold All -3,660 $105.47 $-386 $0
199 4 Brocade Communications Sys (BRCD) Computer Hardware And Storage 981,723 Sold Some -37,437 $10.58 $-396 $10,386
670 4 Stoneridge Inc (SRI) Electrical Components 30,100 Sold Some -27,280 $14.56 $-397 $438
2711 10 Interpublic Group Of Cos Inc (IPG) Advertising And Marketing 71,700 Sold Some -17,590 $22.95 $-403 $1,645
2665 11 Manpowergroup Inc (MAN) Commercial Vehicles 103,290 Sold Some -4,960 $81.41 $-403 $8,409
2614 12 Autonation Inc (AN) Automotive Retailers 0 Sold All -8,690 $46.68 $-405 $0
1009 9 Electro Scientific Inds Inc (ESIO) Semiconductor Mfg 61,238 Sold Some -58,089 $7.15 $-415 $437
696 51 New York Community Bancorp (NYCB) Banks 113,000 Sold Some -26,520 $15.90 $-421 $1,796
1494 47 Quality Systems Inc (QSII) Application Software 117,430 Sold Some -27,710 $15.24 $-422 $1,789
1768 1 Idt Corp-Class B (IDT) Telecom Resellers 0 Sold All -27,237 $15.59 $-424 $0
2021 14 Vishay Precision Group (VPG) Electronics Components 10,850 Sold Some -31,509 $14.01 $-441 $152
2956 32 Dominion Resources Incva (D) Integrated Utilities 0 Sold All -5,880 $75.12 $-441 $0
2212 16 Ferro Corp (FOE) Specialty Chemicals 32,630 Sold Some -37,470 $11.87 $-444 $387
678 3 Schnitzer Steel Inds Inc-A (SCHN) Steel Raw Material Suppliers 0 Sold All -24,130 $18.44 $-444 $0
829 17 Flagstar Bancorp Inc (FBC) Mortgage Finance 0 Sold All -20,900 $21.45 $-448 $0
2396 103 Udr Inc (UDR) Reit 0 Sold All -12,100 $38.52 $-466 $0
2754 60 Integrated Device Tech Inc (IDTI) Semiconductor Devices 14,500 Sold Some -23,000 $20.44 $-470 $296
2743 20 International Paper Co (IP) Containers And Packaging 0 Sold All -11,590 $41.04 $-475 $0
676 3 Triple-S Management Corp-B (GTS) Managed Care 0 Sold All -19,369 $24.86 $-481 $0
205 4 Maximus Inc (MMS) It Services 0 Sold All -9,160 $52.63 $-482 $0
2206 19 Aegion Corp (AEGN) Fabricated Metal And Hardware 0 Sold All -22,930 $21.09 $-483 $0
665 45 Kimco Realty Corp (KIM) Reit 0 Sold All -16,830 $28.78 $-484 $0
2907 20 Dr Pepper Snapple Group Inc (DPS) Beverages 109,262 Sold Some -5,480 $89.41 $-490 $9,770
742 58 Brookline Bancorp Inc (BRKL) Banks 84,491 Sold Some -45,600 $11.01 $-502 $930
2692 18 Spectra Energy Corp (SE) Midstream Oil And Gas 0 Sold All -16,980 $30.60 $-519 $0
1561 18 Genomic Health Inc (GHDX) Life Science Equipment 48,903 Sold Some -20,980 $24.77 $-519 $1,211
2534 17 Lifepoint Health Inc (LPNT) Health Care Facilities 0 Sold All -7,580 $69.25 $-524 $0
2351 72 Ultimate Software Group Inc (ULTI) Application Software 0 Sold All -2,720 $193.50 $-526 $0
2515 24 Genesco Inc (GCO) Specialty Apparel Stores 0 Sold All -7,300 $72.25 $-527 $0
100 2 Green Dot Corp-Class A (GDOT) Consumer Finance 159,861 Sold Some -23,213 $22.96 $-533 $3,672
1964 220 Wsfs Financial Corp (WSFS) Banks 13,819 Sold Some -16,412 $32.52 $-533 $449
608 10 Stepan Co (SCL) Basic And Diversified Chemicals 39,835 Sold Some -9,720 $55.29 $-537 $2,202
3026 18 Oreilly Automotive Inc (ORLY) Automotive Retailers 48,861 Sold Some -1,975 $273.66 $-540 $13,371
3041 130 Public Storage (PSA) Reit 2,091 Sold Some -1,979 $275.82 $-545 $576
2397 25 Haemonetics Corpmass (HAE) Life Science Equipment 19,212 Sold Some -15,900 $34.98 $-556 $672
524 13 Maxlinear Inc-Class A (MXL) Semiconductor Devices 269,597 Sold Some -30,848 $18.50 $-570 $4,987
2626 34 Buffalo Wild Wings Inc (BWLD) Restaurants 0 Sold All -3,910 $148.11 $-579 $0
2876 17 Expedia Inc (EXPE) Internet Based Services 0 Sold All -5,480 $107.82 $-590 $0
2347 21 Total System Services Inc (TSS) Consumer Finance 8,900 Sold Some -12,450 $47.58 $-592 $423
2841 29 Eastman Chemical Co (EMN) Basic And Diversified Chemicals 0 Sold All -8,260 $72.23 $-596 $0
2611 15 Oneok Inc (OKE) Midstream Oil And Gas 0 Sold All -20,100 $29.86 $-600 $0
2227 49 Tessera Technologies Inc (TSRA) Semiconductor Devices 0 Sold All -19,821 $31.00 $-614 $0
2446 13 Xylem Inc (XYL) Flow Control Equipment 0 Sold All -15,490 $40.90 $-633 $0
816 21 Lattice Semiconductor Corp (LSCC) Semiconductor Devices 0 Sold All -111,869 $5.68 $-635 $0
711 12 Modine Manufacturing Co (MOD) Auto Parts 87,878 Sold Some -59,100 $11.01 $-650 $967
635 1 Hyster-Yale Materials (HY) Material Handling Machinery 52,318 Sold Some -10,131 $66.59 $-674 $3,484
1530 18 Federal-Mogul Holdings Corp (FDML) Auto Parts 46,250 Sold Some -70,650 $9.88 $-698 $456
244 2 Western Refining Inc (WNR) Refining And Marketing 107,910 Sold Some -24,150 $29.09 $-702 $3,139
2208 31 Trueblue Inc (TBI) Professional Services 0 Sold All -26,900 $26.15 $-703 $0
2853 28 American Electric Power (AEP) Integrated Utilities 141,190 Sold Some -10,600 $66.40 $-703 $9,375
2342 6 Skywest Inc (SKYW) Airlines 123,800 Sold Some -38,500 $19.99 $-769 $2,474
2540 78 Cash America Intl Inc (CSH) Application Software 42,250 Sold Some -20,380 $38.63 $-787 $1,632
2654 16 Boyd Gaming Corp (BYD) Casinos And Gaming 0 Sold All -38,500 $20.66 $-795 $0
2890 124 Extra Space Storage Inc (EXR) Reit 16,620 Sold Some -8,540 $93.45 $-798 $1,553
2707 82 Mentor Graphics Corp (MENT) Application Software 470,471 Sold Some -39,700 $20.33 $-807 $9,564
3005 17 Lowes Cos Inc (LOW) Home Products Stores 100,300 Sold Some -10,840 $75.75 $-821 $7,597
290 2 Cinemark Holdings Inc (CNK) Entertainment Facilities 92,062 Sold Some -23,240 $35.83 $-832 $3,298
2407 45 Mrc Global Inc (MRC) Oil And Gas Services And Equip 0 Sold All -63,540 $13.14 $-834 $0
541 12 Chesapeake Utilities Corp (CPK) Utility Networks 0 Sold All -13,300 $62.97 $-837 $0
2696 14 Copart Inc (CPRT) Automotive Retailers 0 Sold All -20,750 $40.77 $-845 $0
157 8 Aspen Technology Inc (AZPN) Application Software 293,362 Sold Some -23,690 $36.13 $-855 $10,599
119 3 Caci International Inc -Cl A (CACI) It Services 46,319 Sold Some -8,088 $106.69 $-862 $4,942
2784 12 Msci Inc (MSCI) Information Services 0 Sold All -11,840 $74.08 $-877 $0
2762 29 American Eagle Outfitters (AEO) Specialty Apparel Stores 0 Sold All -52,670 $16.67 $-878 $0
2705 17 Principal Financial Group (PFG) Life Insurance 372,050 Sold Some -23,570 $39.45 $-929 $14,677
2569 12 Werner Enterprises Inc (WERN) Trucking 75,613 Sold Some -35,190 $27.16 $-955 $2,053
3025 1 Fedex Corp (FDX) Courier Services 126,363 Sold Some -6,031 $162.72 $-981 $20,561
2300 11 Investment Technology Group (ITG) Institutional Brokerage 17,944 Sold Some -44,940 $22.10 $-993 $396
554 3 Crown Holdings Inc (CCK) Containers And Packaging 152,769 Sold Some -20,210 $49.59 $-1,002 $7,575
254 2 Corelogic Inc (CLGX) Mortgage Finance 0 Sold All -28,940 $34.70 $-1,004 $0
2030 83 Piedmont Office Realty Tru-A (PDM) Reit 0 Sold All -49,600 $20.30 $-1,007 $0
2082 27 New York Times Co-A (NYT) Publishing And Broadcasting 291,488 Sold Some -81,430 $12.46 $-1,014 $3,631
2374 15 Aptargroup Inc (ATR) Containers And Packaging 37,965 Sold Some -12,940 $78.41 $-1,014 $2,976
2546 26 Red Hat Inc (RHT) Infrastructure Software 80,055 Sold Some -13,635 $74.51 $-1,015 $5,964
245 1 Axis Capital Holdings Ltd (AXS) Reinsurance 64,647 Sold Some -18,920 $55.45 $-1,049 $3,585
2805 17 Church And Dwight Co Inc (CHD) Household Products 0 Sold All -11,390 $92.18 $-1,049 $0
311 4 Columbia Sportswear Co (COLM) Apparel Footwear And Acc Design 6,390 Sold Some -18,050 $60.09 $-1,084 $383
415 33 Mack-Cali Realty Corp (CLI) Reit 169,420 Sold Some -47,670 $23.50 $-1,120 $3,981
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 0 Sold All -39,910 $28.46 $-1,136 $0
2006 26 Sykes Enterprises Inc (SYKE) It Services 0 Sold All -37,981 $30.18 $-1,146 $0
93 2 Xerox Corp (XRX) It Services 226,250 Sold Some -108,950 $11.16 $-1,215 $2,524
2659 21 Xcel Energy Inc (XEL) Integrated Utilities 91,650 Sold Some -29,370 $41.82 $-1,228 $3,832
2301 247 Signature Bank (SBNY) Banks 122,204 Sold Some -9,079 $136.11 $-1,235 $16,634
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 9,630 Sold Some -31,310 $40.11 $-1,256 $386
751 4 Benchmark Electronics Inc (BHE) Emsodm 174,513 Sold Some -54,962 $23.04 $-1,266 $4,022
475 9 Southwest Gas Corp (SWX) Utility Networks 0 Sold All -19,430 $65.84 $-1,279 $0
3022 6 Altria Group Inc (MO) Tobacco 251,226 Sold Some -20,520 $62.66 $-1,285 $15,741
607 2 Dish Network Corp-A (DISH) Cable And Satellite 211,435 Sold Some -27,906 $46.25 $-1,290 $9,780
2436 20 Finish Linethe - Cl A (FINL) Specialty Apparel Stores 0 Sold All -62,525 $21.10 $-1,319 $0
649 13 Starwood Property Trust Inc (STWD) Mortgage Finance 84,140 Sold Some -75,600 $18.93 $-1,431 $1,592
2499 109 Duke Realty Corp (DRE) Reit 0 Sold All -63,790 $22.54 $-1,437 $0
440 2 Kbr Inc (KBR) Infrastructure Construction 436,027 Sold Some -95,700 $15.48 $-1,481 $6,749
2721 7 Etrade Financial Corp (ETFC) Wealth Management 367,031 Sold Some -61,070 $24.49 $-1,495 $8,988
2012 6 Astec Industries Inc (ASTE) Construction And Mining Machinery 0 Sold All -32,250 $46.66 $-1,505 $0
1909 14 Charles River Laboratories (CRL) Health Care Services 120,480 Sold Some -19,830 $75.94 $-1,505 $9,149
1977 6 Insight Enterprises Inc (NSIT) Consumer Elec And Applc Whslrs 7,948 Sold Some -53,809 $28.63 $-1,541 $227
3000 32 American Express Co (AXP) Consumer Finance 338,261 Sold Some -25,190 $61.40 $-1,546 $20,769
2981 80 Eog Resources Inc (EOG) Exploration And Production 0 Sold All -21,660 $72.58 $-1,572 $0
3003 49 Travelers Cos Incthe (TRV) P And C Insurance 88,350 Sold Some -13,735 $116.70 $-1,603 $10,311
2618 261 Cullenfrost Bankers Inc (CFR) Banks 0 Sold All -29,680 $55.11 $-1,635 $0
2390 8 Hub Group Inc-Cl A (HUBG) Logistics Services 158,996 Sold Some -40,376 $40.79 $-1,646 $6,485
2395 14 Shutterfly Inc (SFLY) Internet Based Services 0 Sold All -35,521 $46.36 $-1,647 $0
124 1 Dolby Laboratories Inc-Cl A (DLB) Consumer Electronics 0 Sold All -37,920 $43.45 $-1,648 $0
2910 3 Royal Caribbean Cruises Ltd (RCL) Cruise Lines 131,412 Sold Some -20,350 $82.15 $-1,671 $10,795
2098 23 Luminex Corp (LMNX) Life Science Equipment 76,452 Sold Some -86,520 $19.40 $-1,678 $1,483
408 32 Taubman Centers Inc (TCO) Reit 83,670 Sold Some -23,760 $71.23 $-1,692 $5,959
184 1 Live Nation Entertainment In (LYV) Entertainment Facilities 117,066 Sold Some -76,050 $22.30 $-1,696 $2,611
689 5 Berry Plastics Group Inc (BERY) Containers And Packaging 72,720 Sold Some -47,670 $36.15 $-1,723 $2,628
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 339,969 Sold Some -33,920 $50.86 $-1,725 $17,290
2297 3 Patterson Cos Inc (PDCO) Health Care Supply Chain 11,520 Sold Some -37,320 $46.52 $-1,736 $536
378 1 Trimble Navigation Ltd (TRMB) Measurement Instruments 0 Sold All -70,100 $24.79 $-1,738 $0
2813 23 Laboratory Crp Of Amer Hldgs (LH) Health Care Services 0 Sold All -15,006 $117.12 $-1,757 $0
1890 29 Arch Capital Group Ltd (ACGL) P And C Insurance 202,572 Sold Some -24,790 $71.09 $-1,762 $14,402
2950 8 General Motors Co (GM) Automobiles 809,540 Sold Some -57,170 $31.43 $-1,796 $25,443
2519 10 Jabil Circuit Inc (JBL) Emsodm 25,610 Sold Some -93,260 $19.27 $-1,797 $493
707 6 Graphic Packaging Holding Co (GPK) Containers And Packaging 23,180 Sold Some -140,010 $12.85 $-1,799 $297
2467 20 Valspar Corpthe (VAL) Specialty Chemicals 0 Sold All -17,200 $107.01 $-1,840 $0
2517 36 Genpact Ltd (G) It Services 13,100 Sold Some -69,148 $27.19 $-1,880 $356
2592 79 Adobe Systems Inc (ADBE) Application Software 4,400 Sold Some -20,270 $93.80 $-1,901 $412
261 5 Texas Roadhouse Inc (TXRH) Restaurants 9,120 Sold Some -44,886 $43.58 $-1,956 $397
117 2 Hill-Rom Holdings Inc (HRC) Health Care Supplies 22,700 Sold Some -38,930 $50.29 $-1,958 $1,141
2604 9 Amc Networks Inc-A (AMCX) Entertainment Content 90,471 Sold Some -30,185 $64.94 $-1,960 $5,875
2331 2 Cboe Holdings Inc (CBOE) Security And Cmdty Exchanges 6,240 Sold Some -30,670 $65.33 $-2,003 $407
2840 47 Allstate Corp (ALL) P And C Insurance 271,251 Sold Some -29,980 $67.37 $-2,019 $18,274
220 12 Fulton Financial Corp (FULT) Banks 101,863 Sold Some -151,201 $13.38 $-2,023 $1,362
2948 269 Pnc Financial Services Group (PNC) Banks 203,165 Sold Some -24,660 $84.57 $-2,085 $17,181
2921 14 Delta Air Lines Inc (DAL) Airlines 535,860 Sold Some -43,290 $48.68 $-2,107 $26,085
2900 87 Nuance Communications Inc (NUAN) Application Software 185,840 Sold Some -113,105 $18.69 $-2,113 $3,473
2968 23 Hologic Inc (HOLX) Medical Equipment 101,458 Sold Some -61,602 $34.50 $-2,125 $3,500
2871 31 Ross Stores Inc (ROST) Specialty Apparel Stores 501,484 Sold Some -37,586 $57.90 $-2,176 $29,035
2804 16 Tractor Supply Company (TSCO) Home Products Stores 0 Sold All -24,100 $90.45 $-2,180 $0
2568 8 Molina Healthcare Inc (MOH) Managed Care 18,450 Sold Some -33,980 $64.48 $-2,191 $1,189
957 2 Scansource Inc (SCSC) Other Wholesalers 30,110 Sold Some -55,560 $40.38 $-2,243 $1,215
392 25 Huntington Bancshares Inc (HBAN) Banks 51,890 Sold Some -235,700 $9.54 $-2,248 $495
2717 70 Concho Resources Inc (CXO) Exploration And Production 11,030 Sold Some -22,693 $101.04 $-2,292 $1,114
246 2 Scotts Miracle-Gro Co-Cl A (SMG) Home Improvement 23,040 Sold Some -32,312 $72.76 $-2,351 $1,676
2495 5 Csg Systems Intl Inc (CSGS) Payment And Data Processors 5,470 Sold Some -55,278 $45.16 $-2,496 $247
2837 2 Carnival Corp (CCL) Cruise Lines 361,160 Sold Some -47,720 $52.77 $-2,518 $19,058
2303 12 Fluor Corp (FLR) Infrastructure Construction 0 Sold All -47,070 $53.70 $-2,527 $0
2927 6 Ford Motor Co (F) Automobiles 1,533,090 Sold Some -191,470 $13.50 $-2,584 $20,696
68 1 Pbf Energy Inc-Class A (PBF) Refining And Marketing 169,510 Sold Some -79,280 $33.20 $-2,632 $5,627
2159 4 Broadridge Financial Solutio (BR) Payment And Data Processors 0 Sold All -44,453 $59.31 $-2,636 $0
2689 10 Jacobs Engineering Group Inc (JEC) Engineering Services 5,000 Sold Some -61,660 $43.54 $-2,685 $217
2720 10 Expeditors Intl Wash Inc (EXPD) Logistics Services 0 Sold All -55,064 $48.81 $-2,687 $0
105 1 Centene Corp (CNC) Managed Care 258,206 Sold Some -44,870 $61.57 $-2,762 $15,897
360 2 Choice Hotels Intl Inc (CHH) Lodging 29,220 Sold Some -51,489 $54.04 $-2,782 $1,579
300 1 Huntington Ingalls Industrie (HII) Defense Primes 213,841 Sold Some -20,802 $136.94 $-2,848 $29,283
2215 20 Symantec Corp (SYMC) Infrastructure Software 856,850 Sold Some -156,610 $18.37 $-2,878 $15,748
3042 9 Northrop Grumman Corp (NOC) Defense Primes 131,966 Sold Some -15,000 $197.89 $-2,968 $26,116
2864 28 Edwards Lifesciences Corp (EW) Medical Devices 269,028 Sold Some -34,050 $88.20 $-3,003 $23,730
2861 30 Abbott Laboratories (ABT) Life Science Equipment 0 Sold All -75,500 $41.83 $-3,158 $0
2598 2 Vail Resorts Inc (MTN) Leisure Clubs And Facilities 1,510 Sold Some -23,650 $133.69 $-3,162 $201
2334 100 Tanger Factory Outlet Center (SKT) Reit 15,309 Sold Some -89,620 $36.38 $-3,261 $557
2039 227 First Midwest Bancorp Incil (FMBI) Banks 27,261 Sold Some -182,829 $18.02 $-3,294 $491
2200 11 World Fuel Services Corp (INT) Refining And Marketing 144,952 Sold Some -68,108 $48.58 $-3,308 $7,041
237 1 Curtiss-Wright Corp (CW) Flow Control Equipment 27,767 Sold Some -43,881 $75.66 $-3,320 $2,101
241 3 Gartner Inc (IT) Information Services 111,047 Sold Some -37,170 $89.34 $-3,321 $9,922
2447 49 United Therapeutics Corp (UTHR) Biotech 9,400 Sold Some -30,446 $111.43 $-3,392 $1,047
2382 1 Northern Trust Corp (NTRS) Instl Trust Fiduciary And Custody 286,231 Sold Some -53,550 $65.16 $-3,489 $18,653
2232 68 Synopsys Inc (SNPS) Application Software 679,874 Sold Some -72,475 $48.43 $-3,510 $32,933
493 2 Penn National Gaming Inc (PENN) Casinos And Gaming 0 Sold All -213,391 $16.69 $-3,561 $0
2489 35 Syntel Inc (SYNT) It Services 36,758 Sold Some -73,303 $49.93 $-3,660 $1,835
2035 44 Cirrus Logic Inc (CRUS) Semiconductor Devices 0 Sold All -101,130 $36.41 $-3,682 $0
2842 24 Rockwell Collins Inc (COL) Aircraft And Parts 0 Sold All -40,050 $92.20 $-3,693 $0
60 1 Vantiv Inc - Cl A (VNTV) Consumer Finance 0 Sold All -69,240 $53.88 $-3,730 $0
448 9 Netgear Inc (NTGR) Communications Equipment 43,065 Sold Some -92,470 $40.36 $-3,733 $1,738
515 8 Cabot Corp (CBT) Basic And Diversified Chemicals 5,528 Sold Some -77,310 $48.33 $-3,736 $267
474 3 Progress Software Corp (PRGS) Infrastructure Software 9,929 Sold Some -168,914 $24.12 $-4,074 $239
2302 3 Reliance Steel And Aluminum (RS) Metal Svc Center And Other Whslrs 12,720 Sold Some -59,041 $69.19 $-4,085 $880
2905 5 Amerisourcebergen Corp (ABC) Health Care Supply Chain 351,677 Sold Some -47,940 $86.55 $-4,149 $30,437
2645 263 Suntrust Banks Inc (STI) Banks 356,906 Sold Some -115,580 $36.08 $-4,170 $12,877
2622 4 Arthur J Gallagher And Co (AJG) Insurance Brokers 0 Sold All -94,320 $44.48 $-4,195 $0
2723 11 Jetblue Airways Corp (JBLU) Airlines 71,900 Sold Some -200,240 $21.12 $-4,229 $1,518
2773 3 Dicks Sporting Goods Inc (DKS) Sporting Goods Stores 0 Sold All -90,904 $46.75 $-4,249 $0
2616 23 Global Payments Inc (GPN) Consumer Finance 411,342 Sold Some -65,410 $65.30 $-4,271 $26,860
2156 12 Itron Inc (ITRI) Measurement Instruments 0 Sold All -102,711 $41.72 $-4,285 $0
3050 14 Wells Fargo And Co (WFC) Diversified Banks 854,663 Sold Some -89,320 $48.36 $-4,319 $41,331
3008 5 Eli Lilly And Co (LLY) Large Pharma 513,618 Sold Some -60,970 $72.01 $-4,390 $36,985
301 1 Brunswick Corp (BC) Recreational Vehicles 35,360 Sold Some -95,309 $47.98 $-4,572 $1,696
3024 13 Time Warner Inc (TWX) Entertainment Content 500,110 Sold Some -63,060 $72.55 $-4,575 $36,282
1835 11 Commercial Metals Co (CMC) Steel Producers 0 Sold All -274,483 $16.96 $-4,657 $0
2434 19 Chemtura Corp (CHMT) Specialty Chemicals 65,839 Sold Some -181,231 $26.40 $-4,784 $1,738
3013 9 Mckesson Corp (MCK) Health Care Supply Chain 185,477 Sold Some -30,539 $157.25 $-4,802 $29,166
3037 33 Mastercard Inc-Class A (MA) Consumer Finance 443,556 Sold Some -51,400 $94.50 $-4,857 $41,916
3001 7 Raytheon Company (RTN) Defense Primes 169,781 Sold Some -41,690 $122.62 $-5,112 $20,820
2978 41 Cognizant Tech Solutions-A (CTSH) It Services 3,320 Sold Some -82,116 $62.70 $-5,148 $208
2367 2 Avnet Inc (AVT) Technology Distributors 183,702 Sold Some -120,325 $44.29 $-5,330 $8,137
1589 2 Wabtec Corp (WAB) Railroad Rolling Stock 104,910 Sold Some -68,768 $79.29 $-5,452 $8,318
2957 43 Sempra Energy (SRE) Utility Networks 32,310 Sold Some -52,476 $104.05 $-5,460 $3,361
2579 25 Lear Corp (LEA) Auto Parts 46,849 Sold Some -49,175 $111.16 $-5,466 $5,208
2425 16 Invesco Ltd (IVZ) Investment Management 0 Sold All -186,320 $30.77 $-5,733 $0
3056 27 Boeing Cothe (BA) Aircraft And Parts 324,408 Sold Some -46,500 $126.94 $-5,902 $41,180
2937 16 Kroger Co (KR) Food And Drug Stores 1,047,150 Sold Some -154,470 $38.25 $-5,908 $40,053
485 5 Factset Research Systems Inc (FDS) Information Services 0 Sold All -39,198 $151.52 $-5,939 $0
102 3 Regions Financial Corp (RF) Banks 331,980 Sold Some -761,620 $7.85 $-5,978 $2,606
331 4 Raymond James Financial Inc (RJF) Institutional Brokerage 142,342 Sold Some -129,098 $47.61 $-6,146 $6,776
2987 27 Nike Inc -Cl B (NKE) Apparel Footwear And Acc Design 628,830 Sold Some -100,030 $61.47 $-6,148 $38,654
3051 57 Gilead Sciences Inc (GILD) Biotech 545,544 Sold Some -67,429 $91.86 $-6,194 $50,113
3059 25 Pepsico Inc (PEP) Beverages 453,012 Sold Some -61,430 $102.48 $-6,295 $46,424
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 915,615 Sold Some -116,870 $54.08 $-6,320 $49,516
3016 38 Starbucks Corp (SBUX) Restaurants 506,930 Sold Some -107,200 $59.70 $-6,399 $30,263
3066 59 Amgen Inc (AMGN) Biotech 326,870 Sold Some -43,334 $149.92 $-6,497 $49,007
3067 10 Lockheed Martin Corp (LMT) Defense Primes 69,248 Sold Some -30,140 $221.50 $-6,676 $15,338
2518 254 Fifth Third Bancorp (FITB) Banks 0 Sold All -403,800 $16.69 $-6,739 $0
2385 43 Ion Geophysical Corp (IO) Oil And Gas Services And Equip 0 Sold All -861,163 $8.08 $-6,958 $0
2782 28 Agilent Technologies Inc (A) Life Science Equipment 0 Sold All -177,233 $39.84 $-7,062 $0
2677 18 Nucor Corp (NUE) Steel Producers 0 Sold All -149,510 $47.29 $-7,071 $0
2883 24 Linkedin Corp - A (LNKD) Internet Media 0 Sold All -62,706 $114.34 $-7,170 $0
2970 31 Fiserv Inc (FISV) Consumer Finance 0 Sold All -70,271 $102.58 $-7,208 $0
729 5 Smith Ao Corp (AOS) Comml And Res Bldg Equip And Sys 0 Sold All -95,400 $76.30 $-7,279 $0
2904 10 Ebay Inc (EBAY) Ecommerce Discretionary 0 Sold All -307,070 $23.86 $-7,326 $0
86 4 Workday Inc-Class A (WDAY) Application Software 0 Sold All -98,090 $76.83 $-7,537 $0
2136 13 Franklin Resources Inc (BEN) Investment Management 0 Sold All -195,113 $39.04 $-7,619 $0
2529 13 Hollyfrontier Corp (HFC) Refining And Marketing 149,870 Sold Some -216,590 $35.32 $-7,649 $5,293
3034 27 Sherwin-Williams Cothe (SHW) Specialty Chemicals 61,451 Sold Some -27,032 $284.67 $-7,695 $17,493
2132 6 Td Ameritrade Holding Corp (AMTD) Wealth Management 0 Sold All -246,086 $31.53 $-7,759 $0
182 2 Unum Group (UNM) Life Insurance 100,300 Sold Some -258,175 $30.92 $-7,982 $3,101
2779 8 Schwab Charles Corp (SCHW) Wealth Management 0 Sold All -308,030 $28.02 $-8,631 $0
2667 10 Alaska Air Group Inc (ALK) Airlines 0 Sold All -105,250 $82.01 $-8,632 $0
2740 44 Progressive Corp (PGR) P And C Insurance 428,590 Sold Some -253,636 $35.13 $-8,912 $15,060
2702 6 Paychex Inc (PAYX) Payment And Data Processors 0 Sold All -166,250 $54.00 $-8,979 $0
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 118,668 Sold Some -15,416 $593.64 $-9,151 $70,446
2903 31 Citrix Systems Inc (CTXS) Infrastructure Software 0 Sold All -124,450 $78.58 $-9,779 $0
2995 32 Tjx Companies Inc (TJX) Specialty Apparel Stores 236,176 Sold Some -126,280 $78.34 $-9,894 $18,504
2860 15 Marathon Petroleum Corp (MPC) Refining And Marketing 160,520 Sold Some -269,838 $37.18 $-10,032 $5,968
2986 89 Salesforcecom Inc (CRM) Application Software 0 Sold All -141,561 $73.83 $-10,451 $0
2847 21 Aflac Inc (AFL) Life Insurance 0 Sold All -168,994 $63.13 $-10,670 $0
2538 77 Cadence Design Sys Inc (CDNS) Application Software 1,173,000 Sold Some -453,348 $23.58 $-10,689 $27,659
582 5 Qiagen Nv (QGEN) Life Science Equipment 75,373 Sold Some -483,210 $22.34 $-10,794 $1,683
2868 6 Sysco Corp (SYY) Food Products Wholesalers 204,739 Sold Some -233,240 $46.73 $-10,899 $9,567
2884 11 Cintas Corp (CTAS) Other Commercial Services 0 Sold All -122,020 $89.80 $-10,958 $0
3029 24 Coca-Cola Cothe (KO) Beverages 35,590 Sold Some -236,310 $46.38 $-10,962 $1,651
2823 28 Discover Financial Services (DFS) Consumer Finance 186,200 Sold Some -215,700 $50.91 $-10,983 $9,481
2920 268 Us Bancorp (USB) Banks 0 Sold All -271,330 $40.59 $-11,013 $0
2713 10 Liberty Media Corp - A (LMCA) Entertainment Content 0 Sold All -286,787 $38.63 $-11,078 $0
3078 18 Priceline Group Incthe (PCLN) Internet Based Services 0 Sold All -8,640 $1288.95 $-11,136 $0
2954 29 Stryker Corp (SYK) Medical Devices 261,169 Sold Some -104,540 $107.29 $-11,216 $28,020
2922 32 Palo Alto Networks Inc (PANW) Infrastructure Software 18,830 Sold Some -68,908 $163.13 $-11,241 $3,071
3021 55 Celgene Corp (CELG) Biotech 90,419 Sold Some -120,826 $100.08 $-12,093 $9,050
2830 14 Tesoro Corp (TSO) Refining And Marketing 0 Sold All -149,420 $86.01 $-12,851 $0
2282 21 Boston Scientific Corp (BSX) Medical Devices 107,030 Sold Some -692,870 $18.80 $-13,032 $2,013
2849 29 Waters Corp (WAT) Life Science Equipment 24,607 Sold Some -110,993 $131.91 $-14,642 $3,246
2941 6 Aon Plc (AON) Insurance Brokers 2,590 Sold Some -142,094 $104.44 $-14,841 $270
3010 11 Aetna Inc (AET) Managed Care 10,610 Sold Some -142,694 $112.34 $-16,031 $1,192
2889 12 Cbs Corp-Class B Non Voting (CBS) Entertainment Content 0 Sold All -295,245 $55.09 $-16,265 $0
2617 3 Csx Corp (CSX) Rail Freight 381,443 Sold Some -644,293 $25.75 $-16,590 $9,822
2824 3 Bank Of New York Mellon Corp (BK) Instl Trust Fiduciary And Custody 210,030 Sold Some -454,520 $36.83 $-16,739 $7,735
3072 34 Microsoft Corp (MSFT) Infrastructure Software 467,434 Sold Some -306,801 $55.23 $-16,944 $25,816
2964 15 United Continental Holdings (UAL) Airlines 6,820 Sold Some -286,340 $59.86 $-17,140 $408
2947 88 Intuit Inc (INTU) Application Software 0 Sold All -168,433 $104.01 $-17,518 $0
2924 6 Cardinal Health Inc (CAH) Health Care Supply Chain 258,814 Sold Some -214,250 $81.94 $-17,557 $21,209
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 231,619 Sold Some -218,970 $83.58 $-18,303 $19,361
3079 54 Apple Inc (AAPL) Communications Equipment 1,085,093 Sold Some -169,975 $108.98 $-18,525 $118,264
2976 33 Oracle Corp (ORCL) Infrastructure Software 0 Sold All -457,660 $40.91 $-18,722 $0
3070 18 Home Depot Inc (HD) Home Products Stores 106,850 Sold Some -150,850 $133.42 $-20,127 $14,256
3040 9 Abbvie Inc (ABBV) Large Pharma 0 Sold All -370,980 $57.11 $-21,190 $0
2829 19 Prudential Financial Inc (PRU) Life Insurance 0 Sold All -313,800 $72.22 $-22,662 $0
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 359,972 Sold Some -299,650 $76.48 $-22,917 $27,530
2786 9 Ingram Micro Inc-Cl A (IM) Consumer Elec And Applc Whslrs 0 Sold All -650,134 $35.91 $-23,346 $0
3063 12 Unitedhealth Group Inc (UNH) Managed Care 67,034 Sold Some -185,520 $128.89 $-23,913 $8,640
3060 21 Blackrock Inc (BLK) Investment Management 5,037 Sold Some -71,539 $340.57 $-24,364 $1,715
480 3 Phillips 66 (PSX) Refining And Marketing 0 Sold All -294,940 $86.58 $-25,538 $0
2955 7 Automatic Data Processing (ADP) Payment And Data Processors 0 Sold All -292,613 $89.70 $-26,250 $0
2909 5 Reynolds American Inc (RAI) Tobacco 0 Sold All -534,600 $50.31 $-26,895 $0
3019 8 Union Pacific Corp (UNP) Rail Freight 35,560 Sold Some -341,348 $79.55 $-27,154 $2,828
2906 16 Valero Energy Corp (VLO) Refining And Marketing 0 Sold All -426,930 $64.13 $-27,383 $0
3031 8 Pfizer Inc (PFE) Large Pharma 620,719 Sold Some -926,186 $29.63 $-27,452 $18,398
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 575,800 Sold Some -460,040 $61.08 $-28,099 $35,169
2767 12 Southwest Airlines Co (LUV) Airlines 0 Sold All -636,010 $44.79 $-28,493 $0
3030 69 Intel Corp (INTC) Semiconductor Devices 598,010 Sold Some -952,309 $32.34 $-30,807 $19,345
2936 25 Ppg Industries Inc (PPG) Specialty Chemicals 46,124 Sold Some -282,625 $111.48 $-31,509 $5,142
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 0 Sold All -515,203 $63.88 $-32,911 $0
80 1 Accenture Plc-Cl A (ACN) It Services 14,860 Sold Some -400,430 $115.40 $-46,209 $1,714
3023 7 Merck And Co Inc (MRK) Large Pharma 0 Sold All -961,781 $52.91 $-50,887 $0
3064 14 Walt Disney Cothe (DIS) Entertainment Content 36,820 Sold Some -515,420 $99.30 $-51,186 $3,656