0000950123-14-008428.txt : 20140812
0000950123-14-008428.hdr.sgml : 20140812
20140812120024
ACCESSION NUMBER: 0000950123-14-008428
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20140630
FILED AS OF DATE: 20140812
DATE AS OF CHANGE: 20140812
EFFECTIVENESS DATE: 20140812
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: PARAMETRIC PORTFOLIO ASSOCIATES LLC
CENTRAL INDEX KEY: 0000932859
IRS NUMBER: 200292745
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1031
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-04558
FILM NUMBER: 141033052
BUSINESS ADDRESS:
STREET 1: 1918 EIGHTH AVE
STREET 2: SUITE 3100
CITY: SEATTLE
STATE: WA
ZIP: 98101
BUSINESS PHONE: 2066945575
MAIL ADDRESS:
STREET 1: 1918 EIGHTH AVE
STREET 2: SUITE 3100
CITY: SEATTLE
STATE: WA
ZIP: 98101
FORMER COMPANY:
FORMER CONFORMED NAME: PARAMETRIC PORTFOLIO ASSOCIATES
DATE OF NAME CHANGE: 19990326
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0000932859
XXXXXXXX
06-30-2014
06-30-2014
Parametric Portfolio Associates LLC
1918 Eighth Ave
SUITE 3100
SEATTLE
WA
98101
13F HOLDINGS REPORT
028-04558
N
Deborah Lamb
Chief Compliance Officer
206-381-6420
/S/ Deborah Lamb
Seattle
WA
08-08-2014
0
3730
44399087
false
INFORMATION TABLE
2
form13fInfoTable.xml
INFORMATION TABLE FOR FORM 13F
APPLE INC
Common Stock
037833100
867573
9335766
SH
SOLE
8179331
0
1156435
VANGUARD S&P 500 ETF
ETP
922908363
695155
3874241
SH
SOLE
3874241
0
0
EXXON MOBIL CORP
Common Stock
30231G102
684214
6795931
SH
SOLE
5666853
0
1129078
MICROSOFT CORP
Common Stock
594918104
549218
13170703
SH
SOLE
11137406
0
2033297
CHEVRON CORP
Common Stock
166764100
478928
3668539
SH
SOLE
2955665
0
712874
JOHNSON & JOHNSON
Common Stock
478160104
458014
4377884
SH
SOLE
3553193
0
824691
WELLS FARGO & CO
Common Stock
949746101
390352
7426779
SH
SOLE
6049637
0
1377142
JPMORGAN CHASE & CO
Common Stock
46625H100
356997
6195715
SH
SOLE
4936756
0
1258959
GENERAL ELECTRIC CO
Common Stock
369604103
347113
13208264
SH
SOLE
11269466
0
1938798
AT&T INC
Common Stock
00206R102
316616
8954083
SH
SOLE
7258629
0
1695454
PFIZER INC
Common Stock
717081103
315189
10619588
SH
SOLE
8821561
0
1798027
PROCTER & GAMBLE CO/THE
Common Stock
742718109
308312
3923048
SH
SOLE
3213511
0
709537
QUALCOMM INC
Common Stock
747525103
297138
3751739
SH
SOLE
3135125
0
616614
INTEL CORP
Common Stock
458140100
293434
9496258
SH
SOLE
7808887
0
1687371
MERCK & CO INC
Common Stock
58933Y105
273843
4733665
SH
SOLE
3823507
0
910158
VERIZON COMMUNICATIONS INC
Common Stock
92343V104
272747
5574238
SH
SOLE
4482287
0
1091951
BANK OF AMERICA CORP
Common Stock
060505104
271763
17681361
SH
SOLE
13295150
0
4386211
CONOCOPHILLIPS
Common Stock
20825C104
266103
3103971
SH
SOLE
2483875
0
620096
INTERNATIONAL BUSINESS MACHINE
Common Stock
459200101
265128
1462611
SH
SOLE
1186900
0
275711
GOOGLE INC - CL C
Common Stock
38259P706
252488
438896
SH
SOLE
372659
0
66237
SCHLUMBERGER LTD
Common Stock
806857108
252083
2137201
SH
SOLE
1727232
0
409969
GOOGLE INC
Common Stock
38259P508
241392
412869
SH
SOLE
357244
0
55625
ORACLE CORP
Common Stock
68389X105
239959
5920526
SH
SOLE
5140894
0
779632
BERKSHIRE HATHAWAY INC
Common Stock
084670702
239209
1890081
SH
SOLE
1590713
0
299368
COCA-COLA CO/THE
Common Stock
191216100
234343
5532186
SH
SOLE
4831675
0
700511
GILEAD SCIENCES INC
Common Stock
375558103
222624
2685123
SH
SOLE
2321466
0
363657
COMCAST CORP
Common Stock
20030N101
220069
4099639
SH
SOLE
3587187
0
512452
PEPSICO INC/NC
Common Stock
713448108
216466
2422950
SH
SOLE
1942719
0
480231
WALT DISNEY CO/THE
Common Stock
254687106
214192
2498152
SH
SOLE
2182825
0
315327
CITIGROUP INC
Common Stock
172967424
213026
4522837
SH
SOLE
3492660
0
1030177
ISHARES TR RUSSELL1000GRW
ETP
464287614
208289
2290655
SH
SOLE
2288493
0
2162
WAL-MART STORES INC
Common Stock
931142103
203589
2711993
SH
SOLE
2090830
0
621163
CISCO SYSTEMS INC
Common Stock
17275R102
199405
8024348
SH
SOLE
6479029
0
1545319
VISA INC
Common Stock
92826C839
198484
941977
SH
SOLE
773890
0
168087
PHILIP MORRIS INTERNATIONAL IN
Common Stock
718172109
198219
2351079
SH
SOLE
1924263
0
426816
CVS CAREMARK CORP
Common Stock
126650100
192378
2552445
SH
SOLE
2196234
0
356211
MCDONALD'S CORP
Common Stock
580135101
171517
1702575
SH
SOLE
1346368
0
356207
AMAZON.COM INC
Common Stock
023135106
168986
520309
SH
SOLE
464779
0
55530
HOME DEPOT INC/THE
Common Stock
437076102
167029
2063105
SH
SOLE
1838702
0
224403
AMGEN INC
Common Stock
031162100
165474
1397941
SH
SOLE
1159736
0
238205
UNITED TECHNOLOGIES CORP
Common Stock
913017109
163956
1420149
SH
SOLE
1159171
0
260978
AMERICAN EXPRESS CO
Common Stock
025816109
152120
1603455
SH
SOLE
1356699
0
246756
HEWLETT-PACKARD CO
Common Stock
428236103
151737
4505242
SH
SOLE
3030230
0
1475012
CELGENE CORP
Common Stock
151020104
151184
1760407
SH
SOLE
1602352
0
158055
UNITEDHEALTH GROUP INC
Common Stock
91324P102
143093
1750372
SH
SOLE
1405719
0
344653
3M CO
Common Stock
88579Y101
142057
991739
SH
SOLE
848836
0
142903
OCCIDENTAL PETROLEUM CORP
Common Stock
674599105
141209
1375904
SH
SOLE
1118754
0
257150
BRISTOL-MYERS SQUIBB CO
Common Stock
110122108
139129
2868042
SH
SOLE
2303200
0
564842
ALTRIA GROUP INC
Common Stock
02209S103
139092
3316451
SH
SOLE
2510464
0
805987
MASTERCARD INC
Common Stock
57636Q104
138098
1879658
SH
SOLE
1569217
0
310441
FACEBOOK INC A
Common Stock
30303M102
135665
2016128
SH
SOLE
1884401
0
131727
UNION PACIFIC CORP
Common Stock
907818108
132337
1326690
SH
SOLE
1162148
0
164542
PHILLIPS 66 COM
Common Stock
718546104
132003
1641219
SH
SOLE
1281973
0
359246
BOEING CO/THE
Common Stock
097023105
131360
1032463
SH
SOLE
880637
0
151826
BIOGEN IDEC INC
Common Stock
09062X103
129056
409299
SH
SOLE
361475
0
47824
MONDELEZ INTERNATIONAL INC
Common Stock
609207105
127490
3389783
SH
SOLE
2940094
0
449689
WALGREEN CO
Common Stock
931422109
125708
1695774
SH
SOLE
1367146
0
328628
AMERICA MOVIL S A DE C V SPON ADR L SHS
ADR
02364W105
125032
6025654
SH
SOLE
6021365
0
4289
EOG RESOURCES INC
Common Stock
26875P101
123339
1055445
SH
SOLE
907412
0
148033
TEXAS INSTRUMENTS INC
Common Stock
882508104
118728
2484373
SH
SOLE
2052672
0
431701
HONEYWELL INTERNATIONAL INC
Common Stock
438516106
118132
1270924
SH
SOLE
1101511
0
169413
ABBVIE INC. COM
Common Stock
00287Y109
116633
2066487
SH
SOLE
1712787
0
353700
HALLIBURTON CO
Common Stock
406216101
115399
1625108
SH
SOLE
1377336
0
247772
COSTCO WHOLESALE CORP
Common Stock
22160K105
113724
987527
SH
SOLE
720579
0
266948
EXPRESS SCRIPTS HOLDING CO
Common Stock
30219G108
113404
1635715
SH
SOLE
1310454
0
325261
NIKE INC
Common Stock
654106103
113325
1461311
SH
SOLE
1296872
0
164439
SPDR TR UNIT SER 1
ETP
78462F103
113012
577416
SH
SOLE
577005
0
411
DOW CHEMICAL CO/THE
Common Stock
260543103
112042
2177262
SH
SOLE
1744527
0
432735
CATERPILLAR INC
Common Stock
149123101
109435
1007041
SH
SOLE
872247
0
134794
ISHARES CORE S&P 500 ETF
ETP
464287200
109308
554864
SH
SOLE
554864
0
0
AMERICAN INTERNATIONAL GROUP I
Common Stock
026874784
107809
1975247
SH
SOLE
1627517
0
347730
ABBOTT LABORATORIES
Common Stock
002824100
107749
2634456
SH
SOLE
2243159
0
391297
TIME WARNER INC
Common Stock
887317303
107558
1531076
SH
SOLE
1267697
0
263379
MONSANTO CO
Common Stock
61166W101
107056
858231
SH
SOLE
700132
0
158099
PRICELINE GROUP INC
Common Stock
741503403
106552
88572
SH
SOLE
80321
0
8251
CREDICORP LTD COM
Common Stock
G2519Y108
103891
668239
SH
SOLE
629589
0
38650
TRAVELERS COS INC/THE
Common Stock
89417E109
101497
1078948
SH
SOLE
885364
0
193584
BAIDU COM INC SPON ADR REP A
ADR
056752108
101238
541930
SH
SOLE
502694
0
39236
COLGATE-PALMOLIVE CO
Common Stock
194162103
99712
1462478
SH
SOLE
1033847
0
428631
GOLDMAN SACHS GROUP INC/THE
Common Stock
38141G104
99685
595350
SH
SOLE
485906
0
109444
METLIFE INC
Common Stock
59156R108
98213
1767696
SH
SOLE
1344703
0
422993
STARBUCKS CORP
Common Stock
855244109
97803
1263931
SH
SOLE
998343
0
265588
EMC CORP/MASSACHUSETTS
Common Stock
268648102
97516
3702198
SH
SOLE
3174621
0
527577
MEDTRONIC INC
Common Stock
585055106
97342
1526700
SH
SOLE
1251797
0
274903
ADOBE SYSTEMS INC
Common Stock
00724F101
95903
1325358
SH
SOLE
1082816
0
242542
NORTHROP GRUMMAN CORP
Common Stock
666807102
95627
799360
SH
SOLE
600096
0
199264
CEMEX S A SPON ADR 5 ORD
ADR
151290889
94454
7139362
SH
SOLE
7137717
0
1645
ALLERGAN INC/UNITED STATES
Common Stock
018490102
93945
555163
SH
SOLE
486653
0
68510
WELLPOINT INC
Common Stock
94973V107
93836
872002
SH
SOLE
618360
0
253642
ELI LILLY & CO
Common Stock
532457108
93469
1503447
SH
SOLE
1119080
0
384367
DIRECTV
Common Stock
25490A309
92613
1089441
SH
SOLE
872441
0
217000
EBAY INC
Common Stock
278642103
91890
1835588
SH
SOLE
1585206
0
250382
US BANCORP
Common Stock
902973304
90848
2097140
SH
SOLE
1822938
0
274202
UNITED PARCEL SERVICE INC
Common Stock
911312106
88132
858482
SH
SOLE
729523
0
128959
MCKESSON CORP
Common Stock
58155Q103
87571
470280
SH
SOLE
396700
0
73580
PNC FINANCIAL SERVICES GROUP I
Common Stock
693475105
87255
979846
SH
SOLE
810902
0
168944
CAPITAL ONE FINANCIAL CORP
Common Stock
14040H105
86012
1041306
SH
SOLE
810147
0
231159
DANAHER CORP
Common Stock
235851102
85323
1083740
SH
SOLE
868898
0
214842
LOWE'S COS INC
Common Stock
548661107
85167
1774688
SH
SOLE
1382285
0
392403
TWENTY-FIRST CENTURY FOX INC
Common Stock
90130A101
84619
2407367
SH
SOLE
2098368
0
308999
KIMBERLY-CLARK CORP
Common Stock
494368103
84226
757296
SH
SOLE
551924
0
205372
DISCOVER FINANCIAL SERVICES
Common Stock
254709108
83812
1352240
SH
SOLE
1189099
0
163141
FORD MOTOR CO
Common Stock
345370860
83313
4832548
SH
SOLE
3883596
0
948952
EMERSON ELECTRIC CO
Common Stock
291011104
83305
1255352
SH
SOLE
1039748
0
215604
EI DU PONT DE NEMOURS & CO
Common Stock
263534109
82633
1262725
SH
SOLE
1100178
0
162547
KROGER CO/THE
Common Stock
501044101
81050
1639696
SH
SOLE
1110226
0
529470
ISHARES TR MSCI EAFE IDX
ETP
464287465
80867
1182784
SH
SOLE
1182784
0
0
TIME WARNER CABLE INC
Common Stock
88732J207
79860
542159
SH
SOLE
418190
0
123969
LOCKHEED MARTIN CORP
Common Stock
539830109
79764
496262
SH
SOLE
390930
0
105332
FEDEX CORP
Common Stock
31428X106
79560
525566
SH
SOLE
477541
0
48025
CBS CORP
Common Stock
124857202
79357
1277065
SH
SOLE
1028994
0
248071
DUKE ENERGY CORP
Common Stock
26441C204
78367
1056306
SH
SOLE
785708
0
270598
MARATHON OIL CORP
Common Stock
565849106
77577
1943317
SH
SOLE
1474222
0
469095
ANADARKO PETROLEUM CORP
Common Stock
032511107
77165
704896
SH
SOLE
610958
0
93938
NESTLE S A SPONSORED ADR
ADR
641069406
76879
989814
SH
SOLE
931287
0
58527
NOVARTIS A G SPONSORED ADR
ADR
66987V109
76801
848349
SH
SOLE
613560
0
234789
COGNIZANT TECHNOLOGY SOLUTIONS
Common Stock
192446102
75178
1537066
SH
SOLE
1345873
0
191193
WILLIAMS COS INC/THE
Common Stock
969457100
75067
1289589
SH
SOLE
1155468
0
134121
PRUDENTIAL FINANCIAL INC
Common Stock
744320102
74965
844488
SH
SOLE
636563
0
207925
SIMON PROPERTY GROUP INC REIT
REIT
828806109
73238
440451
SH
SOLE
396230
0
44221
AUTOMATIC DATA PROCESSING INC
Common Stock
053015103
72660
916499
SH
SOLE
575852
0
340647
MORGAN STANLEY
Common Stock
617446448
71812
2221208
SH
SOLE
1881627
0
339581
SOUTHERN COPPER CORP
Common Stock
84265V105
71724
2361680
SH
SOLE
2199689
0
161991
ENTERPRISE PRODS PARTNERS L COM
MLP
293792107
71457
912726
SH
SOLE
884552
0
28174
APPLIED MATERIALS INC
Common Stock
038222105
71275
3160760
SH
SOLE
2131290
0
1029470
MICRON TECHNOLOGY INC
Common Stock
595112103
70921
2152386
SH
SOLE
1535316
0
617070
ACCENTURE PLC
Common Stock
G1151C101
70565
872894
SH
SOLE
641083
0
231811
YUM! BRANDS INC
Common Stock
988498101
70473
867899
SH
SOLE
698532
0
169367
THERMO FISHER SCIENTIFIC INC
Common Stock
883556102
70390
596524
SH
SOLE
530291
0
66233
ROCHE HLDG LTD SPONSORED ADR
ADR
771195104
70131
1880200
SH
SOLE
1482241
0
397959
INFOSYS TECHNOLOGIES LTD SPONSORED ADR
ADR
456788108
69015
1283523
SH
SOLE
1172701
0
110822
VALERO ENERGY CORP
Common Stock
91913Y100
68957
1376378
SH
SOLE
997320
0
379058
KINDER MORGAN ENERGY PARTNER UT LTD PARTNE
MLP
494550106
68864
837654
SH
SOLE
809861
0
27793
TARGET CORP
Common Stock
87612E106
68220
1177226
SH
SOLE
865207
0
312019
BANK OF NEW YORK MELLON CORP/T
Common Stock
064058100
68209
1819879
SH
SOLE
1564331
0
255548
ECOLAB INC
Common Stock
278865100
67821
609138
SH
SOLE
457314
0
151824
CHARLES SCHWAB CORP/THE
Common Stock
808513105
67606
2510445
SH
SOLE
1744010
0
766435
BAXTER INTERNATIONAL INC
Common Stock
071813109
67487
933436
SH
SOLE
760408
0
173028
PLAINS ALL AMER PIPELINE LP
MLP
726503105
67225
1119477
SH
SOLE
1083845
0
35632
WESTERN DIGITAL CORP
Common Stock
958102105
66797
723692
SH
SOLE
542291
0
181401
RAYTHEON CO
Common Stock
755111507
66438
720198
SH
SOLE
574283
0
145915
NEXTERA ENERGY INC
Common Stock
65339F101
66359
647531
SH
SOLE
556857
0
90674
HESS CORP
Common Stock
42809H107
66174
669169
SH
SOLE
502612
0
166557
MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP L
MLP
559080106
65473
779067
SH
SOLE
755001
0
24066
SHIRE PLC SPONSORED ADR
ADR
82481R106
64466
273751
SH
SOLE
224447
0
49304
AETNA INC
Common Stock
00817Y108
62392
769511
SH
SOLE
556239
0
213272
PPG INDUSTRIES INC
Common Stock
693506107
62172
295846
SH
SOLE
247406
0
48440
NOBLE ENERGY INC
Common Stock
655044105
61644
795822
SH
SOLE
650790
0
145032
LORILLARD INC
Common Stock
544147101
61284
1005150
SH
SOLE
752533
0
252617
COVIDIEN PLC
Common Stock
G2554F113
60336
669065
SH
SOLE
576159
0
92906
LYONDELLBASELL INDUSTRIES NV
Common Stock
N53745100
60333
617854
SH
SOLE
497060
0
120794
PRAXAIR INC
Common Stock
74005P104
60231
453411
SH
SOLE
394755
0
58656
VIACOM INC NEW CL B
Common Stock
92553P201
59872
690324
SH
SOLE
548467
0
141857
DOMINION RESOURCES INC/VA
Common Stock
25746U109
59399
830518
SH
SOLE
674922
0
155596
CUMMINS INC
Common Stock
231021106
59189
383620
SH
SOLE
319910
0
63710
GENERAL DYNAMICS CORP
Common Stock
369550108
58942
505723
SH
SOLE
394709
0
111014
EDISON INTERNATIONAL
Common Stock
281020107
58361
1004316
SH
SOLE
809051
0
195265
ALLSTATE CORP/THE
Common Stock
020002101
58172
990672
SH
SOLE
753965
0
236707
MEAD JOHNSON NUTRITION CO
Common Stock
582839106
58064
623200
SH
SOLE
435080
0
188120
ITAU UNIBANCO HOLDING SA - ADR
ADR
465562106
57486
3997602
SH
SOLE
3739538
0
258064
AMERIPRISE FINANCIAL INC
Common Stock
03076C106
57323
477688
SH
SOLE
361499
0
116189
CIGNA CORP
Common Stock
125509109
57262
622618
SH
SOLE
512396
0
110222
MACY'S INC
Common Stock
55616P104
57192
985732
SH
SOLE
793454
0
192278
KRAFT FOODS GROUP INC
Common Stock
50076Q106
57049
951602
SH
SOLE
811792
0
139810
TJX COS INC
Common Stock
872540109
56762
1067958
SH
SOLE
955127
0
112831
STATE STREET CORP
Common Stock
857477103
56299
837037
SH
SOLE
625810
0
211227
YANDEX N V SHS CLASS A
Common Stock
N97284108
56192
1576648
SH
SOLE
1454680
0
121968
CORNING INC
Common Stock
219350105
55495
2528265
SH
SOLE
2002121
0
526144
ENERGY TRANSFER PRTNRS L P UNIT LTD PARTN
MLP
29273R109
55389
955470
SH
SOLE
925091
0
30379
ACE LTD
Common Stock
H0023R105
55339
533649
SH
SOLE
461159
0
72490
SALESFORCE.COM INC
Common Stock
79466L302
54934
945829
SH
SOLE
681319
0
264510
FREEPORT-MCMORAN COPPER & GOLD
Common Stock
35671D857
54799
1501355
SH
SOLE
1250605
0
250750
AMERISOURCEBERGEN CORP COM
Common Stock
03073E105
54694
752733
SH
SOLE
535817
0
216916
REGIONS FINANCIAL CORP
Common Stock
7591EP100
54536
5135258
SH
SOLE
4303793
0
831465
REYNOLDS AMERICAN INC
Common Stock
761713106
54166
897536
SH
SOLE
593602
0
303934
SANOFI AVENTIS SPONSORED ADR
ADR
80105N105
54138
1018207
SH
SOLE
664773
0
353434
PUBLIC SERVICE ENTERPRISE GROUP
Common Stock
744573106
53682
1316063
SH
SOLE
842269
0
473794
SOUTHERN CO/THE
Common Stock
842587107
53651
1182250
SH
SOLE
843181
0
339069
MARATHON PETROLEUM CORP
Common Stock
56585A102
53114
680339
SH
SOLE
544575
0
135764
GENERAL MOTORS CO
Common Stock
37045V100
53078
1462215
SH
SOLE
1006351
0
455864
COPA HOLDINGS SA-CLASS A
Common Stock
P31076105
53055
372134
SH
SOLE
342094
0
30040
CHUBB CORP/THE
Common Stock
171232101
53044
575497
SH
SOLE
473715
0
101782
NATIONAL OILWELL VARCO INC
Common Stock
637071101
52797
641125
SH
SOLE
573730
0
67395
SUNTRUST BANKS INC
Common Stock
867914103
52638
1313972
SH
SOLE
1116751
0
197221
ARCHER-DANIELS-MIDLAND CO
Common Stock
039483102
52418
1188341
SH
SOLE
968971
0
219370
NORFOLK SOUTHERN CORP
Common Stock
655844108
52218
506824
SH
SOLE
440280
0
66544
CROWN CASTLE INTERNATIONAL COR
REIT
228227104
52091
701470
SH
SOLE
605059
0
96411
BLACKROCK INC
Common Stock
09247X101
52085
162970
SH
SOLE
136593
0
26377
APACHE CORP
Common Stock
037411105
50960
506460
SH
SOLE
393317
0
113143
ESTEE LAUDER COS INC/THE
Common Stock
518439104
49942
672533
SH
SOLE
510829
0
161704
LINCOLN NATIONAL CORP
Common Stock
534187109
49310
958600
SH
SOLE
706103
0
252497
FIFTH THIRD BANCORP
Common Stock
316773100
49262
2307363
SH
SOLE
2000165
0
307198
DEERE & CO
Common Stock
244199105
49253
543927
SH
SOLE
438874
0
105053
MCGRAW HILL FINANCIAL INC
Common Stock
580645109
49123
591632
SH
SOLE
526932
0
64700
AIR PRODUCTS & CHEMICALS INC
Common Stock
009158106
48615
377975
SH
SOLE
332316
0
45659
DELTA AIR LINES INC
Common Stock
247361702
48573
1254458
SH
SOLE
1027825
0
226633
HUMANA INC
Common Stock
444859102
48562
380225
SH
SOLE
275548
0
104677
AMERICAN ELECTRIC POWER CO INC
Common Stock
025537101
47990
860507
SH
SOLE
689017
0
171490
AMERICAN TOWER REIT INC
REIT
03027X100
47603
529044
SH
SOLE
479706
0
49338
AON PLC
Common Stock
G0408V102
47243
524402
SH
SOLE
435855
0
88547
AFLAC INC
Common Stock
001055102
46976
754630
SH
SOLE
624933
0
129697
GENERAL MILLS INC
Common Stock
370334104
46462
884323
SH
SOLE
633366
0
250957
ACTAVIS PLC
Common Stock
G0083B108
46268
207432
SH
SOLE
195699
0
11733
STERICYCLE INC
Common Stock
858912108
46235
390431
SH
SOLE
213114
0
177317
LIBERTY INTERACTIVE CORP
Common Stock
53071M104
46163
1572325
SH
SOLE
1284110
0
288215
HARTFORD FINANCIAL SERVICES GR
Common Stock
416515104
46161
1289048
SH
SOLE
880664
0
408384
JOHNSON CONTROLS INC
Common Stock
478366107
46095
923185
SH
SOLE
821297
0
101888
BANCO BRADESCO-SPONSORED ADR
ADR
059460303
46071
3172959
SH
SOLE
2819621
0
353338
TOTAL S A SPONSORED ADR
ADR
89151E109
45461
629650
SH
SOLE
488734
0
140916
NOVO-NORDISK A S ADR
ADR
670100205
45412
983156
SH
SOLE
864646
0
118510
KEYCORP
Common Stock
493267108
45308
3161759
SH
SOLE
2674815
0
486944
INTUIT INC
Common Stock
461202103
44810
556438
SH
SOLE
466293
0
90145
TOYOTA MOTOR CORP SP ADR REP2COM
ADR
892331307
44808
374462
SH
SOLE
218801
0
155661
PRECISION CASTPARTS CORP
Common Stock
740189105
44736
177244
SH
SOLE
160890
0
16354
ANHEUSER-BUSCH INBEV N.V.
ADR
03524A108
44714
389016
SH
SOLE
325381
0
63635
CSX CORP
Common Stock
126408103
44564
1446428
SH
SOLE
1251171
0
195257
INTERCONTINENTAL EXCHANGE INC
Common Stock
45866F104
44521
235684
SH
SOLE
197173
0
38511
HARLEY-DAVIDSON INC
Common Stock
412822108
44511
637235
SH
SOLE
508309
0
128926
EATON CORP PLC
Common Stock
G29183103
44241
573223
SH
SOLE
498298
0
74925
BAKER HUGHES INC
Common Stock
057224107
44172
593307
SH
SOLE
511724
0
81583
DEVON ENERGY CORP
Common Stock
25179M103
43949
553519
SH
SOLE
467976
0
85543
BANCOLOMBIA S A SPON ADR PREF
ADR
05968L102
42810
740656
SH
SOLE
691907
0
48749
CHESAPEAKE ENERGY CORP
Common Stock
165167107
42619
1371276
SH
SOLE
1092904
0
278372
YAHOO! INC
Common Stock
984332106
42490
1209512
SH
SOLE
1072235
0
137277
ENTERGY CORP
Common Stock
29364G103
42476
517438
SH
SOLE
337361
0
180077
GENWORTH FINANCIAL INC
Common Stock
37247D106
42458
2440111
SH
SOLE
1708469
0
731642
EXELON CORP
Common Stock
30161N101
42351
1160933
SH
SOLE
878580
0
282353
BB&T CORP
Common Stock
054937107
42337
1073718
SH
SOLE
883115
0
190603
BP PLC SPONSORED ADR
ADR
055622104
41983
795885
SH
SOLE
644563
0
151322
MARKWEST EMERGY PARTNERS LP
MLP
570759100
41809
584088
SH
SOLE
541934
0
42154
ILLINOIS TOOL WORKS INC
Common Stock
452308109
41485
473788
SH
SOLE
422080
0
51708
HSBC HLDGS PLC-SPON ADR
ADR
404280406
41212
811259
SH
SOLE
629561
0
181698
CTRIP COM INTL LTD ADR
ADR
22943F100
41053
641046
SH
SOLE
618270
0
22776
CANADIAN PACIFIC RAILWAY LTD
Common Stock
13645T100
40818
225337
SH
SOLE
160213
0
65124
TYSON FOODS INC
Common Stock
902494103
40727
1084886
SH
SOLE
720604
0
364282
PENTAIR PLC
Common Stock
G7S00T104
40007
554734
SH
SOLE
435827
0
118907
BOSTON SCIENTIFIC CORP
Common Stock
101137107
39945
3128029
SH
SOLE
2108144
0
1019885
CARDINAL HEALTH INC
Common Stock
14149Y108
39914
582170
SH
SOLE
502903
0
79267
FLUOR CORP
Common Stock
343412102
39674
515923
SH
SOLE
344689
0
171234
ALEXION PHARMACEUTICALS INC
Common Stock
015351109
39663
253846
SH
SOLE
203797
0
50049
PARKER HANNIFIN CORP
Common Stock
701094104
39498
314151
SH
SOLE
263316
0
50835
SEMPRA ENERGY
Common Stock
816851109
39418
376451
SH
SOLE
300326
0
76125
STRYKER CORP
Common Stock
863667101
39380
467035
SH
SOLE
427857
0
39178
OMNICOM GROUP INC
Common Stock
681919106
39379
552920
SH
SOLE
457481
0
95439
SANDISK CORP
Common Stock
80004C101
39273
376074
SH
SOLE
357770
0
18304
SYSCO CORP
Common Stock
871829107
38605
1030839
SH
SOLE
798465
0
232374
FASTENAL CO
Common Stock
311900104
38582
779600
SH
SOLE
557707
0
221893
ROYAL DUTCH SHELL PLC SPONS ADR A
ADR
780259206
38512
467552
SH
SOLE
382235
0
85317
FRANKLIN RESOURCES INC
Common Stock
354613101
38322
662554
SH
SOLE
616611
0
45943
WASTE MANAGEMENT INC
Common Stock
94106L109
38110
852003
SH
SOLE
700245
0
151758
AMPHENOL CORP
Common Stock
032095101
38030
394751
SH
SOLE
255675
0
139076
WHOLE FOODS MARKET INC
Common Stock
966837106
37584
972934
SH
SOLE
601585
0
371349
HERSHEY CO/THE
Common Stock
427866108
37456
384678
SH
SOLE
210691
0
173987
NEW ORIENTAL ED & TECH SPON ADR
ADR
647581107
37224
1400961
SH
SOLE
1366210
0
34751
ICICI BK LTD ADR
ADR
45104G104
36702
735504
SH
SOLE
644739
0
90765
FOREST LABORATORIES INC
Common Stock
345838106
36683
370539
SH
SOLE
284603
0
85936
WHIRLPOOL CORP
Common Stock
963320106
36017
258703
SH
SOLE
194896
0
63807
FMC TECHNOLOGIES INC
Common Stock
30249U101
35911
588026
SH
SOLE
390423
0
197603
BECTON DICKINSON AND CO
Common Stock
075887109
35743
302139
SH
SOLE
247739
0
54400
PUBLIC STORAGE INC COM REIT
REIT
74460D109
35738
208566
SH
SOLE
170534
0
38032
SPECTRA ENERGY CORP
Common Stock
847560109
35560
837104
SH
SOLE
770092
0
67012
SOUTHWEST AIRLINES CO
Common Stock
844741108
35496
1321519
SH
SOLE
1007897
0
313622
L-3 COMMUNICATIONS HOLDINGS IN
Common Stock
502424104
35363
292859
SH
SOLE
207230
0
85629
VANGUARD FTSE EMERGING MARKETS
ETP
922042858
35356
819745
SH
SOLE
819037
0
708
DAVITA HEALTHCARE PARTNERS INC
Common Stock
23918K108
35076
485013
SH
SOLE
331593
0
153420
INTERNATIONAL PAPER CO
Common Stock
460146103
34762
688766
SH
SOLE
582463
0
106303
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR
ADR
71654V408
34528
2360102
SH
SOLE
2345655
0
14447
VF CORP
Common Stock
918204108
34169
542363
SH
SOLE
445258
0
97105
SEAGATE TECHNOLOGY PLC
Common Stock
G7945M107
34012
598599
SH
SOLE
418717
0
179882
MARSH & MCLENNAN COS INC
Common Stock
571748102
33971
655550
SH
SOLE
614709
0
40841
INTUITIVE SURGICAL INC COM NEW
Common Stock
46120E602
33803
82087
SH
SOLE
54544
0
27543
GRUPO TELEVISA SA DE CV SP ADR REP ORD
ADR
40049J206
33583
978823
SH
SOLE
978240
0
583
GAP INC/THE
Common Stock
364760108
33491
805643
SH
SOLE
691678
0
113965
T ROWE PRICE GROUP INC
Common Stock
74144T108
32960
390473
SH
SOLE
340320
0
50153
INVESCO LTD
Common Stock
G491BT108
32571
862799
SH
SOLE
826351
0
36448
UNUM GROUP
Common Stock
91529Y106
32550
936430
SH
SOLE
709972
0
226458
XEROX CORP
Common Stock
984121103
32291
2595717
SH
SOLE
1857602
0
738115
GENUINE PARTS CO
Common Stock
372460105
32274
367591
SH
SOLE
317017
0
50574
BRITISH AMERN TOB PLC SPONSORED ADR
ADR
110448107
32130
269818
SH
SOLE
184736
0
85082
NORDSTROM INC
Common Stock
655664100
31889
469442
SH
SOLE
426109
0
43333
SAFEWAY INC
Common Stock
786514208
31821
926655
SH
SOLE
600982
0
325673
TYCO INTERNATIONAL LTD
Common Stock
H89128104
31544
691763
SH
SOLE
517438
0
174325
ALLIANCE DATA SYSTEMS CORP
Common Stock
018581108
31468
111885
SH
SOLE
94021
0
17864
BUCKEYE PARTNERS L P UNIT LTD PARTN
MLP
118230101
31455
378708
SH
SOLE
366862
0
11846
ZIMMER HOLDINGS INC
Common Stock
98956P102
31433
302647
SH
SOLE
235528
0
67119
NISOURCE INC
Common Stock
65473P105
31394
798006
SH
SOLE
700537
0
97469
M&T BANK CORP
Common Stock
55261F104
31233
251780
SH
SOLE
214170
0
37610
ANALOG DEVICES INC
Common Stock
032654105
31221
577413
SH
SOLE
536216
0
41197
HCA HOLDINGS INC
Common Stock
40412C101
31201
553397
SH
SOLE
413527
0
139870
NETFLIX INC
Common Stock
64110L106
31138
70672
SH
SOLE
65690
0
4982
RITE AID CORP COM
Common Stock
767754104
31030
4327736
SH
SOLE
2375502
0
1952234
PROGRESSIVE CORP/THE
Common Stock
743315103
30931
1219663
SH
SOLE
985346
0
234317
MURPHY OIL CORP
Common Stock
626717102
30887
464605
SH
SOLE
380723
0
83882
GLAXOSMITHKLINE PLC SPONSORED ADR
ADR
37733W105
30641
572939
SH
SOLE
518959
0
53980
COCA-COLA ENTERPRISES INC
Common Stock
19122T109
30587
640164
SH
SOLE
513994
0
126170
CLOROX CO/THE
Common Stock
189054109
30467
333341
SH
SOLE
227045
0
106296
FIRST TRUST ETF II UTILITIES ALPH
ETP
33734X184
30445
1276596
SH
SOLE
1276596
0
0
PIONEER NATURAL RESOURCES CO
Common Stock
723787107
30345
132046
SH
SOLE
124424
0
7622
FIRST TRUST ENERGY ALPHADEX FUND
ETP
33734X127
30199
1031298
SH
SOLE
1031298
0
0
BASF A G ADR NEW
ADR
055262505
30160
258886
SH
SOLE
216874
0
42012
PARTNERRE LTD
Common Stock
G6852T105
30157
276134
SH
SOLE
181159
0
94975
FIRST TRUST ETF II HLTH CARE ALPH
ETP
33734X143
29799
559661
SH
SOLE
559661
0
0
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR
ADR
71654V101
29718
1900142
SH
SOLE
1586528
0
313614
FIRST TRUST TECHNOLOGY ALPHA ETF
ETP
33734X176
29609
910943
SH
SOLE
910943
0
0
ST JUDE MEDICAL INC
Common Stock
790849103
29581
427161
SH
SOLE
362734
0
64427
FIRST TRUST ETF II CONSUMR STAPLE
ETP
33734X119
29488
741084
SH
SOLE
741084
0
0
FIRST TRUST ETF II FINLS ALPHADEX
ETP
33734X135
29485
1325226
SH
SOLE
1325226
0
0
PALL CORP
Common Stock
696429307
29424
344589
SH
SOLE
247554
0
97035
SIEMENS A G SPONSORED ADR
ADR
826197501
29403
222431
SH
SOLE
154747
0
67684
FIRST TRUST ETF II MATERIALS ALPH
ETP
33734X168
29396
861219
SH
SOLE
861219
0
0
FIRST TRUST ETF II INDLS PROD DUR
ETP
33734X150
29112
954660
SH
SOLE
954660
0
0
ALCOA INC
Common Stock
013817101
29008
1948181
SH
SOLE
1390322
0
557859
AUTOZONE INC
Common Stock
053332102
28951
53988
SH
SOLE
44938
0
9050
CONSOLIDATED EDISON INC
Common Stock
209115104
28861
499849
SH
SOLE
271418
0
228431
FIDELITY NATIONAL INFORMATION
Common Stock
31620M106
28816
526419
SH
SOLE
498387
0
28032
SK TELECOM LTD SPONSORED ADR
ADR
78440P108
28761
1108760
SH
SOLE
758635
0
350125
VIMPELCO-SP ADR
ADR
92719A106
28559
3399874
SH
SOLE
3284306
0
115568
CAMERON INTERNATIONAL CORP
Common Stock
13342B105
28552
421678
SH
SOLE
383735
0
37943
MOTOROLA SOLUTIONS INC
Common Stock
620076307
28531
428591
SH
SOLE
345330
0
83261
KELLOGG CO
Common Stock
487836108
28353
431555
SH
SOLE
290837
0
140718
PRINCIPAL FINANCIAL GROUP INC
Common Stock
74251V102
28222
559075
SH
SOLE
468234
0
90841
PACCAR INC
Common Stock
693718108
28129
447701
SH
SOLE
370902
0
76799
CHIPOTLE MEXICAN GRILL INC
Common Stock
169656105
28036
47317
SH
SOLE
39040
0
8277
FLOWSERVE CORP
Common Stock
34354P105
28021
376886
SH
SOLE
287193
0
89693
AFFILIATED MANAGERS GROUP
Common Stock
008252108
28001
136324
SH
SOLE
124257
0
12067
ONEOK PARTNERS LP UNIT LTD PARTN
MLP
68268N103
27876
475696
SH
SOLE
460810
0
14886
CME GROUP INC
Common Stock
12572Q105
27819
392093
SH
SOLE
339976
0
52117
KANSAS CITY SOUTHERN
Common Stock
485170302
27817
258742
SH
SOLE
202049
0
56693
ASSURANT INC
Common Stock
04621X108
27794
424017
SH
SOLE
315372
0
108645
AES CORP/THE
Common Stock
00130H105
27794
1787407
SH
SOLE
1504679
0
282728
DTE ENERGY CO
Common Stock
233331107
27775
356684
SH
SOLE
214351
0
142333
NORTHEAST UTILITIES
Common Stock
664397106
27682
585619
SH
SOLE
327778
0
257841
FOMENTO ECONOMICO MEXICANO S SPON ADR UNIT
ADR
344419106
27614
294868
SH
SOLE
294569
0
299
BEST BUY CO INC
Common Stock
086516101
27499
886777
SH
SOLE
587866
0
298911
SOUTHWESTERN ENERGY CO
Common Stock
845467109
27452
603472
SH
SOLE
516111
0
87361
BAYER A G SPONSORED ADR
ADR
072730302
27427
194143
SH
SOLE
131897
0
62246
NRG ENERGY INC
Common Stock
629377508
27326
734565
SH
SOLE
574381
0
160184
INGERSOLL-RAND PLC
Common Stock
G47791101
27065
432977
SH
SOLE
378034
0
54943
STARWOOD HOTELS & RESORTS WORL
Common Stock
85590A401
27034
334494
SH
SOLE
249944
0
84550
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR
ADR
874039100
26871
1256231
SH
SOLE
847863
0
408368
SAP AKTIENGESELLSCHAFT SPONSORED ADR
ADR
803054204
26748
347383
SH
SOLE
207515
0
139868
LEAR CORP
Common Stock
521865204
26737
299334
SH
SOLE
230575
0
68759
ENBRIDGE ENERGY PRTNRS COM
MLP
29250R106
26726
723691
SH
SOLE
700825
0
22866
DOVER CORP
Common Stock
260003108
26709
293671
SH
SOLE
257878
0
35793
STANLEY BLACK & DECKER INC
Common Stock
854502101
26612
303030
SH
SOLE
279609
0
23421
HELMERICH & PAYNE INC
Common Stock
423452101
26568
228821
SH
SOLE
180280
0
48541
TEVA PHARMACEUTICAL-SP ADR
ADR
881624209
26547
506432
SH
SOLE
466480
0
39952
EVEREST RE GROUP LTD
Common Stock
G3223R108
26480
164995
SH
SOLE
94423
0
70572
CMS ENERGY CORP
Common Stock
125896100
26418
848088
SH
SOLE
725407
0
122681
SYMANTEC CORP
Common Stock
871503108
26403
1152977
SH
SOLE
853437
0
299540
CENTURYLINK INC
Common Stock
156700106
26385
728862
SH
SOLE
612128
0
116734
CF INDUSTRIES HOLDINGS INC
Common Stock
125269100
26314
109398
SH
SOLE
90691
0
18707
BNP PARIBAS SPONSORED ADR
ADR
05565A202
26253
771569
SH
SOLE
481149
0
290420
L BRANDS INC
Common Stock
501797104
25935
442117
SH
SOLE
360009
0
82108
INGRAM MICRO INC
Common Stock
457153104
25898
886604
SH
SOLE
455806
0
430798
EASTMAN CHEMICAL CO
Common Stock
277432100
25880
296284
SH
SOLE
203368
0
92916
MARRIOTT INTERNATIONAL INC/DE
Common Stock
571903202
25820
402807
SH
SOLE
362680
0
40127
ISHARES BARCLAYS 1-3 YEAR CREDIT BOND ETF
ETP
464288646
25739
243560
SH
SOLE
243560
0
0
PROLOGIS INC REIT
REIT
74340W103
25631
623774
SH
SOLE
534582
0
89192
DIAGEO P L C SPON ADR NEW
ADR
25243Q205
25436
199858
SH
SOLE
183503
0
16355
AMBEV SA
ADR
02319V103
25343
3599873
SH
SOLE
3085811
0
514062
CTC MEDIA INC
Common Stock
12642X106
25166
2285781
SH
SOLE
2082927
0
202854
BANCO SANTANDER CHILE NEW SP ADR REP COM
ADR
05965X109
25126
949925
SH
SOLE
882544
0
67381
CONAGRA FOODS INC
Common Stock
205887102
25049
843966
SH
SOLE
612677
0
231289
COMPUTER SCIENCES CORP
Common Stock
205363104
24893
393879
SH
SOLE
241384
0
152495
TELECOM ARGENTINA STET FRANCE TELECOM ADR
ADR
879273209
24815
1053726
SH
SOLE
970605
0
83121
GANNETT CO INC
Common Stock
364730101
24807
792310
SH
SOLE
524624
0
267686
PITNEY BOWES INC
Common Stock
724479100
24767
896709
SH
SOLE
621484
0
275225
CORE LABORATORIES N.V.
Common Stock
N22717107
24680
147730
SH
SOLE
79513
0
68217
BORGWARNER INC
Common Stock
099724106
24527
376235
SH
SOLE
356528
0
19707
AGILENT TECHNOLOGIES INC
Common Stock
00846U101
24247
422128
SH
SOLE
371586
0
50542
KINDER MORGAN INC DELAWARE
Common Stock
49456B101
24111
664943
SH
SOLE
546063
0
118880
HOST HOTELS & RESORTS INC REIT
REIT
44107P104
24109
1095383
SH
SOLE
970688
0
124695
WEYERHAEUSER CO REIT
REIT
962166104
24099
728285
SH
SOLE
548718
0
179567
GOODYEAR TIRE & RUBBER CO/THE
Common Stock
382550101
23988
863498
SH
SOLE
652023
0
211475
HENRY SCHEIN INC
Common Stock
806407102
23924
201624
SH
SOLE
185635
0
15989
NIELSEN NV
Common Stock
N63218106
23745
490501
SH
SOLE
347024
0
143477
MOODY'S CORP
Common Stock
615369105
23656
269860
SH
SOLE
257494
0
12366
MATTEL INC
Common Stock
577081102
23593
605425
SH
SOLE
495283
0
110142
AMDOCS LTD
Common Stock
G02602103
23584
509050
SH
SOLE
348885
0
160165
COMPANIA DE MINAS BUENAVENTU SPONSORED ADR
ADR
204448104
23561
1994979
SH
SOLE
1886983
0
107996
DELPHI AUTOMOTIVE PLC SHS
Common Stock
G27823106
23459
341277
SH
SOLE
276495
0
64782
CHURCH & DWIGHT CO INC
Common Stock
171340102
23449
335232
SH
SOLE
188297
0
146935
NUCOR CORP
Common Stock
670346105
23441
475960
SH
SOLE
428973
0
46987
MARVELL TECHNOLOGY GROUP LTD
Common Stock
G5876H105
23332
1628214
SH
SOLE
1594460
0
33754
PPL CORP
Common Stock
69351T106
23313
656147
SH
SOLE
600226
0
55921
COVANCE INC
Common Stock
222816100
23248
271655
SH
SOLE
168998
0
102657
ELECTRONIC ARTS INC
Common Stock
285512109
23230
647607
SH
SOLE
489150
0
158457
FRONTIER COMMUNICATIONS CORP
Common Stock
35906A108
22980
3934987
SH
SOLE
3244276
0
690711
TE CONNECTIVITY LTD
Common Stock
H84989104
22958
371253
SH
SOLE
298161
0
73092
MYLAN INC/PA
Common Stock
628530107
22718
440614
SH
SOLE
410899
0
29715
PG&E CORP
Common Stock
69331C108
22716
473060
SH
SOLE
372590
0
100470
ALLIANZ AKTIENGESELLSCHAFT SP ADR 1/10 SH
ADR
018805101
22700
1352065
SH
SOLE
1242136
0
109929
FISERV INC
Common Stock
337738108
22687
376109
SH
SOLE
350948
0
25161
WYNN RESORTS LTD
Common Stock
983134107
22675
109245
SH
SOLE
85347
0
23898
EQUITY RESIDENTIAL SH BEN INT REIT
REIT
29476L107
22625
359119
SH
SOLE
309577
0
49542
KOHL'S CORP
Common Stock
500255104
22555
428142
SH
SOLE
265017
0
163125
CONSTELLATION BRANDS INC
Common Stock
21036P108
22424
254442
SH
SOLE
206207
0
48235
TORCHMARK CORP
Common Stock
891027104
22344
272752
SH
SOLE
237672
0
35080
AMEREN CORP
Common Stock
023608102
22337
546409
SH
SOLE
457320
0
89089
WISCONSIN ENERGY CORP
Common Stock
976657106
22236
473919
SH
SOLE
206601
0
267318
LABORATORY CORP OF AMERICA HOL
Common Stock
50540R409
22233
217121
SH
SOLE
83706
0
133415
EATON VANCE RISK MANAGED DIV EQUITY INCOME
Closed-End Fund
27829G106
22201
1923871
SH
SOLE
1674099
0
249772
ANSYS INC
Common Stock
03662Q105
22155
292203
SH
SOLE
213390
0
78813
WYNDHAM WORLDWIDE CORP
Common Stock
98310W108
22137
292352
SH
SOLE
234963
0
57389
RENAISSANCERE HOLDINGS LTD
Common Stock
G7496G103
22117
206699
SH
SOLE
58254
0
148445
MERCADOLIBRE INC
Common Stock
58733R102
22089
231536
SH
SOLE
213220
0
18316
JUNIPER NETWORKS INC
Common Stock
48203R104
21983
895806
SH
SOLE
716773
0
179033
WW GRAINGER INC
Common Stock
384802104
21914
86182
SH
SOLE
79090
0
7092
ALLIANCEBERNSTEIN INC COM
Closed-End Fund
01881E101
21896
2911682
SH
SOLE
2586587
0
325095
VORNADO REALTY TRUST REIT
REIT
929042109
21868
204888
SH
SOLE
179602
0
25286
BARCLAYS PLC ADR
ADR
06738E204
21724
1486899
SH
SOLE
868143
0
618756
TIFFANY & CO
Common Stock
886547108
21650
215958
SH
SOLE
198419
0
17539
ROCKWELL AUTOMATION INC
Common Stock
773903109
21646
172947
SH
SOLE
153311
0
19636
ENERSIS S A SPONSORED ADR
ADR
29274F104
21561
1279586
SH
SOLE
1165315
0
114271
LINN ENERGY LLC UNIT LTD LIAB
MLP
536020100
21484
664124
SH
SOLE
641968
0
22156
VERISIGN INC
Common Stock
92343E102
21450
439461
SH
SOLE
410749
0
28712
HORMEL FOODS CORP
Common Stock
440452100
21428
434200
SH
SOLE
145416
0
288784
UBS AG NAMEN AKT
Common Stock
H89231338
21420
1169239
SH
SOLE
579791
0
589448
SHERWIN-WILLIAMS CO/THE
Common Stock
824348106
21419
103516
SH
SOLE
97598
0
5918
COMMUNITY HEALTH SYSTEMS INC
Common Stock
203668108
21272
468866
SH
SOLE
317579
0
151287
UNILEVER N V N Y SHS NEW
NY Reg Shrs
904784709
21257
485774
SH
SOLE
283160
0
202614
BUNGE LTD
Common Stock
G16962105
21179
279998
SH
SOLE
199125
0
80873
COHEN&STEERS SEL UTIL COM
Closed-End Fund
19248A109
21179
864795
SH
SOLE
768566
0
96229
PERRIGO CO PLC ORDINARY
Common Stock
G97822103
21139
145024
SH
SOLE
114437
0
30587
CARNIVAL CORP
Common Stock
143658300
21062
559413
SH
SOLE
538593
0
20820
PETROBRAS ENERGIA S.A.
ADR
71646J109
21056
3239385
SH
SOLE
3067581
0
171804
TWENTY-FIRST CENTURY FOX-B
Common Stock
90130A200
21037
614588
SH
SOLE
402080
0
212508
SCHNEIDER ELECT SA - UNSP ADR
ADR
80687P106
21033
1118780
SH
SOLE
691290
0
427490
LOEWS CORP
Common Stock
540424108
20966
476386
SH
SOLE
414047
0
62339
REGENERON PHARMACEUTICALS
Common Stock
75886F107
20926
74083
SH
SOLE
62919
0
11164
HARMAN INTERNATIONAL INDUSTRIE
Common Stock
413086109
20909
194630
SH
SOLE
167469
0
27161
BG PLC ADR FIN INST N
ADR
055434203
20883
978104
SH
SOLE
693659
0
284445
GAMESTOP CORP
Common Stock
36467W109
20767
513143
SH
SOLE
358938
0
154205
RIO TINTO PLC SPONSORED ADR
ADR
767204100
20663
380672
SH
SOLE
280268
0
100404
ROPER INDS INC NEW COM
Common Stock
776696106
20615
141190
SH
SOLE
129337
0
11853
BED BATH & BEYOND INC
Common Stock
075896100
20600
359018
SH
SOLE
305195
0
53823
CERNER CORP
Common Stock
156782104
20579
398980
SH
SOLE
302482
0
96498
HITACHI LIMITED ADR 10 COM
ADR
433578507
20416
278185
SH
SOLE
189873
0
88312
EQUINIX INC
Common Stock
29444U502
20398
97092
SH
SOLE
58234
0
38858
MANPOWER INC
Common Stock
56418H100
20272
238919
SH
SOLE
138679
0
100240
HCP INC REIT
REIT
40414L109
20261
489626
SH
SOLE
432453
0
57173
BT GROUP PLC ADR
ADR
05577E101
20243
308437
SH
SOLE
292504
0
15933
JM SMUCKER CO/THE
Common Stock
832696405
20229
189821
SH
SOLE
92153
0
97668
HUNTINGTON BANCSHARES INC/OH
Common Stock
446150104
20228
2120298
SH
SOLE
1685460
0
434838
FIRST SOLAR INC
Common Stock
336433107
20212
284441
SH
SOLE
231865
0
52576
AKZO NOBEL NV SPONSORED ADR
ADR
010199305
20162
808080
SH
SOLE
264537
0
543543
MAGNA INTERNATIONAL INC
Common Stock
559222401
20151
187015
SH
SOLE
186851
0
164
CHARTER COMMUNICATIONS INC
Common Stock
16117M305
20067
126702
SH
SOLE
72502
0
54200
UNITED RENTALS INC
Common Stock
911363109
20059
191530
SH
SOLE
149805
0
41725
SUMITOMO MITSUI FINL SPONSORED ADR
ADR
86562M209
20037
2365680
SH
SOLE
1689927
0
675753
COACH INC
Common Stock
189754104
20013
585342
SH
SOLE
549568
0
35774
DISCOVERY COMMUNICATIONS INC
Common Stock
25470F104
19875
267569
SH
SOLE
166004
0
101565
BHP BILLITON LTD SPONSORED ADR
ADR
088606108
19847
289948
SH
SOLE
260134
0
29814
PAYCHEX INC
Common Stock
704326107
19823
476964
SH
SOLE
416581
0
60383
COMMONWEALTH BANK AUS-SP ADR
ADR
202712600
19730
257904
SH
SOLE
237107
0
20797
LAS VEGAS SANDS CORP
Common Stock
517834107
19515
256031
SH
SOLE
235695
0
20336
ROYAL DUTCH SHELL PLC SPON ADR B
ADR
780259107
19487
223958
SH
SOLE
207402
0
16556
XL GROUP PLC
Common Stock
G98290102
19465
594699
SH
SOLE
516351
0
78348
WESTPAC BKG CORP SPONSORED ADR
ADR
961214301
19431
604949
SH
SOLE
546822
0
58127
ROSS STORES INC
Common Stock
778296103
19419
293646
SH
SOLE
233359
0
60287
MCCORMICK & CO INC/MD
Common Stock
579780206
19370
270566
SH
SOLE
107841
0
162725
EATON VANCE TAX MNG GB COM
Closed-End Fund
27829F108
19340
1865032
SH
SOLE
1609261
0
255771
LKQ CORP
Common Stock
501889208
19296
722949
SH
SOLE
691303
0
31646
XCEL ENERGY INC
Common Stock
98389B100
19284
598336
SH
SOLE
488943
0
109393
EMBRAER-EMPRESA BRASILEIRA D SP ADR PFD SH
ADR
29082A107
19266
528841
SH
SOLE
487214
0
41627
INTERPUBLIC GROUP OF COS INC/T
Common Stock
460690100
19241
986219
SH
SOLE
754383
0
231836
MARKEL CORP
Common Stock
570535104
19081
29103
SH
SOLE
21358
0
7745
BOSTON PROPERTIES INC REIT
REIT
101121101
19068
161350
SH
SOLE
142571
0
18779
REED ELSEVIER N V SPONSORED ADR
ADR
758204200
19002
413629
SH
SOLE
144577
0
269052
CIA VALE DO RIO DOCE - ADR
ADR
91912E105
18896
1428304
SH
SOLE
1369241
0
59063
ING GROUP N V SPONSORED ADR
ADR
456837103
18799
1340884
SH
SOLE
1271408
0
69476
AVIS BUDGET GROUP INC
Common Stock
053774105
18794
314861
SH
SOLE
198567
0
116294
CULLEN/FROST BANKERS INC
Common Stock
229899109
18701
235465
SH
SOLE
109679
0
125786
PROTECTIVE LIFE CORP
Common Stock
743674103
18649
268985
SH
SOLE
210382
0
58603
COMERICA INC
Common Stock
200340107
18592
370663
SH
SOLE
334241
0
36422
BROADCOM CORP
Common Stock
111320107
18577
500445
SH
SOLE
462594
0
37851
KDDI CORP - UNSP ADR
ADR
48667L106
18536
1215495
SH
SOLE
552438
0
663057
HEALTH CARE REIT INC COM
REIT
42217K106
18512
295390
SH
SOLE
256618
0
38772
WINDSTREAM HOLDINGS INC
Common Stock
97382A101
18488
1856196
SH
SOLE
1545664
0
310532
CINCINNATI FINANCIAL CORP
Common Stock
172062101
18466
384392
SH
SOLE
304924
0
79468
SUNEDISON INC
Common Stock
86732Y109
18457
816688
SH
SOLE
582225
0
234463
VERTEX PHARMACEUTICALS INC
Common Stock
92532F100
18359
193906
SH
SOLE
169638
0
24268
O'REILLY AUTOMOTIVE INC
Common Stock
67103H107
18351
121852
SH
SOLE
114622
0
7230
LEVEL 3 COMMUNICATIONS INC
Common Stock
52729N308
18325
417329
SH
SOLE
310933
0
106396
PEPCO HOLDINGS INC
Common Stock
713291102
18262
664553
SH
SOLE
572225
0
92328
MICROCHIP TECHNOLOGY INC
Common Stock
595017104
18260
374101
SH
SOLE
318395
0
55706
AUTODESK INC
Common Stock
052769106
18230
323342
SH
SOLE
229025
0
94317
BLACKROCK CREDIT ALLOCATION INCOME TRUST
Closed-End Fund
092508100
18134
1318804
SH
SOLE
1216023
0
102781
CA INC
Common Stock
12673P105
18079
629054
SH
SOLE
497095
0
131959
BANCO SANTANDER CENT HISPANO ADR
ADR
05964H105
18044
1731655
SH
SOLE
1590771
0
140884
HDFC BANK LTD ADR REPS 3 SHS
ADR
40415F101
18032
385144
SH
SOLE
314676
0
70468
QUEST DIAGNOSTICS INC/DE
Common Stock
74834L100
18025
307122
SH
SOLE
114387
0
192735
AGCO CORP
Common Stock
001084102
17946
319205
SH
SOLE
226820
0
92385
HERTZ GLOBAL HOLDINGS INC
Common Stock
42805T105
17833
636201
SH
SOLE
423428
0
212773
SSGA ACTIVE ETF TR MULT ASS RLRTN
ETP
78467V103
17747
573957
SH
SOLE
573957
0
0
TESLA MTRS INC COM
Common Stock
88160R101
17731
73859
SH
SOLE
67843
0
6016
AUSTRALIA&NEW ZEALAND BKG GR SPONSORED ADR
ADR
052528304
17726
563627
SH
SOLE
511819
0
51808
ROCKWELL COLLINS INC
Common Stock
774341101
17708
226617
SH
SOLE
200658
0
25959
AVALONBAY CMNTYS INC COM REIT
REIT
053484101
17708
124536
SH
SOLE
102271
0
22265
EATON VANCE TAX-MANAGED DIVE CLOSED-END
Closed-End Fund
27828N102
17705
1513213
SH
SOLE
1305512
0
207701
VODAFONE GROUP PLC NEW SPONSORED ADR
ADR
92857W308
17664
529023
SH
SOLE
366230
0
162793
SUNCOR ENERGY INC
Common Stock
867224107
17598
412805
SH
SOLE
359618
0
53187
OMNICARE INC
Common Stock
681904108
17571
263951
SH
SOLE
195791
0
68160
NEWS CORP
Common Stock
65249B109
17548
978158
SH
SOLE
924420
0
53738
NEWELL RUBBERMAID INC
Common Stock
651229106
17511
565057
SH
SOLE
460660
0
104397
BAYERISCHE MOTOREN WERKE A - ADR
ADR
072743206
17501
413733
SH
SOLE
403421
0
10312
MORNINGSTAR INC
Common Stock
617700109
17353
241653
SH
SOLE
107264
0
134389
RR DONNELLEY & SONS CO
Common Stock
257867101
17324
1021467
SH
SOLE
602788
0
418679
VENTAS INC COM REIT
REIT
92276F100
17313
270095
SH
SOLE
229383
0
40712
BROWN-FORMAN CORP
Common Stock
115637209
17311
183825
SH
SOLE
154291
0
29534
HARRIS CORP
Common Stock
413875105
17287
228207
SH
SOLE
142612
0
85595
CABOT OIL & GAS CORP
Common Stock
127097103
17209
504083
SH
SOLE
370905
0
133178
DR PEPPER SNAPPLE GROUP INC
Common Stock
26138E109
17178
293232
SH
SOLE
217266
0
75966
WESTERN ASSET EMERGING MARKET
Closed-End Fund
95766A101
17160
933606
SH
SOLE
856737
0
76869
LLOYDS TSB GROUP PLC SPONSORED ADR
ADR
539439109
17157
3337880
SH
SOLE
1997569
0
1340311
SOCIEDAD QUIMICA MINERA DE C SPON ADR SER
ADR
833635105
17148
585071
SH
SOLE
550034
0
35037
FIRSTENERGY CORP
Common Stock
337932107
17112
492843
SH
SOLE
409789
0
83054
SYNGENTA AG SPONSORED ADR
ADR
87160A100
17102
228630
SH
SOLE
196953
0
31677
IDEXX LABORATORIES INC
Common Stock
45168D104
16999
127264
SH
SOLE
98425
0
28839
PRUDENTIAL PLC ADR
ADR
74435K204
16990
370313
SH
SOLE
291867
0
78446
MEADWESTVACO CORP
Common Stock
583334107
16911
382074
SH
SOLE
328805
0
53269
VARIAN MEDICAL SYSTEMS INC
Common Stock
92220P105
16906
203338
SH
SOLE
196098
0
7240
DBS GROUP HLDGS LTD SPONSORED ADR
ADR
23304Y100
16896
313186
SH
SOLE
302611
0
10575
EXELIS INC
Common Stock
30162A108
16873
993680
SH
SOLE
739735
0
253945
OWENS-ILLINOIS INC
Common Stock
690768403
16850
486437
SH
SOLE
315042
0
171395
TEXTRON INC
Common Stock
883203101
16850
440055
SH
SOLE
377732
0
62323
CIA VALE DO RIO DOCE - PRFD ADR
ADR
91912E204
16808
1412420
SH
SOLE
1185737
0
226683
NETAPP INC
Common Stock
64110D104
16792
459804
SH
SOLE
387326
0
72478
ZURICH INSURANCE GROUP AG
ADR
989825104
16660
553497
SH
SOLE
321776
0
231721
ARROW ELECTRONICS INC
Common Stock
042735100
16644
275518
SH
SOLE
157855
0
117663
GIVAUDAN - UNSPONS ADR
ADR
37636P108
16643
499348
SH
SOLE
209393
0
289955
CALAMOS CVT AND HIGH INCOME
Closed-End Fund
12811P108
16624
1123220
SH
SOLE
998744
0
124476
E*TRADE FINANCIAL CORP
Common Stock
269246401
16575
779618
SH
SOLE
574267
0
205351
KIRBY CORP
Common Stock
497266106
16547
141259
SH
SOLE
131664
0
9595
MOLSON COORS BREWING CO
Common Stock
60871R209
16535
222962
SH
SOLE
147515
0
75447
BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR
ADR
05946K101
16461
1289074
SH
SOLE
1157651
0
131423
NEXPOINT CREDIT STRATEGIES FUN
Closed-End Fund
65340G106
16269
1347918
SH
SOLE
1211704
0
136214
ALASKA AIR GROUP INC
Common Stock
011659109
16258
171042
SH
SOLE
88330
0
82712
TESORO CORP
Common Stock
881609101
16226
276565
SH
SOLE
201193
0
75372
CBRE GROUP INC
Common Stock
12504L109
16179
504959
SH
SOLE
385113
0
119846
NEWFIELD EXPLORATION CO
Common Stock
651290108
16159
365581
SH
SOLE
285692
0
79889
REINSURANCE GROUP OF AMERICA I
Common Stock
759351604
16125
204372
SH
SOLE
162518
0
41854
ALPINE TTL DYNAMIC DVD COM SBI
Closed-End Fund
021060207
16109
1805997
SH
SOLE
1635072
0
170925
OSHKOSH CORP
Common Stock
688239201
16105
290026
SH
SOLE
229606
0
60420
ERICSSON L M TEL CO ADR B SEK 10
ADR
294821608
16084
1331456
SH
SOLE
1098858
0
232598
WPX ENERGY INC
Common Stock
98212B103
16016
669848
SH
SOLE
472905
0
196943
LEXMARK INTERNATIONAL INC
Common Stock
529771107
16002
332276
SH
SOLE
214009
0
118267
NUVEEN PREMIUM INC MUNI FD 2
Closed-End Fund
67063W102
16001
1156106
SH
SOLE
1042401
0
113705
SUPERVALU INC
Common Stock
868536103
15952
1940643
SH
SOLE
1141290
0
799353
EQUIFAX INC COM
Common Stock
294429105
15938
219708
SH
SOLE
200244
0
19464
NATIONAL GRID TRANSCO PLC SPON ADR NEW
ADR
636274300
15893
213670
SH
SOLE
188680
0
24990
ROBERT HALF INTERNATIONAL INC
Common Stock
770323103
15875
332540
SH
SOLE
261991
0
70549
AXA SPONSORED ADR
ADR
054536107
15863
661510
SH
SOLE
480416
0
181094
PACKAGING CORP OF AMERICA
Common Stock
695156109
15814
221206
SH
SOLE
170452
0
50754
LAM RESEARCH CORP
Common Stock
512807108
15654
231633
SH
SOLE
206667
0
24966
AGL RESOURCES INC
Common Stock
001204106
15650
284398
SH
SOLE
172761
0
111637
DILLARD'S INC
Common Stock
254067101
15594
133726
SH
SOLE
62170
0
71556
TRW AUTOMOTIVE HOLDINGS CORP
Common Stock
87264S106
15552
173729
SH
SOLE
107988
0
65741
NUVEEN QUALITY PREFERRED II
Closed-End Fund
67072C105
15514
1718100
SH
SOLE
1528361
0
189739
HERBALIFE LTD
Common Stock
G4412G101
15442
239259
SH
SOLE
201115
0
38144
NUVEEN MUNICIPAL OPPORTUNITY FUND INC
Closed-End Fund
670984103
15395
1091071
SH
SOLE
992240
0
98831
ASTRAZENECA PLC SPONSORED ADR
ADR
046353108
15373
206883
SH
SOLE
185942
0
20941
TRIP ADVISOR INC
Common Stock
896945201
15363
141387
SH
SOLE
124163
0
17224
VALEO SPONSORED ADR
ADR
919134304
15302
227715
SH
SOLE
225949
0
1766
ADVANCE AUTO PARTS INC
Common Stock
00751Y106
15261
113115
SH
SOLE
92996
0
20119
OGE ENERGY CORP
Common Stock
670837103
15257
390405
SH
SOLE
227207
0
163198
TECHNIP NEW SPONSORED ADR
ADR
878546209
15242
556168
SH
SOLE
241863
0
314305
VANGUARD S/T CORP BOND ETF
ETP
92206C409
15214
191276
SH
SOLE
191276
0
0
HANESBRANDS INC
Common Stock
410345102
15152
153925
SH
SOLE
127976
0
25949
EQT CORP
Common Stock
26884L109
15066
140931
SH
SOLE
124704
0
16227
RANGE RESOURCES CORP
Common Stock
75281A109
15036
172925
SH
SOLE
162040
0
10885
GENPACT LTD
Common Stock
G3922B107
14976
854287
SH
SOLE
475365
0
378922
HUDSON CITY BANCORP INC
Common Stock
443683107
14974
1523319
SH
SOLE
1331989
0
191330
BE AEROSPACE INC
Common Stock
073302101
14972
161879
SH
SOLE
138827
0
23052
AVERY DENNISON CORP
Common Stock
053611109
14960
291898
SH
SOLE
206538
0
85360
ARCOS DORADOS HLDNG IN SHS CLASS -A -
Common Stock
G0457F107
14958
1335563
SH
SOLE
1260263
0
75300
CENTERPOINT ENERGY INC
Common Stock
15189T107
14931
584625
SH
SOLE
479394
0
105231
KIMCO REALTY CORP COM REIT
REIT
49446R109
14921
649319
SH
SOLE
583901
0
65418
H&R BLOCK INC
Common Stock
093671105
14910
444820
SH
SOLE
400012
0
44808
MICHAEL KORS HLDGS LTD SHS
Common Stock
G60754101
14906
168144
SH
SOLE
145576
0
22568
HCC INSURANCE HOLDINGS INC
Common Stock
404132102
14873
303905
SH
SOLE
281258
0
22647
ORIX CORP SPONSORED ADR
ADR
686330101
14833
178622
SH
SOLE
174333
0
4289
HUNTINGTON INGLASS INDUSTRIES INC
Common Stock
446413106
14784
156297
SH
SOLE
127484
0
28813
DOLLAR GENERAL CORP
Common Stock
256677105
14782
257712
SH
SOLE
208525
0
49187
XILINX INC
Common Stock
983919101
14782
312441
SH
SOLE
264942
0
47499
NATL AUSTRALIA BANK LTD SPONSORED ADR
ADR
632525408
14778
954635
SH
SOLE
868061
0
86574
IDEX CORP
Common Stock
45167R104
14771
182951
SH
SOLE
167211
0
15740
KEURIG GREEN MOUNTAIN INC
Common Stock
49271M100
14740
118289
SH
SOLE
106537
0
11752
SEVEN & I HOLDINGS - UNSPONS ADR
ADR
81783H105
14736
174684
SH
SOLE
167159
0
7525
TENET HEALTHCARE CORP
Common Stock
88033G407
14706
313302
SH
SOLE
201644
0
111658
UNILEVER PLC SPON ADR NEW
ADR
904767704
14645
323228
SH
SOLE
283386
0
39842
HUNTSMAN CORP
Common Stock
447011107
14598
519511
SH
SOLE
301536
0
217975
SIGNET JEWELERS LTD
Common Stock
G81276100
14585
131885
SH
SOLE
119514
0
12371
CAREFUSION CORP
Common Stock
14170T101
14450
325821
SH
SOLE
232502
0
93319
WUXI PHARMATECH INC - ADR
ADR
929352102
14444
439561
SH
SOLE
418553
0
21008
ILLUMINA INC
Common Stock
452327109
14380
80542
SH
SOLE
74201
0
6341
CARMAX INC
Common Stock
143130102
14238
273763
SH
SOLE
256384
0
17379
ALLIANT TECHSYSTEMS INC
Common Stock
018804104
14235
106293
SH
SOLE
91236
0
15057
LINDE AG SPONSORED ADR LE
ADR
535223200
14151
666233
SH
SOLE
337749
0
328484
AKAMAI TECHNOLOGIES INC
Common Stock
00971T101
14079
230582
SH
SOLE
218285
0
12297
SCANA CORP
Common Stock
80589M102
14026
260658
SH
SOLE
135177
0
125481
DOLLAR TREE INC
Common Stock
256746108
13996
257002
SH
SOLE
227347
0
29655
CHENIERE ENERGY INC COM NEW
Common Stock
16411R208
13964
194749
SH
SOLE
136784
0
57965
THE MOSAIC CO COM
Common Stock
61945C103
13951
282120
SH
SOLE
230028
0
52092
CAMPBELL SOUP CO
Common Stock
134429109
13747
300078
SH
SOLE
218120
0
81958
COHEN & STEERS REIT & PR
Closed-End Fund
19247X100
13705
760105
SH
SOLE
675437
0
84668
FOSSIL GROUP INC
Common Stock
34988V106
13673
130820
SH
SOLE
72379
0
58441
UNIVERSAL HEALTH SERVICES INC
Common Stock
913903100
13638
142417
SH
SOLE
82347
0
60070
LIBERTY GLOBAL INC-SERIES C
Common Stock
G5480U120
13632
322188
SH
SOLE
307180
0
15008
SOFTBANK CORP ADR
ADR
83404D109
13623
362325
SH
SOLE
273142
0
89183
AVIVA PLC - SPON ADR
ADR
05382A104
13518
768064
SH
SOLE
416762
0
351302
AVNET INC
Common Stock
053807103
13488
304394
SH
SOLE
214769
0
89625
ZOETIS INC CL A
Common Stock
98978V103
13466
417299
SH
SOLE
308802
0
108497
ASML HLDG NV N Y SHS
NY Reg Shrs
N07059210
13463
144345
SH
SOLE
111145
0
33200
CINTAS CORP
Common Stock
172908105
13417
211165
SH
SOLE
172174
0
38991
EATON VANCE LTD DURATION FND
Closed-End Fund
27828H105
13366
857889
SH
SOLE
791161
0
66728
EXPEDIA INC
Common Stock
30212P303
13340
169372
SH
SOLE
147803
0
21569
WESTERN UNION CO/THE
Common Stock
959802109
13339
769266
SH
SOLE
688120
0
81146
CREDIT SUISSE GROUP SPONSORED ADR
ADR
225401108
13327
469769
SH
SOLE
328909
0
140860
HILLSHIRE BRANDS CO
Common Stock
432589109
13227
212317
SH
SOLE
125916
0
86401
CH ROBINSON WORLDWIDE INC
Common Stock
12541W209
13210
207083
SH
SOLE
195640
0
11443
MASCO CORP
Common Stock
574599106
13192
594219
SH
SOLE
465403
0
128816
INTEGRYS ENERGY GROUP INC
Common Stock
45822P105
13141
184743
SH
SOLE
154104
0
30639
SUNPOWER CORP
Common Stock
867652406
13044
318299
SH
SOLE
119122
0
199177
MITSUBISHI UFJ FINANCIAL GROUP
ADR
606822104
13032
2119030
SH
SOLE
1939069
0
179961
APOLLO EDUCATION GROUP INC
Common Stock
037604105
13020
416644
SH
SOLE
254958
0
161686
ACTIVISION BLIZZARD INC
Common Stock
00507V109
13007
583255
SH
SOLE
434943
0
148312
FANUC CORPORATION - UNPONS ADR
ADR
307305102
12975
450370
SH
SOLE
334396
0
115974
LEGGETT & PLATT INC
Common Stock
524660107
12889
376006
SH
SOLE
279755
0
96251
T-MOBILE US INC
Common Stock
872590104
12887
383316
SH
SOLE
311694
0
71622
NORTHERN TRUST CORP
Common Stock
665859104
12839
199952
SH
SOLE
169425
0
30527
RYDER SYSTEM INC
Common Stock
783549108
12780
145084
SH
SOLE
102741
0
42343
BROCADE COMMUNICATIONS SYSTEMS
Common Stock
111621306
12776
1388745
SH
SOLE
937129
0
451616
HONDA MOTOR LTD AMERN SHS
ADR
438128308
12774
365087
SH
SOLE
323242
0
41845
CITRIX SYSTEMS INC
Common Stock
177376100
12754
203898
SH
SOLE
185547
0
18351
HEALTH NET INC
Common Stock
42222G108
12709
305944
SH
SOLE
173085
0
132859
AUTOLIV INC
Common Stock
052800109
12661
118790
SH
SOLE
77880
0
40910
SBA COMMUNICATIONS CORP
Common Stock
78388J106
12637
123526
SH
SOLE
109613
0
13913
ARCH CAPITAL GROUP LTD
Common Stock
G0450A105
12637
219998
SH
SOLE
82455
0
137543
SYNOPSYS INC
Common Stock
871607107
12570
323813
SH
SOLE
276031
0
47782
BANCO MARCO SA SPON ADR B
ADR
05961W105
12564
348710
SH
SOLE
319067
0
29643
UNITED THERAPEUTICS CORP
Common Stock
91307C102
12547
141790
SH
SOLE
110005
0
31785
ENI S P A SPONSORED ADR
ADR
26874R108
12543
228475
SH
SOLE
208434
0
20041
COMPANHIA ENERGETICA SP ADR N-V PFD
ADR
204409601
12532
1568476
SH
SOLE
1423879
0
144597
MOBILE TELESYSTEMS OJSC SPONSORED ADR
ADR
607409109
12482
632306
SH
SOLE
593607
0
38699
SEALED AIR CORP
Common Stock
81211K100
12461
364672
SH
SOLE
214916
0
149756
FTI CONSULTING INC
Common Stock
302941109
12441
328962
SH
SOLE
301394
0
27568
NETEASE INC
ADR
64110W102
12383
158027
SH
SOLE
144212
0
13815
BLACKROCK ENHANCED DIVIDEND
Closed-End Fund
09251A104
12269
1462394
SH
SOLE
1315382
0
147012
AMETEK INC NEW COM
Common Stock
031100100
12263
234566
SH
SOLE
214768
0
19798
CORPORATE HIGH YIELD FUND INC
Closed-End Fund
09255P107
12255
997147
SH
SOLE
907624
0
89523
GT ADVANCED TECHNOLOGIES INC
Common Stock
36191U106
12201
655993
SH
SOLE
400555
0
255438
SHIN - ETSU CHEM - UNSPON ADR
ADR
824551105
12188
805569
SH
SOLE
376102
0
429467
ENERGIZER HOLDINGS INC
Common Stock
29266R108
12155
99605
SH
SOLE
48352
0
51253
HOSPIRA INC
Common Stock
441060100
12132
236165
SH
SOLE
142768
0
93397
AIR LIQUIDE ADR
ADR
009126202
12100
447665
SH
SOLE
418435
0
29230
LINKEDIN CORP COM CL A
Common Stock
53578A108
12085
70481
SH
SOLE
51729
0
18752
CALPINE CORP
Common Stock
131347304
12066
506748
SH
SOLE
441820
0
64928
ISHARES MSCI SOUTH KOREA IND
ETP
464286772
12065
185560
SH
SOLE
185560
0
0
DISH NETWORK CORP
Common Stock
25470M109
12060
185305
SH
SOLE
132291
0
53014
THE ADT CORPORATION COM
Common Stock
00101J106
12054
344978
SH
SOLE
282742
0
62236
SIGMA-ALDRICH CORP
Common Stock
826552101
12021
118458
SH
SOLE
112683
0
5775
NEWMONT MINING CORP
Common Stock
651639106
11979
470889
SH
SOLE
411888
0
59001
DENTSPLY INTERNATIONAL INC
Common Stock
249030107
11978
252969
SH
SOLE
236017
0
16952
VANGUARD FTSE DEV MARKET
ETP
921943858
11964
280908
SH
SOLE
280908
0
0
ANNALY MTG MGMT INC COM REIT
REIT
035710409
11952
1045655
SH
SOLE
691558
0
354097
APARTMENT INVT & MGMT CO -A REIT
REIT
03748R101
11875
367977
SH
SOLE
256149
0
111828
ONEOK INC
Common Stock
682680103
11850
174062
SH
SOLE
150839
0
23223
CARLISLE COS INC
Common Stock
142339100
11841
136696
SH
SOLE
123726
0
12970
ITT CORP
Common Stock
450911201
11819
245721
SH
SOLE
141179
0
104542
GARMIN LTD
Common Stock
H2906T109
11776
193361
SH
SOLE
156763
0
36598
CNOOC LTD SPONSORED ADR
ADR
126132109
11755
65565
SH
SOLE
26491
0
39074
KLA-TENCOR CORP
Common Stock
482480100
11677
160746
SH
SOLE
145893
0
14853
SL GREEN RLTY CORP COM REIT
REIT
78440X101
11558
105642
SH
SOLE
90385
0
15257
TELEFONICA S A SPONSORED ADR
ADR
879382208
11547
672892
SH
SOLE
624658
0
48234
ISHARES S&P US PREFERRED STOCK INDEX FUND
ETP
464288687
11541
289164
SH
SOLE
289164
0
0
RELIANCE STEEL & ALUMINUM CO
Common Stock
759509102
11538
156535
SH
SOLE
99959
0
56576
ADVANCED MICRO DEVICES INC
Common Stock
007903107
11517
2748665
SH
SOLE
2034367
0
714298
CHINA MOBILE HONG KONG LTD SPONSORED ADR
ADR
16941M109
11513
236847
SH
SOLE
105466
0
131381
EATON VANCE TAX-ADV DVD INC CLOSED-END
Closed-End Fund
27828G107
11507
555909
SH
SOLE
485553
0
70356
WELLS FARGO ADVANTAGE MULTI-SECTOR INCOME
Closed-End Fund
94987D101
11500
771829
SH
SOLE
709654
0
62175
FMC CORP
Common Stock
302491303
11465
161042
SH
SOLE
147655
0
13387
L OREAL CO ADR
ADR
502117203
11453
332246
SH
SOLE
253028
0
79218
NORDEA BANK SWEDEN AB SPON ADR
ADR
65557A206
11441
816026
SH
SOLE
587238
0
228788
NVIDIA CORP
Common Stock
67066G104
11363
612878
SH
SOLE
542905
0
69973
PEOPLE'S UNITED FINANCIAL INC
Common Stock
712704105
11340
747538
SH
SOLE
618625
0
128913
DAIMLER AG SPONSORED ADR
ADR
233825108
11309
120810
SH
SOLE
40806
0
80004
UNITED CONTINENTAL HOLDINGS IN
Common Stock
910047109
11291
274927
SH
SOLE
198136
0
76791
LINEAR TECHNOLOGY CORP
Common Stock
535678106
11289
239844
SH
SOLE
212930
0
26914
AIRGAS INC
Common Stock
009363102
11269
103474
SH
SOLE
92007
0
11467
ZIONS BANCORPORATION
Common Stock
989701107
11241
381454
SH
SOLE
295120
0
86334
WHITE MOUNTAINS INSURANCE GROU
Common Stock
G9618E107
11237
18469
SH
SOLE
6181
0
12288
AEGON N V ORD AMER REG
NY Reg Shrs
007924103
11228
1280261
SH
SOLE
1254146
0
26115
ISHARES CORE U.S. AGGREGATE BO
ETP
464287226
11214
102503
SH
SOLE
97391
0
5112
NAVIENT CORP
Common Stock
63938C108
11171
630757
SH
SOLE
587486
0
43271
PINNACLE WEST CAPITAL CORP
Common Stock
723484101
11136
192531
SH
SOLE
144711
0
47820
TATA MTRS LTD SPONSORED ADR
ADR
876568502
11093
283988
SH
SOLE
260019
0
23969
METTLER-TOLEDO INTERNATIONAL I
Common Stock
592688105
11074
43741
SH
SOLE
37519
0
6222
VANGUARD INDEX FDS REIT ETF
ETP
922908553
11038
147489
SH
SOLE
146810
0
679
JACOBS ENGINEERING GROUP INC
Common Stock
469814107
11027
206954
SH
SOLE
180034
0
26920
SABMILLER PLC SPONSORED ADR
ADR
78572M105
10979
187543
SH
SOLE
143232
0
44311
NOBLE CORP PLC
Common Stock
G65431101
10970
326871
SH
SOLE
287899
0
38972
OCEANEERING INTERNATIONAL INC
Common Stock
675232102
10964
140329
SH
SOLE
128861
0
11468
MDU RESOURCES GROUP INC
Common Stock
552690109
10963
312343
SH
SOLE
208754
0
103589
BHP BILLITON PLC SPONSORED ADR
ADR
05545E209
10937
167675
SH
SOLE
155105
0
12570
ALLIANT ENERGY CORP
Common Stock
018802108
10905
179176
SH
SOLE
136948
0
42228
AIA GROUP LTD SPONSORED ADR
ADR
001317205
10892
540821
SH
SOLE
512526
0
28295
AMERICAN FINANCIAL GROUP INC/O
Common Stock
025932104
10888
182806
SH
SOLE
131925
0
50881
INGREDION INC
Common Stock
457187102
10876
144938
SH
SOLE
74607
0
70331
MINDRAY MEDICAL INTERNATIONAL - ADR
ADR
602675100
10861
344804
SH
SOLE
318028
0
26776
BUNZL PLC - SPONS ADR
ADR
120738406
10859
388790
SH
SOLE
245177
0
143613
ISHARES IBOXX H/Y CORP BOND
ETP
464288513
10848
113948
SH
SOLE
113948
0
0
ITC HOLDINGS CORP
Common Stock
465685105
10821
296632
SH
SOLE
80295
0
216337
CR BARD INC
Common Stock
067383109
10820
75656
SH
SOLE
63615
0
12041
CAESARS ENTERTAINMENT IPO
Common Stock
127686103
10772
595812
SH
SOLE
306697
0
289115
GRUPO FINANCIERO GALICIA-ADR
ADR
399909100
10764
734716
SH
SOLE
675864
0
58852
MACERICH CO/THE REIT
REIT
554382101
10746
160988
SH
SOLE
122238
0
38750
LIFEPOINT HOSPITALS INC COM
Common Stock
53219L109
10731
172805
SH
SOLE
85084
0
87721
JOY GLOBAL INC COM
Common Stock
481165108
10719
174062
SH
SOLE
102841
0
71221
ALTERA CORP
Common Stock
021441100
10712
308176
SH
SOLE
268652
0
39524
ALLIED WORLD ASSURANCE CO HOLD
Common Stock
H01531104
10698
281377
SH
SOLE
209895
0
71482
FAIR ISAAC CORP
Common Stock
303250104
10676
167442
SH
SOLE
131673
0
35769
LEGG MASON INC
Common Stock
524901105
10644
207444
SH
SOLE
155407
0
52037
BALL CORP
Common Stock
058498106
10622
169465
SH
SOLE
135072
0
34393
HASBRO INC
Common Stock
418056107
10619
200165
SH
SOLE
159785
0
40380
NABORS INDUSTRIES LTD
Common Stock
G6359F103
10514
357992
SH
SOLE
331548
0
26444
NUVEEN DIV ADVANTAGE MUNICIPAL INCOME FUND
Closed-End Fund
67071L106
10507
742049
SH
SOLE
695177
0
46872
TWO HBRS INVT CORP COM
REIT
90187B101
10501
1001978
SH
SOLE
368886
0
633092
AXIS CAPITAL HOLDINGS LTD
Common Stock
G0692U109
10481
236704
SH
SOLE
165654
0
71050
DEUTSCHE POST AG
ADR
25157Y202
10468
289023
SH
SOLE
260320
0
28703
NISSAN MOTORS SPONSORED ADR
ADR
654744408
10456
551350
SH
SOLE
521691
0
29659
MOHAWK INDUSTRIES INC
Common Stock
608190104
10438
75449
SH
SOLE
59024
0
16425
DRYSHIPS INC
Common Stock
Y2109Q101
10437
3241315
SH
SOLE
3040715
0
200600
JB HUNT TRANSPORT SERVICES INC
Common Stock
445658107
10430
141364
SH
SOLE
135275
0
6089
TIMKEN CO
Common Stock
887389104
10428
153712
SH
SOLE
107217
0
46495
CIMAREX ENERGY CO
Common Stock
171798101
10419
72628
SH
SOLE
58079
0
14549
GASLOG LTD SHS
Common Stock
G37585109
10378
325422
SH
SOLE
312322
0
13100
PLUM CREEK TIMBER CO INC COM REIT
REIT
729251108
10337
229194
SH
SOLE
159922
0
69272
JONES LANG LASALLE INC
Common Stock
48020Q107
10332
81744
SH
SOLE
36945
0
44799
ENDO INTERNATIONAL PLC
Common Stock
G30401106
10295
147032
SH
SOLE
96641
0
50391
RED HAT INC
Common Stock
756577102
10267
185767
SH
SOLE
149858
0
35909
TECH DATA CORP
Common Stock
878237106
10266
164203
SH
SOLE
114748
0
49455
FOOT LOCKER INC
Common Stock
344849104
10260
202282
SH
SOLE
148426
0
53856
VISTEON CORP COM
Common Stock
92839U206
10245
105606
SH
SOLE
67778
0
37828
GDF SUEZ SPON ADR
ADR
36160B105
10176
367614
SH
SOLE
212343
0
155271
KOMATSU LTD SPON ADR NEW
ADR
500458401
10143
436636
SH
SOLE
279993
0
156643
UGI CORP
Common Stock
902681105
10138
200754
SH
SOLE
112488
0
88266
SWEDBANK AB ADR
ADR
870195104
10133
381224
SH
SOLE
356849
0
24375
URS CORP
Common Stock
903236107
10113
220560
SH
SOLE
173151
0
47409
EATON VANCE SHORT DUR DIV IN
Closed-End Fund
27828V104
10099
658327
SH
SOLE
592654
0
65673
NATIONAL INSTRUMENTS CORP
Common Stock
636518102
10047
310182
SH
SOLE
128782
0
181400
KOREA ELECTRIC PWR SPONSORED ADR
ADR
500631106
10039
545602
SH
SOLE
209419
0
336183
REPUBLIC SERVICES INC
Common Stock
760759100
10037
264346
SH
SOLE
235637
0
28709
F5 NETWORKS INC
Common Stock
315616102
9996
89700
SH
SOLE
79596
0
10104
BIOMARIN PHARMACEUTICAL INC
Common Stock
09061G101
9977
160373
SH
SOLE
151671
0
8702
SEI INVESTMENTS CO
Common Stock
784117103
9967
304156
SH
SOLE
303394
0
762
TW TELECOM INC
Common Stock
87311L104
9958
247035
SH
SOLE
234845
0
12190
LENNAR CORP
Common Stock
526057104
9920
236305
SH
SOLE
215130
0
21175
CHECK POINT SOFTWARE TECHNOLOG
Common Stock
M22465104
9878
147374
SH
SOLE
68013
0
79361
INTERNATIONAL CONSOLIDATED AIRLINES GRP
ADR
459348108
9861
311572
SH
SOLE
87373
0
224199
TERADATA CORP
Common Stock
88076W103
9826
244435
SH
SOLE
183151
0
61284
ISHARES BARCLAYS INTERM CREDIT BOND ETF
ETP
464288638
9780
88759
SH
SOLE
88759
0
0
RALPH LAUREN CORP
Common Stock
751212101
9763
60755
SH
SOLE
57255
0
3500
TOWERS WATSON & CO-CL A
Common Stock
891894107
9755
93594
SH
SOLE
69608
0
23986
INTERNATIONAL FLAVORS & FRAGRA
Common Stock
459506101
9701
93031
SH
SOLE
71797
0
21234
VERIFONE SYSTEMS INC
Common Stock
92342Y109
9693
263760
SH
SOLE
212260
0
51500
MGM RESORTS INTERNATIONAL
Common Stock
552953101
9663
366014
SH
SOLE
293123
0
72891
MONSTER BEVERAGE CORP
Common Stock
611740101
9657
135963
SH
SOLE
114559
0
21404
WILLIAMS-SONOMA INC
Common Stock
969904101
9607
133843
SH
SOLE
93954
0
39889
EXTERRAN HOLDINGS INC
Common Stock
30225X103
9591
213185
SH
SOLE
133569
0
79616
ESSEX PROPERTY TRUST INC REIT
REIT
297178105
9587
51849
SH
SOLE
41762
0
10087
KINDRED HEALTHCARE INC
Common Stock
494580103
9585
414950
SH
SOLE
245573
0
169377
MID-AMERICA APARTMENT COMM REIT
REIT
59522J103
9574
131063
SH
SOLE
61897
0
69166
PUTNAM MUNI OPPORTUNITIES TR
Closed-End Fund
746922103
9555
813214
SH
SOLE
749421
0
63793
ARM HLDGS PLC SPONSORED ADR
ADR
042068106
9525
210544
SH
SOLE
179302
0
31242
ASHLAND INC
Common Stock
044209104
9489
87266
SH
SOLE
64319
0
22947
BANCO SANTANDER BRAZIL S.A.
ADR
05967A107
9461
1367226
SH
SOLE
1244593
0
122633
GLOBAL PAYMENTS INC
Common Stock
37940X102
9457
129814
SH
SOLE
85643
0
44171
SPRINT CORP
Common Stock
85207U105
9448
1107668
SH
SOLE
1069835
0
37833
NORTHSTAR REALTY FINANCE COR REIT
REIT
66704R704
9444
562146
SH
SOLE
264990
0
297156
TOTAL SYSTEM SERVICES INC
Common Stock
891906109
9426
300098
SH
SOLE
251793
0
48305
CROWN HOLDINGS INC
Common Stock
228368106
9398
188872
SH
SOLE
118493
0
70379
MITSUBISHI ESTATE LTD ADR
ADR
606783207
9380
379123
SH
SOLE
351033
0
28090
ARCBEST CORP
Common Stock
03937C105
9376
215488
SH
SOLE
90294
0
125194
UNITED STATES COMMODITY INDE
ETP
911717106
9375
154655
SH
SOLE
154655
0
0
WPP GROUP PLC-SPONSORED ADR
ADR
92937A102
9348
85771
SH
SOLE
82425
0
3346
TRINITY INDUSTRIES INC
Common Stock
896522109
9335
213523
SH
SOLE
201607
0
11916
EXPEDITORS INTERNATIONAL OF WA
Common Stock
302130109
9323
211122
SH
SOLE
195458
0
15664
GENERAL GROWTH PPTYS INC NEW REIT
REIT
370023103
9319
395523
SH
SOLE
339534
0
55989
INTESA SANPAOLO-SPON ADR
ADR
46115H107
9253
500693
SH
SOLE
479350
0
21343
NUVEEN PREMIUM INCOME MUNICIPAL FUND
Closed-End Fund
67062T100
9250
680652
SH
SOLE
623613
0
57039
UNITED OVERSEAS BK LTD SPONSORED ADR
ADR
911271302
9246
255480
SH
SOLE
202431
0
53049
NOKIA CORP SPONSORED ADR
ADR
654902204
9223
1219941
SH
SOLE
1182786
0
37155
GRAHAM HOLDINGS CO
Common Stock
384637104
9220
12839
SH
SOLE
7029
0
5810
VOYA GLOBAL EQUITY DIV AND PREM OP FND
Closed-End Fund
92912T100
9217
950219
SH
SOLE
856088
0
94131
CONTINENTAL RESOURCES INC/OK
Common Stock
212015101
9214
58304
SH
SOLE
55431
0
2873
CRESUD SA SPON ADR
ADR
226406106
9201
705058
SH
SOLE
623904
0
81154
POLARIS INDUSTRIES INC
Common Stock
731068102
9181
70491
SH
SOLE
59090
0
11401
MAXIM INTEGRATED PRODUCTS INC
Common Stock
57772K101
9161
270965
SH
SOLE
205603
0
65362
SALLY BEAUTY HOLDINGS INC
Common Stock
79546E104
9147
364701
SH
SOLE
314244
0
50457
KT CORP SPONSORED ADR
ADR
48268K101
9142
603853
SH
SOLE
555817
0
48036
DUN & BRADSTREET CORP/THE
Common Stock
26483E100
9111
82676
SH
SOLE
66615
0
16061
CADENCE DESIGN SYSTEMS INC
Common Stock
127387108
9106
520625
SH
SOLE
266007
0
254618
WEATHERFORD INTERNATIONAL PLC
Common Stock
G48833100
9096
395480
SH
SOLE
385510
0
9970
OFFICE DEPOT INC
Common Stock
676220106
9071
1594205
SH
SOLE
894119
0
700086
IMPERIAL OIL LTD
Common Stock
453038408
9064
172213
SH
SOLE
95127
0
77086
NOMURA HLDGS INC SPONSORED ADR
ADR
65535H208
9053
1287736
SH
SOLE
1237272
0
50464
STAPLES INC
Common Stock
855030102
9053
835109
SH
SOLE
578416
0
256693
CENTENE CORP
Common Stock
15135B101
9011
119172
SH
SOLE
102294
0
16878
OIL CO LUKOIL SPONSORED ADR
ADR
677862104
8991
150306
SH
SOLE
84128
0
66178
BROADRIDGE FINANCIAL SOLUTIONS
Common Stock
11133T103
8985
215789
SH
SOLE
187517
0
28272
AVON PRODUCTS INC
Common Stock
054303102
8979
614603
SH
SOLE
431626
0
182977
NXP SEMICONDUCTORS N V COM
Common Stock
N6596X109
8962
135419
SH
SOLE
107120
0
28299
PERKINELMER INC
Common Stock
714046109
8953
191149
SH
SOLE
144320
0
46829
SYNAPTICS INC
Common Stock
87157D109
8939
98617
SH
SOLE
28265
0
70352
FLEXTRONICS INTERNATIONAL LTD
Common Stock
Y2573F102
8895
803544
SH
SOLE
695676
0
107868
WESTERN ASSET EMERGING MARKET FD
Closed-End Fund
95766E103
8867
685795
SH
SOLE
628332
0
57463
VALEANT PHARMACEUTICALS INTERN
Common Stock
91911K102
8859
70243
SH
SOLE
68068
0
2175
SNAP-ON INC
Common Stock
833034101
8852
74686
SH
SOLE
63709
0
10977
TRANSOCEAN LTD/SWITZERLAND
Common Stock
H8817H100
8852
196572
SH
SOLE
176636
0
19936
FAMILY DOLLAR STORES INC
Common Stock
307000109
8817
133315
SH
SOLE
117098
0
16217
UNDER ARMOUR INC-CLASS A
Common Stock
904311107
8815
148176
SH
SOLE
132221
0
15955
DEUTSCHE TELEKOM AG SPONSORED ADR
ADR
251566105
8813
503010
SH
SOLE
472012
0
30998
PULTEGROUP INC
Common Stock
745867101
8804
436723
SH
SOLE
411352
0
25371
COMCAST CORP NEW CL A SPL
Common Stock
20030N200
8799
164996
SH
SOLE
128338
0
36658
EATON VANCE ENHANCED EQ INCM
Closed-End Fund
278274105
8770
637846
SH
SOLE
588103
0
49743
NEUTRAL TANDEM INC
Common Stock
45825N107
8723
628908
SH
SOLE
126819
0
502089
DOMINO'S PIZZA INC
Common Stock
25754A201
8712
119189
SH
SOLE
86291
0
32898
GENTEX CORP
Common Stock
371901109
8664
297843
SH
SOLE
283973
0
13870
WATERS CORP
Common Stock
941848103
8658
82903
SH
SOLE
77598
0
5305
CITY NATIONAL CORP/CA
Common Stock
178566105
8630
113913
SH
SOLE
101294
0
12619
SURGUTNEFTEGAZ JSC SPON ADR PFD
ADR
868861105
8614
1042800
SH
SOLE
1033400
0
9400
AMERICAN WATER WORKS CO INC
Common Stock
030420103
8604
173987
SH
SOLE
127331
0
46656
JACK HENRY & ASSOCIATES INC
Common Stock
426281101
8597
144651
SH
SOLE
130230
0
14421
ABB LTD SPONSORED ADR
ADR
000375204
8596
373411
SH
SOLE
329287
0
44124
TOWER INTERNATIONAL INC
Common Stock
891826109
8562
232422
SH
SOLE
47602
0
184820
VANGUARD TOTAL BOND MARKET ETF
ETP
921937835
8532
103771
SH
SOLE
95831
0
7940
AMERICAN AIRLINES GROUP INC
Common Stock
02376R102
8505
197971
SH
SOLE
120602
0
77369
SODEXO - SPONSORED ADR
ADR
833792104
8472
78638
SH
SOLE
48424
0
30214
ISHARES IBOXX INVESTMENT GRA
ETP
464287242
8472
71035
SH
SOLE
71035
0
0
LONZA GROUP AG - UNSPONSORED ADR
ADR
54338V101
8435
778123
SH
SOLE
769224
0
8899
NASDAQ OMX GROUP INC/THE
Common Stock
631103108
8426
218188
SH
SOLE
161718
0
56470
IAC/INTERACTIVECORP
Common Stock
44919P508
8425
121701
SH
SOLE
101122
0
20579
HOLLY FRONTIER CORP
Common Stock
436106108
8392
192075
SH
SOLE
167095
0
24980
PENN VIRGINIA CORP
Common Stock
707882106
8358
493108
SH
SOLE
224790
0
268318
COMPAGNIE FIN RICHEMONTAG S
ADR
204319107
8352
796983
SH
SOLE
629085
0
167898
SGS SOC GEN SURVEILLANCE - ADR
ADR
818800104
8339
348313
SH
SOLE
203550
0
144763
BLACKROCK GLOBAL OPP EQTY TR
Closed-End Fund
092501105
8334
553725
SH
SOLE
496052
0
57673
REED ELSEVIER P L C SPONSORED ADR
ADR
758205207
8313
128502
SH
SOLE
74342
0
54160
PACWEST BANCORP
Common Stock
695263103
8310
192491
SH
SOLE
116616
0
75875
TRANSDIGM GROUP INC
Common Stock
893641100
8299
49618
SH
SOLE
42941
0
6677
ACUITY BRANDS INC
Common Stock
00508Y102
8297
60015
SH
SOLE
57781
0
2234
HENNES & MAURITZ AB - UNSP ADR
ADR
425883105
8296
953563
SH
SOLE
872248
0
81315
DR HORTON INC
Common Stock
23331A109
8294
337412
SH
SOLE
270557
0
66855
DARDEN RESTAURANTS INC
Common Stock
237194105
8285
179064
SH
SOLE
158084
0
20980
ADVENT CLAYMORE CV SEC COM
Closed-End Fund
00764C109
8283
439652
SH
SOLE
391520
0
48132
NCR CORP
Common Stock
62886E108
8272
235741
SH
SOLE
162476
0
73265
CONSOL ENERGY INC
Common Stock
20854P109
8271
179526
SH
SOLE
118516
0
61010
PATTERSON UTI ENERGY INC COM
Common Stock
703481101
8255
236260
SH
SOLE
165646
0
70614
COCA-COLA FEMSA S A DE SPON ADR REP L
ADR
191241108
8246
72573
SH
SOLE
72495
0
78
CSL LTD SPONSORED ADR
ADR
12637N204
8230
262024
SH
SOLE
227651
0
34373
TECO ENERGY INC
Common Stock
872375100
8214
444460
SH
SOLE
370345
0
74115
VMWARE INC-CLASS A
Common Stock
928563402
8204
84742
SH
SOLE
80319
0
4423
DENBURY RES INC COM NEW
Common Stock
247916208
8190
443642
SH
SOLE
373426
0
70216
JGC CORP ADR
ADR
466140100
8182
134234
SH
SOLE
66387
0
67847
SCOTTS MIRACLE-GRO CO/THE
Common Stock
810186106
8162
143553
SH
SOLE
58345
0
85208
MUENCHENER RUECK - UNSPON ADR
ADR
626188106
8149
367569
SH
SOLE
316695
0
50874
IMPERIAL TOBACCO GROUP PLC - ADR
ADR
453142101
8142
90058
SH
SOLE
84351
0
5707
VOLKSWAGEN AG SPONSORED ADR
ADR
928662303
8114
156488
SH
SOLE
154187
0
2301
ALLEGHENY TECHNOLOGIES INC
Common Stock
01741R102
8031
178071
SH
SOLE
133587
0
44484
NUVEEN EQTY PREMIUM ADVANTAGE
Closed-End Fund
6706ET107
8027
603999
SH
SOLE
550761
0
53238
CELANESE CORP
Common Stock
150870103
8002
124485
SH
SOLE
99552
0
24933
MOBILE MINI INC
Common Stock
60740F105
7986
166754
SH
SOLE
68643
0
98111
TRIMBLE NAVIGATION LTD
Common Stock
896239100
7985
216098
SH
SOLE
202230
0
13868
VALSPAR CORP
Common Stock
920355104
7971
104614
SH
SOLE
84570
0
20044
CABLEVISION SYSTEMS CORP
Common Stock
12686C109
7939
449787
SH
SOLE
335333
0
114454
QEP RESOURCES INC
Common Stock
74733V100
7919
229542
SH
SOLE
185615
0
43927
STATOIL ASA SPONSORED ADR
ADR
85771P102
7905
256403
SH
SOLE
228686
0
27717
CNO FINANCIAL GROUP INC
Common Stock
12621E103
7902
443910
SH
SOLE
260883
0
183027
DEUTSCHE BANK AG NAMEN ORD
Common Stock
D18190898
7895
224417
SH
SOLE
209714
0
14703
LIBERTY MEDIA CORP A
Common Stock
531229102
7879
57646
SH
SOLE
49709
0
7937
LIBERTY GLOBAL PLC
Common Stock
G5480U104
7873
178050
SH
SOLE
167251
0
10799
PVH CORP
Common Stock
693656100
7873
67518
SH
SOLE
57051
0
10467
QUANTA SERVICES INC
Common Stock
74762E102
7865
227454
SH
SOLE
205975
0
21479
DANA HOLDING CORP
Common Stock
235825205
7823
320347
SH
SOLE
263378
0
56969
NIKON CORP PLC ADR
ADR
654111202
7823
496688
SH
SOLE
128999
0
367689
EAST JAPAN RAILWAY CO ADR
ADR
273202101
7818
596371
SH
SOLE
556536
0
39835
WESCO INTERNATIONAL INC
Common Stock
95082P105
7808
90391
SH
SOLE
65060
0
25331
SKYWORKS SOLUTIONS INC
Common Stock
83088M102
7782
165719
SH
SOLE
122807
0
42912
ROYAL CARIBBEAN CRUISES LTD COM
Common Stock
V7780T103
7776
139851
SH
SOLE
119234
0
20617
TECHTRONIC INDS LTD SPONSORED ADR
ADR
87873R101
7772
487257
SH
SOLE
443296
0
43961
SPECTRUM BRANDS HOLDINGS INC
Common Stock
84763R101
7763
90232
SH
SOLE
29406
0
60826
SONOCO PRODUCTS CO
Common Stock
835495102
7753
176479
SH
SOLE
127937
0
48542
POPULAR INC
Common Stock
733174700
7714
225677
SH
SOLE
106248
0
119429
SPX CORP
Common Stock
784635104
7699
71146
SH
SOLE
51827
0
19319
AVAGO TECHNOLOGIES LTD
Common Stock
Y0486S104
7697
106797
SH
SOLE
100722
0
6075
TEREX CORP
Common Stock
880779103
7693
187173
SH
SOLE
131331
0
55842
VINCI S A ADR
ADR
927320101
7689
412031
SH
SOLE
386865
0
25166
ECOPETROL SA-SPONSORED ADR
ADR
279158109
7672
212814
SH
SOLE
211551
0
1263
KONINKLIJKE AHOLD NV
ADR
500467105
7640
406807
SH
SOLE
235080
0
171727
ORANGE SA
ADR
684060106
7639
483469
SH
SOLE
466511
0
16958
COMPASS GROUP PLC SPON ADR NEW
ADR
20449X203
7620
430254
SH
SOLE
394334
0
35920
JABIL CIRCUIT INC
Common Stock
466313103
7613
364259
SH
SOLE
279676
0
84583
ATLAS COPCO SP ADR B NEW
ADR
049255805
7608
285259
SH
SOLE
270673
0
14586
CYPRESS SEMICONDUCTOR CORP
Common Stock
232806109
7606
697119
SH
SOLE
650489
0
46630
NUVEEN ATM-FREE MUNI INCOME FUND
Closed-End Fund
670657105
7596
563497
SH
SOLE
522805
0
40692
BEMIS CO INC
Common Stock
081437105
7577
186356
SH
SOLE
145171
0
41185
DASSAULT SYS S A SPONSORED ADR
ADR
237545108
7572
58774
SH
SOLE
57150
0
1624
LVMH MOET HENNESSY LOU VUITT ADR
ADR
502441306
7545
195579
SH
SOLE
182434
0
13145
ROLLS ROYCE GROUP PLC SPONSORED ADR
ADR
775781206
7535
81572
SH
SOLE
66325
0
15247
EDWARDS LIFESCIENCES CORP
Common Stock
28176E108
7521
87618
SH
SOLE
78286
0
9332
NATIONAL FUEL GAS CO
Common Stock
636180101
7513
95952
SH
SOLE
77968
0
17984
AUTONATION INC
Common Stock
05329W102
7513
125884
SH
SOLE
114197
0
11687
AOL INC
Common Stock
00184X105
7512
188803
SH
SOLE
127936
0
60867
TELEF BRASIL
ADR
87936R106
7509
366125
SH
SOLE
328861
0
37264
JAZZ PHARMACEUTICALS PLC
Common Stock
G50871105
7491
50956
SH
SOLE
40833
0
10123
PAMPA ENERGIA S A SPONS ADR LVL I
ADR
697660207
7470
762284
SH
SOLE
736721
0
25563
REPSOL YPF S A SPONSORED ADR
ADR
76026T205
7465
281715
SH
SOLE
266510
0
15205
GRACO INC
Common Stock
384109104
7465
95612
SH
SOLE
90471
0
5141
FEDERAL REALTY INVT TR SH BEN INT NEW REIT
REIT
313747206
7455
61652
SH
SOLE
52581
0
9071
TERNIUM SA-SPONSORED ADR
ADR
880890108
7448
266665
SH
SOLE
266591
0
74
EMPRESA NACIONAL DE ELCTRCID SPONSORED ADR
ADR
29244T101
7418
164109
SH
SOLE
161825
0
2284
VALIDUS HOLDINGS LTD
Common Stock
G9319H102
7417
193968
SH
SOLE
100871
0
93097
DANONE - SPONSORED ADR
ADR
23636T100
7412
496427
SH
SOLE
452672
0
43755
NIPPON TELEG & TEL CORP SPONSORED ADR
ADR
654624105
7399
237064
SH
SOLE
223759
0
13305
OLD REPUBLIC INTERNATIONAL COR
Common Stock
680223104
7399
447318
SH
SOLE
290445
0
156873
LAFARGE SA
ADR
505861401
7393
346117
SH
SOLE
332293
0
13824
NUVEEN PREFERRED INCOME OPPORTUNITY FUND
Closed-End Fund
67073B106
7358
758544
SH
SOLE
673997
0
84547
MEDIA GENERAL INC -CL A
Common Stock
584404107
7357
358339
SH
SOLE
66607
0
291732
WABTEC CORP
Common Stock
929740108
7353
89025
SH
SOLE
78627
0
10398
UMPQUA HOLDINGS CORP
Common Stock
904214103
7351
410197
SH
SOLE
333596
0
76601
DR REDDYS LABS LTD ADR
ADR
256135203
7346
170234
SH
SOLE
170234
0
0
STEEL DYNAMICS INC COM
Common Stock
858119100
7343
409091
SH
SOLE
276137
0
132954
REXAM PLC SP ADR
ADR
761655604
7342
157208
SH
SOLE
67344
0
89864
ASTELLAS PHARMA INC - UNSP ADR
ADR
04623U102
7324
557394
SH
SOLE
533746
0
23648
LEIDOS HOLDINGS INC
Common Stock
525327102
7323
190999
SH
SOLE
104305
0
86694
CREDIT AGRICOLE SA - UNSP ADR
ADR
225313105
7308
1041010
SH
SOLE
785786
0
255224
BLACKBAUD INC
Common Stock
09227Q100
7307
204461
SH
SOLE
155598
0
48863
THOMSON REUTERS CORP
Common Stock
884903105
7307
200958
SH
SOLE
156277
0
44681
SKECHERS U.S.A. INC
Common Stock
830566105
7307
159883
SH
SOLE
57890
0
101993
APTARGROUP INC
Common Stock
038336103
7294
108849
SH
SOLE
96171
0
12678
GREEN PLAINS INC
Common Stock
393222104
7292
221854
SH
SOLE
58939
0
162915
MANHATTAN ASSOCIATES INC
Common Stock
562750109
7256
210738
SH
SOLE
143552
0
67186
DIAMOND OFFSHORE DRILLING INC
Common Stock
25271C102
7242
145911
SH
SOLE
117670
0
28241
VOLKSWAGEN AG - SPONS ADR PFD
ADR
928662402
7241
138053
SH
SOLE
91491
0
46562
DIEBOLD INC
Common Stock
253651103
7238
180193
SH
SOLE
77433
0
102760
HOLOGIC INC
Common Stock
436440101
7238
285535
SH
SOLE
166354
0
119181
INTERACTIVE BROKERS GROUP INC
Common Stock
45841N107
7230
310436
SH
SOLE
152580
0
157856
OAO GAZPROM - SPON ADR
ADR
368287207
7208
827109
SH
SOLE
25085
0
802024
BOSTON BEER CO INC/THE
Common Stock
100557107
7208
32248
SH
SOLE
24338
0
7910
IBERDROLA SA - SPONSORED ADR
ADR
450737101
7176
233746
SH
SOLE
220291
0
13455
SUPERIOR ENERGY SVCS INC COM
Common Stock
868157108
7166
198279
SH
SOLE
178699
0
19580
CIT GROUP INC
Common Stock
125581801
7155
156349
SH
SOLE
150339
0
6010
GERDAU S A SPONSORED ADR
ADR
373737105
7112
1207539
SH
SOLE
975202
0
232337
VISHAY INTERTECHNOLOGY INC
Common Stock
928298108
7105
458679
SH
SOLE
300024
0
158655
DIANA SHIPPING INC
Common Stock
Y2066G104
7081
650248
SH
SOLE
602774
0
47474
ALLEGION PLC W/I
Common Stock
G0176J109
7080
124912
SH
SOLE
120926
0
3986
MACQUARIE BANK LTD ADR
ADR
55607P204
7069
125670
SH
SOLE
120751
0
4919
POST PROPERTIES INC REIT
REIT
737464107
7062
132103
SH
SOLE
32687
0
99416
PUBLICIS S A NEW SPONSORED ADR
ADR
74463M106
7059
333606
SH
SOLE
222819
0
110787
ARTHUR J GALLAGHER & CO
Common Stock
363576109
7053
151354
SH
SOLE
125712
0
25642
ABERCROMBIE & FITCH CO
Common Stock
002896207
7043
162835
SH
SOLE
108713
0
54122
VERISK ANALYTICS INC
Common Stock
92345Y106
6980
116300
SH
SOLE
113489
0
2811
FIRST HORIZON NATIONAL CORP
Common Stock
320517105
6978
588395
SH
SOLE
478195
0
110200
CIA SANEAMENTO BASICO DE - ADR
ADR
20441A102
6977
650847
SH
SOLE
583501
0
67346
ALERE INC
Common Stock
01449J105
6954
185836
SH
SOLE
126964
0
58872
WHITING PETROLEUM CORP
Common Stock
966387102
6938
86456
SH
SOLE
74667
0
11789
SINA CORP
Common Stock
G81477104
6929
139227
SH
SOLE
134327
0
4900
WESTFIELD GROUP AUSTRALIA
ADR
960224103
6926
314802
SH
SOLE
302094
0
12708
COSTAMARE INC SHS
Common Stock
Y1771G102
6919
296716
SH
SOLE
275316
0
21400
BIO-RAD LABORATORIES INC
Common Stock
090572207
6887
57528
SH
SOLE
52215
0
5313
SONIC CORP
Common Stock
835451105
6876
311422
SH
SOLE
98412
0
213010
BRF-BRASIL FOODS S A SPONSORED ADR
ADR
10552T107
6873
282713
SH
SOLE
281690
0
1023
UNITED STATES STEEL CORP
Common Stock
912909108
6851
263101
SH
SOLE
203614
0
59487
AIRBUS GROUP NV
ADR
009279100
6847
409046
SH
SOLE
387435
0
21611
BLACKROCK INCOME TR COM
Closed-End Fund
09247F100
6811
1025750
SH
SOLE
935317
0
90433
COLFAX CORP
Common Stock
194014106
6809
91350
SH
SOLE
84054
0
7296
SOCIETE GENERALE FRANCE SPONSORED ADR
ADR
83364L109
6798
648684
SH
SOLE
573290
0
75394
MIZUHO FINANCIAL GROUP ADR
ADR
60687Y109
6792
1652653
SH
SOLE
1533445
0
119208
ATLAS COPCO AB SP ADR A NEW
ADR
049255706
6789
233543
SH
SOLE
223934
0
9609
ALPINE GLOBAL PREMIER PROPERTY
Closed-End Fund
02083A103
6787
912268
SH
SOLE
809018
0
103250
NEW YORK COMMUNITY BANCORP INC
Common Stock
649445103
6783
424490
SH
SOLE
402449
0
22041
BRINKER INTERNATIONAL INC
Common Stock
109641100
6780
139362
SH
SOLE
96364
0
42998
CHEUNG KONG HLDGS LTD ADR
ADR
166744201
6777
382369
SH
SOLE
369649
0
12720
BIG LOTS INC
Common Stock
089302103
6770
148131
SH
SOLE
81716
0
66415
SERVICE CORP INTERNATIONAL/US
Common Stock
817565104
6708
323726
SH
SOLE
217260
0
106466
HOSPITALITY PPTYS TR COM SH BEN INT REIT
REIT
44106M102
6699
220346
SH
SOLE
190152
0
30194
TRACTOR SUPPLY CO
Common Stock
892356106
6696
110863
SH
SOLE
98548
0
12315
FACTSET RESEARCH SYSTEMS INC
Common Stock
303075105
6688
55602
SH
SOLE
48625
0
6977
ISHARES 10+ YR CR BD ETF
ETP
464289511
6681
110338
SH
SOLE
110338
0
0
BRIDGESTONE CORP ADR
ADR
108441205
6667
382373
SH
SOLE
341318
0
41055
ANIXTER INTERNATIONAL INC
Common Stock
035290105
6649
66444
SH
SOLE
47779
0
18665
ENERGEN CORP
Common Stock
29265N108
6632
74612
SH
SOLE
51219
0
23393
SAMPO OYJ ADR
ADR
79588J102
6631
262623
SH
SOLE
244491
0
18132
RPM INTERNATIONAL INC
Common Stock
749685103
6579
142457
SH
SOLE
102534
0
39923
HANOVER INSURANCE GROUP INC/TH
Common Stock
410867105
6554
103792
SH
SOLE
59871
0
43921
AMERICAN CAPITAL AGENCY CORP REIT
REIT
02503X105
6547
279671
SH
SOLE
254172
0
25499
CLEAN HARBORS INC
Common Stock
184496107
6534
101701
SH
SOLE
75116
0
26585
LEUCADIA NATL CORP COM
Common Stock
527288104
6522
248748
SH
SOLE
231498
0
17250
RECKITT BENCKISER GROUP - SPONSORED ADR
ADR
756255204
6519
372530
SH
SOLE
328257
0
44273
WISDOMTREE TR EUROPE SMCP DV
ETP
97717W869
6500
107577
SH
SOLE
107577
0
0
WESTAR ENERGY INC
Common Stock
95709T100
6466
169310
SH
SOLE
117772
0
51538
DOMTAR CORP
Common Stock
257559203
6447
150449
SH
SOLE
126664
0
23785
BLACKROCK ENH CAP AND INC
Closed-End Fund
09256A109
6418
435697
SH
SOLE
389069
0
46628
CANADIAN NATIONAL RAILWAY CO
Common Stock
136375102
6393
98326
SH
SOLE
95301
0
3025
CHICAGO BRIDGE & IRON CO N V N Y REGISTRY
Common Stock
167250109
6389
93679
SH
SOLE
76615
0
17064
FREESCALE SEMICONDUCTOR LTD
Common Stock
G3727Q101
6381
271517
SH
SOLE
194997
0
76520
FUJI HEAVY INDUSTRIES LTD
ADR
359556206
6370
114408
SH
SOLE
100036
0
14372
DAIWA HOUSE IND LTD ADR
ADR
234062206
6368
30674
SH
SOLE
28253
0
2421
NAVIOS MARITIME HOLDINGS INC
Common Stock
Y62196103
6362
628698
SH
SOLE
581698
0
47000
HUBBELL INC
Common Stock
443510201
6350
51561
SH
SOLE
40149
0
11412
DECKERS OUTDOOR CORP COM
Common Stock
243537107
6349
73538
SH
SOLE
56421
0
17117
SEKISUI HOUSE LTD SPONSORED ADR
ADR
816078307
6332
463866
SH
SOLE
437208
0
26658
ARES CAP CORP COM
Common Stock
04010L103
6332
354516
SH
SOLE
348433
0
6083
GARTNER INC
Common Stock
366651107
6330
89763
SH
SOLE
85918
0
3845
CARREFOUR SA - SPON ADR
ADR
144430204
6312
864665
SH
SOLE
818184
0
46481
UDR INC COM REIT
REIT
902653104
6302
220129
SH
SOLE
178970
0
41159
KINGFISHER PLC SPON ADR PAR
ADR
495724403
6297
512770
SH
SOLE
477531
0
35239
ENSCO PLC SHS CLASS A
Common Stock
G3157S106
6294
113262
SH
SOLE
90869
0
22393
CARNIVAL PLC ADR
ADR
14365C103
6289
165716
SH
SOLE
76771
0
88945
DUKE REALTY CORP COM NEW REIT
REIT
264411505
6260
344740
SH
SOLE
214366
0
130374
SYMETRA FINANCIAL CORP
Common Stock
87151Q106
6256
275127
SH
SOLE
163855
0
111272
SOHU.COM INC
Common Stock
83408W103
6246
108276
SH
SOLE
102516
0
5760
LUXOTTICA GROUP S P A SPONSORED ADR
ADR
55068R202
6233
107536
SH
SOLE
85563
0
21973
SPDR S&P EMERGING MARKETS SMALL CAP
ETP
78463X756
6208
123392
SH
SOLE
123392
0
0
WESTERN ASSET GLBL CP COM
Closed-End Fund
95790C107
6207
332099
SH
SOLE
306180
0
25919
ESSILOR INTL S A ADR
ADR
297284200
6195
116762
SH
SOLE
105047
0
11715
ADIDAS-SALOMON AG-SPON ADR
ADR
00687A107
6191
122190
SH
SOLE
109467
0
12723
FELCOR LODGING TRUST INC REIT
REIT
31430F101
6157
585845
SH
SOLE
197660
0
388185
FLEETCOR TECHNOLOGIES INC
Common Stock
339041105
6144
46614
SH
SOLE
42536
0
4078
TRIQUINT SEMICONDUCTOR INC
Common Stock
89674K103
6124
387379
SH
SOLE
148927
0
238452
TELSTRA CORP LTD SPON ADR
ADR
87969N204
6094
247735
SH
SOLE
239316
0
8419
FIESTA RESTAURANT GR COM
Common Stock
31660B101
6088
131168
SH
SOLE
25122
0
106046
TELEFLEX INC
Common Stock
879369106
6070
57477
SH
SOLE
43678
0
13799
MANITOWOC CO INC/THE
Common Stock
563571108
6067
184627
SH
SOLE
144554
0
40073
DEUTSCHE BOERS AG - UNSPON ADR
ADR
251542106
6045
781956
SH
SOLE
499108
0
282848
SONOVA HOLDING-UNSPON ADR
ADR
83569C102
6031
197666
SH
SOLE
140652
0
57014
GREAT PLAINS ENERGY INC COM
Common Stock
391164100
6030
224427
SH
SOLE
109237
0
115190
ATLANTIA SPA ADR
ADR
048173108
6027
424104
SH
SOLE
406162
0
17942
PHARMERICA CORP
Common Stock
71714F104
6023
210670
SH
SOLE
55378
0
155292
QIAGEN NV
Common Stock
N72482107
6006
245638
SH
SOLE
215087
0
30551
HENKEL LTD PARTNERSHIP SPON ADR PFD
ADR
42550U208
5998
51956
SH
SOLE
25860
0
26096
HORACE MANN EDUCATORS CORP
Common Stock
440327104
5968
190852
SH
SOLE
70461
0
120391
PATTERSON COS INC
Common Stock
703395103
5953
150661
SH
SOLE
103984
0
46677
CABOT CORP
Common Stock
127055101
5948
102563
SH
SOLE
49966
0
52597
FORTUNE BRANDS HOME & SECURITY
Common Stock
34964C106
5931
148537
SH
SOLE
134652
0
13885
ORBITZ WORLDWIDE INC
Common Stock
68557K109
5924
665673
SH
SOLE
137401
0
528272
WADDELL & REED FINANCIAL-A
Common Stock
930059100
5910
94427
SH
SOLE
71073
0
23354
DENSO CORP ADR
ADR
24872B100
5886
246467
SH
SOLE
205169
0
41298
CANADIAN NATURAL RESOURCES LTD
Common Stock
136385101
5885
128194
SH
SOLE
51208
0
76986
CARRIZO OIL & GAS INC
Common Stock
144577103
5874
84808
SH
SOLE
44181
0
40627
LATAM AIRLINES GROUP SA
ADR
51817R106
5863
436884
SH
SOLE
383543
0
53341
LIBERTY INTERACTIVE CO LBT VENT COM A
Common Stock
53071M880
5861
79415
SH
SOLE
69206
0
10209
COOPER COS INC/THE
Common Stock
216648402
5857
43219
SH
SOLE
31786
0
11433
DONALDSON CO INC
Common Stock
257651109
5848
138190
SH
SOLE
132371
0
5819
FEDERATED INVESTORS INC
Common Stock
314211103
5848
189138
SH
SOLE
123267
0
65871
TANGER FACTORY OUTLET CENTER REIT
REIT
875465106
5835
166856
SH
SOLE
59790
0
107066
ADECOAGRO SA
Common Stock
L00849106
5831
617681
SH
SOLE
571281
0
46400
TESCO PLC SPONSORED ADR
ADR
881575302
5829
397914
SH
SOLE
359839
0
38075
ULTRA PETROLEUM CORP
Common Stock
903914109
5811
195716
SH
SOLE
162845
0
32871
INTEGRATED DEVICE TECHNOLOGY I
Common Stock
458118106
5810
375804
SH
SOLE
96589
0
279215
TURKCELL ILETISIM HIZMET-ADR
ADR
900111204
5804
372059
SH
SOLE
371470
0
589
PUTNAM PREMIER INCM TR SH BEN INT
Closed-End Fund
746853100
5796
1044245
SH
SOLE
962747
0
81498
TAKEDA PHARMACEUTICALS CO SPON ADR
ADR
874060205
5793
249161
SH
SOLE
236044
0
13117
COLUMBIA SPORTSWEAR CO
Common Stock
198516106
5793
70088
SH
SOLE
40512
0
29576
SWISSCOM AG-SPONSORED ADR
ADR
871013108
5790
99471
SH
SOLE
96919
0
2552
ASSA ABLOY AB ADR
ADR
045387107
5790
227941
SH
SOLE
219842
0
8099
WOODSIDE PETE LTD SPONSORED ADR
ADR
980228308
5789
149663
SH
SOLE
139717
0
9946
PETSMART INC
Common Stock
716768106
5789
96802
SH
SOLE
67165
0
29637
PORTLAND GENERAL ELECTRIC CO
Common Stock
736508847
5787
166929
SH
SOLE
90532
0
76397
INTERCONTINENTAL HTLS GRP PL SPONSORED ADR
ADR
45857P509
5784
139341
SH
SOLE
135551
0
3790
CONCHO RESOURCES INC
Common Stock
20605P101
5778
39989
SH
SOLE
37571
0
2418
AARON'S INC
Common Stock
002535300
5767
161807
SH
SOLE
89198
0
72609
HSN INC
Common Stock
404303109
5747
97006
SH
SOLE
41077
0
55929
CORELOGIC INC
Common Stock
21871D103
5743
189173
SH
SOLE
109477
0
79696
H&E EQUIPMENT SERVICES INC
Common Stock
404030108
5738
157901
SH
SOLE
44655
0
113246
DAIWA SECS GROUP INC ADR
ADR
234064301
5731
663337
SH
SOLE
620091
0
43246
INTERNATIONAL GAME TECHNOLOGY
Common Stock
459902102
5728
360056
SH
SOLE
312808
0
47248
INTERSIL CORP
Common Stock
46069S109
5725
382932
SH
SOLE
284915
0
98017
KAO CORP SPONSORED ADR
ADR
485537302
5711
144329
SH
SOLE
129297
0
15032
AVISTA CORP
Common Stock
05379B107
5706
170225
SH
SOLE
130279
0
39946
ROCK-TENN CO
Common Stock
772739207
5698
53964
SH
SOLE
40681
0
13283
SENSATA TECHNOLOGIES HOLDING N
Common Stock
N7902X106
5689
121611
SH
SOLE
63430
0
58181
CLARCOR INC
Common Stock
179895107
5681
91854
SH
SOLE
90180
0
1674
WESTLAKE CHEMICAL CORP
Common Stock
960413102
5674
67737
SH
SOLE
34372
0
33365
CONTINENTAL AG SPONSORED ADR
ADR
210771200
5663
121637
SH
SOLE
75949
0
45688
ALBEMARLE CORP
Common Stock
012653101
5652
79047
SH
SOLE
66977
0
12070
MFS MULTIMARKET INC TRUST
Closed-End Fund
552737108
5651
849727
SH
SOLE
783140
0
66587
BABCOCK & WILCOX CO COM
Common Stock
05615F102
5642
173805
SH
SOLE
108381
0
65424
BLACK HILLS CORP
Common Stock
092113109
5627
91657
SH
SOLE
79279
0
12378
DISCOVER COMMUNICATIONS INC SH C
Common Stock
25470F302
5624
77482
SH
SOLE
72131
0
5351
KBR INC
Common Stock
48242W106
5614
235389
SH
SOLE
176485
0
58904
ALEXANDRIA REAL ESTATE EQ IN COM REIT
REIT
015271109
5610
72261
SH
SOLE
51494
0
20767
BASIC ENERGY SERVICES INC
Common Stock
06985P100
5606
191845
SH
SOLE
69228
0
122617
JACK IN THE BOX INC
Common Stock
466367109
5602
93616
SH
SOLE
61838
0
31778
SMITH & NEPHEW PLC SPDN ADR NEW
ADR
83175M205
5587
62573
SH
SOLE
55634
0
6939
SPDR BARCLAYS HIGH YIELD BOND ETF
ETP
78464A417
5581
133747
SH
SOLE
133747
0
0
STONE ENERGY CORP
Common Stock
861642106
5577
119201
SH
SOLE
87512
0
31689
AFFYMETRIX INC
Common Stock
00826T108
5575
625726
SH
SOLE
144317
0
481409
LAMAR ADVERTISING CO CL A
Common Stock
512815101
5556
104827
SH
SOLE
76969
0
27858
NOW INC/DE
Common Stock
67011P100
5542
153054
SH
SOLE
138257
0
14797
ANGLOGOLD ASHANTI LTD SPONSORED ADR
ADR
035128206
5538
321808
SH
SOLE
321308
0
500
CBRE CLARION GLOBAL REAL ESTATE INCOME FND
Closed-End Fund
12504G100
5535
607554
SH
SOLE
541307
0
66247
BLACKSTONE GSO STRAT COM SHS BEN IN
Closed-End Fund
09257R101
5532
311302
SH
SOLE
300258
0
11044
HATTERAS FINANCIAL CORP REIT
REIT
41902R103
5529
279122
SH
SOLE
168745
0
110377
JARDEN CORP
Common Stock
471109108
5527
93119
SH
SOLE
70891
0
22228
SHUTTERFLY INC
Common Stock
82568P304
5511
127985
SH
SOLE
98354
0
29631
NEW YORK TIMES CO/THE
Common Stock
650111107
5509
362169
SH
SOLE
247136
0
115033
NAVISTAR INTERNATIONAL CORP
Common Stock
63934E108
5507
146921
SH
SOLE
95683
0
51238
SINGAPORE TELECOMMUNICATNS L SPON ADR NEW
ADR
82929R304
5506
177553
SH
SOLE
170429
0
7124
PANERA BREAD COMPANY-CLASS A
Common Stock
69840W108
5503
36731
SH
SOLE
28580
0
8151
DIGITAL REALTY TRUST INC REIT
REIT
253868103
5499
94285
SH
SOLE
89786
0
4499
NUVEEN PERFORM PLUS FD COM
Closed-End Fund
67062P108
5498
375060
SH
SOLE
330655
0
44405
ENEL SPA - ADR
ADR
29265W207
5495
950653
SH
SOLE
892334
0
58319
CACI INTERNATIONAL INC
Common Stock
127190304
5494
78255
SH
SOLE
54311
0
23944
SPIRIT RLTY CAP INC COM
REIT
84860W102
5491
483360
SH
SOLE
445356
0
38004
STANCORP FINANCIAL GROUP INC
Common Stock
852891100
5478
85593
SH
SOLE
44984
0
40609
DEUTSCHE LUFTHANSA A G SPONSORED ADR
ADR
251561304
5476
255786
SH
SOLE
129631
0
126155
SWISS RE LTD SPONSORED ADR
ADR
870886108
5472
61416
SH
SOLE
55793
0
5623
ALBANY INTERNATIONAL CORP
Common Stock
012348108
5471
144136
SH
SOLE
41683
0
102453
KBC GROUP NV ADR
ADR
48241F104
5457
200984
SH
SOLE
79841
0
121143
MERITOR INC
Common Stock
59001K100
5450
417946
SH
SOLE
148227
0
269719
ZEBRA TECHNOLOGIES CORP-CL A
Common Stock
989207105
5450
66201
SH
SOLE
46705
0
19496
JC PENNEY CO INC
Common Stock
708160106
5447
601894
SH
SOLE
503302
0
98592
FLIR SYSTEMS INC
Common Stock
302445101
5441
156663
SH
SOLE
145052
0
11611
NORTHWESTERN CORP
Common Stock
668074305
5427
103985
SH
SOLE
81652
0
22333
FIRST REP BK SAN FRANCISCO COM
Common Stock
33616C100
5422
98608
SH
SOLE
80321
0
18287
SCOTTISH & SOUTHERN ENERGY P SPONSORED ADR
ADR
78467K107
5409
199652
SH
SOLE
192283
0
7369
SVENSKA HANDELSBANKEN ADR
ADR
86959C103
5403
220910
SH
SOLE
215527
0
5383
SAFRAN S A SPON ADR
ADR
786584102
5403
331735
SH
SOLE
253102
0
78633
PNM RESOURCES INC
Common Stock
69349H107
5399
184067
SH
SOLE
153996
0
30071
MITSUI & CO LTD ADR
ADR
606827202
5379
16782
SH
SOLE
13607
0
3175
NUVEEN DVD ADVANTAGE MUNI FD
Closed-End Fund
67066V101
5362
379208
SH
SOLE
348923
0
30285
ALLEGHANY CORP
Common Stock
017175100
5356
12225
SH
SOLE
10010
0
2215
CANON INC ADR
ADR
138006309
5353
163435
SH
SOLE
145697
0
17738
DARLING INGREDIENTS INC
Common Stock
237266101
5339
255468
SH
SOLE
208452
0
47016
SVENSKA CELLULOSA AKTIEBOLAG SPONSORED ADR
ADR
869587402
5337
205340
SH
SOLE
142437
0
62903
FERRO CORP
Common Stock
315405100
5336
424854
SH
SOLE
182879
0
241975
KB FINANCIAL GROUP INC - ADR
ADR
48241A105
5335
153489
SH
SOLE
100915
0
52574
QUESTAR CORP
Common Stock
748356102
5334
215062
SH
SOLE
171493
0
43569
DANSKE BK A/S ADR
ADR
236363107
5328
376522
SH
SOLE
343439
0
33083
COMPANHIA SIDERURGICA NACION SPONSORED ADR
ADR
20440W105
5312
1247031
SH
SOLE
1177838
0
69193
SLM CORP COM
Common Stock
78442P106
5312
639245
SH
SOLE
598356
0
40889
WABCO HOLDINGS INC
Common Stock
92927K102
5311
49715
SH
SOLE
41237
0
8478
KUBOTA CORP ADR
ADR
501173207
5304
74641
SH
SOLE
57726
0
16915
BRAMBLES LTD - ADR
ADR
105105100
5296
307016
SH
SOLE
211884
0
95132
GLENCORE XSTRATA PLC ADR
ADR
37827X100
5277
473312
SH
SOLE
455624
0
17688
KONINKLIJKE PHILIPS ELECTRS NY REG SH NEW
NY Reg Shrs
500472303
5268
165872
SH
SOLE
157808
0
8064
GREATBATCH INC
Common Stock
39153L106
5266
107338
SH
SOLE
47468
0
59870
SCRIPPS NETWORKS INTER-CL A
Common Stock
811065101
5254
64752
SH
SOLE
59374
0
5378
UNIVERSAL INSURANCE HOLDINGS I
Common Stock
91359V107
5253
405004
SH
SOLE
77981
0
327023
WILLIS GROUP HOLDINGS PLC
Common Stock
G96666105
5250
121255
SH
SOLE
115384
0
5871
CONVERGYS CORP
Common Stock
212485106
5249
244836
SH
SOLE
152303
0
92533
WEBMD HEALTH CORP
Common Stock
94770V102
5249
108674
SH
SOLE
59669
0
49005
UNITED UTILITIES GROUP PLC
ADR
91311E102
5248
173841
SH
SOLE
160445
0
13396
AMERICAN RLTY CAP PPTY COM
REIT
02917T104
5242
418341
SH
SOLE
385484
0
32857
PERNOD RICARD S A SPONSORED ADR
ADR
714264207
5239
217834
SH
SOLE
150839
0
66995
TOKIO MARINE HOLDINGS INC
ADR
889094108
5231
158264
SH
SOLE
149147
0
9117
MAKITA CORP ADR NEW
ADR
560877300
5229
84441
SH
SOLE
73128
0
11313
HAWAIIAN ELECTRIC INDUSTRIES I
Common Stock
419870100
5211
205808
SH
SOLE
150188
0
55620
CENTRICA PLC SPON ADR NEW
ADR
15639K300
5209
241949
SH
SOLE
217835
0
24114
ANGLO AMERN PLC ADR
ADR
03485P201
5194
423321
SH
SOLE
403136
0
20185
CON-WAY INC
Common Stock
205944101
5187
102902
SH
SOLE
77858
0
25044
ATMOS ENERGY CORP
Common Stock
049560105
5183
97067
SH
SOLE
59368
0
37699
BBVA Banco Frances SA-ADR
ADR
07329M100
5180
445041
SH
SOLE
413480
0
31561
NEXSTAR BROADCASTING GROUP I CL A
Common Stock
65336K103
5180
100373
SH
SOLE
20631
0
79742
RF MICRO DEVICES INC
Common Stock
749941100
5179
540080
SH
SOLE
115695
0
424385
BAE SYS PLC SPONSORED ADR
ADR
05523R107
5179
173433
SH
SOLE
163404
0
10029
NTT DOCOMO INC SPONS ADR
ADR
62942M201
5174
302748
SH
SOLE
289044
0
13704
VERINT SYSTEMS INC
Common Stock
92343X100
5174
105477
SH
SOLE
41541
0
63936
NUVASIVE INC
Common Stock
670704105
5169
145326
SH
SOLE
50909
0
94417
MERCURY GENERAL CORP
Common Stock
589400100
5166
109812
SH
SOLE
62995
0
46817
SWATCH GROUP AG ADR
ADR
870123106
5164
170775
SH
SOLE
165887
0
4888
XYLEM INC/NY
Common Stock
98419M100
5161
132060
SH
SOLE
99555
0
32505
THOR INDUSTRIES INC
Common Stock
885160101
5150
90554
SH
SOLE
78501
0
12053
BARNES GROUP INC
Common Stock
067806109
5147
133541
SH
SOLE
75802
0
57739
AGRIUM INC
Common Stock
008916108
5146
56156
SH
SOLE
43058
0
13098
ZWEIG TOTAL RETURN FD INC COM
Closed-End Fund
989837208
5141
357273
SH
SOLE
329314
0
27959
PH GLATFELTER CO
Common Stock
377316104
5135
193557
SH
SOLE
57121
0
136436
MEDNAX INC
Common Stock
58502B106
5115
87962
SH
SOLE
68636
0
19326
RAIT INVT TR COM REIT
REIT
749227609
5115
618460
SH
SOLE
146925
0
471535
NATIONSTAR MORTGAGE HOLDINGS
Common Stock
63861C109
5111
140801
SH
SOLE
134747
0
6054
HENKEL LTD PARTNERSHIP SPONSORED ADR
ADR
42550U109
5101
50631
SH
SOLE
48870
0
1761
PHH CORP
Common Stock
693320202
5100
221922
SH
SOLE
149536
0
72386
CENTRAL JAPAN RAI - UNSPON ADR
ADR
153766100
5095
356800
SH
SOLE
323984
0
32816
SANDS CHINA LTD UNSPONSORE ADR
ADR
80007R105
5081
66968
SH
SOLE
47813
0
19155
BANK OF HAWAII CORP
Common Stock
062540109
5055
86133
SH
SOLE
69432
0
16701
WESFARMERS LTD - UNS ADR
ADR
950840207
5041
256076
SH
SOLE
234094
0
21982
AMKOR TECHNOLOGY INC
Common Stock
031652100
5040
450812
SH
SOLE
228635
0
222177
TELEPHONE & DATA SYSTEMS INC
Common Stock
879433829
5037
192907
SH
SOLE
127671
0
65236
ENDURANCE SPECIALTY HOLDINGS L
Common Stock
G30397106
5033
97561
SH
SOLE
47533
0
50028
BOC HONG KONG HOLDINGS SPONSORED ADR
ADR
096813209
5030
86875
SH
SOLE
85849
0
1026
BANK OF NOVA SCOTIA
Common Stock
064149107
5028
75489
SH
SOLE
56044
0
19445
HILLENBRAND INC
Common Stock
431571108
5013
153688
SH
SOLE
128958
0
24730
VULCAN MATERIALS CO
Common Stock
929160109
5010
78594
SH
SOLE
74847
0
3747
REALTY INCOME CORP COM REIT
REIT
756109104
5008
112750
SH
SOLE
109216
0
3534
ROCKWOOD HOLDINGS INC
Common Stock
774415103
4999
65787
SH
SOLE
48754
0
17033
LANDSTAR SYSTEM INC
Common Stock
515098101
4997
78079
SH
SOLE
39634
0
38445
ROYAL GOLD INC
Common Stock
780287108
4983
65455
SH
SOLE
60667
0
4788
WELLCARE HEALTH PLANS INC
Common Stock
94946T106
4980
66701
SH
SOLE
36825
0
29876
DRIL-QUIP INC
Common Stock
262037104
4978
45573
SH
SOLE
43382
0
2191
CENTURY ALUMINUM CO
Common Stock
156431108
4970
316972
SH
SOLE
93585
0
223387
RED ROBIN GOURMET BURGERS INC
Common Stock
75689M101
4954
69577
SH
SOLE
17207
0
52370
LINCOLN ELECTRIC HOLDINGS INC
Common Stock
533900106
4939
70676
SH
SOLE
61092
0
9584
ECHOSTAR CORP
Common Stock
278768106
4938
93271
SH
SOLE
60377
0
32894
BROOKFIELD ASSET MANAGEMENT IN
Common Stock
112585104
4924
111849
SH
SOLE
111607
0
242
WEX INC
Common Stock
96208T104
4922
46888
SH
SOLE
42271
0
4617
FOREST CITY ENTERPRISES INC REIT
Common Stock
345550107
4909
247079
SH
SOLE
235917
0
11162
TORO CO/THE
Common Stock
891092108
4904
77110
SH
SOLE
44132
0
32978
JANUS CAPITAL GROUP INC
Common Stock
47102X105
4902
392755
SH
SOLE
226097
0
166658
NUVEEN QUALITY MUNICIPAL FUND INC
Closed-End Fund
67062N103
4878
372085
SH
SOLE
346350
0
25735
LITHIA MOTORS INC
Common Stock
536797103
4866
51727
SH
SOLE
16915
0
34812
AK STEEL HOLDING CORP
Common Stock
001547108
4866
611252
SH
SOLE
501982
0
109270
ROVI CORP
Common Stock
779376102
4860
202857
SH
SOLE
117734
0
85123
ISTAR FINANCIAL INC
REIT
45031U101
4857
324208
SH
SOLE
208215
0
115993
NU SKIN ENTERPRISES INC
Common Stock
67018T105
4843
65488
SH
SOLE
37468
0
28020
HAWAIIAN HOLDINGS INC
Common Stock
419879101
4843
353253
SH
SOLE
119386
0
233867
ATMEL CORP
Common Stock
049513104
4840
516570
SH
SOLE
380334
0
136236
JULIUS BAER GROUP LTD ADR
ADR
48137C108
4815
587901
SH
SOLE
372472
0
215429
REGENCY CENTERS CORP REIT
REIT
758849103
4813
86444
SH
SOLE
62789
0
23655
TERADYNE INC
Common Stock
880770102
4813
245561
SH
SOLE
190538
0
55023
AGEAS ADR
ADR
00844W208
4812
120552
SH
SOLE
114451
0
6101
COPART INC
Common Stock
217204106
4811
133791
SH
SOLE
125075
0
8716
HELIX ENERGY SOLUTIONS GROUP I
Common Stock
42330P107
4800
182458
SH
SOLE
91256
0
91202
SAIA INC
Common Stock
78709Y105
4789
109019
SH
SOLE
28114
0
80905
MFS CHARTER INCOME TRUST
Closed-End Fund
552727109
4781
517447
SH
SOLE
477100
0
40347
IDACORP INC
Common Stock
451107106
4771
82506
SH
SOLE
72411
0
10095
LANDS END INC COM
Common Stock
51509F105
4764
141882
SH
SOLE
141212
0
670
NEW JERSEY RESOURCES CORP
Common Stock
646025106
4756
83198
SH
SOLE
62411
0
20787
SUSSER HOLDINGS CORP
Common Stock
869233106
4751
58852
SH
SOLE
16642
0
42210
BRANDYWINE RLTY TR SH BEN INT NEW REIT
REIT
105368203
4745
304179
SH
SOLE
234881
0
69298
KEPPEL LTD SPONSORED ADR
ADR
492051305
4732
273664
SH
SOLE
246600
0
27064
AMERCO INC
Common Stock
023586100
4729
16265
SH
SOLE
5844
0
10421
NUVEEN DIVIDEND ADVANTAGE MUNICIPAL FUND 3
Closed-End Fund
67070X101
4720
345020
SH
SOLE
329780
0
15240
VECTREN CORP
Common Stock
92240G101
4719
111046
SH
SOLE
76400
0
34646
MEDASSETS INC
Common Stock
584045108
4718
206570
SH
SOLE
107493
0
99077
CABELA'S INC
Common Stock
126804301
4718
75609
SH
SOLE
68495
0
7114
TAUBMAN CENTERS INC REIT
REIT
876664103
4715
62195
SH
SOLE
45425
0
16770
SUN HUNG KAI PPTYS LTD SPONSORED ADR
ADR
86676H302
4713
343255
SH
SOLE
327313
0
15942
VIVENDI SA ADR
ADR
92852T201
4712
192713
SH
SOLE
181321
0
11392
PLEXUS CORP
Common Stock
729132100
4701
108587
SH
SOLE
60681
0
47906
ELECTRONICS FOR IMAGING INC
Common Stock
286082102
4698
103949
SH
SOLE
31897
0
72052
SUMITOMO MITSUI TR SPONSORED ADR
ADR
86562X106
4698
1041582
SH
SOLE
998587
0
42995
CLECO CORP NEW COM
Common Stock
12561W105
4696
79661
SH
SOLE
67482
0
12179
BELDEN INC
Common Stock
077454106
4693
60048
SH
SOLE
43254
0
16794
HOME PROPERTIES INC COM REIT
REIT
437306103
4691
73340
SH
SOLE
36178
0
37162
PDC ENERGY INC
Common Stock
69327R101
4687
74220
SH
SOLE
22702
0
51518
CREE INC
Common Stock
225447101
4684
93764
SH
SOLE
88306
0
5458
CLEARWATER PAPER CORP
Common Stock
18538R103
4682
75852
SH
SOLE
28938
0
46914
ON SEMICONDUCTOR CORP
Common Stock
682189105
4677
511690
SH
SOLE
370092
0
141598
CNA FINANCIAL CORP
Common Stock
126117100
4668
115492
SH
SOLE
63257
0
52235
HILL-ROM HOLDINGS INC
Common Stock
431475102
4666
112407
SH
SOLE
68131
0
44276
TD AMERITRADE HOLDING CORP
Common Stock
87236Y108
4661
148682
SH
SOLE
131104
0
17578
REGAL ENTERTAINMENT GROUP
Common Stock
758766109
4656
220675
SH
SOLE
166499
0
54176
TENNECO INC
Common Stock
880349105
4655
70858
SH
SOLE
53248
0
17610
PALO ALTO NETWORKS INC COM
Common Stock
697435105
4654
55499
SH
SOLE
48176
0
7323
TIM PARTICIPACOES S A SPONS ADR PFD
ADR
88706P205
4644
159971
SH
SOLE
128397
0
31574
HOYA CORP SPONSORED ADR
ADR
443251103
4644
139416
SH
SOLE
131551
0
7865
DELUXE CORP
Common Stock
248019101
4644
79273
SH
SOLE
59031
0
20242
BLACKROCK INTL GRWTH COM BENE INTER
Closed-End Fund
092524107
4637
562695
SH
SOLE
518817
0
43878
KNIGHT TRANSPORTATION INC
Common Stock
499064103
4632
194880
SH
SOLE
114744
0
80136
DST SYSTEMS INC
Common Stock
233326107
4632
50257
SH
SOLE
36604
0
13653
CHINA PETE & CHEM CORP SPON ADR H SHS
ADR
16941R108
4611
48521
SH
SOLE
48017
0
504
NIDEC CORP SPONSORED ADR
ADR
654090109
4610
299524
SH
SOLE
279317
0
20207
UNICHARM CORP
ADR
90460M204
4604
384638
SH
SOLE
362172
0
22466
CRANE CO
Common Stock
224399105
4594
61774
SH
SOLE
43532
0
18242
TIDEWATER INC COM
Common Stock
886423102
4593
81796
SH
SOLE
79276
0
2520
ANDERSONS INC/THE
Common Stock
034164103
4587
88933
SH
SOLE
28287
0
60646
BANK OF MONTREAL
Common Stock
063671101
4576
62181
SH
SOLE
59948
0
2233
SANMINA CORP
Common Stock
801056102
4571
200669
SH
SOLE
114368
0
86301
DDR CORP REIT
REIT
23317H102
4563
258820
SH
SOLE
190044
0
68776
NUVEEN DIVERSIFIED CURRENCY OP
Closed-End Fund
67090N109
4563
406294
SH
SOLE
361505
0
44789
HANNOVER RUECKVERSICHER
ADR
410693105
4560
101147
SH
SOLE
89494
0
11653
MICHELIN (CGDE) - UNSPONSORED ADR
ADR
59410T106
4559
190663
SH
SOLE
180363
0
10300
MARKS & SPENCER GROUP PLC SPONSORED ADR
ADR
570912105
4555
313737
SH
SOLE
293552
0
20185
RESMED INC
Common Stock
761152107
4551
89884
SH
SOLE
75649
0
14235
SALIX PHARMACEUTICALS LTD
Common Stock
795435106
4550
36883
SH
SOLE
32962
0
3921
RYANAIR HLDGS PLC SPONSORED ADR
ADR
783513104
4542
81397
SH
SOLE
39719
0
41678
UNS ENERGY CORP
Common Stock
903119105
4536
75095
SH
SOLE
58152
0
16943
WR BERKLEY CORP
Common Stock
084423102
4534
97909
SH
SOLE
74004
0
23905
TEAM HEALTH HOLDINGS INC
Common Stock
87817A107
4528
90672
SH
SOLE
43158
0
47514
FRESENIUS MED CARE AG SPONSORED ADR
ADR
358029106
4515
134831
SH
SOLE
126098
0
8733
FIRST MIDWEST BANCORP INC/IL
Common Stock
320867104
4510
264839
SH
SOLE
98635
0
166204
PANDORA MEDIA INC
Common Stock
698354107
4508
152828
SH
SOLE
144745
0
8083
SIX FLAGS ENTERTAINMENT CORP
Common Stock
83001A102
4504
105846
SH
SOLE
75139
0
30707
ENPRO INDUSTRIES INC
Common Stock
29355X107
4488
61343
SH
SOLE
21192
0
40151
AMCOR LTD ADR NEW
ADR
02341R302
4479
113907
SH
SOLE
101742
0
12165
FNF GROUP
Common Stock
31620R303
4468
136386
SH
SOLE
117950
0
18436
GROUP 1 AUTOMOTIVE INC
Common Stock
398905109
4464
52948
SH
SOLE
25833
0
27115
GATX CORP
Common Stock
361448103
4461
66641
SH
SOLE
50487
0
16154
JOHN BEAN TECHNOLOGIES CORP
Common Stock
477839104
4458
143841
SH
SOLE
33593
0
110248
MITSUBISHI CORP SPONSORED ADR
ADR
606769305
4457
107456
SH
SOLE
97731
0
9725
RAYMOND JAMES FINANCIAL INC
Common Stock
754730109
4454
87803
SH
SOLE
61249
0
26554
LPL FINANCIAL HOLDINGS INC
Common Stock
50212V100
4446
89390
SH
SOLE
42194
0
47196
ARRIS GROUP INC
Common Stock
04270V106
4445
136632
SH
SOLE
87988
0
48644
METHODE ELECTRONICS INC
Common Stock
591520200
4439
116163
SH
SOLE
39309
0
76854
CARBO CERAMICS INC
Common Stock
140781105
4433
28766
SH
SOLE
11337
0
17429
PREMIERE GLOBAL SERVICES INC
Common Stock
740585104
4428
331661
SH
SOLE
32967
0
298694
CASEY'S GENERAL STORES INC
Common Stock
147528103
4419
62871
SH
SOLE
53365
0
9506
WR GRACE & CO
Common Stock
38388F108
4418
46738
SH
SOLE
33376
0
13362
PDL BIOPHARMA INC
Common Stock
69329Y104
4415
456123
SH
SOLE
235392
0
220731
AMERICAN EQUITY INVESTMENT LIF
Common Stock
025676206
4414
179441
SH
SOLE
121618
0
57823
HEARTLAND EXPRESS INC
Common Stock
422347104
4413
206800
SH
SOLE
63397
0
143403
HONG KONG EXCHANGES & CLEAR - ADR
ADR
43858F109
4413
236362
SH
SOLE
225380
0
10982
HARSCO CORP
Common Stock
415864107
4406
165465
SH
SOLE
103573
0
61892
DEVRY EDUCATIOH GROUP INC
Common Stock
251893103
4400
103927
SH
SOLE
69505
0
34422
LIBERTY PPTY TR SH BEN INT
REIT
531172104
4399
115982
SH
SOLE
90736
0
25246
PENSKE AUTOMOTIVE GROUP INC
Common Stock
70959W103
4390
88690
SH
SOLE
31675
0
57015
BLACKROCK FLOAT RT INCOME ST
Closed-End Fund
09255X100
4388
299490
SH
SOLE
287465
0
12025
TETRA TECHNOLOGIES INC
Common Stock
88162F105
4381
371923
SH
SOLE
98566
0
273357
MICROS SYSTEMS INC
Common Stock
594901100
4380
64513
SH
SOLE
53208
0
11305
AMSURG CORP
Common Stock
03232P405
4380
96112
SH
SOLE
44983
0
51129
HEALTHWAYS INC
Common Stock
422245100
4365
248873
SH
SOLE
56401
0
192472
EXTRA SPACE STORAGE INC REIT
REIT
30225T102
4363
81929
SH
SOLE
64062
0
17867
INFORMATICA CORP
Common Stock
45666Q102
4354
122133
SH
SOLE
105185
0
16948
TUPPERWARE BRANDS CORP
Common Stock
899896104
4349
51959
SH
SOLE
42051
0
9908
PAPA JOHN'S INTERNATIONAL INC
Common Stock
698813102
4346
102520
SH
SOLE
41915
0
60605
INTEGRA LIFESCIENCES HOLDINGS
Common Stock
457985208
4342
92261
SH
SOLE
15375
0
76886
WRIGHT MEDICAL GROUP INC
Common Stock
98235T107
4334
138030
SH
SOLE
41676
0
96354
FINISAR CORPORATION
Common Stock
31787A507
4334
219445
SH
SOLE
91408
0
128037
EMCOR GROUP INC
Common Stock
29084Q100
4330
97234
SH
SOLE
60088
0
37146
TIME INC
Common Stock
887228104
4329
178726
SH
SOLE
153062
0
25665
SYSMEX CORP UNSPONS ADR
ADR
87184P109
4328
230440
SH
SOLE
224117
0
6323
HEALTHSOUTH CORP
Common Stock
421924309
4323
120520
SH
SOLE
57994
0
62526
LIVE NATION ENTERTAINMENT INC
Common Stock
538034109
4310
174568
SH
SOLE
128824
0
45744
WESTERN ASSET WORLDWIDE INCOME FUND
Closed-End Fund
957668106
4308
327611
SH
SOLE
305074
0
22537
LACLEDE GROUP INC/THE
Common Stock
505597104
4302
88607
SH
SOLE
69123
0
19484
NUTRISYSTEM INC
Common Stock
67069D108
4297
251142
SH
SOLE
64719
0
186423
UNIVERSAL CORP/VA
Common Stock
913456109
4296
77622
SH
SOLE
56278
0
21344
CONSOLIDATED COMMUNICATIONS HO
Common Stock
209034107
4289
192861
SH
SOLE
92813
0
100048
MGE ENERGY INC
Common Stock
55277P104
4288
108519
SH
SOLE
65828
0
42691
DOLBY LABORATORIES INC-CL A
Common Stock
25659T107
4284
99174
SH
SOLE
43502
0
55672
INDITEX - ADR
ADR
455793109
4284
138769
SH
SOLE
134284
0
4485
NSK LTD SPONSORED ADR
ADR
670184100
4277
164821
SH
SOLE
147772
0
17049
SUMITOMO CORP SPONSORED ADR
ADR
865613103
4273
317728
SH
SOLE
306575
0
11153
VOYA FINANCIAL INC
Common Stock
929089100
4269
117464
SH
SOLE
105814
0
11650
MS&AD INSURANCE GROUP HOLDINGS ADR
ADR
553491101
4267
354699
SH
SOLE
340886
0
13813
FIRST INDUSTRIAL REALTY TRUS COM REIT
REIT
32054K103
4264
226326
SH
SOLE
170661
0
55665
E ON AG
ADR
268780103
4261
206328
SH
SOLE
195929
0
10399
PINNACLE ENTERTAINMENT INC
Common Stock
723456109
4249
168751
SH
SOLE
63407
0
105344
KILROY REALTY CORP REIT
REIT
49427F108
4244
68142
SH
SOLE
52834
0
15308
SANDERSON FARMS INC
Common Stock
800013104
4241
43635
SH
SOLE
14762
0
28873
SANDVIK AB ADR
ADR
800212201
4236
309193
SH
SOLE
280382
0
28811
WATTS WATER TECHNOLOGIES INC
Common Stock
942749102
4229
68510
SH
SOLE
22828
0
45682
GRIFOLS SA-ADR
ADR
398438408
4216
95706
SH
SOLE
93215
0
2491
SENIOR HSG PPTYS TR SH BEN INT REIT
REIT
81721M109
4206
173173
SH
SOLE
139943
0
33230
PIEDMONT NATURAL GAS CO INC
Common Stock
720186105
4199
112246
SH
SOLE
89366
0
22880
ASBURY AUTOMOTIVE GROUP INC
Common Stock
043436104
4198
61071
SH
SOLE
22076
0
38995
SECOM LTD ADR
ADR
813113206
4190
274507
SH
SOLE
261743
0
12764
EMPIRE DISTRICT ELECTRIC CO/TH
Common Stock
291641108
4186
162992
SH
SOLE
92169
0
70823
NUVEEN EQUITY PREMIUM INCOME FUND
Closed-End Fund
6706ER101
4176
318572
SH
SOLE
287093
0
31479
ARKEMA SPON ADR
ADR
041232109
4175
42803
SH
SOLE
22659
0
20144
CHEMED CORP
Common Stock
16359R103
4174
44537
SH
SOLE
16686
0
27851
SIRIUS XM HOLDINGS INC
Common Stock
82968B103
4165
1203712
SH
SOLE
1109562
0
94150
WILLBROS GROUP INC
Common Stock
969203108
4160
336833
SH
SOLE
160047
0
176786
GENESEE & WYOMING INC
Common Stock
371559105
4151
39529
SH
SOLE
32124
0
7405
STERIS CORP
Common Stock
859152100
4150
77606
SH
SOLE
51117
0
26489
NORSK HYDRO A S SPONSORED ADR
ADR
656531605
4147
763781
SH
SOLE
679070
0
84711
CIA CERVECERIAS UNIDAS - ADR
ADR
204429104
4141
176824
SH
SOLE
174324
0
2500
KAPSTONE PAPER AND PACKAGING C
Common Stock
48562P103
4137
124874
SH
SOLE
82310
0
42564
KATE SPADE & CO
Common Stock
485865109
4136
108437
SH
SOLE
79443
0
28994
ISHARES TR DJ INTL SEL DIVD
ETP
464288448
4133
103608
SH
SOLE
103608
0
0
EURONET WORLDWIDE INC
Common Stock
298736109
4117
85341
SH
SOLE
52421
0
32920
HUTCHISON WHAMPOA LTD ADR
ADR
448415208
4103
149758
SH
SOLE
138015
0
11743
MARRIOTT VACATIONS WORLD
Common Stock
57164Y107
4099
69918
SH
SOLE
61391
0
8527
NEWMARKET CORP
Common Stock
651587107
4099
10454
SH
SOLE
7788
0
2666
MEREDITH CORP
Common Stock
589433101
4094
84665
SH
SOLE
63586
0
21079
GRAN TIERRA ENERGY INC
Common Stock
38500T101
4094
504222
SH
SOLE
504120
0
102
COMMONWEALTH REIT
REIT
203233101
4094
155555
SH
SOLE
119053
0
36502
INVESTORS BANCORP INC
Common Stock
46146L101
4079
369179
SH
SOLE
235211
0
133968
UNIT CORP
Common Stock
909218109
4078
59254
SH
SOLE
34878
0
24376
SOUTHWEST GAS CORP
Common Stock
844895102
4056
76826
SH
SOLE
54723
0
22103
ALUMINA LTD SPONSORED ADR
ADR
022205108
4056
803076
SH
SOLE
750790
0
52286
QIHOO 360 TECHNOLOGY C ADS
ADR
74734M109
4050
44004
SH
SOLE
43200
0
804
TCF FINANCIAL CORP
Common Stock
872275102
4049
247323
SH
SOLE
130652
0
116671
CIENA CORP
Common Stock
171779309
4046
186776
SH
SOLE
131788
0
54988
HOME INNS & HOTELS MANAGEMENT INC
ADR
43713W107
4038
117981
SH
SOLE
117967
0
14
EDP ENERGIAS DE PORTUGAL S A SPONSORED ADR
ADR
268353109
4038
80590
SH
SOLE
68829
0
11761
FUJI PHOTO FILM LTD ADR
ADR
35958N107
4030
144351
SH
SOLE
139188
0
5163
JETBLUE AIRWAYS CORP
Common Stock
477143101
4028
371286
SH
SOLE
235966
0
135320
INVESCO QUALITY MUNI INC TR
Closed-End Fund
46133G107
4023
327630
SH
SOLE
327630
0
0
SONY CORP ADR NEW
ADR
835699307
4021
239770
SH
SOLE
221819
0
17951
TFS FINANCIAL CORP
Common Stock
87240R107
4020
281914
SH
SOLE
41953
0
239961
DOUBLELINE INCOME SOLU COM
Closed-End Fund
258622109
4020
178976
SH
SOLE
162601
0
16375
COMSTOCK RESOURCES INC
Common Stock
205768203
4017
139290
SH
SOLE
48366
0
90924
BRITISH SKY BROADCASTING GRO SPONSORED ADR
ADR
111013108
4011
63964
SH
SOLE
56664
0
7300
POWERSHARES EMERGING MARKETS SOVEREIGN DE
ETP
73936T573
4007
137407
SH
SOLE
136842
0
565
URBAN OUTFITTERS INC
Common Stock
917047102
4005
118276
SH
SOLE
97685
0
20591
FEDERAL MOGUL HOLDINGS CORP
Common Stock
313549404
4002
197812
SH
SOLE
61523
0
136289
HARMONIC INC
Common Stock
413160102
4001
536332
SH
SOLE
160515
0
375817
TUESDAY MORNING CORP
Common Stock
899035505
3998
224338
SH
SOLE
49895
0
174443
CLARIANT AG ADR
ADR
18047P101
3997
204740
SH
SOLE
33070
0
171670
BRITISH LD CO SPONSORED ADR
ADR
110828100
3995
333503
SH
SOLE
319526
0
13977
KORN/FERRY INTERNATIONAL
Common Stock
500643200
3995
136019
SH
SOLE
77295
0
58724
ACADIA HEALTHCARE CO COM
Common Stock
00404A109
3993
87768
SH
SOLE
55142
0
32626
VECTOR GROUP LTD
Common Stock
92240M108
3985
192701
SH
SOLE
158627
0
34074
PROASSURANCE CORP
Common Stock
74267C106
3984
89720
SH
SOLE
51434
0
38286
SEARS HOLDINGS CORP
Common Stock
812350106
3982
99652
SH
SOLE
67235
0
32417
PANASONIC CORP - ADR
ADR
69832A205
3982
326914
SH
SOLE
311423
0
15491
TUTOR PERINI CORP
Common Stock
901109108
3973
125183
SH
SOLE
71342
0
53841
CAMDEN PPTY TR SH BEN INT REIT
REIT
133131102
3970
55794
SH
SOLE
49952
0
5842
PIONEER ENERGY SERVICES CORP
Common Stock
723664108
3969
226259
SH
SOLE
66129
0
160130
COMMERCE BANCSHARES INC/MO
Common Stock
200525103
3967
85316
SH
SOLE
57484
0
27832
TSAKOS ENERGY NAVIGATION LTD
Common Stock
G9108L108
3967
592934
SH
SOLE
592934
0
0
YELP INC CL A
Common Stock
985817105
3963
51678
SH
SOLE
38963
0
12715
CAPELLA EDUCATION CO
Common Stock
139594105
3961
72817
SH
SOLE
16243
0
56574
ONEBEACON INSURANCE GROUP LTD
Common Stock
G67742109
3954
254467
SH
SOLE
47526
0
206941
NOVOZYMES A/S UNSPONS ADR
ADR
670108109
3953
78595
SH
SOLE
75349
0
3246
NUANCE COMMUNICATIONS INC
Common Stock
67020Y100
3951
210509
SH
SOLE
166608
0
43901
CHARLES RIVER LABORATORIES INT
Common Stock
159864107
3948
73773
SH
SOLE
34803
0
38970
ITRON INC
Common Stock
465741106
3948
97368
SH
SOLE
31228
0
66140
SPARTANNASH CO
Common Stock
847215100
3947
187869
SH
SOLE
54967
0
132902
GLOBAL HIGH INCOME FUND
Closed-End Fund
37933G108
3943
380219
SH
SOLE
361034
0
19185
ORBITAL SCIENCES CORP
Common Stock
685564106
3940
133317
SH
SOLE
66973
0
66344
NVR INC
Common Stock
62944T105
3933
3418
SH
SOLE
3135
0
283
CLAYTON WILLIAMS ENERGY INC
Common Stock
969490101
3930
28612
SH
SOLE
6703
0
21909
OWENS CORNING
Common Stock
690742101
3927
101528
SH
SOLE
71679
0
29849
ETABLISSEMENTS DELHAIZE FRER SPONSORED ADR
ADR
29759W101
3917
232348
SH
SOLE
215513
0
16835
ERSTE BK DER OESTERREICHISCH SPONSORED ADR
ADR
296036304
3912
241602
SH
SOLE
215428
0
26174
SWIFT TRANSPORTATION CO
Common Stock
87074U101
3911
155002
SH
SOLE
50965
0
104037
EXPERIAN GROUP LTD - SPON ADR
ADR
30215C101
3910
232479
SH
SOLE
194104
0
38375
KAR AUCTION SERVICES INC
Common Stock
48238T109
3891
122076
SH
SOLE
96029
0
26047
ALKERMES PLC
Common Stock
G01767105
3889
77268
SH
SOLE
42427
0
34841
ADECCO SA - REG - UNSPON ADR
ADR
006754204
3885
94470
SH
SOLE
91289
0
3181
UNITED BANKSHARES INC/WV
Common Stock
909907107
3881
120045
SH
SOLE
61289
0
58756
TEMPUR SEALY INTERNATIONAL INC
Common Stock
88023U101
3879
64973
SH
SOLE
56623
0
8350
RAMBUS INC
Common Stock
750917106
3867
270440
SH
SOLE
99434
0
171006
ZYNGA INC CL A
Common Stock
98986T108
3846
1198064
SH
SOLE
835957
0
362107
CVR ENERGY INC
Common Stock
12662P108
3845
79784
SH
SOLE
47260
0
32524
CRACKER BARREL OLD COUNTRY STO
Common Stock
22410J106
3837
38534
SH
SOLE
26143
0
12391
AMERICAN CAPITAL LTD
Common Stock
02503Y103
3836
250903
SH
SOLE
235829
0
15074
HENDERSON LD DEV LTD SPONSORED ADR
ADR
425166303
3835
655525
SH
SOLE
635694
0
19831
IHS INC-CLASS A
Common Stock
451734107
3831
28236
SH
SOLE
25704
0
2532
LIONS GATE ENTERTAINMENT CORP
Common Stock
535919203
3829
133974
SH
SOLE
56705
0
77269
SVB FINANCIAL GROUP
Common Stock
78486Q101
3829
32830
SH
SOLE
24865
0
7965
SPIRIT AEROSYSTEMS HOLDINGS IN
Common Stock
848574109
3821
113375
SH
SOLE
73079
0
40296
TRUEBLUE INC
Common Stock
89785X101
3811
138235
SH
SOLE
37932
0
100303
WORKDAY INC CL A
Common Stock
98138H101
3808
42381
SH
SOLE
41316
0
1065
INVESCO VAN KAMPEN TRUST FOR INV GRADE MUN
Closed-End Fund
46131M106
3804
291948
SH
SOLE
291948
0
0
PUTNAM MANAGED MUNI INCM TRS
Closed-End Fund
746823103
3804
530526
SH
SOLE
504708
0
25818
HURON CONSULTING GROUP INC
Common Stock
447462102
3801
53674
SH
SOLE
15059
0
38615
GRAND CANYON EDUCATION INC
Common Stock
38526M106
3797
82587
SH
SOLE
35583
0
47004
WHITEWAVE FOODS CO COM CL A
Common Stock
966244105
3783
116852
SH
SOLE
104377
0
12475
CBOE HOLDINGS INC
Common Stock
12503M108
3781
76834
SH
SOLE
68251
0
8583
UNISYS CORP
Common Stock
909214306
3779
152738
SH
SOLE
83717
0
69021
CST BRANDS INC
Common Stock
12646R105
3768
109226
SH
SOLE
97613
0
11613
COHERENT INC
Common Stock
192479103
3767
56930
SH
SOLE
13725
0
43205
ASHAI KASEI CORP ADR
ADR
043400100
3765
248358
SH
SOLE
219510
0
28848
PLANTRONICS INC
Common Stock
727493108
3762
78285
SH
SOLE
30635
0
47650
ASSOCIATED BRIT FOODS ADR NEW
ADR
045519402
3761
71584
SH
SOLE
69999
0
1585
WESTERN ASSET GLOBAL HIGH
Closed-End Fund
95766B109
3761
292648
SH
SOLE
274593
0
18055
KAISER ALUMINUM CORP
Common Stock
483007704
3756
51549
SH
SOLE
21909
0
29640
ENTEGRIS INC
Common Stock
29362U104
3751
272885
SH
SOLE
162649
0
110236
ROYAL BANK OF SCOTLAND-SPON ADR
ADR
780097689
3749
332067
SH
SOLE
317115
0
14952
TEXAS ROADHOUSE INC
Common Stock
882681109
3748
144172
SH
SOLE
48985
0
95187
SELECTIVE INSURANCE GROUP INC
Common Stock
816300107
3746
151539
SH
SOLE
132872
0
18667
ENAGAS S.A.
ADR
29248L104
3744
240643
SH
SOLE
214355
0
26288
MATERION CORP
Common Stock
576690101
3744
101221
SH
SOLE
29546
0
71675
CARPENTER TECHNOLOGY CORP
Common Stock
144285103
3739
59119
SH
SOLE
52503
0
6616
MAGELLAN HEALTH INC
Common Stock
559079207
3735
60013
SH
SOLE
30285
0
29728
WORTHINGTON INDUSTRIES INC
Common Stock
981811102
3726
86564
SH
SOLE
33957
0
52607
MALLINCKRODT PLC
Common Stock
G5785G107
3718
46467
SH
SOLE
43585
0
2882
SYNNEX CORP
Common Stock
87162W100
3718
51030
SH
SOLE
33570
0
17460
KNOWLES CORP COM
Common Stock
49926D109
3716
120869
SH
SOLE
110862
0
10007
CHOICE HOTELS INTERNATIONAL IN
Common Stock
169905106
3709
78728
SH
SOLE
31813
0
46915
INVESTMENT TECHNOLOGY GROUP IN
Common Stock
46145F105
3707
219594
SH
SOLE
76450
0
143144
BURGER KING WORLDWIDE COM
Common Stock
121220107
3706
136137
SH
SOLE
28354
0
107783
ROYAL BANK OF CANADA
Common Stock
780087102
3704
51856
SH
SOLE
51580
0
276
VOLVO AKTIEBOLAGET ADR B
ADR
928856400
3697
267900
SH
SOLE
239467
0
28433
IRSA INVERSIONES Y REP ADR
ADR
450047204
3694
225387
SH
SOLE
201258
0
24129
EASTGROUP PROPERTIES INC REIT
REIT
277276101
3689
57434
SH
SOLE
30812
0
26622
LAZARD LTD SHS A
MLP
G54050102
3688
71528
SH
SOLE
71528
0
0
ALBANY MOLECULAR RESH INC COM
Common Stock
012423109
3685
183144
SH
SOLE
41079
0
142065
CHIMERA INVESTMENT CORP REIT
REIT
16934Q109
3678
1152868
SH
SOLE
1054315
0
98553
ALIGN TECHNOLOGY INC
Common Stock
016255101
3677
65613
SH
SOLE
61060
0
4553
BENCHMARK ELECTRONICS INC
Common Stock
08160H101
3669
143984
SH
SOLE
94517
0
49467
INPEX CORP ADR
ADR
45790H101
3663
241280
SH
SOLE
235441
0
5839
QUESTCOR PHARMACEUTICALS INC
Common Stock
74835Y101
3660
39567
SH
SOLE
38154
0
1413
POLYCOM INC
Common Stock
73172K104
3651
291408
SH
SOLE
179007
0
112401
GRAY TELEVISION INC
Common Stock
389375106
3643
277466
SH
SOLE
54651
0
222815
SHINHAN FINANCIAL GROUP CO L SPN ADR RESTR
ADR
824596100
3639
79356
SH
SOLE
64182
0
15174
AECOM TECHNOLOGY CORP
Common Stock
00766T100
3629
112715
SH
SOLE
72057
0
40658
DIODES INC
Common Stock
254543101
3625
125158
SH
SOLE
53822
0
71336
IRON MOUNTAIN INC
Common Stock
462846106
3609
101816
SH
SOLE
93533
0
8283
SWIRE PAC LTD SPON ADR A
ADR
870794302
3609
293866
SH
SOLE
274723
0
19143
WASHINGTON PRIME GROUP
REIT
939647103
3608
192544
SH
SOLE
183490
0
9055
NAVIGATORS GROUP INC/THE
Common Stock
638904102
3604
53754
SH
SOLE
19243
0
34511
BLACKROCK INCOME OPP TRUST
Closed-End Fund
092475102
3603
331809
SH
SOLE
306045
0
25764
PRUDENTIAL SHT DUR HGH COM
Closed-End Fund
74442F107
3600
200318
SH
SOLE
181857
0
18461
TAKE-TWO INTERACTIVE SOFTWARE
Common Stock
874054109
3599
161810
SH
SOLE
106242
0
55568
PINNACLE FINANCIAL PARTNERS IN
Common Stock
72346Q104
3596
91083
SH
SOLE
40550
0
50533
DAITO TR CONSTR CO LTD ADR
ADR
23405X209
3595
122713
SH
SOLE
119390
0
3323
OMNICELL INC
Common Stock
68213N109
3588
124961
SH
SOLE
44234
0
80727
GULFPORT ENERGY CORP
Common Stock
402635304
3584
57069
SH
SOLE
53001
0
4068
EW SCRIPPS CO
Common Stock
811054402
3580
169210
SH
SOLE
59605
0
109605
BOK FINANCIAL CORP
Common Stock
05561Q201
3573
53654
SH
SOLE
24258
0
29396
MURPHY USA INC
Common Stock
626755102
3570
73020
SH
SOLE
62102
0
10918
G&K SERVICES INC
Common Stock
361268105
3570
68560
SH
SOLE
21597
0
46963
BOOZ ALLEN HAMILTON HOLDING CO
Common Stock
099502106
3568
167966
SH
SOLE
56493
0
111473
BANCORPSOUTH INC
Common Stock
059692103
3565
145095
SH
SOLE
99857
0
45238
OASIS PETE INC NEW COM
Common Stock
674215108
3565
63777
SH
SOLE
43422
0
20355
FINMECCANICA SPA ADR
ADR
318027208
3563
761316
SH
SOLE
734226
0
27090
CLOUGH GBL OPPS FUND SH BEN INT
Closed-End Fund
18914E106
3562
273999
SH
SOLE
252557
0
21442
ACTUANT CORP
Common Stock
00508X203
3562
103029
SH
SOLE
31810
0
71219
SM ENERGY CO
Common Stock
78454L100
3560
42334
SH
SOLE
36499
0
5835
MBIA INC
Common Stock
55262C100
3560
322463
SH
SOLE
266771
0
55692
KEMPER CORP
Common Stock
488401100
3556
96475
SH
SOLE
65950
0
30525
GAMING & LEISURE PPTYS COM
REIT
36467J108
3554
104626
SH
SOLE
17089
0
87537
MARTIN MARIETTA MATERIALS INC
Common Stock
573284106
3551
26889
SH
SOLE
25099
0
1790
TORONTO-DOMINION BANK/THE
Common Stock
891160509
3546
68970
SH
SOLE
68553
0
417
TREEHOUSE FOODS INC
Common Stock
89469A104
3533
44127
SH
SOLE
37131
0
6996
SCIENCE APPLICATIONS INTE
Common Stock
808625107
3519
79688
SH
SOLE
43352
0
36336
ATWOOD OCEANICS INC
Common Stock
050095108
3515
66983
SH
SOLE
62265
0
4718
PTC INC
Common Stock
69370C100
3513
90530
SH
SOLE
51112
0
39418
ISHARES TR MSCI EMERG MKT
ETP
464287234
3510
81183
SH
SOLE
80567
0
616
CRH PLC ADR
ADR
12626K203
3502
135492
SH
SOLE
128623
0
6869
UNITED STATIONERS INC
Common Stock
913004107
3502
84443
SH
SOLE
57136
0
27307
NUVEEN MUN MKT OPPORTN COM
Closed-End Fund
67062W103
3491
261525
SH
SOLE
238082
0
23443
STEALTHGAS INC.
Common Stock
Y81669106
3491
314496
SH
SOLE
296296
0
18200
PEABODY ENERGY CORP
Common Stock
704549104
3477
212658
SH
SOLE
146032
0
66626
DIAMONDROCK HOSPITALITY CO REIT
REIT
252784301
3475
271043
SH
SOLE
179191
0
91852
ARIAD PHARMACEUTICALS INC COM
Common Stock
04033A100
3473
545255
SH
SOLE
527635
0
17620
ANN INC
Common Stock
035623107
3472
84402
SH
SOLE
48056
0
36346
LANCASTER COLONY CORP
Common Stock
513847103
3469
36457
SH
SOLE
13921
0
22536
RLJ LODGING TR COM
REIT
74965L101
3468
120050
SH
SOLE
93930
0
26120
BILL BARRETT CORP
Common Stock
06846N104
3463
129316
SH
SOLE
75168
0
54148
COMMERCIAL METALS CO
Common Stock
201723103
3462
200009
SH
SOLE
148862
0
51147
ERIE INDEMNITY CO
Common Stock
29530P102
3457
45935
SH
SOLE
22750
0
23185
ENGILITY HOLDINGS INC
Common Stock
29285W104
3451
90210
SH
SOLE
30993
0
59217
PORTFOLIO RECOVERY ASSOCIATES
Common Stock
73640Q105
3450
57955
SH
SOLE
56302
0
1653
BANK OF THE OZARKS INC
Common Stock
063904106
3450
103136
SH
SOLE
64476
0
38660
PEUGEOT SA-UNSP ADR
ADR
716830104
3450
234362
SH
SOLE
75810
0
158552
TETRA TECH INC
Common Stock
88162G103
3442
125173
SH
SOLE
42229
0
82944
HEALTHCARE SERVICES GROUP INC
Common Stock
421906108
3439
116818
SH
SOLE
41008
0
75810
TYLER TECHNOLOGIES INC
Common Stock
902252105
3436
37676
SH
SOLE
36372
0
1304
SASOL LTD SPONSORED ADR
ADR
803866300
3432
58055
SH
SOLE
56764
0
1291
BEACON ROOFING SUPPLY INC
Common Stock
073685109
3426
103444
SH
SOLE
32217
0
71227
POSCO SPONSORED ADR
ADR
693483109
3422
45976
SH
SOLE
29718
0
16258
CONSTELLIUM NV CLASS A
Common Stock
N22035104
3421
106692
SH
SOLE
106460
0
232
SANDRIDGE ENERGY INC
Common Stock
80007P307
3413
477404
SH
SOLE
403668
0
73736
KB HOME
Common Stock
48666K109
3409
182497
SH
SOLE
69545
0
112952
CONCUR TECHNOLOGIES INC
Common Stock
206708109
3402
36447
SH
SOLE
35456
0
991
TECHNE CORP
Common Stock
878377100
3397
36698
SH
SOLE
29083
0
7615
ROLLINS INC
Common Stock
775711104
3396
113205
SH
SOLE
63886
0
49319
ITOCHU CORP ADR
ADR
465717106
3395
132066
SH
SOLE
127062
0
5004
FIRST AMERICAN FINANCIAL CORP
Common Stock
31847R102
3394
122127
SH
SOLE
115673
0
6454
TEEKAY CORP
Common Stock
Y8564W103
3393
54504
SH
SOLE
37811
0
16693
CINEMARK HOLDINGS INC
Common Stock
17243V102
3393
95948
SH
SOLE
65711
0
30237
NUVEEN DVD ADV MUNI FD 2
Closed-End Fund
67070F100
3389
243826
SH
SOLE
229004
0
14822
ALLETE INC
Common Stock
018522300
3389
65993
SH
SOLE
53204
0
12789
ENBRIDGE INC
Common Stock
29250N105
3386
71325
SH
SOLE
44053
0
27272
GP FINANCIERO SANTAND SPON ADR SHS B
ADR
40053C105
3384
254807
SH
SOLE
254063
0
744
COMMERZBANK A G SPONSORED ADR
ADR
202597605
3379
214413
SH
SOLE
211379
0
3034
DRESSER-RAND GROUP INC
Common Stock
261608103
3378
53000
SH
SOLE
44045
0
8955
HYATT HOTELS CORP - CL A
Common Stock
448579102
3376
55356
SH
SOLE
35889
0
19467
NORDSON CORP
Common Stock
655663102
3375
42092
SH
SOLE
39289
0
2803
WESTERN ALLIANCE BANCORP
Common Stock
957638109
3375
141795
SH
SOLE
59157
0
82638
ATHENAHEALTH INC
Common Stock
04685W103
3367
26911
SH
SOLE
24788
0
2123
YPF SOCIEDAD ANONIMA SPON ADR CL D
ADR
984245100
3367
103021
SH
SOLE
102744
0
277
WD-40 CO
Common Stock
929236107
3365
44737
SH
SOLE
20149
0
24588
AQUA AMERICA INC
Common Stock
03836W103
3362
128206
SH
SOLE
106596
0
21610
ICON PLC
Common Stock
G4705A100
3360
71330
SH
SOLE
50722
0
20608
ICONIX BRAND GROUP INC
Common Stock
451055107
3355
78138
SH
SOLE
56078
0
22060
CBL & ASSOC PPTYS INC COM REIT
REIT
124830100
3355
176578
SH
SOLE
127036
0
49542
RYLAND GROUP INC/THE
Common Stock
783764103
3353
85025
SH
SOLE
17563
0
67462
STEELCASE INC
Common Stock
858155203
3353
221615
SH
SOLE
127829
0
93786
DNB ASA ADR
ADR
23328E106
3351
18291
SH
SOLE
10943
0
7348
BLACKROCK MUNI HLDGS QUALITY FUND II INC
Closed-End Fund
09254C107
3347
252582
SH
SOLE
235726
0
16856
NAVIGANT CONSULTING INC
Common Stock
63935N107
3342
191499
SH
SOLE
60930
0
130569
MB FINANCIAL INC
Common Stock
55264U108
3341
123501
SH
SOLE
34936
0
88565
PRIMERICA INC
Common Stock
74164M108
3336
69708
SH
SOLE
46341
0
23367
TELETECH HOLDINGS INC
Common Stock
879939106
3335
115047
SH
SOLE
39682
0
75365
MATTHEWS INTERNATIONAL CORP
Common Stock
577128101
3333
80182
SH
SOLE
23653
0
56529
TRIMAS CORP
Common Stock
896215209
3331
87363
SH
SOLE
32234
0
55129
OWENS & MINOR INC
Common Stock
690732102
3322
97774
SH
SOLE
60175
0
37599
VEECO INSTRUMENTS INC
Common Stock
922417100
3321
89118
SH
SOLE
36194
0
52924
TOKYO GAS CO LTD ADR
ADR
889115101
3318
141610
SH
SOLE
135986
0
5624
WINTRUST FINANCIAL CORP
Common Stock
97650W108
3317
72100
SH
SOLE
46521
0
25579
HERMAN MILLER INC
Common Stock
600544100
3310
109455
SH
SOLE
50674
0
58781
UNIVERSAL ELECTRONICS INC
Common Stock
913483103
3308
67666
SH
SOLE
19619
0
48047
ACI WORLDWIDE INC
Common Stock
004498101
3306
59219
SH
SOLE
29037
0
30182
ELECTRICITE DE FRANCE - ADR
ADR
285039103
3306
528543
SH
SOLE
517899
0
10644
ISHARES TR S&P EURO 350 PLUS
ETP
464287861
3300
67939
SH
SOLE
67137
0
802
TRIBUNE CO NEW CL A
Common Stock
896047503
3299
38793
SH
SOLE
12001
0
26792
TENARIS SA ADR
ADR
88031M109
3299
69975
SH
SOLE
68285
0
1690
INNOPHOS HOLDINGS INC
Common Stock
45774N108
3296
57244
SH
SOLE
22358
0
34886
FRANKLIN ELECTRIC CO INC
Common Stock
353514102
3294
81683
SH
SOLE
41108
0
40575
WASTE CONNECTIONS INC
Common Stock
941053100
3292
67802
SH
SOLE
51722
0
16080
ENTRAVISION COMMUNICATIONS COR
Common Stock
29382R107
3289
528846
SH
SOLE
103845
0
425001
BRISTOW GROUP INC
Common Stock
110394103
3286
40762
SH
SOLE
39467
0
1295
BUFFALO WILD WINGS INC
Common Stock
119848109
3283
19812
SH
SOLE
8130
0
11682
INSIGHT ENTERPRISES INC
Common Stock
45765U103
3280
106685
SH
SOLE
66090
0
40595
KYOCERA CORP ADR
ADR
501556203
3277
68866
SH
SOLE
65729
0
3137
ARCELORMITTAL NY REG SH CL A
NY Reg Shrs
03938L104
3271
219115
SH
SOLE
206467
0
12648
MEN'S WEARHOUSE INC/THE
Common Stock
587118100
3271
58618
SH
SOLE
46375
0
12243
CORE-MARK HOLDING CO INC
Common Stock
218681104
3268
71610
SH
SOLE
21657
0
49953
MATRIX SERVICE CO
Common Stock
576853105
3267
99640
SH
SOLE
38744
0
60896
RAYONIER INC COM REIT
REIT
754907103
3266
91866
SH
SOLE
73840
0
18026
SIGNATURE BANK/NEW YORK NY
Common Stock
82669G104
3259
25829
SH
SOLE
15344
0
10485
GLACIER BANCORP INC
Common Stock
37637Q105
3259
114818
SH
SOLE
46888
0
67930
HEXCEL CORP
Common Stock
428291108
3254
79567
SH
SOLE
60148
0
19419
PEARSON PLC SPONSORED ADR
ADR
705015105
3249
163988
SH
SOLE
140765
0
23223
POWER INTEGRATIONS INC
Common Stock
739276103
3244
56380
SH
SOLE
30077
0
26303
SEADRILL LTD
Common Stock
G7945E105
3243
81178
SH
SOLE
67263
0
13915
CHEESECAKE FACTORY INC/THE
Common Stock
163072101
3236
69713
SH
SOLE
53270
0
16443
FLOWERS FOODS INC
Common Stock
343498101
3224
152963
SH
SOLE
107918
0
45045
MEDIVATION INC
Common Stock
58501N101
3222
41806
SH
SOLE
28198
0
13608
INCYTE CORP
Common Stock
45337C102
3221
57073
SH
SOLE
51477
0
5596
PENNSYLVANIA RL ESTATE INVT SH BEN REIT
REIT
709102107
3211
170609
SH
SOLE
82268
0
88341
ALLIANCEBERNSTEIN NATL COM
Closed-End Fund
01864U106
3210
230588
SH
SOLE
230588
0
0
BLACKROCK MULTI-SECTOR COM
Closed-End Fund
09258A107
3209
173484
SH
SOLE
165732
0
7752
SPLUNK INC COM
Common Stock
848637104
3205
57934
SH
SOLE
53983
0
3951
HITTITE MICROWAVE CORP
Common Stock
43365Y104
3197
41012
SH
SOLE
19215
0
21797
TELENOR ASA SPONSORED ADR
ADR
87944W105
3194
46703
SH
SOLE
44628
0
2075
MAXIMUS INC
Common Stock
577933104
3190
74158
SH
SOLE
65616
0
8542
TELEDYNE TECHNOLOGIES INC
Common Stock
879360105
3190
32829
SH
SOLE
22528
0
10301
HANG SENG BK LTD SPONSORED ADR
ADR
41043C304
3185
194920
SH
SOLE
189698
0
5222
SKF AB SPONSORED ADR
ADR
784375404
3182
124396
SH
SOLE
107081
0
17315
GREEN DOT CORP
Common Stock
39304D102
3181
167613
SH
SOLE
82736
0
84877
MUELLER WATER PRODUCTS INC
Common Stock
624758108
3175
367475
SH
SOLE
117325
0
250150
MECHEL - ADR
ADR
583840103
3174
1449393
SH
SOLE
1415539
0
33854
KIRIN BREWERY LTD SPONSORED ADR
ADR
497350306
3165
218879
SH
SOLE
203305
0
15574
AMEDISYS INC
Common Stock
023436108
3163
188966
SH
SOLE
76724
0
112242
TENCENT HOLDINGS LTD - ADR
ADR
88032Q109
3161
206978
SH
SOLE
196362
0
10616
SCHOLASTIC CORP
Common Stock
807066105
3156
92589
SH
SOLE
33262
0
59327
DIAMOND FOODS INC
Common Stock
252603105
3153
111812
SH
SOLE
35420
0
76392
WGL HOLDINGS INC
Common Stock
92924F106
3150
73088
SH
SOLE
50374
0
22714
BLACKSTONE GROUP L P COM UNIT LTD
MLP
09253U108
3149
94168
SH
SOLE
21404
0
72764
NEENAH PAPER INC
Common Stock
640079109
3138
59046
SH
SOLE
29122
0
29924
LENNOX INTERNATIONAL INC
Common Stock
526107107
3138
35033
SH
SOLE
25292
0
9741
TENNANT CO
Common Stock
880345103
3137
41105
SH
SOLE
17970
0
23135
MICROSTRATEGY INC
Common Stock
594972408
3133
22283
SH
SOLE
6690
0
15593
SCIENTIFIC GAMES CORP
Common Stock
80874P109
3131
281531
SH
SOLE
68689
0
212842
HAIN CELESTIAL GROUP INC/THE
Common Stock
405217100
3123
35193
SH
SOLE
27898
0
7295
AMADEUS IT HLDG S A ADS
ADR
02263T104
3122
75757
SH
SOLE
73290
0
2467
ITT EDUCATIONAL SERVICES INC
Common Stock
45068B109
3110
186334
SH
SOLE
113207
0
73127
RIVERBED TECHNOLOGY INC
Common Stock
768573107
3110
150739
SH
SOLE
143079
0
7660
G-III APPAREL GROUP LTD
Common Stock
36237H101
3103
38005
SH
SOLE
20493
0
17512
SERVICENOW INC COM
Common Stock
81762P102
3103
50074
SH
SOLE
35431
0
14643
YRC WORLDWIDE INC COM
Common Stock
984249607
3100
110280
SH
SOLE
43423
0
66857
NIPPON STEEL & SUMITOMO METAL CORP ADR
ADR
65461T101
3094
96352
SH
SOLE
88970
0
7382
AAR CORP
Common Stock
000361105
3092
112179
SH
SOLE
48906
0
63273
CONVERSANT INC
Common Stock
21249J105
3088
121582
SH
SOLE
58587
0
62995
DOUGLAS EMMETT INC
REIT
25960P109
3085
109337
SH
SOLE
71858
0
37479
ADVISORY BOARD CO/THE
Common Stock
00762W107
3084
59487
SH
SOLE
36323
0
23164
GRUPO FINANCIERO BANOR ADR
ADR
40052P107
3083
86284
SH
SOLE
17967
0
68317
CHUNGHWA TELECOM CO LTD-ADR
ADR
17133Q502
3082
96145
SH
SOLE
14035
0
82110
OCWEN FINANCIAL CORP
Common Stock
675746309
3082
83082
SH
SOLE
28550
0
54532
LASALLE HOTEL PROPERTIES REIT
REIT
517942108
3079
87249
SH
SOLE
74781
0
12468
MIDDLEBY CORP
Common Stock
596278101
3078
37211
SH
SOLE
33008
0
4203
DYCOM INDUSTRIES INC
Common Stock
267475101
3076
98228
SH
SOLE
34478
0
63750
CSG SYSTEMS INTERNATIONAL INC
Common Stock
126349109
3075
117782
SH
SOLE
34533
0
83249
EISAI LTD SPONSORED ADR
ADR
282579309
3070
73207
SH
SOLE
71098
0
2109
MADISON SQUARE GARDEN CO/THE
Common Stock
55826P100
3066
49097
SH
SOLE
22232
0
26865
GUESS? INC
Common Stock
401617105
3061
113373
SH
SOLE
76475
0
36898
WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES
Closed-End Fund
94987B105
3060
320045
SH
SOLE
304442
0
15603
SOLERA HOLDINGS INC
Common Stock
83421A104
3058
45543
SH
SOLE
43690
0
1853
WOLSELEY PLC - ADR
ADR
977868306
3056
558619
SH
SOLE
543515
0
15104
J2 GLOBAL INC
Common Stock
48123V102
3054
60056
SH
SOLE
30479
0
29577
DINEEQUITY INC
Common Stock
254423106
3054
38420
SH
SOLE
17232
0
21188
NITTO DENKO CORP ADR
ADR
654802206
3054
130893
SH
SOLE
116344
0
14549
TESSERA TECHNOLOGIES INC
Common Stock
88164L100
3049
138081
SH
SOLE
80631
0
57450
POSTNL - ADR
ADR
73753A103
3048
641673
SH
SOLE
111498
0
530175
REALOGY HLDGS CORP COM
Common Stock
75605Y106
3046
80782
SH
SOLE
46101
0
34681
IBERIABANK CORP
Common Stock
450828108
3036
43885
SH
SOLE
15377
0
28508
HORSEHEAD HOLDING CORP
Common Stock
440694305
3035
166214
SH
SOLE
53673
0
112541
ULTA SALON COSMETICS & FRAGRAN
Common Stock
90384S303
3035
33202
SH
SOLE
21144
0
12058
EATON VANCE TAX ADV GLOBAL DVD OPP
Closed-End Fund
27828U106
3032
117037
SH
SOLE
100968
0
16069
AMC NETWORKS INC A
Common Stock
00164V103
3028
49240
SH
SOLE
41897
0
7343
INFINEON TECHNOLOGIES - ADR
ADR
45662N103
3018
242437
SH
SOLE
238023
0
4414
COUSINS PROPERTIES INC REIT
REIT
222795106
3017
242316
SH
SOLE
121109
0
121207
EVERBANK FINANCIAL CORP
Common Stock
29977G102
3013
149461
SH
SOLE
27557
0
121904
AMERICAN STATES WATER CO
Common Stock
029899101
3009
90536
SH
SOLE
37095
0
53441
VIPSHOP HLDGS LTD SPONSORED ADR
ADR
92763W103
3007
16018
SH
SOLE
15996
0
22
BANKUNITED INC COM
Common Stock
06652K103
3002
89651
SH
SOLE
49383
0
40268
COCHLEAR LTD ADR
ADR
191459205
2999
102895
SH
SOLE
100514
0
2381
EAST WEST BANCORP INC
Common Stock
27579R104
2993
85552
SH
SOLE
70166
0
15386
CYTEC INDUSTRIES INC
Common Stock
232820100
2992
28381
SH
SOLE
13798
0
14583
WELLS FARGO ADVANTAGE GLOBAL DIVIDEND
Closed-End Fund
94987C103
2991
352307
SH
SOLE
312352
0
39955
NETSCOUT SYSTEMS INC
Common Stock
64115T104
2987
67359
SH
SOLE
30476
0
36883
DAIICHI SANKYO CO - SPONS ADR
ADR
23381D102
2984
159658
SH
SOLE
151276
0
8382
QUAD / GRAPHICS INC COM CL A
Common Stock
747301109
2975
133002
SH
SOLE
97599
0
35403
SEACOR HOLDINGS INC
Common Stock
811904101
2974
36155
SH
SOLE
27498
0
8657
WEINGARTEN RLTY INVS SH BEN INT REIT
REIT
948741103
2964
90243
SH
SOLE
64910
0
25333
WESTERN REFINING INC
Common Stock
959319104
2962
78869
SH
SOLE
56023
0
22846
OMEGA HEALTHCARE INVESTORS REIT
REIT
681936100
2959
80266
SH
SOLE
72589
0
7677
REPUBLIC AIRWAYS HOLDINGS INC
Common Stock
760276105
2947
271884
SH
SOLE
159885
0
111999
RPC INC
Common Stock
749660106
2946
125431
SH
SOLE
54752
0
70679
FXCM INC
Common Stock
302693106
2946
196916
SH
SOLE
38991
0
157925
TRIUMPH GROUP INC
Common Stock
896818101
2945
42180
SH
SOLE
19844
0
22336
DEAN FOODS CO
Common Stock
242370203
2936
166939
SH
SOLE
112789
0
54150
FNB CORP/PA
Common Stock
302520101
2936
228980
SH
SOLE
137717
0
91263
ANALOGIC CORP
Common Stock
032657207
2935
37509
SH
SOLE
23304
0
14205
INGLES MARKETS INC
Common Stock
457030104
2929
111171
SH
SOLE
35359
0
75812
CONMED CORP
Common Stock
207410101
2926
66280
SH
SOLE
41862
0
24418
TNT EXPRESS NV-ADR
ADR
87262N109
2919
324383
SH
SOLE
310292
0
14091
RLI CORP
Common Stock
749607107
2916
63703
SH
SOLE
54164
0
9539
CPFL ENERGIA S A SPONSORED ADR
ADR
126153105
2907
159703
SH
SOLE
131067
0
28636
OLD DOMINION FREIGHT LINE INC
Common Stock
679580100
2906
45637
SH
SOLE
39875
0
5762
FIRST CASH FINANCIAL SERVICES
Common Stock
31942D107
2905
50438
SH
SOLE
16222
0
34216
DAI NIPPON PRINTING CO LTD
ADR
233806306
2903
278854
SH
SOLE
266595
0
12259
GULFMARK OFFSHORE INC
Common Stock
402629208
2902
64234
SH
SOLE
28078
0
36156
PROVIDENT FINANCIAL SERVICES
Common Stock
74386T105
2901
167496
SH
SOLE
52263
0
115233
MITSUBISHI ELEC ADR
ADR
606776201
2900
117427
SH
SOLE
111625
0
5802
COMPUWARE CORP
Common Stock
205638109
2891
289399
SH
SOLE
248285
0
41114
REGAL BELOIT CORP COM
Common Stock
758750103
2888
36767
SH
SOLE
24859
0
11908
CHICO'S FAS INC
Common Stock
168615102
2881
169886
SH
SOLE
144818
0
25068
HUB GROUP INC
Common Stock
443320106
2879
57132
SH
SOLE
27879
0
29253
MUELLER INDUSTRIES INC
Common Stock
624756102
2877
97812
SH
SOLE
48996
0
48816
INSPERITY INC
Common Stock
45778Q107
2873
87048
SH
SOLE
26006
0
61042
ROHM CO LTD - UNSPONS ADR
ADR
775376106
2872
100023
SH
SOLE
96808
0
3215
BOYD GAMING CORP
Common Stock
103304101
2870
236638
SH
SOLE
144573
0
92065
EL PASO ELECTRIC CO
Common Stock
283677854
2869
71342
SH
SOLE
65866
0
5476
CITY HOLDING CO
Common Stock
177835105
2866
63514
SH
SOLE
16885
0
46629
PEP BOYS-MANNY MOE & JACK/THE
Common Stock
713278109
2865
250016
SH
SOLE
87833
0
162183
ULTIMATE SOFTWARE GROUP INC
Common Stock
90385D107
2865
20732
SH
SOLE
18533
0
2199
AEGEAN MARINE PETROLEUM NETWOR
Common Stock
Y0017S102
2863
283789
SH
SOLE
265789
0
18000
ASTORIA FINANCIAL CORP
Common Stock
046265104
2852
212024
SH
SOLE
133109
0
78915
J&J SNACK FOODS CORP
Common Stock
466032109
2849
30273
SH
SOLE
16463
0
13810
NBT BANCORP INC
Common Stock
628778102
2848
118565
SH
SOLE
31227
0
87338
COMPASS MINERALS INTERNATIONAL
Common Stock
20451N101
2841
29669
SH
SOLE
18990
0
10679
UNITED STATES CELLULAR CORP
Common Stock
911684108
2839
69589
SH
SOLE
32436
0
37153
BERRY PLASTICS GRP INC COM
Common Stock
08579W103
2839
110045
SH
SOLE
20973
0
89072
MOLINA HEALTHCARE INC
Common Stock
60855R100
2835
63511
SH
SOLE
33427
0
30084
NORTHWEST NATURAL GAS CO
Common Stock
667655104
2834
60098
SH
SOLE
58358
0
1740
INFINITY PROPERTY & CASUALTY C
Common Stock
45665Q103
2830
42089
SH
SOLE
11472
0
30617
RENT-A-CENTER INC/TX
Common Stock
76009N100
2827
98559
SH
SOLE
69018
0
29541
MSCI INC
Common Stock
55354G100
2825
61618
SH
SOLE
44449
0
17169
HEARTLAND PAYMENT SYSTEMS INC
Common Stock
42235N108
2824
68522
SH
SOLE
39851
0
28671
BALFOUR BEAUTY PLC
ADR
05845R306
2817
354799
SH
SOLE
83216
0
271583
BROWN SHOE CO INC
Common Stock
115736100
2816
98433
SH
SOLE
55284
0
43149
SYKES ENTERPRISES INC
Common Stock
871237103
2813
129472
SH
SOLE
51594
0
77878
POST HOLDINGS INC
Common Stock
737446104
2813
55259
SH
SOLE
36476
0
18783
HANG LUNG PPTYS LTD SPONSORED ADR
ADR
41043M104
2812
181671
SH
SOLE
170956
0
10715
ALTRA INDUSTRIAL MOTION CORP
Common Stock
02208R106
2811
77249
SH
SOLE
32629
0
44620
HOLCIM LTD SPONSORED ADR
ADR
434741203
2806
160240
SH
SOLE
153086
0
7154
WENDY'S CO/THE
Common Stock
95058W100
2805
328783
SH
SOLE
210420
0
118363
EQUITY LIFESTYLE PROPERTIES REIT
REIT
29472R108
2802
63453
SH
SOLE
52855
0
10598
KELLY SERVICES INC
Common Stock
488152208
2797
162911
SH
SOLE
45274
0
117637
COMMUNITY BANK SYSTEM INC
Common Stock
203607106
2796
77225
SH
SOLE
32143
0
45082
BIOMED REALTY TRUST INC COM REIT
REIT
09063H107
2791
127871
SH
SOLE
78256
0
49615
HOME RETAIL GROUP - SPON ADR
ADR
43731T102
2791
230058
SH
SOLE
230058
0
0
WOLTERS KLUWER N V SPONSORED ADR
ADR
977874205
2784
93914
SH
SOLE
90666
0
3248
AKORN INC COM
Common Stock
009728106
2781
83634
SH
SOLE
76723
0
6911
BGC PARTNERS INC
Common Stock
05541T101
2772
372538
SH
SOLE
158492
0
214046
SONIC AUTOMOTIVE INC
Common Stock
83545G102
2769
103776
SH
SOLE
36493
0
67283
IPATH DOW JONES-UBS COMMDTY
ETP
06738C778
2768
70194
SH
SOLE
70194
0
0
ROGERS COMMUNICATIONS INC
Common Stock
775109200
2768
68760
SH
SOLE
32454
0
36306
CITI TRENDS INC
Common Stock
17306X102
2768
128965
SH
SOLE
25424
0
103541
SONUS NETWORKS INC
Common Stock
835916107
2767
770686
SH
SOLE
137246
0
633440
GASTAR EXPLORATION INC
Common Stock
36729W202
2764
317376
SH
SOLE
76972
0
240404
SAPIENT CORP
Common Stock
803062108
2764
170126
SH
SOLE
76021
0
94105
UBS AG LONDON BRH ETRAC ALER MLP
ETP
90267B682
2762
83682
SH
SOLE
83682
0
0
GEA GROUP AG ADR
ADR
361592108
2756
58112
SH
SOLE
56956
0
1156
PS BUSINESS PARKS INC/CA REIT
REIT
69360J107
2755
33002
SH
SOLE
21750
0
11252
HIGHWOODS PPTYS INC COM REIT
REIT
431284108
2753
65635
SH
SOLE
63547
0
2088
SYNOVUS FINANCIAL CORP
Common Stock
87161C501
2752
112871
SH
SOLE
74522
0
38349
GEO GROUP INC/THE
REIT
36162J106
2751
76987
SH
SOLE
58844
0
18143
UNIBAIL-RODAMCO SE-UNSP ADR
ADR
904587102
2747
94238
SH
SOLE
92614
0
1624
AMERICAN EAGLE OUTFITTERS INC
Common Stock
02553E106
2747
244801
SH
SOLE
147915
0
96886
OM GROUP INC
Common Stock
670872100
2743
84596
SH
SOLE
55242
0
29354
HEINEKEN N V ADR
ADR
423012301
2737
76378
SH
SOLE
74280
0
2098
ARYZTA AG ADR
ADR
04338X102
2736
57656
SH
SOLE
56156
0
1500
TURNA RETE ELETTRICA ADR
ADR
88088L103
2736
172408
SH
SOLE
167426
0
4982
WASHINGTON FEDERAL INC
Common Stock
938824109
2734
121890
SH
SOLE
92694
0
29196
ABM INDUSTRIES INC
Common Stock
000957100
2733
101285
SH
SOLE
40498
0
60787
FIRST CITIZENS BANCSHARES INC/
Common Stock
31946M103
2732
11150
SH
SOLE
5261
0
5889
COMTECH TELECOMMUNICATIONS COR
Common Stock
205826209
2732
73178
SH
SOLE
35444
0
37734
KFORCE INC
Common Stock
493732101
2730
126094
SH
SOLE
34226
0
91868
EMERGENT BIOSOLUTIONS INC
Common Stock
29089Q105
2727
121408
SH
SOLE
34180
0
87228
MARUBENI CORP ADR
ADR
573810207
2727
37281
SH
SOLE
35700
0
1581
KENNAMETAL INC
Common Stock
489170100
2719
58759
SH
SOLE
45334
0
13425
SMITHS GROUP PLC SPON ADR
ADR
83238P203
2714
120292
SH
SOLE
118076
0
2216
GENERAL CABLE CORP
Common Stock
369300108
2713
105742
SH
SOLE
70308
0
35434
RED ELECTRICA COR - UNSPON ADR
ADR
756568101
2708
151382
SH
SOLE
135975
0
15407
OXFORD INDUSTRIES INC
Common Stock
691497309
2705
40573
SH
SOLE
14968
0
25605
J SAINSBURY PLC SPON ADR NEW
ADR
466249208
2703
123316
SH
SOLE
120429
0
2887
HNI CORP
Common Stock
404251100
2702
69081
SH
SOLE
49504
0
19577
MDC PARTNERS INC CL A SUB VTG
Common Stock
552697104
2701
125666
SH
SOLE
52176
0
73490
BANK YOKOHAMA LTD JAPAN ADR
ADR
066011206
2698
117576
SH
SOLE
103812
0
13764
INVESCO MORTGAGE CAPITAL REIT
REIT
46131B100
2696
155300
SH
SOLE
130055
0
25245
S&T BANCORP INC
Common Stock
783859101
2691
108304
SH
SOLE
39512
0
68792
GREENHILL & CO INC
Common Stock
395259104
2690
54617
SH
SOLE
35172
0
19445
MFA MTG INVTS INC COM REIT
REIT
55272X102
2689
327587
SH
SOLE
210818
0
116769
USANA HEALTH SCIENCES INC
Common Stock
90328M107
2688
34399
SH
SOLE
7880
0
26519
JARDINE MATHESON UNSPON ADR
ADR
471115402
2684
45140
SH
SOLE
8864
0
36276
3D SYSTEMS CORP
Common Stock
88554D205
2666
44575
SH
SOLE
41180
0
3395
IDT CORP
Common Stock
448947507
2663
152891
SH
SOLE
33772
0
119119
SELECT MEDICAL HOLDINGS CORP
Common Stock
81619Q105
2662
170660
SH
SOLE
44085
0
126575
CORPORATE OFFICE PPTYS TR SH BEN INT REIT
REIT
22002T108
2662
95725
SH
SOLE
87283
0
8442
COLUMBIA BANKING SYSTEM INC
Common Stock
197236102
2661
101147
SH
SOLE
37908
0
63239
TORAY INDUSTRIES ADR
ADR
890880206
2659
39929
SH
SOLE
34795
0
5134
EMPLOYERS HOLDINGS INC
Common Stock
292218104
2658
125505
SH
SOLE
25962
0
99543
TELECOM CORP NEW ZEALAND LTD SPONSORED ADR
ADR
879278208
2657
226696
SH
SOLE
222283
0
4413
TESCO CORP
Common Stock
88157K101
2657
124500
SH
SOLE
26876
0
97624
WASHINGTON REIT
REIT
939653101
2652
102069
SH
SOLE
59037
0
43032
MODINE MANUFACTURING CO
Common Stock
607828100
2650
168337
SH
SOLE
38841
0
129496
TOTO LTD-UNSPONSORED ADR
ADR
891515207
2646
98635
SH
SOLE
95032
0
3603
INLAND REAL ESTATE CORP REIT
REIT
457461200
2645
248803
SH
SOLE
97302
0
151501
SCHWEITZER-MAUDUIT INTERNATION
Common Stock
808541106
2643
60528
SH
SOLE
19764
0
40764
TOLL BROTHERS INC
Common Stock
889478103
2637
71474
SH
SOLE
57228
0
14246
IDENIX PHARMACEUTICALS INC COM
Common Stock
45166R204
2637
109418
SH
SOLE
51602
0
57816
SOVRAN SELF STORAGE INC REIT
REIT
84610H108
2635
34106
SH
SOLE
22877
0
11229
FIRST FINANCIAL BANCORP
Common Stock
320209109
2634
153047
SH
SOLE
54286
0
98761
FORWARD AIR CORP
Common Stock
349853101
2633
55021
SH
SOLE
30791
0
24230
BANCO DE CHILE SPONSORED ADR
ADR
059520106
2621
32719
SH
SOLE
32660
0
59
ASSOCIATED BANC-CORP
Common Stock
045487105
2617
144764
SH
SOLE
120735
0
24029
PRESTIGE BRANDS HOLDINGS INC
Common Stock
74112D101
2613
77102
SH
SOLE
23318
0
53784
PETROCHINA CO LTD SPONSORED ADR
ADR
71646E100
2612
20804
SH
SOLE
20512
0
292
CHIQUITA BRANDS INTERNATIONAL
Common Stock
170032809
2608
240412
SH
SOLE
104184
0
136228
ADTRAN INC
Common Stock
00738A106
2608
115607
SH
SOLE
63110
0
52497
DWS HIGH INCOME OPPORTUNITIES FUND INC
Closed-End Fund
23339M204
2606
176458
SH
SOLE
166464
0
9994
BRUKER CORP
Common Stock
116794108
2598
107052
SH
SOLE
97497
0
9555
SOUT STATE CORP
Common Stock
840441109
2591
42479
SH
SOLE
17823
0
24656
NUVEEN FLOATING RATE INCOME FUND
Closed-End Fund
67072T108
2580
213211
SH
SOLE
192694
0
20517
FIRST INTERSTATE BANCSYSTEM IN
Common Stock
32055Y201
2572
94642
SH
SOLE
24850
0
69792
SPDR GOLD TRUST
ETP
78463V107
2568
20054
SH
SOLE
20054
0
0
PUTNAM MASTER INTER INC TST
Closed-End Fund
746909100
2566
498268
SH
SOLE
459390
0
38878
CHESAPEAKE UTILITIES CORP
Common Stock
165303108
2564
35949
SH
SOLE
17325
0
18624
NATIONAL RETAIL PROPERTIES REIT
REIT
637417106
2563
68915
SH
SOLE
62495
0
6420
AMERICAN CAMPUS COMMUNITIES REIT
REIT
024835100
2561
66969
SH
SOLE
50114
0
16855
BROOKLINE BANCORP INC
Common Stock
11373M107
2560
273231
SH
SOLE
75023
0
198208
ETHAN ALLEN INTERIORS INC
Common Stock
297602104
2550
103061
SH
SOLE
41937
0
61124
IMPAX LABORATORIES INC
Common Stock
45256B101
2546
84886
SH
SOLE
28724
0
56162
CLIFFS NATURAL RESOURCES INC
Common Stock
18683K101
2539
168685
SH
SOLE
129548
0
39137
ICAP PLC SPON ADR
ADR
450936109
2538
196612
SH
SOLE
168341
0
28271
CIRCOR INTERNATIONAL INC
Common Stock
17273K109
2536
32884
SH
SOLE
10302
0
22582
KNOLL INC
Common Stock
498904200
2533
146181
SH
SOLE
52870
0
93311
REXNORD CORP NEW COM
Common Stock
76169B102
2525
89715
SH
SOLE
17796
0
71919
RENASANT CORP
Common Stock
75970E107
2523
86785
SH
SOLE
24221
0
62564
HEALTHCARE REALTY TRUST INC REIT
REIT
421946104
2522
99212
SH
SOLE
81062
0
18150
INFINERA CORP
Common Stock
45667G103
2518
273665
SH
SOLE
51432
0
222233
BLACKSTONE GSO LONG-SHORT CR
Closed-End Fund
09257D102
2516
141883
SH
SOLE
135541
0
6342
FIRST FINANCIAL BANKSHARES INC
Common Stock
32020R109
2515
80167
SH
SOLE
36353
0
43814
SIMPSON MANUFACTURING CO INC
Common Stock
829073105
2511
69051
SH
SOLE
22303
0
46748
SKYWEST INC
Common Stock
830879102
2509
205341
SH
SOLE
151887
0
53454
CHRISTOPHER & BANKS CORP
Common Stock
171046105
2508
286293
SH
SOLE
74371
0
211922
LEXINGTON REALTY TRUST REIT
REIT
529043101
2506
227612
SH
SOLE
149429
0
78183
NEWPARK RESOURCES INC
Common Stock
651718504
2499
200587
SH
SOLE
56916
0
143671
WESBANCO INC
Common Stock
950810101
2497
80446
SH
SOLE
17982
0
62464
FBL FINANCIAL GROUP INC
Common Stock
30239F106
2496
54265
SH
SOLE
19323
0
34942
GOLAR LNG LTD
Common Stock
G9456A100
2495
41521
SH
SOLE
37136
0
4385
PIPER JAFFRAY COS
Common Stock
724078100
2494
48177
SH
SOLE
22334
0
25843
PHOTRONICS INC
Common Stock
719405102
2487
289169
SH
SOLE
62255
0
226914
MONOLITHIC POWER SYSTEMS INC
Common Stock
609839105
2486
58699
SH
SOLE
32051
0
26648
AMERICAN ASSETS TR INC COM REIT
REIT
024013104
2484
71888
SH
SOLE
45233
0
26655
MKS INSTRUMENTS INC
Common Stock
55306N104
2481
79425
SH
SOLE
28336
0
51089
ISHARES TR RUSSELL 2000
ETP
464287655
2478
20855
SH
SOLE
8322
0
12533
SAFETY INSURANCE GROUP INC
Common Stock
78648T100
2478
48225
SH
SOLE
17826
0
30399
DICK'S SPORTING GOODS INC
Common Stock
253393102
2477
53203
SH
SOLE
41311
0
11892
VANTIVE CORP COM
Common Stock
92210H105
2477
73668
SH
SOLE
46984
0
26684
FIAT S P A SP ADR ORD NEW
ADR
315621888
2471
249900
SH
SOLE
231055
0
18845
BLACKROCK UTILITY AND INFRAS
Closed-End Fund
09248D104
2471
117995
SH
SOLE
105089
0
12906
VCA INC
Common Stock
918194101
2463
70191
SH
SOLE
68224
0
1967
LITTELFUSE INC
Common Stock
537008104
2462
26484
SH
SOLE
9458
0
17026
COOPER TIRE & RUBBER CO
Common Stock
216831107
2459
81972
SH
SOLE
47021
0
34951
SAFE BULKERS INC
Common Stock
Y7388L103
2452
251211
SH
SOLE
228411
0
22800
ROUNDYS INC COM
Common Stock
779268101
2451
444914
SH
SOLE
105743
0
339171
ASPEN INSURANCE HOLDINGS LTD
Common Stock
G05384105
2450
53938
SH
SOLE
34704
0
19234
TWITTER INC
Common Stock
90184L102
2448
59753
SH
SOLE
50828
0
8925
BON-TON STORES INC/THE
Common Stock
09776J101
2442
236869
SH
SOLE
69225
0
167644
HEIDRICK & STRUGGLES INTERNATI
Common Stock
422819102
2441
131960
SH
SOLE
26204
0
105756
GENESCO INC
Common Stock
371532102
2441
29721
SH
SOLE
22748
0
6973
CORPORATE EXECUTIVE BOARD CO/T
Common Stock
21988R102
2439
35757
SH
SOLE
30107
0
5650
CURTISS-WRIGHT CORP
Common Stock
231561101
2436
37151
SH
SOLE
24986
0
12165
CYBERONICS INC
Common Stock
23251P102
2435
38986
SH
SOLE
25139
0
13847
MRC GLOBAL INC COM
Common Stock
55345K103
2435
86056
SH
SOLE
82965
0
3091
RWE AG SPONSORED ADR
ADR
74975E303
2433
56587
SH
SOLE
54493
0
2094
NATL HEALTH INVESTORS INC REIT
REIT
63633D104
2428
38817
SH
SOLE
37148
0
1669
ACADIA REALTY TRUST REIT
REIT
004239109
2424
86284
SH
SOLE
67953
0
18331
EPR PROPERTIES
REIT
26884U109
2423
43361
SH
SOLE
42289
0
1072
UNIFIRST CORP/MA
Common Stock
904708104
2423
22854
SH
SOLE
8617
0
14237
PARK NATIONAL CORP
Common Stock
700658107
2421
31365
SH
SOLE
9860
0
21505
CAREER EDUCATION CORP
Common Stock
141665109
2421
517370
SH
SOLE
278609
0
238761
CALGON CARBON CORP
Common Stock
129603106
2419
108328
SH
SOLE
64316
0
44012
CBEYOND INC
Common Stock
149847105
2418
242990
SH
SOLE
81679
0
161311
SCOR-SPONSORED ADR
ADR
80917Q106
2415
704064
SH
SOLE
427153
0
276911
UNITIL CORP
Common Stock
913259107
2413
71336
SH
SOLE
40442
0
30894
DEALERTRACK TECHNOLOGIES INC
Common Stock
242309102
2413
53224
SH
SOLE
21555
0
31669
BRIDGEPOINT EDUCATION INC
Common Stock
10807M105
2412
181605
SH
SOLE
34866
0
146739
WORLD FUEL SERVICES CORP
Common Stock
981475106
2411
48984
SH
SOLE
42448
0
6536
ACXIOM CORP
Common Stock
005125109
2410
111124
SH
SOLE
57233
0
53891
COGNEX CORP
Common Stock
192422103
2410
62761
SH
SOLE
35177
0
27584
MCDERMOTT INTERNATIONAL INC
Common Stock
580037109
2409
297824
SH
SOLE
171885
0
125939
SUNCOKE ENERGY INC
Common Stock
86722A103
2406
111911
SH
SOLE
95902
0
16009
ADVENT SOFTWARE INC
Common Stock
007974108
2406
73869
SH
SOLE
30136
0
43733
CIELO S A SPONSORED ADR
ADR
171778202
2403
116007
SH
SOLE
25331
0
90676
OUTERWALL INC
Common Stock
690070107
2401
40461
SH
SOLE
27307
0
13154
SHISEIDO SPONSORED ADR
ADR
824841407
2399
131747
SH
SOLE
124921
0
6826
GRAPHIC PACKAGING HOLDING CO
Common Stock
388689101
2399
205036
SH
SOLE
195100
0
9936
INDEPENDENT BANK CORP/ROCKLAND
Common Stock
453836108
2399
62495
SH
SOLE
25266
0
37229
MURATA MANUFACTURER-UNSPONSORED ADR
ADR
626425102
2396
102486
SH
SOLE
98292
0
4194
STEWART INFORMATION SERVICES C
Common Stock
860372101
2395
77235
SH
SOLE
8579
0
68656
INVENSENSE INC
Common Stock
46123D205
2394
105499
SH
SOLE
70238
0
35261
SPIRIT AIRLS INC COM
Common Stock
848577102
2393
37836
SH
SOLE
14967
0
22869
DENNY'S CORP
Common Stock
24869P104
2387
366064
SH
SOLE
82696
0
283368
TRUSTCO BANK CORP NY
Common Stock
898349105
2386
357258
SH
SOLE
124978
0
232280
DREAMWORKS ANIMATION SKG INC
Common Stock
26153C103
2385
102540
SH
SOLE
23564
0
78976
HARTE-HANKS INC
Common Stock
416196103
2384
331586
SH
SOLE
74178
0
257408
KKR & CO L P DEL COM UNITS
MLP
48248M102
2380
97813
SH
SOLE
21413
0
76400
SNAM RETE GAS SPA ADR
ADR
78460A106
2380
198976
SH
SOLE
171987
0
26989
EATON VANCE T/A GL DVD INCM
Closed-End Fund
27828S101
2379
135312
SH
SOLE
116770
0
18542
SILICON LABORATORIES INC
Common Stock
826919102
2376
48239
SH
SOLE
17718
0
30521
ON ASSIGNMENT INC
Common Stock
682159108
2374
66737
SH
SOLE
24704
0
42033
CO BRASILEIRA DE DISTR ADR
ADR
20440T201
2369
51136
SH
SOLE
37691
0
13445
CENOVUS ENERGY INC
Common Stock
15135U109
2367
73116
SH
SOLE
30660
0
42456
BLKROCK MUNIASSETS COM
Closed-End Fund
09254J102
2366
184556
SH
SOLE
175152
0
9404
REDWOOD TRUST INC REIT
REIT
758075402
2366
121499
SH
SOLE
55649
0
65850
FIRST COMMONWEALTH FINANCIAL C
Common Stock
319829107
2365
256480
SH
SOLE
74707
0
181773
STIFEL FINANCIAL CORP
Common Stock
860630102
2364
49934
SH
SOLE
47756
0
2178
RESTORATION HARDWARE H COM
Common Stock
761283100
2364
25404
SH
SOLE
15634
0
9770
SIMMONS FIRST NATIONAL CORP
Common Stock
828730200
2360
59905
SH
SOLE
18402
0
41503
HHGREGG INC
Common Stock
42833L108
2359
231971
SH
SOLE
47635
0
184336
LOGMEIN INC
Common Stock
54142L109
2356
50530
SH
SOLE
12223
0
38307
INVESCO MUNI INCOME OP COM
Closed-End Fund
46132X101
2351
337785
SH
SOLE
337785
0
0
SUNSTONE HOTEL INVESTORS INC REIT
REIT
867892101
2345
157060
SH
SOLE
111893
0
45167
HEADWATERS INC
Common Stock
42210P102
2343
168699
SH
SOLE
61590
0
107109
APOGEE ENTERPRISES INC
Common Stock
037598109
2343
67201
SH
SOLE
21145
0
46056
FRANKLIN STREET PROPERTIES C REIT
REIT
35471R106
2337
185748
SH
SOLE
115630
0
70118
STARZ
Common Stock
85571Q102
2327
78123
SH
SOLE
49187
0
28936
MERK KGAA ADS
ADR
589339100
2327
40387
SH
SOLE
39610
0
777
GRAMERCY PROPERTY TRUST INC
REIT
38489R100
2324
384144
SH
SOLE
123757
0
260387
SAGE GROUP PLC - UNSPON ADR
ADR
78663S201
2323
88620
SH
SOLE
79920
0
8700
DUFF & PHELPS GLB UTL COM
Closed-End Fund
26433C105
2316
105332
SH
SOLE
93286
0
12046
COCA COLA AMATIL LTD SPONSORED ADR
ADR
191085208
2315
259566
SH
SOLE
228401
0
31165
ICF INTERNATIONAL INC
Common Stock
44925C103
2310
65335
SH
SOLE
14033
0
51302
NORTEK INC (DELAWARE)
Common Stock
656559309
2298
25597
SH
SOLE
6767
0
18830
TOSHIBA CORP UNSP ADR
ADR
891493306
2296
82187
SH
SOLE
75568
0
6619
SHIP FINANCE INTERNATIONAL LTD
Common Stock
G81075106
2296
123514
SH
SOLE
120878
0
2636
OMNIVISION TECHNOLOGIES INC
Common Stock
682128103
2292
104276
SH
SOLE
58602
0
45674
ISHARES INC EMRGMKT DIVIDX
ETP
464286319
2287
46995
SH
SOLE
46995
0
0
COMSCORE INC
Common Stock
20564W105
2285
64405
SH
SOLE
19909
0
44496
FIREEYE INC COM
Common Stock
31816Q101
2280
56219
SH
SOLE
44132
0
12087
MWI VETERINARY SUPPLY INC
Common Stock
55402X105
2279
16052
SH
SOLE
8004
0
8048
MCGRATH RENTCORP
Common Stock
580589109
2278
61999
SH
SOLE
17070
0
44929
AO SMITH CORP
Common Stock
831865209
2278
45953
SH
SOLE
38203
0
7750
ASPEN TECHNOLOGY INC
Common Stock
045327103
2278
49099
SH
SOLE
37563
0
11536
BALLY TECHNOLOGIES INC
Common Stock
05874B107
2278
34659
SH
SOLE
27965
0
6694
CAL-MAINE FOODS INC
Common Stock
128030202
2278
30647
SH
SOLE
9887
0
20760
MONSTER WORLDWIDE INC
Common Stock
611742107
2277
348145
SH
SOLE
195246
0
152899
CORRECTIONS CORP AMER NEW COM NEW
REIT
22025Y407
2275
69267
SH
SOLE
62516
0
6751
FAIRCHILD SEMICONDUCTOR INTL COM
Common Stock
303726103
2270
145496
SH
SOLE
80896
0
64600
BOB EVANS FARMS INC/DE
Common Stock
096761101
2266
45277
SH
SOLE
29439
0
15838
HOMEAWAY INC COM
Common Stock
43739Q100
2266
65072
SH
SOLE
50072
0
15000
POWERSHARES ETF TRUST S&P 500 HGH QLTY
ETP
73935X682
2261
105396
SH
SOLE
105396
0
0
GRAFTECH INTERNATIONAL LTD
Common Stock
384313102
2260
216045
SH
SOLE
71807
0
144238
METSO CORP SPONSORED ADR
ADR
592671101
2259
59455
SH
SOLE
55398
0
4057
PROSPECT CAPITAL CORP
Common Stock
74348T102
2259
212571
SH
SOLE
209073
0
3498
MANTECH INTERNATIONAL CORP
Common Stock
564563104
2258
76497
SH
SOLE
25984
0
50513
CUBIST PHARMACEUTICALS INC
Common Stock
229678107
2257
32333
SH
SOLE
29992
0
2341
MOOG INC
Common Stock
615394202
2252
30902
SH
SOLE
28453
0
2449
FORTESCUE METALS GROUP SPONS ADR
ADR
34959A206
2249
277496
SH
SOLE
270085
0
7411
UPM KYMMENE CORP SPONSORED ADR
ADR
915436109
2249
131645
SH
SOLE
126157
0
5488
STERLING BANCORP/DE
Common Stock
85917A100
2246
187198
SH
SOLE
46868
0
140330
RTI INTERNATIONAL METALS INC
Common Stock
74973W107
2244
84387
SH
SOLE
32709
0
51678
FIRST NIAGARA FINANCIAL GROUP
Common Stock
33582V108
2242
256488
SH
SOLE
195955
0
60533
WEBSTER FINANCIAL CORP
Common Stock
947890109
2240
71017
SH
SOLE
62365
0
8652
PRIVATEBANCORP INC
Common Stock
742962103
2236
76932
SH
SOLE
35275
0
41657
INVESTORS REAL ESTATE TRUST REIT
REIT
461730103
2236
242739
SH
SOLE
93961
0
148778
UNION BANKSHARES CORP
Common Stock
90539J109
2234
87079
SH
SOLE
20616
0
66463
CALAMOS ASSET MANAGEMENT INC
Common Stock
12811R104
2233
166746
SH
SOLE
46326
0
120420
POLYPORE INTERNATIONAL INC
Common Stock
73179V103
2232
46764
SH
SOLE
10654
0
36110
FAST RETAILING CO LTD - ADR
ADR
31188H101
2228
68142
SH
SOLE
64884
0
3258
ORKLA ASA SPON ADR
ADR
686331109
2227
247760
SH
SOLE
239117
0
8643
NELNET INC
Common Stock
64031N108
2227
53755
SH
SOLE
14553
0
39202
NATIONAL PENN BANCSHARES INC
Common Stock
637138108
2227
210487
SH
SOLE
84626
0
125861
SUN COMMUNITIES INC REIT
REIT
866674104
2226
44664
SH
SOLE
40484
0
4180
NUVEEN NC PREMIUM INC MUNI
Closed-End Fund
67060P100
2224
168623
SH
SOLE
168623
0
0
CHEMTURA CORP NEW
Common Stock
163893209
2220
84968
SH
SOLE
41094
0
43874
LOUISIANA-PACIFIC CORP
Common Stock
546347105
2219
147748
SH
SOLE
40095
0
107653
TIM HORTONS INC COM
Common Stock
88706M103
2215
40469
SH
SOLE
39121
0
1348
CANADIAN IMPERIAL BANK OF COMM
Common Stock
136069101
2215
24344
SH
SOLE
15010
0
9334
PROSPERITY BANCSHARES INC
Common Stock
743606105
2213
35356
SH
SOLE
33216
0
2140
MTN GROUP LTD - SPONS ADR
ADR
62474M108
2213
104387
SH
SOLE
101368
0
3019
UIL HOLDINGS CORP
Common Stock
902748102
2213
57157
SH
SOLE
54368
0
2789
PORSCHE AUTOMOBIL HLDG ADR
ADR
73328P106
2212
212915
SH
SOLE
208669
0
4246
ASSURED GUARANTY LTD
Common Stock
G0585R106
2212
90276
SH
SOLE
78480
0
11796
MONRO MUFFLER BRAKE INC
Common Stock
610236101
2211
41560
SH
SOLE
19652
0
21908
BIG 5 SPORTING GOODS CORP
Common Stock
08915P101
2210
180123
SH
SOLE
48615
0
131508
STEIN MART INC
Common Stock
858375108
2202
158508
SH
SOLE
39085
0
119423
CHEMICAL FINANCIAL CORP
Common Stock
163731102
2200
78357
SH
SOLE
16088
0
62269
AIR TRANSPORT SERVICES GROUP I
Common Stock
00922R105
2198
262657
SH
SOLE
49562
0
213095
CATAMARAN CORP COM
Common Stock
148887102
2198
49770
SH
SOLE
31171
0
18599
SCANSOURCE INC
Common Stock
806037107
2196
57681
SH
SOLE
21367
0
36314
LATTICE SEMICONDUCTOR CORP
Common Stock
518415104
2194
265999
SH
SOLE
77358
0
188641
QUIKSILVER INC
Common Stock
74838C106
2193
612688
SH
SOLE
222646
0
390042
GRIFFON CORP
Common Stock
398433102
2193
176858
SH
SOLE
55152
0
121706
GLOBUS MED INC CL A
Common Stock
379577208
2190
91548
SH
SOLE
34131
0
57417
NATUS MEDICAL INC
Common Stock
639050103
2188
87033
SH
SOLE
35460
0
51573
ISHARES TR RUSL 2000 GROW
ETP
464287648
2187
15801
SH
SOLE
14275
0
1526
ADVANCED ENERGY INDUSTRIES INC
Common Stock
007973100
2182
113359
SH
SOLE
52758
0
60601
MEDICAL PROPERTIES TRUST INC REIT
REIT
58463J304
2181
164722
SH
SOLE
122489
0
42233
ALLY FINANCIAL INC
Common Stock
02005N100
2178
91095
SH
SOLE
35576
0
55519
EQUITY ONE INC REIT
REIT
294752100
2175
92213
SH
SOLE
58932
0
33281
ISHARES S&P MUNI BOND FD
ETP
464288414
2172
19991
SH
SOLE
19991
0
0
KEY ENERGY SERVICES INC
Common Stock
492914106
2172
237625
SH
SOLE
159156
0
78469
VALLEY NATIONAL BANCORP
Common Stock
919794107
2172
219149
SH
SOLE
211929
0
7220
KOPPERS HOLDINGS INC
Common Stock
50060P106
2171
56762
SH
SOLE
23678
0
33084
CAPGEMINI SA - ADR
ADR
139098107
2168
60669
SH
SOLE
59013
0
1656
DSM N V SPONSORED ADR
ADR
780249108
2166
118619
SH
SOLE
96634
0
21985
CHINA LIFE INS CO LTD SPON ADR REP H
ADR
16939P106
2161
55114
SH
SOLE
54435
0
679
HAVERTY FURNITURE COS INC
Common Stock
419596101
2161
85979
SH
SOLE
20020
0
65959
BOSTON PRIVATE FINANCIAL HOLDI
Common Stock
101119105
2160
160742
SH
SOLE
51697
0
109045
SPANSION INC COM CL A NEW
Common Stock
84649R200
2160
102497
SH
SOLE
45351
0
57146
VEOLIA ENVIRONNEMENT SPONSORED ADR
ADR
92334N103
2157
113543
SH
SOLE
108934
0
4609
SEIKO EPSON CORP SUWA ADR
ADR
81603X108
2156
101516
SH
SOLE
93745
0
7771
FIRST MERCHANTS CORP
Common Stock
320817109
2156
101964
SH
SOLE
41870
0
60094
SILGAN HOLDINGS INC
Common Stock
827048109
2155
42397
SH
SOLE
24958
0
17439
ROYAL KPN NV SPONSORED ADR
ADR
780641205
2154
585263
SH
SOLE
567830
0
17433
ASTEC INDUSTRIES INC
Common Stock
046224101
2153
49058
SH
SOLE
22666
0
26392
OPENTABLE INC
Common Stock
68372A104
2148
20733
SH
SOLE
15674
0
5059
NUVEEN SHT DUR CR OPP COM
Closed-End Fund
67074X107
2146
116642
SH
SOLE
110426
0
6216
FRESH DEL MONTE PRODUCE INC
Common Stock
G36738105
2142
69901
SH
SOLE
19027
0
50874
EAGLE MATERIALS INC
Common Stock
26969P108
2141
22709
SH
SOLE
20800
0
1909
AEON CO LTD ADR
ADR
007627102
2140
174574
SH
SOLE
159285
0
15289
BIGLARI HOLDINGS INC
Common Stock
08986R101
2139
5057
SH
SOLE
1665
0
3392
HACHIJUNI BANK LTD ADR
ADR
404508202
2135
34517
SH
SOLE
31498
0
3019
CINCINNATI BELL INC
Common Stock
171871106
2127
541291
SH
SOLE
375841
0
165450
SHARP CORP ADR
ADR
819882200
2125
672495
SH
SOLE
649795
0
22700
INTRALINKS HLDGS INC COM
Common Stock
46118H104
2120
238491
SH
SOLE
70703
0
167788
GROUPON INC COM CL A
Common Stock
399473107
2118
319878
SH
SOLE
284521
0
35357
POTLATCH CORP REIT
REIT
737630103
2115
51076
SH
SOLE
22188
0
28888
HORIZON PHARMA INC COM
Common Stock
44047T109
2114
133650
SH
SOLE
113104
0
20546
CALLAWAY GOLF CO
Common Stock
131193104
2114
254086
SH
SOLE
61541
0
192545
POTASH CORP OF SASKATCHEWAN IN
Common Stock
73755L107
2114
55686
SH
SOLE
53822
0
1864
PAREXEL INTERNATIONAL CORP
Common Stock
699462107
2114
40003
SH
SOLE
32164
0
7839
INVESCO VAN KAMPEN MUNICIPAL
Closed-End Fund
46132C107
2114
167754
SH
SOLE
167754
0
0
SOLARCITY CORP COM
Common Stock
83416T100
2113
29932
SH
SOLE
22729
0
7203
PROVIDENCE SERVICE CORP/THE
Common Stock
743815102
2108
57624
SH
SOLE
11651
0
45973
NEWCREST MNG LTD SPONSORED ADR
ADR
651191108
2108
210585
SH
SOLE
201549
0
9036
CLEAR CHANNEL OUTDOOR HOLDINGS
Common Stock
18451C109
2103
257140
SH
SOLE
106838
0
150302
AIRCASTLE LTD
Common Stock
G0129K104
2103
118356
SH
SOLE
45281
0
73075
BRUNSWICK CORP/DE
Common Stock
117043109
2102
49902
SH
SOLE
40216
0
9686
NUVEEN MUN ADVANTAG FD COM
Closed-End Fund
67062H106
2102
156380
SH
SOLE
149694
0
6686
FLUSHING FINANCIAL CORP
Common Stock
343873105
2101
102249
SH
SOLE
40958
0
61291
U S SILICA HLDGS INC COM
Common Stock
90346E103
2101
37899
SH
SOLE
15329
0
22570
PARTNER COMMUNICATIONS CO LTD
ADR
70211M109
2101
269008
SH
SOLE
58673
0
210335
BARNES & NOBLE INC
Common Stock
067774109
2098
92074
SH
SOLE
51280
0
40794
HOWARD HUGHES CORP/THE
Common Stock
44267D107
2094
13266
SH
SOLE
11060
0
2206
HELEN OF TROY LTD
Common Stock
G4388N106
2093
34529
SH
SOLE
24357
0
10172
MASIMO CORP
Common Stock
574795100
2092
88650
SH
SOLE
39749
0
48901
KAMAN CORP
Common Stock
483548103
2091
48935
SH
SOLE
22391
0
26544
PMC - SIERRA INC
Common Stock
69344F106
2088
274347
SH
SOLE
140664
0
133683
TAL INTERNATIONAL GROUP INC
Common Stock
874083108
2086
47026
SH
SOLE
30897
0
16129
XERIUM TECHNOLOGIES INC
Common Stock
98416J118
2085
149368
SH
SOLE
29688
0
119680
ACCOR S A SPONSORED ADR
ADR
00435F200
2083
200326
SH
SOLE
190862
0
9464
BRINK'S CO/THE
Common Stock
109696104
2082
73786
SH
SOLE
49059
0
24727
KOMERCNI BANKA A S GDR
GDR
500459409
2082
27154
SH
SOLE
27154
0
0
HANGER INC
Common Stock
41043F208
2080
66135
SH
SOLE
32872
0
33263
CARLSBERG AS SPONSORED ADR
ADR
142795202
2075
96054
SH
SOLE
94075
0
1979
RUTH'S HOSPITALITY GROUP INC
Common Stock
783332109
2075
167993
SH
SOLE
38608
0
129385
SONY FINANCIAL HOLDINGS - UNSPONS ADR
ADR
835707100
2071
121443
SH
SOLE
116244
0
5199
MASTEC INC
Common Stock
576323109
2069
67142
SH
SOLE
36033
0
31109
ENVESTNET INC COM
Common Stock
29404K106
2068
42263
SH
SOLE
12968
0
29295
PUBLIC STORAGE 5.90%
PUBLIC
74460W206
2065
84763
SH
SOLE
0
0
84763
CVB FINANCIAL CORP
Common Stock
126600105
2064
128747
SH
SOLE
41485
0
87262
NTELOS HOLDINGS CORP
Common Stock
67020Q305
2062
165499
SH
SOLE
53683
0
111816
AMERICAN NATIONAL INSURANCE CO
Common Stock
028591105
2059
18034
SH
SOLE
15113
0
2921
NUVEEN SENIOR INCOME FUND
Closed-End Fund
67067Y104
2056
291673
SH
SOLE
277736
0
13937
GREENBRIER COS INC
Common Stock
393657101
2053
35650
SH
SOLE
16501
0
19149
YARA INTL ASA SPONSORED ADR
ADR
984851204
2053
41009
SH
SOLE
35077
0
5932
CATO CORP/THE
Common Stock
149205106
2052
66419
SH
SOLE
34242
0
32177
MTS SYSTEMS CORP
Common Stock
553777103
2052
30285
SH
SOLE
11514
0
18771
DEXCOM INC COM
Common Stock
252131107
2049
51671
SH
SOLE
24161
0
27510
ADMIRAL GROUP ADR
ADR
007192107
2049
76510
SH
SOLE
75103
0
1407
OLD NATIONAL BANCORP/IN
Common Stock
680033107
2048
143443
SH
SOLE
93943
0
49500
MEDICINES CO/THE
Common Stock
584688105
2047
70445
SH
SOLE
26301
0
44144
MATSON INC COM
Common Stock
57686G105
2046
76244
SH
SOLE
38141
0
38103
COVANTA HOLDING CORP
Common Stock
22282E102
2043
99125
SH
SOLE
61295
0
37830
USG CORP
Common Stock
903293405
2040
67699
SH
SOLE
51821
0
15878
FRED'S INC
Common Stock
356108100
2033
132953
SH
SOLE
36671
0
96282
RUSH ENTERPRISES INC
Common Stock
781846209
2029
58520
SH
SOLE
25782
0
32738
GOODRICH PETROLEUM CORP
Common Stock
382410405
2029
73505
SH
SOLE
24972
0
48533
LLOYDS BANKING
PUBLIC
539439802
2025
76062
SH
SOLE
0
0
76062
HIBBETT SPORTS INC
Common Stock
428567101
2020
37299
SH
SOLE
15708
0
21591
STILLWATER MINING CO
Common Stock
86074Q102
2020
115080
SH
SOLE
58285
0
56795
MGIC INVESTMENT CORP
Common Stock
552848103
2017
218326
SH
SOLE
206539
0
11787
B&G FOODS INC
Common Stock
05508R106
2016
61673
SH
SOLE
33180
0
28493
AKTIEBOLAGETT ELECTROLUX SPONSORED ADR
ADR
010198208
2012
39752
SH
SOLE
30221
0
9531
HONGKONG ELEC HOLDGS LTD SPONSORED ADR
ADR
739197200
2011
231409
SH
SOLE
201759
0
29650
FIRSTMERIT CORP
Common Stock
337915102
2011
101809
SH
SOLE
77680
0
24129
GOVERNMENT PROPERTIES INCOME REIT
REIT
38376A103
2007
79031
SH
SOLE
76905
0
2126
PROGRESS SOFTWARE CORP
Common Stock
743312100
2005
83401
SH
SOLE
60683
0
22718
CEDAR REALTY TRUST INC REIT
REIT
150602209
2001
320095
SH
SOLE
122415
0
197680
BLACKROCK MUNI HLDGS INV QUALITY FUND
Closed-End Fund
09254P108
1996
143770
SH
SOLE
124020
0
19750
GENERAC HOLDINGS INC
Common Stock
368736104
1995
40936
SH
SOLE
4031
0
36905
TOKYO ELECTRONIC LTD ADR
ADR
889110102
1994
116688
SH
SOLE
110930
0
5758
EXTREME NETWORKS
Common Stock
30226D106
1992
448755
SH
SOLE
87579
0
361176
WIPRO LTD SPON ADR 1 SH
ADR
97651M109
1985
166940
SH
SOLE
50770
0
116170
BROOKDALE SENIOR LIVING INC
Common Stock
112463104
1984
59520
SH
SOLE
48933
0
10587
FLOTEK INDS INC DEL COM
Common Stock
343389102
1980
61555
SH
SOLE
28619
0
32936
AMERISAFE INC
Common Stock
03071H100
1979
48665
SH
SOLE
14597
0
34068
COMPANHIA PARA ENER SPON ADR PFD
ADR
20441B407
1979
129257
SH
SOLE
103417
0
25840
CARDTRONICS INC
Common Stock
14161H108
1978
58035
SH
SOLE
33074
0
24961
HANMI FINL CORP COM
Common Stock
410495204
1973
93603
SH
SOLE
15939
0
77664
US ECOLOGY INC
Common Stock
91732J102
1973
40299
SH
SOLE
11596
0
28703
INTERNATIONAL SPEEDWAY CORP
Common Stock
460335201
1972
59257
SH
SOLE
18541
0
40716
SILICONWARE PRECISION INDS L SPONSD ADR SP
ADR
827084864
1969
239825
SH
SOLE
153431
0
86394
MICREL INC
Common Stock
594793101
1969
174537
SH
SOLE
106740
0
67797
THORATEC CORP
Common Stock
885175307
1968
56461
SH
SOLE
18736
0
37725
EXPRESS INC
Common Stock
30219E103
1968
115532
SH
SOLE
58796
0
56736
APOLLO COMMERCIAL REAL ESTATE FINANCE REIT
REIT
03762U105
1967
119279
SH
SOLE
47767
0
71512
SABRA HEALTH CARE REIT INC
REIT
78573L106
1964
68408
SH
SOLE
25803
0
42605
NORTHWEST BANCSHARES INC
Common Stock
667340103
1964
144710
SH
SOLE
114488
0
30222
VONAGE HOLDINGS CORP
Common Stock
92886T201
1961
522965
SH
SOLE
277862
0
245103
NETSUITE INC
Common Stock
64118Q107
1960
22562
SH
SOLE
16944
0
5618
POLYONE CORP
Common Stock
73179P106
1958
46475
SH
SOLE
40990
0
5485
GIANT INTERACTIVE GROUP ADR
ADR
374511103
1956
165186
SH
SOLE
165054
0
132
NUVEEN QUALITY INCOME MUNI
Closed-End Fund
670977107
1954
142438
SH
SOLE
137312
0
5126
CTS CORP
Common Stock
126501105
1951
104353
SH
SOLE
30694
0
73659
SPDR DJ WILSHIRE INTERNATIONAL REAL ESTATE
ETP
78463X863
1951
44105
SH
SOLE
43989
0
116
QUINTILES TRANSNATIONAL HOLD
Common Stock
74876Y101
1950
36599
SH
SOLE
12955
0
23644
RUBY TUESDAY INC
Common Stock
781182100
1950
256898
SH
SOLE
69491
0
187407
MELCO PBL ENTMNT LTD ADR
ADR
585464100
1945
54454
SH
SOLE
54454
0
0
UBIQUITI NETWORKS INC COM
Common Stock
90347A100
1937
42872
SH
SOLE
39341
0
3531
ATLANTIC TELE-NETWORK INC
Common Stock
049079205
1935
33366
SH
SOLE
12189
0
21177
INTERMUNE INC COM
Common Stock
45884X103
1929
43701
SH
SOLE
29046
0
14655
GEMALTO NV SPONSORED ADR
ADR
36863N208
1929
37154
SH
SOLE
25976
0
11178
FEI CO
Common Stock
30241L109
1926
21229
SH
SOLE
17458
0
3771
STAGE STORES INC
Common Stock
85254C305
1926
103024
SH
SOLE
49032
0
53992
STORA ENSO CORP SPON ADR REP R
ADR
86210M106
1924
198128
SH
SOLE
181950
0
16178
NATL WESTERN LIFE INS-CL A
Common Stock
638522102
1922
7708
SH
SOLE
2987
0
4721
OLIN CORP
Common Stock
680665205
1920
71329
SH
SOLE
59540
0
11789
NN INC
Common Stock
629337106
1911
74716
SH
SOLE
18921
0
55795
WEIS MARKETS INC
Common Stock
948849104
1911
41788
SH
SOLE
17575
0
24213
RACKSPACE HOSTING INC
Common Stock
750086100
1909
56705
SH
SOLE
48975
0
7730
SEGA SAMMY HLDGS INC SPONSORED ADR
ADR
815794102
1907
387650
SH
SOLE
331054
0
56596
CHESAPEAKE LODGING TR SH BEN INT REIT
REIT
165240102
1905
63027
SH
SOLE
50762
0
12265
ESCO TECHNOLOGIES INC
Common Stock
296315104
1905
55003
SH
SOLE
27063
0
27940
SUPER MICRO COMPUTER INC
Common Stock
86800U104
1903
75323
SH
SOLE
25679
0
49644
JAMES HARDIE INDS N V SPONSORED ADR
ADR
47030M106
1903
29106
SH
SOLE
28401
0
705
VALUEVISION MEDIA INC
Common Stock
92047K107
1899
380533
SH
SOLE
82430
0
298103
CALLON PETROLEUM CO
Common Stock
13123X102
1896
162751
SH
SOLE
41274
0
121477
HEIDELBERGCEMENT AG ADR
ADR
42281P205
1892
110775
SH
SOLE
109297
0
1478
SINCLAIR BROADCAST GROUP INC
Common Stock
829226109
1891
54404
SH
SOLE
28961
0
25443
HB FULLER CO
Common Stock
359694106
1889
39279
SH
SOLE
23852
0
15427
REX AMERICAN RESOURCES CORP
Common Stock
761624105
1889
25765
SH
SOLE
6402
0
19363
TARGA RESOURCES CORP
Common Stock
87612G101
1887
13517
SH
SOLE
13023
0
494
RPX CORP COM
Common Stock
74972G103
1884
106123
SH
SOLE
77678
0
28445
GNC HLDGS INC COM CL A
Common Stock
36191G107
1883
55231
SH
SOLE
52100
0
3131
MANULIFE FINANCIAL CORP
Common Stock
56501R106
1883
94771
SH
SOLE
93818
0
953
UNITED NATURAL FOODS INC
Common Stock
911163103
1882
28907
SH
SOLE
27370
0
1537
WORLD ACCEPTANCE CORP
Common Stock
981419104
1881
24768
SH
SOLE
7969
0
16799
GENTIVA HEALTH SERVICES INC
Common Stock
37247A102
1878
124683
SH
SOLE
78199
0
46484
ENERSYS
Common Stock
29275Y102
1875
27261
SH
SOLE
25625
0
1636
RBC BEARINGS INC
Common Stock
75524B104
1872
29228
SH
SOLE
13123
0
16105
WHARF HLDGS LTD ADR
ADR
962257408
1870
129702
SH
SOLE
128136
0
1566
BRADY CORP
Common Stock
104674106
1870
62608
SH
SOLE
18324
0
44284
ANIKA THERAPEUTICS INC
Common Stock
035255108
1869
40338
SH
SOLE
7864
0
32474
ROFIN-SINAR TECHNOLOGIES INC
Common Stock
775043102
1868
77709
SH
SOLE
24779
0
52930
GENERAL COMMUNICATION INC
Common Stock
369385109
1867
168530
SH
SOLE
46016
0
122514
INNOSPEC INC
Common Stock
45768S105
1862
43135
SH
SOLE
11480
0
31655
STANDARD MOTOR PRODUCTS INC
Common Stock
853666105
1862
41678
SH
SOLE
14592
0
27086
MONTPELIER RE HOLDINGS LTD
Common Stock
G62185106
1860
58205
SH
SOLE
54594
0
3611
CARTER'S INC
Common Stock
146229109
1857
26940
SH
SOLE
23511
0
3429
HAEMONETICS CORP
Common Stock
405024100
1857
52634
SH
SOLE
29375
0
23259
EMULEX CORP
Common Stock
292475209
1856
325640
SH
SOLE
81204
0
244436
HERCULES OFFSHORE INC
Common Stock
427093109
1856
461585
SH
SOLE
125210
0
336375
PILGRIM'S PRIDE CORP
Common Stock
72147K108
1851
67647
SH
SOLE
42355
0
25292
CAPSTEAD MORTGAGE CORP REIT
REIT
14067E506
1847
140475
SH
SOLE
137756
0
2719
INTERVAL LEISURE GROUP INC
Common Stock
46113M108
1843
84010
SH
SOLE
34311
0
49699
SUEZ ENVIORNNEMENT SA
ADR
864691100
1843
195042
SH
SOLE
190520
0
4522
TULLOW OIL PLC ADR
ADR
899415202
1842
252708
SH
SOLE
226300
0
26408
CLOUGH GLOBAL EQUITY FUND
Closed-End Fund
18914C100
1842
118981
SH
SOLE
109686
0
9295
ALPHA NATURAL RESOURCES INC COM
Common Stock
02076X102
1840
495972
SH
SOLE
404929
0
91043
SMITH & WESSON HOLDING CORP
Common Stock
831756101
1839
126467
SH
SOLE
57086
0
69381
HANCOCK HOLDING CO
Common Stock
410120109
1838
52047
SH
SOLE
18613
0
33434
AVENUE INCOME CREDIT
Closed-End Fund
05358E106
1835
102050
SH
SOLE
97963
0
4087
NACCO INDUSTRIES INC
Common Stock
629579103
1834
36251
SH
SOLE
8030
0
28221
LTC PROPERTIES INC REIT
REIT
502175102
1834
46973
SH
SOLE
23855
0
23118
SNYDERS-LANCE INC
Common Stock
833551104
1831
69181
SH
SOLE
36288
0
32893
SIRONA DENTAL SYSTEMS INC
Common Stock
82966C103
1830
22195
SH
SOLE
11691
0
10504
CLP HOLDINGS LTD SPONSORED ADR
ADR
18946Q101
1829
223639
SH
SOLE
193647
0
29992
CYS INVESTMENTS INC REIT
REIT
12673A108
1828
202609
SH
SOLE
118490
0
84119
HONG KONG & CHINA GAS LTD SPONSORED ADR
ADR
438550303
1821
842858
SH
SOLE
794683
0
48175
MORGAN STANLEY INSD MUN INCM
Closed-End Fund
46132P108
1820
121437
SH
SOLE
121437
0
0
FINISH LINE INC/THE
Common Stock
317923100
1817
61099
SH
SOLE
59112
0
1987
LA-Z-BOY INC
Common Stock
505336107
1816
78393
SH
SOLE
23725
0
54668
CIBER INC
Common Stock
17163B102
1816
367548
SH
SOLE
91023
0
276525
CABOT MICROELECTRONICS CORP
Common Stock
12709P103
1812
40572
SH
SOLE
17190
0
23382
TURKIYE GARANTI BANKASI-ADR
ADR
900148701
1811
458556
SH
SOLE
444217
0
14339
NICE SYS LTD SPONSORED ADR
ADR
653656108
1798
44069
SH
SOLE
41903
0
2166
CANTEL MEDICAL CORP
Common Stock
138098108
1797
49083
SH
SOLE
27921
0
21162
SCHNITZER STEEL INDUSTRIES INC
Common Stock
806882106
1796
68880
SH
SOLE
24408
0
44472
COLUMBUS MCKINNON CORP/NY
Common Stock
199333105
1795
66342
SH
SOLE
16566
0
49776
HD SUPPLY HLDGS INC COM
Common Stock
40416M105
1792
63135
SH
SOLE
55504
0
7631
PETROQUEST ENERGY INC
Common Stock
716748108
1792
238349
SH
SOLE
75892
0
162457
ASHFORD HOSPITALITY TRUST REIT
REIT
044103109
1787
154861
SH
SOLE
84524
0
70337
INTERFACE INC
Common Stock
458665304
1786
94811
SH
SOLE
32891
0
61920
ENERNOC INC
Common Stock
292764107
1785
94203
SH
SOLE
24653
0
69550
AISIN SEIKO CO LTD-UNSP ADR
ADR
00956Q106
1775
44635
SH
SOLE
44341
0
294
STRATASYS INC
Common Stock
M85548101
1772
15598
SH
SOLE
14633
0
965
HCI GROUP INC
Common Stock
40416E103
1771
43618
SH
SOLE
4551
0
39067
LANNET INC COM
Common Stock
516012101
1770
35677
SH
SOLE
9938
0
25739
SOUTH JERSEY INDUSTRIES INC
Common Stock
838518108
1769
29286
SH
SOLE
29011
0
275
BROWN & BROWN INC COM
Common Stock
115236101
1768
57570
SH
SOLE
51642
0
5928
CONTANGO OIL & GAS CO
Common Stock
21075N204
1765
41710
SH
SOLE
17042
0
24668
PARK-OHIO HOLDINGS CORP
Common Stock
700666100
1763
30335
SH
SOLE
7036
0
23299
HEALTHCARE TR AMER INC CL A
REIT
42225P105
1761
146266
SH
SOLE
70294
0
75972
KIMBALL INTL INC CL B
Common Stock
494274103
1759
105214
SH
SOLE
27778
0
77436
MULTIMEDIA GAMES HOLDING CO IN
Common Stock
625453105
1759
59334
SH
SOLE
15727
0
43607
KADANT INC
Common Stock
48282T104
1758
45713
SH
SOLE
8130
0
37583
ANTOFAGASTA PLC ADR
ADR
037189107
1755
67003
SH
SOLE
64809
0
2194
GENTHERM INC
Common Stock
37253A103
1753
39428
SH
SOLE
31237
0
8191
GRUMA S A DE CV SPON ADR CL B
ADR
400131306
1752
36623
SH
SOLE
36481
0
142
EMBOTELLADORA ANDINA S A SPON ADR B
ADR
29081P303
1752
77401
SH
SOLE
77235
0
166
CHILDRENS PLACE INC/THE
Common Stock
168905107
1745
35158
SH
SOLE
18377
0
16781
EVERCORE PARTNERS INC
Common Stock
29977A105
1744
30264
SH
SOLE
29238
0
1026
ALEXANDER & BALDWIN IN COM
Common Stock
014491104
1744
42074
SH
SOLE
41353
0
721
WSFS FINANCIAL CORP
Common Stock
929328102
1743
23665
SH
SOLE
6593
0
17072
COMMSCOPE HOLDING CO INC
Common Stock
20337X109
1743
75363
SH
SOLE
73158
0
2205
VANGUARD BD INDEX FD SHORT TRM BOND
ETP
921937827
1736
21603
SH
SOLE
14603
0
7000
MSC INDUSTRIAL DIRECT CO-A
Common Stock
553530106
1734
18131
SH
SOLE
15330
0
2801
ENERPLUS CORP
Common Stock
292766102
1733
68819
SH
SOLE
68744
0
75
A SCHULMAN INC
Common Stock
808194104
1732
44751
SH
SOLE
23266
0
21485
STANDEX INTERNATIONAL CORP
Common Stock
854231107
1731
23245
SH
SOLE
8137
0
15108
CENTRAL GARDEN AND PET CO
Common Stock
153527205
1729
187919
SH
SOLE
51093
0
136826
RESOLUTE FOREST PRODUCTS
Common Stock
76117W109
1729
103023
SH
SOLE
100633
0
2390
SHANDA GAMES LTD SP ADR REPTG A
ADR
81941U105
1725
259727
SH
SOLE
259727
0
0
PLATINUM UNDERWRITERS HOLDINGS
Common Stock
G7127P100
1724
26584
SH
SOLE
10644
0
15940
SILVER WHEATON CORP
Common Stock
828336107
1722
65567
SH
SOLE
28405
0
37162
BLACKROCK CORE BOND TRUST
Closed-End Fund
09249E101
1720
123241
SH
SOLE
113594
0
9647
SOUTHWEST BANCORP INC/STILLWAT
Common Stock
844767103
1720
100808
SH
SOLE
35756
0
65052
TELECOM ITALIA S P A NEW SPON ADR ORD
ADR
87927Y102
1719
136233
SH
SOLE
127815
0
8418
GREIF INC
Common Stock
397624107
1719
31506
SH
SOLE
17280
0
14226
NATIONAL PRESTO INDUSTRIES INC
Common Stock
637215104
1718
23592
SH
SOLE
7546
0
16046
APOLLO INVT CORP COM
Common Stock
03761U106
1718
199552
SH
SOLE
199122
0
430
COSTAR GROUP INC
Common Stock
22160N109
1718
10862
SH
SOLE
8927
0
1935
AIR METHODS CORP
Common Stock
009128307
1717
33250
SH
SOLE
13014
0
20236
APPLIED MICRO CIRCUITS CORP
Common Stock
03822W406
1715
158633
SH
SOLE
60475
0
98158
FEDERAL SIGNAL CORP
Common Stock
313855108
1715
117036
SH
SOLE
43752
0
73284
ROWAN COS PLC
Common Stock
G7665A101
1714
53686
SH
SOLE
45516
0
8170
TEXAS INDUSTRIES INC
Common Stock
882491103
1713
18545
SH
SOLE
8287
0
10258
MYRIAD GENETICS INC
Common Stock
62855J104
1712
43984
SH
SOLE
25968
0
18016
VAALCO ENERGY INC
Common Stock
91851C201
1711
236703
SH
SOLE
73684
0
163019
JOHNSON MATTHEY PUB LTD CO SPONSORED ADR
ADR
479142408
1711
16053
SH
SOLE
15524
0
529
DAIHATSU MTR CO LTD ADR
ADR
23381A108
1711
48204
SH
SOLE
45270
0
2934
AMN HEALTHCARE SERVICES INC
Common Stock
001744101
1708
138875
SH
SOLE
41871
0
97004
CALIFORNIA WATER SERVICE GROUP
Common Stock
130788102
1706
70488
SH
SOLE
48101
0
22387
DIME COMMUNITY BANCSHARES INC
Common Stock
253922108
1704
107899
SH
SOLE
41534
0
66365
INTERACTIVE INTELLIGENCE GROUP
Common Stock
45841V109
1703
30348
SH
SOLE
16295
0
14053
HSBC HLDGS PLC PERP PREF SHS
PUBLIC
404280802
1702
62864
SH
SOLE
0
0
62864
CLOUD PEAK ENERGY INC
Common Stock
18911Q102
1701
92360
SH
SOLE
72674
0
19686
SEMTECH CORP
Common Stock
816850101
1700
65002
SH
SOLE
33908
0
31094
BENESSE CORP - ADR
ADR
081794109
1699
39010
SH
SOLE
38395
0
615
FORMFACTOR INC
Common Stock
346375108
1698
204042
SH
SOLE
37643
0
166399
NEWPORT CORP
Common Stock
651824104
1690
91368
SH
SOLE
33213
0
58155
RANDGOLD RES LTD ADR
ADR
752344309
1688
19957
SH
SOLE
19339
0
618
PPR SA ADR
ADR
492089107
1684
77219
SH
SOLE
76021
0
1198
SANTEN PHARMACEUTICAL ADR
ADR
80287P100
1684
59976
SH
SOLE
12177
0
47799
ENCORE WIRE CORP
Common Stock
292562105
1682
34305
SH
SOLE
18455
0
15850
POOL CORP
Common Stock
73278L105
1679
29687
SH
SOLE
26624
0
3063
O A O TATNEFT SPON ADR REG S
ADR
670831205
1678
42733
SH
SOLE
42733
0
0
CAPITOL FEDERAL FINANCIAL INC
Common Stock
14057J101
1677
137899
SH
SOLE
41729
0
96170
TDK CORP - SPONSORED ADR
ADR
872351408
1674
35574
SH
SOLE
33248
0
2326
W&T OFFSHORE INC
Common Stock
92922P106
1672
102161
SH
SOLE
33670
0
68491
OIL STATES INTERNATIONAL INC
Common Stock
678026105
1672
26092
SH
SOLE
19276
0
6816
VALMONT INDUSTRIES INC
Common Stock
920253101
1666
10964
SH
SOLE
9223
0
1741
BELGACOM S.A.
ADR
077701100
1666
252385
SH
SOLE
240583
0
11802
CBIZ INC
Common Stock
124805102
1663
184182
SH
SOLE
40569
0
143613
NORDIC AMERICAN TANKERS LTD
Common Stock
G65773106
1663
174502
SH
SOLE
172454
0
2048
STMICROELECTRONICS N V NY REGISTRY
NY Reg Shrs
861012102
1662
187003
SH
SOLE
180362
0
6641
CUBIC CORP
Common Stock
229669106
1661
37327
SH
SOLE
14090
0
23237
TREND MICRO INC - SPON ADR
ADR
89486M206
1660
50197
SH
SOLE
46743
0
3454
SUSQUEHANNA BANCSHARES INC
Common Stock
869099101
1658
157049
SH
SOLE
153152
0
3897
HILLTOP HOLDINGS INC
Common Stock
432748101
1655
77836
SH
SOLE
17855
0
59981
POWELL INDUSTRIES INC
Common Stock
739128106
1651
25251
SH
SOLE
7959
0
17292
AMTRUST FINANCIAL SERVICES INC
Common Stock
032359309
1646
39379
SH
SOLE
14146
0
25233
CAMBREX CORP COM
Common Stock
132011107
1644
79430
SH
SOLE
29688
0
49742
DCT INDUSTRIAL TRUST INC REIT
REIT
233153105
1644
200191
SH
SOLE
189264
0
10927
APPLIED INDUSTRIAL TECHNOLOGIE
Common Stock
03820C105
1642
32358
SH
SOLE
26667
0
5691
UNITED FIRE GROUP INC
Common Stock
910340108
1640
55945
SH
SOLE
15763
0
40182
ENERGY XXI BERMUDA
Common Stock
G10082140
1640
69403
SH
SOLE
40960
0
28443
DAIKIN INDUSTRIES-UNSPONSORED ADR
ADR
23381B106
1630
12866
SH
SOLE
12632
0
234
RYMAN HOSPITALITY PROPERTIES
REIT
78377T107
1626
33779
SH
SOLE
32463
0
1316
TIBCO SOFTWARE INC
Common Stock
88632Q103
1625
80577
SH
SOLE
54869
0
25708
MDC HOLDINGS INC
Common Stock
552676108
1625
53633
SH
SOLE
40079
0
13554
NATIONAL CINEMEDIA INC
Common Stock
635309107
1624
92756
SH
SOLE
31295
0
61461
NINTENDO LTD ADR
ADR
654445303
1624
108638
SH
SOLE
101588
0
7050
COMFORT SYSTEMS USA INC
Common Stock
199908104
1621
102623
SH
SOLE
39016
0
63607
RAMCO-GERSHENSON PROPERTIES REIT
REIT
751452202
1621
97531
SH
SOLE
59299
0
38232
KIRKLAND'S INC
Common Stock
497498105
1619
87282
SH
SOLE
19567
0
67715
EXCO RES INC COM
Common Stock
269279402
1617
274522
SH
SOLE
103067
0
171455
MARKETAXESS HOLDINGS INC
Common Stock
57060D108
1616
29891
SH
SOLE
17410
0
12481
SMC CORP JAPAN SPONSORED ADR
ADR
78445W306
1615
121180
SH
SOLE
22135
0
99045
TRINA SOLAR LTD - SPON ADR
ADR
89628E104
1615
125867
SH
SOLE
125867
0
0
KULICKE & SOFFA INDUSTRIES INC
Common Stock
501242101
1615
113232
SH
SOLE
73037
0
40195
EXPONENT INC
Common Stock
30214U102
1614
21772
SH
SOLE
8293
0
13479
INVESCO DYNAMIC CREDIT OPP FUND
Closed-End Fund
46132R104
1612
124473
SH
SOLE
124473
0
0
WAUSAU PAPER CORP
Common Stock
943315101
1612
148963
SH
SOLE
56398
0
92565
JOHN WILEY & SONS INC
Common Stock
968223206
1610
26572
SH
SOLE
22606
0
3966
ENVISION HLTHCRE HLDGS COM
Common Stock
29413U103
1609
44793
SH
SOLE
6114
0
38679
COCA-COLA BOTTLING CO CONSOLID
Common Stock
191098102
1608
21829
SH
SOLE
4811
0
17018
SWS GROUP INC
Common Stock
78503N107
1606
220670
SH
SOLE
74934
0
145736
FIRST TR EXCHANGE-TRAD NO AMER ENERGY
ETP
33738D101
1606
59433
SH
SOLE
59433
0
0
SENSIENT TECHNOLOGIES CORP
Common Stock
81725T100
1606
28819
SH
SOLE
19847
0
8972
LORAL SPACE & COMMUNICATIONS I
Common Stock
543881106
1605
22083
SH
SOLE
9573
0
12510
AVX CORP
Common Stock
002444107
1604
120781
SH
SOLE
51679
0
69102
KITE RLTY GROUP TR COM REIT
REIT
49803T102
1603
261116
SH
SOLE
165430
0
95686
SHENANDOAH TELECOMMUNICATIONS
Common Stock
82312B106
1599
52496
SH
SOLE
14456
0
38040
PARKWAY PROPERTIES INC REIT
REIT
70159Q104
1598
77407
SH
SOLE
54907
0
22500
TELECOM ITALIA S P A NEW SPON ADR SVGS
ADR
87927Y201
1596
162056
SH
SOLE
149692
0
12364
REVLON INC
Common Stock
761525609
1596
52332
SH
SOLE
16804
0
35528
LSB INDUSTRIES INC
Common Stock
502160104
1596
38298
SH
SOLE
18251
0
20047
BLACKHAWK NETWORK HD-B
Common Stock
09238E203
1596
59433
SH
SOLE
46378
0
13055
TEXAS CAPITAL BANCSHARES INC
Common Stock
88224Q107
1595
29573
SH
SOLE
24604
0
4969
SPDR BARCLAYS CAPITAL CONV SECURITIES
ETP
78464A359
1594
31560
SH
SOLE
14715
0
16845
STEPAN CO
Common Stock
858586100
1590
30081
SH
SOLE
11251
0
18830
MEADOWBROOK INSURANCE GROUP IN
Common Stock
58319P108
1589
220951
SH
SOLE
56201
0
164750
CATHAY GENERAL BANCORP
Common Stock
149150104
1588
62116
SH
SOLE
37307
0
24809
EATON VANCE INS MUN BD COM
Closed-End Fund
27827X101
1587
127651
SH
SOLE
127651
0
0
EDUCATION REALTY TRUST INC REIT
REIT
28140H104
1586
147630
SH
SOLE
101095
0
46535
MINERALS TECHNOLOGIES INC
Common Stock
603158106
1584
24149
SH
SOLE
23299
0
850
MAGNUM HUNTER RES INC COM PAR $0.002
Common Stock
55973B102
1583
193039
SH
SOLE
111600
0
81439
MOVADO GROUP INC
Common Stock
624580106
1581
37931
SH
SOLE
10867
0
27064
ASCENT CAPITAL GROUP INC
Common Stock
043632108
1579
23921
SH
SOLE
8590
0
15331
PARKER DRILLING CO
Common Stock
701081101
1578
242011
SH
SOLE
111279
0
130732
NEUSTAR INC
Common Stock
64126X201
1578
60629
SH
SOLE
52538
0
8091
BALCHEM CORP
Common Stock
057665200
1575
29409
SH
SOLE
14481
0
14928
IROBOT CORP
Common Stock
462726100
1573
38419
SH
SOLE
10338
0
28081
REGENCY ENERGY PARTNERS LP
MLP
75885Y107
1573
48837
SH
SOLE
48837
0
0
COEUR MINING INC
Common Stock
192108504
1571
171141
SH
SOLE
142464
0
28677
MARCUS CORP
Common Stock
566330106
1570
86053
SH
SOLE
32136
0
53917
JDS UNIPHASE CORP
Common Stock
46612J507
1570
125900
SH
SOLE
108807
0
17093
GRANITE CONSTRUCTION INC
Common Stock
387328107
1569
43602
SH
SOLE
24755
0
18847
SILICON GRAPHICS INTERNATIONAL
Common Stock
82706L108
1567
162861
SH
SOLE
61427
0
101434
COMMUNITY TRUST BANCORP INC
Common Stock
204149108
1565
45723
SH
SOLE
16572
0
29151
COBALT INTERNATIONAL ENERGY
Common Stock
19075F106
1564
85229
SH
SOLE
80315
0
4914
GFI GROUP INC
Common Stock
361652209
1563
470877
SH
SOLE
119768
0
351109
OLYMPUS CORP SPONSORED ADR
ADR
68163W109
1562
45289
SH
SOLE
44214
0
1075
COGENT COMMUNICATIONS HOLDINGS
Common Stock
19239V302
1561
45192
SH
SOLE
17901
0
27291
HEICO CORP
Common Stock
422806109
1561
30059
SH
SOLE
15098
0
14961
ROSETTA RESOURCES INC
Common Stock
777779307
1559
28424
SH
SOLE
15646
0
12778
AEGION CORP
Common Stock
00770F104
1553
66727
SH
SOLE
30260
0
36467
DYNEGY INC NEW
Common Stock
26817R108
1553
44618
SH
SOLE
22217
0
22401
CEPHEID INC
Common Stock
15670R107
1552
32376
SH
SOLE
30089
0
2287
DELEK US HOLDINGS INC
Common Stock
246647101
1551
54942
SH
SOLE
20988
0
33954
BLACKROCK MUNIHOLDINGS QUALITY FUND INC.
Closed-End Fund
09254A101
1550
117344
SH
SOLE
117344
0
0
BROOKFIELD MORTGAGE OPPORTUN
Closed-End Fund
112792106
1550
88057
SH
SOLE
80038
0
8019
WAGEWORKS INC COM
Common Stock
930427109
1547
32092
SH
SOLE
6239
0
25853
KUEHNE & NAGEL INTL AG ADR
ADR
501187108
1547
57403
SH
SOLE
56277
0
1126
FUJITSU LIMITED ADR 5 COM
ADR
359590304
1544
41323
SH
SOLE
35850
0
5473
ALLISON TRANSMISSION H COM
Common Stock
01973R101
1544
49642
SH
SOLE
20915
0
28727
PACIFIC BIOSCIENCES OF CALIFORNIA INC
Common Stock
69404D108
1542
249526
SH
SOLE
112872
0
136654
WALTER INVESTMENT MANAGEMENT C
Common Stock
93317W102
1542
51768
SH
SOLE
49617
0
2151
WESTMORELAND COAL CO
Common Stock
960878106
1541
42465
SH
SOLE
13768
0
28697
COMPUTERSHARE LTD SPONSORED ADR
ADR
20557R105
1538
129671
SH
SOLE
127400
0
2271
VANGUARD INTL EQTY IDX GLB EX US ETF
ETP
922042676
1538
26486
SH
SOLE
26486
0
0
PIEDMONT OFFICE REALTY TUR-A REIT
REIT
720190206
1535
81062
SH
SOLE
68840
0
12222
CUBESMART REIT
REIT
229663109
1534
83736
SH
SOLE
48428
0
35308
MONOTYPE IMAGING HOLDINGS INC
Common Stock
61022P100
1534
54446
SH
SOLE
18235
0
36211
SOUTHSIDE BANCSHARES INC
Common Stock
84470P109
1530
52819
SH
SOLE
14130
0
38689
LUMOS NETWORKS CORP
Common Stock
550283105
1529
105691
SH
SOLE
29515
0
76176
ONE GAS INC COM
Common Stock
68235P108
1529
40505
SH
SOLE
39206
0
1299
WARREN RESOURCES INC
Common Stock
93564A100
1523
245602
SH
SOLE
56225
0
189377
EAGLE BANCORP INC
Common Stock
268948106
1522
45085
SH
SOLE
9245
0
35840
STARWOOD PROPERTY TRUST INC REIT
REIT
85571B105
1517
63801
SH
SOLE
45642
0
18159
FINANCIAL ENGINES INC COM
Common Stock
317485100
1516
33481
SH
SOLE
32334
0
1147
BURBERRY GROUP PLC SPONSORED ADR
ADR
12082W204
1514
29855
SH
SOLE
29224
0
631
ESTACIO PARTICIPACOES SPONSORED ADR
ADR
297319105
1513
114231
SH
SOLE
1541
0
112690
UNIVERSAL FOREST PRODUCTS INC
Common Stock
913543104
1512
31322
SH
SOLE
14363
0
16959
TOMPKINS FINANCIAL CORP
Common Stock
890110109
1511
31357
SH
SOLE
16344
0
15013
CRAY INC
Common Stock
225223304
1510
56774
SH
SOLE
14360
0
42414
TWIN DISC INC
Common Stock
901476101
1510
45682
SH
SOLE
13102
0
32580
GLOBAL CASH ACCESS HOLDINGS IN
Common Stock
378967103
1507
169303
SH
SOLE
42936
0
126367
MFS INTER INCOME FD SH BEN INT
Closed-End Fund
55273C107
1504
284924
SH
SOLE
262965
0
21959
TREE.COM INC
Common Stock
894675107
1504
51606
SH
SOLE
23220
0
28386
PNC FINANCIAL 6.125% SERIES P
PUBLIC
693475857
1500
54615
SH
SOLE
0
0
54615
EHEALTH INC
Common Stock
28238P109
1495
39373
SH
SOLE
12084
0
27289
PRIMORIS SERVICES CORP
Common Stock
74164F103
1493
51780
SH
SOLE
13176
0
38604
TARGO RES PARTNERS LP COM UNIT
MLP
87611X105
1492
20752
SH
SOLE
20752
0
0
MSA SAFETY INC
Common Stock
553498106
1490
25919
SH
SOLE
15698
0
10221
CHINA TELECOM CORP LTD SPON ADR H SHS
ADR
169426103
1489
30412
SH
SOLE
30228
0
184
SELECT COMFORT CORP
Common Stock
81616X103
1489
72055
SH
SOLE
17603
0
54452
LAKELAND FINANCIAL CORP
Common Stock
511656100
1488
38993
SH
SOLE
13689
0
25304
SANTOS LTD - UNSPONSORED ADR
ADR
803021708
1486
110485
SH
SOLE
93450
0
17035
VIRTUSA CORP
Common Stock
92827P102
1484
41451
SH
SOLE
19037
0
22414
ADDUS HOMECARE CORP COM
Common Stock
006739106
1483
65958
SH
SOLE
11712
0
54246
ZILLOW INC
Common Stock
98954A107
1482
10367
SH
SOLE
9574
0
793
CENVEO INC
Common Stock
15670S105
1481
399088
SH
SOLE
83451
0
315637
ROGERS CORP
Common Stock
775133101
1479
22295
SH
SOLE
8755
0
13540
HORNBECK OFFSHORE SERVICES INC
Common Stock
440543106
1478
31492
SH
SOLE
23233
0
8259
REALNETWORKS INC
Common Stock
75605L708
1477
193601
SH
SOLE
69782
0
123819
CAVIUM INC
Common Stock
14964U108
1476
29718
SH
SOLE
11348
0
18370
ITV PLC ADR
ADR
45069P107
1472
48112
SH
SOLE
46951
0
1161
EPLUS INC COM
Common Stock
294268107
1471
25282
SH
SOLE
4870
0
20412
PROTO LABS INC COM
Common Stock
743713109
1469
17937
SH
SOLE
16499
0
1438
INTERNATIONAL RECTIFIER CORP
Common Stock
460254105
1464
52456
SH
SOLE
33490
0
18966
CAPITAL BANK FINANCIAL CL A
Common Stock
139794101
1458
61774
SH
SOLE
22762
0
39012
SUNCORP GROUP LTD - SPON ADR
ADR
86723Y209
1456
113855
SH
SOLE
109939
0
3916
ARC DOCUMENT SOLUTIONS INC
Common Stock
00191G103
1455
248250
SH
SOLE
50770
0
197480
SYNTEL INC
Common Stock
87162H103
1440
16757
SH
SOLE
5603
0
11154
BUCKLE INC/THE
Common Stock
118440106
1440
32470
SH
SOLE
14491
0
17979
GLADSTONE COMMERCIAL CORP REIT
REIT
376536108
1438
80466
SH
SOLE
32818
0
47648
INVESCO MUN TR COM
Closed-End Fund
46131J103
1436
114688
SH
SOLE
114688
0
0
ASAHI GLASS ADR
ADR
043393206
1432
247396
SH
SOLE
243730
0
3666
NEOGEN CORP
Common Stock
640491106
1432
35378
SH
SOLE
22500
0
12878
LYDALL INC
Common Stock
550819106
1431
52282
SH
SOLE
16212
0
36070
SOLARWINDS INC
Common Stock
83416B109
1429
36966
SH
SOLE
18955
0
18011
TEMPLETON GLOBAL INCOME FUND
Closed-End Fund
880198106
1429
172986
SH
SOLE
172986
0
0
WOODWARD INC
Common Stock
980745103
1426
28426
SH
SOLE
21588
0
6838
NORTHFIELD BANCORP INC/NJ
Common Stock
66611T108
1425
108731
SH
SOLE
80480
0
28251
DORMAN PRODUCTS INC
Common Stock
258278100
1424
28869
SH
SOLE
10430
0
18439
QLIK TECHNOLOGIES INC
Common Stock
74733T105
1423
62928
SH
SOLE
30469
0
32459
BEAZER HOMES USA INC
Common Stock
07556Q881
1421
67724
SH
SOLE
35022
0
32702
U S CONCRETE INC COM NEW
Common Stock
90333L201
1420
57380
SH
SOLE
11312
0
46068
GLOBE SPECIALTY METALS INC
Common Stock
37954N206
1419
68306
SH
SOLE
24246
0
44060
XCERRA CORP
Common Stock
98400J108
1416
155603
SH
SOLE
30295
0
125308
TELIASONERA A B SPONSORED ADR
ADR
87960M205
1414
97362
SH
SOLE
93829
0
3533
QUANEX BUILDING PRODUCTS CORP
Common Stock
747619104
1412
79042
SH
SOLE
26778
0
52264
MYERS INDUSTRIES INC
Common Stock
628464109
1412
70282
SH
SOLE
25410
0
44872
OSI SYSTEMS INC
Common Stock
671044105
1411
21133
SH
SOLE
5744
0
15389
GOLDEN AGRI-RESOURCES UNSPONS ADR
ADR
380787200
1410
31400
SH
SOLE
30850
0
550
MARTEN TRANSPORT LTD
Common Stock
573075108
1409
63062
SH
SOLE
23496
0
39566
RIGNET INC
Common Stock
766582100
1407
26144
SH
SOLE
9493
0
16651
NATIONAL HEALTHCARE CORP
Common Stock
635906100
1400
24869
SH
SOLE
5967
0
18902
JSC MMC NORILSK NICKEL SPONSORED ADR
ADR
46626D108
1398
70194
SH
SOLE
17386
0
52808
NATIONAL BEVERAGE CORP
Common Stock
635017106
1397
73860
SH
SOLE
12793
0
61067
HOME BANCSHARES INC/AR
Common Stock
436893200
1397
42552
SH
SOLE
21172
0
21380
NATURAL GAS SERVICES GROUP INC
Common Stock
63886Q109
1396
42220
SH
SOLE
12200
0
30020
NUVEEN PREM MUN INCOME COM
Closed-End Fund
670988104
1395
102325
SH
SOLE
98966
0
3359
ZEP INC
Common Stock
98944B108
1395
78968
SH
SOLE
21476
0
57492
SPDR S&P BIOTECH
ETP
78464A870
1394
9052
SH
SOLE
33
0
9019
AMERICAN PUBLIC EDUCATION INC
Common Stock
02913V103
1389
40394
SH
SOLE
9410
0
30984
GSI GROUP INC
Common Stock
36191C205
1388
109063
SH
SOLE
30362
0
78701
FIFTH STREET FINANCE CORP
Common Stock
31678A103
1388
141203
SH
SOLE
139435
0
1768
WILSHIRE BANCORP INC
Common Stock
97186T108
1387
135035
SH
SOLE
77314
0
57721
HYSTER-YALE MATERIALS HANDLING
Common Stock
449172105
1383
15618
SH
SOLE
9233
0
6385
VIAD CORP
Common Stock
92552R406
1382
57989
SH
SOLE
16628
0
41361
LIXIL GROUP CORP
ADR
53931R103
1381
25521
SH
SOLE
25282
0
239
CASIO COMPUTER LTD ADR
ADR
147618201
1380
9507
SH
SOLE
9032
0
475
MARINEMAX INC
Common Stock
567908108
1379
82378
SH
SOLE
37367
0
45011
CAPITAL ONE 6%
PUBLIC
14040H402
1377
57024
SH
SOLE
0
0
57024
YAHOO JAPAN CORP ADR
ADR
98433V102
1375
149468
SH
SOLE
138985
0
10483
EUTELSAT COMMUNICAT-UNSP ADR
ADR
29888Q108
1375
158539
SH
SOLE
89739
0
68800
URSTADT BIDDLE - CLASS A REIT
REIT
917286205
1374
65815
SH
SOLE
34777
0
31038
WILLIAMS PARTNERS L P COM UNIT L P
MLP
96950F104
1373
25295
SH
SOLE
25295
0
0
ISLE OF CAPRI CASINOS INC
Common Stock
464592104
1373
160372
SH
SOLE
30221
0
130151
ACCURAY INC
Common Stock
004397105
1370
155675
SH
SOLE
29137
0
126538
ADVANTEST CORP SPONSORED ADR
ADR
00762U200
1369
110730
SH
SOLE
102613
0
8117
STRAYER EDUCATION INC
Common Stock
863236105
1368
26045
SH
SOLE
19429
0
6616
OMEGA PROTEIN CORP
Common Stock
68210P107
1366
99856
SH
SOLE
38174
0
61682
MICROSEMI CORP
Common Stock
595137100
1366
51044
SH
SOLE
40751
0
10293
QBE INS GROUP LTD SPONSORED ADR
ADR
74728G605
1364
132164
SH
SOLE
129176
0
2988
UNIVERSAL AMERICAN CORP/NY
Common Stock
91338E101
1364
163733
SH
SOLE
33092
0
130641
WINNEBAGO INDUSTRIES INC
Common Stock
974637100
1361
54041
SH
SOLE
24719
0
29322
RAVEN INDUSTRIES INC
Common Stock
754212108
1355
40895
SH
SOLE
12799
0
28096
COHEN & STEERS INC
Common Stock
19247A100
1355
31225
SH
SOLE
12403
0
18822
SWIFT ENERGY CO
Common Stock
870738101
1352
104145
SH
SOLE
70118
0
34027
LIFE TIME FITNESS INC
Common Stock
53217R207
1352
27729
SH
SOLE
21519
0
6210
SESA GOA LTD SPONSORED ADR
ADR
78413F103
1351
69803
SH
SOLE
69495
0
308
ARMOUR RESIDENTIAL REI COM
REIT
042315101
1348
311336
SH
SOLE
256274
0
55062
JOURNAL COMMUNICATIONS INC
Common Stock
481130102
1343
151427
SH
SOLE
37618
0
113809
P C CONNECTION COM
Common Stock
69318J100
1341
64862
SH
SOLE
15143
0
49719
CHINA UNICOM LTD SPONSORED ADR
ADR
16945R104
1340
87382
SH
SOLE
86775
0
607
ISHARES CORE HIGH DIVIDEND ETF
ETP
46429B663
1339
17766
SH
SOLE
17766
0
0
LINDSAY CORP
Common Stock
535555106
1339
15849
SH
SOLE
6219
0
9630
XO GROUP INC
Common Stock
983772104
1339
109538
SH
SOLE
24416
0
85122
IGATE CORP
Common Stock
45169U105
1337
36749
SH
SOLE
22103
0
14646
RESOURCE CAPITAL CORP REIT
REIT
76120W302
1337
237450
SH
SOLE
73728
0
163722
SEATTLE GENETICS INC
Common Stock
812578102
1336
34940
SH
SOLE
30449
0
4491
SYMRISE AG - ADR
ADR
87155N109
1336
98172
SH
SOLE
95475
0
2697
BIOTELEMETRY INC
Common Stock
090672106
1335
186210
SH
SOLE
32744
0
153466
LAREDO PETROLEUM INC
Common Stock
516806106
1335
43090
SH
SOLE
35703
0
7387
ARES DYNAMIC CR ALLOCA COM
Closed-End Fund
04014F102
1334
73253
SH
SOLE
69669
0
3584
FRESENIUS SE & CO KGAA SPONSORED ADR
ADR
35804M105
1333
71249
SH
SOLE
69660
0
1589
FBR & CO
Common Stock
30247C400
1332
49105
SH
SOLE
8913
0
40192
WESTERN ASSET MANAGED HIGH YIELD INC
Closed-End Fund
95766L107
1331
229551
SH
SOLE
218176
0
11375
WEB.COM GROUP INC
Common Stock
94733A104
1331
46087
SH
SOLE
30322
0
15765
LIBBEY INC
Common Stock
529898108
1330
49936
SH
SOLE
11628
0
38308
FULTON FINANCIAL CORP
Common Stock
360271100
1329
107267
SH
SOLE
72583
0
34684
ISUZU MOTORS LTD ADR
ADR
465254209
1325
19987
SH
SOLE
19642
0
345
C&J ENERGY SVCS INC COM
Common Stock
12467B304
1322
39133
SH
SOLE
34525
0
4608
ADAMS EXPRESS CO
Closed-End Fund
006212104
1322
96128
SH
SOLE
88634
0
7494
GETTY REALTY CORP REIT
REIT
374297109
1320
69178
SH
SOLE
43976
0
25202
SUPERIOR INDUSTRIES INTERNATIO
Common Stock
868168105
1320
64010
SH
SOLE
25584
0
38426
ISHARES DJ US MEDICAL DEVICES INDEX ETF
ETP
464288810
1320
12935
SH
SOLE
400
0
12535
COHEN & STEERS LTD DUR COM
Closed-End Fund
19248C105
1317
51742
SH
SOLE
46050
0
5692
MANNING & NAPIER INC CL A
Common Stock
56382Q102
1317
76295
SH
SOLE
12
0
76283
MILLER ENERGY RESOURCES INC
Common Stock
600527105
1316
205581
SH
SOLE
54402
0
151179
POPEYES LOUISIANA KITCHEN INC
Common Stock
732872106
1316
30099
SH
SOLE
11268
0
18831
GIBRALTAR INDUSTRIES INC
Common Stock
374689107
1314
84700
SH
SOLE
27714
0
56986
COCA COLA HELLENIC BOTTLING TENDER CUSIP
ADR
191223106
1312
57670
SH
SOLE
56386
0
1284
ATLAS AIR WORLDWIDE HOLDINGS I
Common Stock
049164205
1311
35585
SH
SOLE
19631
0
15954
UNITED FINL BANCORP COM / NEW
Common Stock
910304104
1309
96585
SH
SOLE
28282
0
68303
ENTERCOM COMMUNICATIONS CORP
Common Stock
293639100
1309
121964
SH
SOLE
27600
0
94364
SHORETEL INC
Common Stock
825211105
1305
200142
SH
SOLE
39724
0
160418
PETROFAC LTD ADS
ADR
716473103
1304
127590
SH
SOLE
111187
0
16403
FIRST POTOMAC REALTY TRUST REIT
REIT
33610F109
1304
99384
SH
SOLE
36742
0
62642
TREASURY WINE ESTATES LTD ADR
ADR
89465J109
1303
277865
SH
SOLE
272627
0
5238
ALMOST FAMILY INC
Common Stock
020409108
1299
58835
SH
SOLE
15564
0
43271
PEBBLEBROOK HOTEL TRUST REIT
REIT
70509V100
1298
35122
SH
SOLE
28507
0
6615
OTSUKA HLDGS CO LTD ADR
ADR
689164101
1297
83315
SH
SOLE
82296
0
1019
BJ'S RESTAURANTS INC
Common Stock
09180C106
1293
37047
SH
SOLE
14963
0
22084
FORRESTER RESEARCH INC
Common Stock
346563109
1289
34028
SH
SOLE
9477
0
24551
OI S.A. SPN ADR REP PFD
ADR
670851203
1288
1501528
SH
SOLE
1323124
0
178404
REGIS CORP
Common Stock
758932107
1288
91509
SH
SOLE
58334
0
33175
PING AN INS GROUP CO CHINA SPON ADR
ADR
72341E304
1285
83348
SH
SOLE
49304
0
34044
ENCORE CAPITAL GROUP INC
Common Stock
292554102
1285
28292
SH
SOLE
11407
0
16885
WASHINGTON TRUST BANCORP INC
Common Stock
940610108
1284
34917
SH
SOLE
8792
0
26125
STEVEN MADDEN LTD
Common Stock
556269108
1284
37430
SH
SOLE
16756
0
20674
SUNOCO LOG PTNRS LP
MLP
86764L108
1284
27251
SH
SOLE
27251
0
0
STRATEGIC HOTELS & RESORTS I REIT
REIT
86272T106
1281
109354
SH
SOLE
72949
0
36405
STOCK YARDS BANCORP INC
Common Stock
861025104
1280
42798
SH
SOLE
14834
0
27964
SABRE CORP COM
Common Stock
78573M104
1279
63773
SH
SOLE
63625
0
148
ISIS PHARMACEUTICALS INC
Common Stock
464330109
1278
37093
SH
SOLE
27485
0
9608
BLACKROCK RES & COMM S SHS
Closed-End Fund
09257A108
1278
102969
SH
SOLE
92251
0
10718
UNITED COMMUNITY BANKS INC/GA
Common Stock
90984P303
1276
77941
SH
SOLE
23656
0
54285
STATE BK FINL CORP COM
Common Stock
856190103
1276
75452
SH
SOLE
19253
0
56199
UMB FINANCIAL CORP
Common Stock
902788108
1276
20127
SH
SOLE
19717
0
410
BANK MUTUAL CORP
Common Stock
063750103
1276
219940
SH
SOLE
72881
0
147059
ARGO GROUP INTERNATIONAL HOLDI
Common Stock
G0464B107
1275
24944
SH
SOLE
20413
0
4531
GALAXY ENTMT GROUP LTD SPONSORED ADR
ADR
36318L104
1273
15927
SH
SOLE
15508
0
419
CORPBANCA SP ADR REG S
ADR
21987A209
1271
68184
SH
SOLE
68159
0
25
MACK CALI RLTY CORP COM REIT
REIT
554489104
1271
59166
SH
SOLE
54932
0
4234
AMERIS BANCORP
Common Stock
03076K108
1271
58940
SH
SOLE
20953
0
37987
ACCURIDE CORP
Common Stock
00439T206
1267
259151
SH
SOLE
70270
0
188881
LB FOSTER CO
Common Stock
350060109
1260
23286
SH
SOLE
5562
0
17724
WEST JAPAN RAILWAY CO ADR
ADR
953432101
1259
28700
SH
SOLE
26224
0
2476
CONSTANT CONTACT INC
Common Stock
210313102
1257
39156
SH
SOLE
9647
0
29509
DEUTSCHE BANK CONTINGENT CAP PFD
PUBLIC
25153X208
1256
48070
SH
SOLE
0
0
48070
HFF INC CL A
Common Stock
40418F108
1256
33761
SH
SOLE
12939
0
20822
GAFISA S A SPONS ADR
ADR
362607301
1254
409703
SH
SOLE
299803
0
109900
NUVEEN QUALITY PREFERRED INC
Closed-End Fund
67071S101
1252
147147
SH
SOLE
131402
0
15745
CATHAY PAC AWYS LTD SPONSORED ADR
ADR
148906308
1250
134220
SH
SOLE
128008
0
6212
BANNER CORP
Common Stock
06652V208
1247
31473
SH
SOLE
8892
0
22581
SANDY SPRING BANCORP INC
Common Stock
800363103
1247
50047
SH
SOLE
12205
0
37842
INTERNATIONAL BANCSHARES CORP
Common Stock
459044103
1244
46066
SH
SOLE
43272
0
2794
PRICESMART INC
Common Stock
741511109
1238
14219
SH
SOLE
6287
0
7932
XPO LOGISTICS INC
Common Stock
983793100
1238
43242
SH
SOLE
23299
0
19943
QUAKER CHEMICAL CORP
Common Stock
747316107
1237
16115
SH
SOLE
8408
0
7707
CSS INDUSTRIES INC
Common Stock
125906107
1237
46919
SH
SOLE
12674
0
34245
AAON INC
Common Stock
000360206
1236
36880
SH
SOLE
12767
0
24113
WEST PHARMACEUTICAL SERVICES I
Common Stock
955306105
1235
29290
SH
SOLE
26340
0
2950
ASCENA RETAIL GROUP INC
Common Stock
04351G101
1235
72206
SH
SOLE
52601
0
19605
TASER INTERNATIONAL INC
Common Stock
87651B104
1233
92700
SH
SOLE
39144
0
53556
EPAM SYS INC COM
Common Stock
29414B104
1232
28156
SH
SOLE
11857
0
16299
ABAXIS INC
Common Stock
002567105
1232
27798
SH
SOLE
19133
0
8665
VITAMIN SHOPPE INC
Common Stock
92849E101
1231
28619
SH
SOLE
10275
0
18344
SKILLED HEALTHCARE GROUP INC
Common Stock
83066R107
1228
195286
SH
SOLE
103507
0
91779
SAUL CENTERS INC REIT
REIT
804395101
1224
25188
SH
SOLE
20491
0
4697
AGL ENERGY LTD-UNSO ADR
ADR
001201102
1223
83524
SH
SOLE
81381
0
2143
JOHN HANCOCK PREMIUM DIVIDEND FUND
Closed-End Fund
41013T105
1220
89807
SH
SOLE
79236
0
10571
NEWS CORP CL B
Common Stock
65249B208
1218
69824
SH
SOLE
69759
0
65
FURMANITE CORP
Common Stock
361086101
1216
104433
SH
SOLE
30852
0
73581
VINA CONCHA Y TORO S A SPONSORED ADR
ADR
927191106
1215
30406
SH
SOLE
29306
0
1100
ALSTOM ADR
ADR
021244207
1215
339449
SH
SOLE
338195
0
1254
CITY DEVS LTD SPONSORED ADR
ADR
177797305
1215
148712
SH
SOLE
144221
0
4491
CASELLA WASTE SYSTEMS INC
Common Stock
147448104
1215
242422
SH
SOLE
39287
0
203135
TOWNEBANK/PORTSMOUTH VA
Common Stock
89214P109
1214
77306
SH
SOLE
27749
0
49557
INTREPID POTASH INC
Common Stock
46121Y102
1213
72363
SH
SOLE
40044
0
32319
SUMITOMO METAL MNG CO ADR
ADR
86563T104
1212
74775
SH
SOLE
74084
0
691
KOSMOS ENERGY LTD SHS
Common Stock
G5315B107
1209
107701
SH
SOLE
81696
0
26005
TEAM INC
Common Stock
878155100
1209
29477
SH
SOLE
6667
0
22810
AERCAP HOLDINGS NV SHS
Common Stock
N00985106
1208
26368
SH
SOLE
26368
0
0
HAYNES INTERNATIONAL INC
Common Stock
420877201
1206
21315
SH
SOLE
8170
0
13145
MYR GROUP INC
Common Stock
55405W104
1205
47569
SH
SOLE
12630
0
34939
BOTTOMLINE TECHNOLOGIES INC
Common Stock
101388106
1203
40203
SH
SOLE
15784
0
24419
BLOUNT INTERNATIONAL INC
Common Stock
095180105
1202
85158
SH
SOLE
36617
0
48541
METHANEX CORP
Common Stock
59151K108
1200
19423
SH
SOLE
19407
0
16
FIRST FINANCIAL CORP/IN
Common Stock
320218100
1200
37268
SH
SOLE
7553
0
29715
FOSTER WHEELER AG
Common Stock
H27178104
1199
35203
SH
SOLE
35015
0
188
WESCO AIRCRAFT HLDGS I COM
Common Stock
950814103
1197
59974
SH
SOLE
15988
0
43986
GAIN CAP HLDGS INC COM
Common Stock
36268W100
1195
151890
SH
SOLE
65060
0
86830
NAUTILUS INC
Common Stock
63910B102
1194
107671
SH
SOLE
21138
0
86533
AJINOMOTO INC UNSPON ADR
ADR
009707100
1193
75742
SH
SOLE
72610
0
3132
FIRST BUSEY CORP
Common Stock
319383105
1192
205107
SH
SOLE
95600
0
109507
TRICO BANCSHARES
Common Stock
896095106
1191
51490
SH
SOLE
14811
0
36679
BCE INC
Common Stock
05534B760
1191
26260
SH
SOLE
25606
0
654
ALLEGIANT TRAVEL CO
Common Stock
01748X102
1191
10109
SH
SOLE
9755
0
354
NIPPON YUSEN KABUS-SPN ADR
ADR
654633304
1190
207002
SH
SOLE
196519
0
10483
EMERITUS CORP
Common Stock
291005106
1189
37574
SH
SOLE
15057
0
22517
EARTHLINK HOLDINGS CORP
Common Stock
27033X101
1189
319611
SH
SOLE
150773
0
168838
DATATRAK INTERNATIONAL INC
Common Stock
87336U105
1189
16662
SH
SOLE
14410
0
2252
TATE & LYLE PLC SPONSORED ADR
ADR
876570607
1185
24797
SH
SOLE
24242
0
555
ISHARES INC MSCI TAIWAN
ETP
464286731
1182
74801
SH
SOLE
74801
0
0
SURGUTNEFTEGAZ JSC SPONSORED ADR
ADR
868861204
1182
152889
SH
SOLE
11189
0
141700
LINNCO LLC COMSHS LTD INT
Common Stock
535782106
1182
37762
SH
SOLE
29060
0
8702
RAYONIER ADVANCED MATERIALS
Common Stock
75508B104
1180
30458
SH
SOLE
24452
0
6006
ARLINGTON ASSET INVESTMENT CORP
Common Stock
041356205
1180
43172
SH
SOLE
12151
0
31021
ZULILY INC - CL A
Common Stock
989774104
1179
28803
SH
SOLE
27463
0
1340
MOVE INC
Common Stock
62458M207
1179
79726
SH
SOLE
14870
0
64856
WOLVERINE WORLD WIDE INC
Common Stock
978097103
1179
45239
SH
SOLE
43148
0
2091
BONANZA CREEK ENERGY I COM
Common Stock
097793103
1178
20601
SH
SOLE
7172
0
13429
TREDEGAR CORP
Common Stock
894650100
1178
50319
SH
SOLE
15246
0
35073
ICL-ISRAEL CHEMICALS LTD
ADR
465036200
1176
137762
SH
SOLE
135770
0
1992
CARRIAGE SERVICES INC
Common Stock
143905107
1176
68671
SH
SOLE
12702
0
55969
WM MORRISON SUPERMARKETS PLC
ADR
92933J107
1174
74186
SH
SOLE
72656
0
1530
MEDIDATA SOLUTIONS INC
Common Stock
58471A105
1173
27403
SH
SOLE
12836
0
14567
PERRY ELLIS INTERNATIONAL INC
Common Stock
288853104
1173
67246
SH
SOLE
24247
0
42999
SEMGROUP CORP
Common Stock
81663A105
1171
14855
SH
SOLE
14012
0
843
1ST SOURCE CORP
Common Stock
336901103
1171
38252
SH
SOLE
10777
0
27475
UNITED MICROELECTRONICS CORP SPONSORED ADR
ADR
910873405
1167
484284
SH
SOLE
178620
0
305664
ATLANTIC POWER CORP
Common Stock
04878Q863
1166
284422
SH
SOLE
269576
0
14846
BANCFIRST CORP
Common Stock
05945F103
1166
18833
SH
SOLE
5752
0
13081
AXIALL CORP
Common Stock
05463D100
1166
24657
SH
SOLE
9673
0
14984
SELECT INCOME REIT
REIT
81618T100
1165
39294
SH
SOLE
19663
0
19631
NUVEEN CREDIT STRATEGIES INCOME FUND
Closed-End Fund
67073D102
1164
124362
SH
SOLE
111335
0
13027
AIR LEASE GROUP
Common Stock
00912X302
1162
30119
SH
SOLE
24423
0
5696
FREIGHTCAR AMERICA INC
Common Stock
357023100
1161
46380
SH
SOLE
14579
0
31801
AEGON NV PREFERRED SHARE
PUBLIC
007924301
1161
45417
SH
SOLE
0
0
45417
ICU MEDICAL INC
Common Stock
44930G107
1158
19042
SH
SOLE
7082
0
11960
BLACKSTONE MORTGAGE TRUST INC
REIT
09257W100
1158
39922
SH
SOLE
4184
0
35738
AH BELO CORP
Common Stock
001282102
1158
97699
SH
SOLE
11377
0
86322
PIER 1 IMPORTS INC
Common Stock
720279108
1153
74807
SH
SOLE
21329
0
53478
UNIVERSAL TECHNICAL INSTITUTE
Common Stock
913915104
1149
94634
SH
SOLE
18297
0
76337
TRANSPORTADORA DE GAS SPONSR ADR B
ADR
893870204
1146
415176
SH
SOLE
338528
0
76648
LEE ENTERPRISES INC/IA
Common Stock
523768109
1146
257457
SH
SOLE
52178
0
205279
ORION MARINE GROUP INC
Common Stock
68628V308
1144
105605
SH
SOLE
27775
0
77830
ADVENT CLAY GBL CONV COM BENE INTER
Closed-End Fund
007639107
1143
149235
SH
SOLE
131081
0
18154
LAYNE CHRISTENSEN CO
Common Stock
521050104
1143
85920
SH
SOLE
18232
0
67688
TAV HAVALIMANLARI HLDG ADR
ADR
876704107
1142
36055
SH
SOLE
0
0
36055
UNITED ONLINE INC
Common Stock
911268209
1141
109680
SH
SOLE
64975
0
44705
DAKTRONICS INC
Common Stock
234264109
1138
95496
SH
SOLE
28402
0
67094
GAMCO INVESTORS INC
Common Stock
361438104
1138
13706
SH
SOLE
4039
0
9667
ENN ENERGY HLDGS LTD ADR
ADR
26876F102
1138
6359
SH
SOLE
6157
0
202
NORTH ATLANTIC DRILLING LTD
Common Stock
G6613P202
1137
107104
SH
SOLE
107104
0
0
LG PHILIP LCD CO LTD SPONS ADR REP
ADR
50186V102
1135
71954
SH
SOLE
71364
0
590
IRIDIUM COMMUNICATIONS INC
Common Stock
46269C102
1133
133928
SH
SOLE
75986
0
57942
LUMINEX CORP
Common Stock
55027E102
1127
65716
SH
SOLE
39149
0
26567
ROSTELECOM OPEN JT STK SPONSORED ADR
ADR
778529107
1126
73364
SH
SOLE
58714
0
14650
GENCORP INC
Common Stock
368682100
1123
58795
SH
SOLE
27066
0
31729
VALLOUREC SA SPONSORE ADR NEW
ADR
92023R308
1120
125392
SH
SOLE
123162
0
2230
NEKTAR THERAPEUTICS
Common Stock
640268108
1119
87271
SH
SOLE
49562
0
37709
STANTEC INC
Common Stock
85472N109
1119
18042
SH
SOLE
18042
0
0
HECLA MINING CO
Common Stock
422704106
1118
324016
SH
SOLE
313560
0
10456
GOLD FIELDS LTD SPONS ADR
ADR
38059T106
1115
299636
SH
SOLE
298466
0
1170
MAN SE UNSP-ADR
ADR
561641101
1113
90600
SH
SOLE
88601
0
1999
OPEN TEXT CORP
Common Stock
683715106
1110
23145
SH
SOLE
23073
0
72
BROOKS AUTOMATION INC
Common Stock
114340102
1109
102930
SH
SOLE
48504
0
54426
HOME LN SERVICING SOL ORD SHS
Common Stock
G6648D109
1108
48762
SH
SOLE
46566
0
2196
AGREE REALTY CORP COM REIT
REIT
008492100
1108
36658
SH
SOLE
21019
0
15639
THOMPSON CREEK METALS CO INC
Common Stock
884768102
1106
373537
SH
SOLE
174560
0
198977
DESTINATION MATERNITY CORP
Common Stock
25065D100
1105
48548
SH
SOLE
10443
0
38105
VIRTUS GLOBAL MULTI-SE COM
Closed-End Fund
92829B101
1104
61789
SH
SOLE
56971
0
4818
SUBSEA 7 S A SPONSORED ADR
ADR
864323100
1103
58993
SH
SOLE
52938
0
6055
CUMULUS MEDIA INC CL A
Common Stock
231082108
1100
166956
SH
SOLE
51435
0
115521
SUFFOLK BANCORP
Common Stock
864739107
1098
49209
SH
SOLE
28381
0
20828
NUVEEN REAL ASSET INC COM
Closed-End Fund
67074Y105
1095
53982
SH
SOLE
48248
0
5734
FUCHS PETROLUB SE ADR
ADR
35952Q106
1094
96397
SH
SOLE
93777
0
2620
PHARMACYCLICS INC COM
Common Stock
716933106
1090
12152
SH
SOLE
10393
0
1759
INTL. FCSTONE INC
Common Stock
46116V105
1087
54559
SH
SOLE
16962
0
37597
PRECISION DRILLING CORP
Common Stock
74022D308
1085
76658
SH
SOLE
76658
0
0
BOULDER BRANDS INC
Common Stock
101405108
1085
76549
SH
SOLE
25030
0
51519
BARRICK GOLD CORP
Common Stock
067901108
1085
59298
SH
SOLE
59028
0
270
TIVO INC
Common Stock
888706108
1084
83954
SH
SOLE
73414
0
10540
ADVANCED SEMICONDUCTOR ENGR SPONSORED ADR
ADR
00756M404
1082
166470
SH
SOLE
58896
0
107574
VASCO DATA SECURITY INTERNATIO
Common Stock
92230Y104
1077
92823
SH
SOLE
29988
0
62835
AMERICAN SCIENCE & ENGINEERING
Common Stock
029429107
1076
15463
SH
SOLE
5725
0
9738
EPIQ SYSTEMS INC
Common Stock
26882D109
1075
76504
SH
SOLE
43844
0
32660
ECHO GLOBAL LOGISTICS INC.
Common Stock
27875T101
1074
56011
SH
SOLE
39519
0
16492
ONE LIBERTY PROPERTIES INC REIT
REIT
682406103
1073
50302
SH
SOLE
28712
0
21590
ARMSTRONG WORLD INDUSTRIES INC
Common Stock
04247X102
1073
18686
SH
SOLE
9628
0
9058
CAL DIVE INTERNATIONAL INC
Common Stock
12802T101
1072
812422
SH
SOLE
127152
0
685270
ELECTRO RENT CORP
Common Stock
285218103
1072
64079
SH
SOLE
11953
0
52126
K PLUS S AG ADR
ADR
48265W108
1071
65166
SH
SOLE
64491
0
675
NUVEEN SELECT QUALITY COM
Closed-End Fund
670973106
1071
77238
SH
SOLE
77238
0
0
OCLARO INC
Common Stock
67555N206
1070
486293
SH
SOLE
91443
0
394850
PHILIPPINE LONG DISTANCE TEL SPONSORED ADR
ADR
718252604
1069
15870
SH
SOLE
15724
0
146
AGIC EQUITY & CONVERTIBLE INCOME FUND
Closed-End Fund
018829101
1063
52643
SH
SOLE
48538
0
4105
COMMVAULT SYSTEMS INC
Common Stock
204166102
1062
21599
SH
SOLE
12176
0
9423
SJW CORP
Common Stock
784305104
1062
39035
SH
SOLE
13891
0
25144
BROADSOFT INC COM
Common Stock
11133B409
1060
40167
SH
SOLE
16409
0
23758
ARCTIC CAT INC
Common Stock
039670104
1058
26847
SH
SOLE
5463
0
21384
WATSCO INC
Common Stock
942622200
1058
10293
SH
SOLE
8850
0
1443
AZZ INC
Common Stock
002474104
1056
22917
SH
SOLE
10053
0
12864
PENNYMAC MORTGAGE INVESTMENT
REIT
70931T103
1053
48009
SH
SOLE
39608
0
8401
PROOFPOINT INC COM
Common Stock
743424103
1053
28102
SH
SOLE
6868
0
21234
VAN KAMPEN ADV MUNI INCOM II
Closed-End Fund
46132E103
1052
92684
SH
SOLE
92684
0
0
ISHARES GOLD TRUST
ETP
464285105
1052
81644
SH
SOLE
81644
0
0
BIO-REFERENCE LABS INC
Common Stock
09057G602
1047
34660
SH
SOLE
14594
0
20066
LEGAL & GEN GROUP PLC SPONSORED ADR
ADR
52463H103
1046
53915
SH
SOLE
46897
0
7018
TRONOX INC COM
Common Stock
Q9235V101
1046
38902
SH
SOLE
8458
0
30444
BLACKROCK DEBT STRATEGIES FUND INC
Closed-End Fund
09255R103
1046
255101
SH
SOLE
225684
0
29417
TRANSCANADA CORP
Common Stock
89353D107
1046
21914
SH
SOLE
21120
0
794
HUANENG PWR INTL INC SPON ADR N
ADR
443304100
1044
23072
SH
SOLE
18774
0
4298
BRAVO BRIO RESTAURANT GROUP IN
Common Stock
10567B109
1043
66839
SH
SOLE
19077
0
47762
INTER PARFUMS INC
Common Stock
458334109
1042
35268
SH
SOLE
17345
0
17923
51 JON INC ADR
ADR
316827104
1041
15779
SH
SOLE
15754
0
25
PETMED EXPRESS INC
Common Stock
716382106
1038
77026
SH
SOLE
24756
0
52270
MERIDIAN BIOSCIENCE INC
Common Stock
589584101
1038
50302
SH
SOLE
20110
0
30192
ESTERLINE TECHNOLOGIES CORP
Common Stock
297425100
1036
9000
SH
SOLE
7766
0
1234
KODIAK OIL AND GAS CORP
Common Stock
50015Q100
1034
71088
SH
SOLE
61105
0
9983
FIRST BANCORP/TROY NC
Common Stock
318910106
1033
56269
SH
SOLE
8878
0
47391
GRUPO AEROPORTUARIO DEL ADR
ADR
400506101
1032
15260
SH
SOLE
15214
0
46
KERYX BIOPHARMACEUTICALS INC COM
Common Stock
492515101
1031
67019
SH
SOLE
41570
0
25449
GLIMCHER REALTY TRUST REIT
REIT
379302102
1031
95161
SH
SOLE
88139
0
7022
PBF ENERGY INC CL A
Common Stock
69318G106
1030
38633
SH
SOLE
34089
0
4544
ARROW FINANCIAL CORP
Common Stock
042744102
1030
39690
SH
SOLE
10864
0
28826
STATE AUTO FINANCIAL CORP
Common Stock
855707105
1028
43881
SH
SOLE
7958
0
35923
DIGITAL RIVER INC
Common Stock
25388B104
1026
66491
SH
SOLE
30811
0
35680
LIONBRIDGE TECHNOLOGIES INC
Common Stock
536252109
1024
172338
SH
SOLE
32459
0
139879
SP PLUS CORP
Common Stock
78469C103
1023
47812
SH
SOLE
26912
0
20900
DESTINATION XL GROUP INC
Common Stock
25065K104
1022
185542
SH
SOLE
45643
0
139899
WINTHROP REALTY TRUST REIT
REIT
976391300
1021
66490
SH
SOLE
28575
0
37915
DUPONT FABROS TECHNOLOGY REIT
REIT
26613Q106
1017
37705
SH
SOLE
25135
0
12570
METRO BANCORP INC
Common Stock
59161R101
1013
43816
SH
SOLE
8598
0
35218
TTM TECHNOLOGIES INC
Common Stock
87305R109
1013
123506
SH
SOLE
34293
0
89213
CHART INDUSTRIES INC
Common Stock
16115Q308
1011
12224
SH
SOLE
11525
0
699
BLACKROCK MUNICIPL INC COM
Closed-End Fund
092479104
1011
71647
SH
SOLE
68684
0
2963
SBERBANK RUSSIA SPONSORED ADR
ADR
80585Y308
1010
99309
SH
SOLE
6031
0
93278
MERCURY SYSTEMS INC
Common Stock
589378108
1010
89055
SH
SOLE
22516
0
66539
PEGASYSTEMS INC
Common Stock
705573103
1010
47806
SH
SOLE
11734
0
36072
FRESH MARKET INC/THE
Common Stock
35804H106
1008
30113
SH
SOLE
15102
0
15011
MAIDEN HOLDINGS LTD
Common Stock
G5753U112
1005
83098
SH
SOLE
60846
0
22252
BILI
Common Stock
90341G103
1003
65157
SH
SOLE
44542
0
20615
MEASUREMENT SPECIALTIES INC
Common Stock
583421102
1002
11645
SH
SOLE
8738
0
2907
EXLSERVICE HOLDINGS INC
Common Stock
302081104
1001
34001
SH
SOLE
9358
0
24643
FORUM ENERGY TECHNOLOG COM
Common Stock
34984V100
1001
27480
SH
SOLE
11860
0
15620
ST JOE CO/THE
Common Stock
790148100
1001
39363
SH
SOLE
26924
0
12439
FUEL SYSTEMS SOLUTIONS INC
Common Stock
35952W103
1000
89781
SH
SOLE
25831
0
63950
QUALITY SYSTEMS INC
Common Stock
747582104
999
62218
SH
SOLE
29124
0
33094
WESTAMERICA BANCORPORATION
Common Stock
957090103
998
19087
SH
SOLE
18069
0
1018
LHC GROUP INC
Common Stock
50187A107
997
46671
SH
SOLE
12758
0
33913
WHEELCOCK & CO LTD - ADR
ADR
963271200
996
23835
SH
SOLE
22817
0
1018
CIVEO CORP
Common Stock
178787107
995
39762
SH
SOLE
36018
0
3744
GKN PLC SPONSORED ADR
ADR
361755606
994
159009
SH
SOLE
148545
0
10464
WELLS FARGO CO 8.00% SERIES
PUBLIC
949746879
993
33406
SH
SOLE
313
0
33093
FIRST PAC LTD SPONSORED ADR
ADR
335889200
993
176665
SH
SOLE
173889
0
2776
ELIZABETH ARDEN INC
Common Stock
28660G106
992
46295
SH
SOLE
14614
0
31681
ALLIANCE HEALTHCARE SERVICES I
Common Stock
018606301
991
36705
SH
SOLE
7320
0
29385
OMNOVA SOLUTIONS INC
Common Stock
682129101
990
108862
SH
SOLE
26235
0
82627
TOWN SPORTS INTERNATIONAL
Common Stock
89214A102
990
148802
SH
SOLE
32209
0
116593
TOOTSIE ROLL INDUSTRIES INC
Common Stock
890516107
989
33584
SH
SOLE
14276
0
19308
HUDSON VALLEY HOLDING CORP
Common Stock
444172100
987
54707
SH
SOLE
12835
0
41872
SUNTORY BEVER & FOOD ADS
ADR
86803T104
986
50417
SH
SOLE
49827
0
590
INFORMATION SERVICES GROUP
Common Stock
45675Y104
983
204426
SH
SOLE
31569
0
172857
CRAWFORD & CO CL B
Common Stock
224633107
983
97513
SH
SOLE
15096
0
82417
HILTON WORLWIDE HOLDINGS INC
Common Stock
43300A104
982
42133
SH
SOLE
36092
0
6041
CONN'S INC
Common Stock
208242107
978
19796
SH
SOLE
5740
0
14056
CARROLS RESTAURANT GROUP INC
Common Stock
14574X104
977
137262
SH
SOLE
22713
0
114549
WEIR GROUP PLC ADR
ADR
94876Q106
970
43370
SH
SOLE
43019
0
351
ENNIS INC
Common Stock
293389102
969
63528
SH
SOLE
15698
0
47830
CREDIT ACCEPTANCE CORP
Common Stock
225310101
964
7834
SH
SOLE
3369
0
4465
DAWSON GEOPHYSICAL CO
Common Stock
239359102
964
33640
SH
SOLE
7619
0
26021
ION GEOPHYSICAL CORP
Common Stock
462044108
961
227624
SH
SOLE
76930
0
150694
STAMPS.COM INC
Common Stock
852857200
960
28501
SH
SOLE
20613
0
7888
RSA INSURANCE GROUP PLC ADR
ADR
74971A206
960
116528
SH
SOLE
113605
0
2923
SPS COMM INC COM
Common Stock
78463M107
960
15194
SH
SOLE
6832
0
8362
ASTRONICS CORP
Common Stock
046433108
959
16987
SH
SOLE
6030
0
10957
DIRECT LINE INS GP PLC ADR
ADR
25490E103
958
51226
SH
SOLE
37553
0
13673
FIBRIA CELULOSE S.A.
ADR
31573A109
958
98592
SH
SOLE
69728
0
28864
SS&C TECHNOLOGIES INC COM
Common Stock
78467J100
958
21668
SH
SOLE
10195
0
11473
JERONIMO MARTINS SGPS SA - ADR
ADR
476493101
956
28993
SH
SOLE
28314
0
679
MORGANS HOTEL GROUP CO COM
Common Stock
61748W108
956
120496
SH
SOLE
38244
0
82252
SIGMA DESIGNS INC
Common Stock
826565103
955
208580
SH
SOLE
48880
0
159700
CORVEL CORP
Common Stock
221006109
955
21142
SH
SOLE
9019
0
12123
NOKIAN TYRES OYJ ADR
ADR
65528V107
955
49058
SH
SOLE
42615
0
6443
IRELAND BK SPONSORED ADR
ADR
46267Q202
955
68712
SH
SOLE
68305
0
407
ABRAXAS PETROLEUM CORP
Common Stock
003830106
955
152553
SH
SOLE
82572
0
69981
NEW YORK MTG TR INC COM PAR $.02
REIT
649604501
955
122240
SH
SOLE
117670
0
4570
COBIZ FINANCIAL INC
Common Stock
190897108
955
88637
SH
SOLE
24275
0
64362
SEABOARD CORP
Common Stock
811543107
954
316
SH
SOLE
141
0
175
SEVERN TRENT PLC SPONSORED ADR
ADR
81814P209
952
28345
SH
SOLE
27843
0
502
WILMAR INTERNATIONAL-UNS ADR
ADR
971433107
949
36926
SH
SOLE
36623
0
303
CHINA ST CONSTRUCTION ADR
ADR
16948H103
944
10818
SH
SOLE
0
0
10818
INVACARE CORP
Common Stock
461203101
943
51318
SH
SOLE
22122
0
29196
EZCORP INC
Common Stock
302301106
941
81511
SH
SOLE
40818
0
40693
LI & FUND LTD
ADR
501897102
940
323177
SH
SOLE
306434
0
16743
TRUSTMARK CORP
Common Stock
898402102
940
38056
SH
SOLE
33331
0
4725
FLAGSTAR BANCORP INC
Common Stock
337930705
939
51905
SH
SOLE
10070
0
41835
SAIPEM SPA ADR
ADR
79376W208
937
70137
SH
SOLE
66917
0
3220
MIDDLESEX WATER CO
Common Stock
596680108
937
44227
SH
SOLE
21273
0
22954
CYRELA BRAZIL RLTY SA SPONSORED ADR
ADR
23282C401
934
149368
SH
SOLE
0
0
149368
DOUGLAS DYNAMICS INC
Common Stock
25960R105
930
52787
SH
SOLE
26887
0
25900
PENGROWTH ENERGY CORP
Common Stock
70706P104
929
129404
SH
SOLE
128997
0
407
SURMODICS INC
Common Stock
868873100
925
43185
SH
SOLE
12323
0
30862
FARO TECHNOLOGIES INC
Common Stock
311642102
923
18798
SH
SOLE
6761
0
12037
WERNER ENTERPRISES INC
Common Stock
950755108
923
34803
SH
SOLE
33571
0
1232
CHURCHILL DOWNS INC
Common Stock
171484108
922
10232
SH
SOLE
4591
0
5641
STURM RUGER & CO INC
Common Stock
864159108
922
15623
SH
SOLE
12882
0
2741
ISHARES TR RUSSELL 1000
ETP
464287622
921
8366
SH
SOLE
8366
0
0
LEAP WIRELESS INTERNATIONAL IN
Common Stock
521CNT998
920
365250
SH
SOLE
228576
0
136674
ACCO BRANDS CORP COM
Common Stock
00081T108
920
143506
SH
SOLE
42028
0
101478
P T TELEKOMUNIKASI INDONESIA SPONSORED ADR
ADR
715684106
919
22063
SH
SOLE
21758
0
305
CITIGROUP INC 5.8%
PUBLIC
172967366
917
37596
SH
SOLE
0
0
37596
IPC THE HOSPITALIST CO INC
Common Stock
44984A105
915
20700
SH
SOLE
10270
0
10430
SYNCHRONOSS TECHNOLOGIES INC
Common Stock
87157B103
914
26134
SH
SOLE
11545
0
14589
RADIOSHACK CORP
Common Stock
750438103
912
920748
SH
SOLE
336469
0
584279
MAINSOURCE FINANCIAL GROUP INC
Common Stock
56062Y102
912
52883
SH
SOLE
16271
0
36612
PEOPLES BANCORP INC/OH
Common Stock
709789101
910
34407
SH
SOLE
16174
0
18233
AUXILIUM PHARMACEUTICALS INC
Common Stock
05334D107
910
45352
SH
SOLE
22224
0
23128
ALTISOURCE PORTFOLIO SOLUTIONS
Common Stock
L0175J104
909
7930
SH
SOLE
7721
0
209
ALEXANDERS INC COM
REIT
014752109
908
2458
SH
SOLE
2233
0
225
TRI CONTL CORP COM
Closed-End Fund
895436103
908
43275
SH
SOLE
39892
0
3383
CORNERSTONE ONDEMAND I COM
Common Stock
21925Y103
907
19706
SH
SOLE
8088
0
11618
RADIAN GROUP INC
Common Stock
750236101
907
61232
SH
SOLE
54613
0
6619
STONERIDGE INC
Common Stock
86183P102
904
84345
SH
SOLE
17188
0
67157
CROSS COUNTRY HEALTHCARE INC
Common Stock
227483104
904
138602
SH
SOLE
39463
0
99139
AEROVIRONMENT INC
Common Stock
008073108
901
28341
SH
SOLE
9164
0
19177
YUE YUEN INDUSTRIAL HOLDINGS LTD - ADR
ADR
988415105
898
53528
SH
SOLE
37395
0
16133
PHI INC
Common Stock
69336T205
898
20138
SH
SOLE
5529
0
14609
SENECA FOODS CORP
Common Stock
817070501
897
29309
SH
SOLE
7899
0
21410
ROYAL BK SCOTLAND 5.75% PFD
PUBLIC
780097788
895
38800
SH
SOLE
0
0
38800
AMERICAN CAP MTG INVT COM
REIT
02504A104
895
44687
SH
SOLE
31543
0
13144
IMPERVA INC COM
Common Stock
45321L100
895
34169
SH
SOLE
17939
0
16230
KONAMI CORP SPONSORED ADR
ADR
50046R101
894
40312
SH
SOLE
33389
0
6923
EXAMWORKS GROUP INC COM
Common Stock
30066A105
893
28138
SH
SOLE
16193
0
11945
ACCESS MIDSTREAM PARTNERS LP
MLP
00434L109
892
14038
SH
SOLE
14038
0
0
QUALITY DISTRIBUTION INC
Common Stock
74756M102
891
59941
SH
SOLE
15150
0
44791
NETGEAR INC
Common Stock
64111Q104
891
25614
SH
SOLE
23965
0
1649
INSTEEL INDUSTRIES INC
Common Stock
45774W108
889
45257
SH
SOLE
9766
0
35491
COLONY FINANCIAL INC. REIT
REIT
19624R106
889
38280
SH
SOLE
35488
0
2792
UNIVEST CORP OF PENNSYLVANIA
Common Stock
915271100
888
42884
SH
SOLE
10410
0
32474
LAKELAND BANCORP INC
Common Stock
511637100
887
82173
SH
SOLE
16342
0
65831
VIASAT INC
Common Stock
92552V100
887
15307
SH
SOLE
14004
0
1303
SHOE CARNIVAL INC
Common Stock
824889109
886
42889
SH
SOLE
10017
0
32872
MCCLATCHY CO/THE
Common Stock
579489105
885
159507
SH
SOLE
52218
0
107289
BARRETT BUSINESS SERVICES INC
Common Stock
068463108
882
18769
SH
SOLE
5747
0
13022
SILICON IMAGE INC
Common Stock
82705T102
882
175019
SH
SOLE
39239
0
135780
BRIGGS & STRATTON CORP
Common Stock
109043109
881
43060
SH
SOLE
35064
0
7996
FUSION-IO INC COM
Common Stock
36112J107
874
77362
SH
SOLE
73830
0
3532
SUN LIFE FINANCIAL INC
Common Stock
866796105
874
23809
SH
SOLE
23548
0
261
HUDSON PAC PPTYS INC COM REIT
REIT
444097109
872
34423
SH
SOLE
31963
0
2460
DATALINK CORP
Common Stock
237934104
869
86891
SH
SOLE
17754
0
69137
GOLDMAN SACHS GROUP INC 6.5%
PUBLIC
38144G184
866
32532
SH
SOLE
0
0
32532
DYNEX CAP INC COM
REIT
26817Q506
865
97736
SH
SOLE
44968
0
52768
EATON VANCE NATIONAL MUNI OPP TRUST
Closed-End Fund
27829L105
863
43157
SH
SOLE
43157
0
0
NEW WORLD DEV LTD SPONSORED ADR
ADR
649274305
857
374351
SH
SOLE
327866
0
46485
ELBIT SYSTEMS LTD
Common Stock
M3760D101
857
13929
SH
SOLE
13891
0
38
PUBLIC STORAGE DEP SHS PFD-O
PUBLIC
74460D182
856
32529
SH
SOLE
0
0
32529
1-800-FLOWERS.COM INC
Common Stock
68243Q106
856
147519
SH
SOLE
37009
0
110510
KRATOS DEFENSE & SECURITY SOLU
Common Stock
50077B207
856
109685
SH
SOLE
26928
0
82757
SEARS HOMETOWN & OUTLE COM
Common Stock
812362101
853
39747
SH
SOLE
30293
0
9454
JP MORGAN 5.5% SERIES D
PUBLIC
48126E750
853
37219
SH
SOLE
0
0
37219
SPECTRANETICS CORP COM
Common Stock
84760C107
851
37175
SH
SOLE
6479
0
30696
QLOGIC CORP
Common Stock
747277101
850
84271
SH
SOLE
41221
0
43050
MARCHEX INC-CLASS B
Common Stock
56624R108
850
70720
SH
SOLE
19905
0
50815
REPUBLIC BANCORP INC/KY
Common Stock
760281204
850
35824
SH
SOLE
7956
0
27868
AGILYSYS INC
Common Stock
00847J105
849
60322
SH
SOLE
31660
0
28662
IXIA
Common Stock
45071R109
849
74268
SH
SOLE
17680
0
56588
JAKKS PACIFIC INC
Common Stock
47012E106
847
109473
SH
SOLE
38685
0
70788
CASH AMERICA INTERNATIONAL INC
Common Stock
14754D100
846
19040
SH
SOLE
16011
0
3029
GREAT LAKES DREDGE & DOCK CORP
Common Stock
390607109
845
105789
SH
SOLE
24342
0
81447
NCI BUILDING SYSTEMS INC
Common Stock
628852204
845
43489
SH
SOLE
23486
0
20003
PARK ELECTROCHEMICAL CORP
Common Stock
700416209
844
29933
SH
SOLE
10643
0
19290
BERKSHIRE HILLS BANCORP INC
Common Stock
084680107
843
36324
SH
SOLE
9181
0
27143
WORLD WRESTLING ENTERTAINMENT
Common Stock
98156Q108
843
70699
SH
SOLE
15058
0
55641
RETAIL OPPORTUNITY INVESTMEN REIT
REIT
76131N101
841
53484
SH
SOLE
42658
0
10826
DREW INDUSTRIES INC
Common Stock
26168L205
839
16774
SH
SOLE
13185
0
3589
DIGITALGLOBE INC
Common Stock
25389M877
838
30150
SH
SOLE
9739
0
20411
SUN HYDRAULICS CORP
Common Stock
866942105
838
20633
SH
SOLE
6197
0
14436
KANSAS CITY LIFE INSURANCE CO
Common Stock
484836101
837
18396
SH
SOLE
4495
0
13901
CAPITAL SENIOR LIVING CORP
Common Stock
140475104
837
35089
SH
SOLE
7877
0
27212
ALLIED NEVADA GOLD CORP
Common Stock
019344100
836
222381
SH
SOLE
179922
0
42459
NAVIOS MARITIME ACQU SHS
Common Stock
Y62159101
836
225207
SH
SOLE
225207
0
0
SILVER BAY RLTY TR COR COM
REIT
82735Q102
834
51106
SH
SOLE
49093
0
2013
WESTERN GAS PARTNRS LP COM UNIT LP IN
MLP
958254104
832
10880
SH
SOLE
10880
0
0
VIRTUS INVESTMENT PARTNERS
Common Stock
92828Q109
832
3928
SH
SOLE
2125
0
1803
DSP GROUP INC
Common Stock
23332B106
829
97617
SH
SOLE
28135
0
69482
FIRSTSERVICE CORP/CANADA
Common Stock
33761N109
827
16349
SH
SOLE
16349
0
0
MERITAGE HOMES CORP
Common Stock
59001A102
826
19561
SH
SOLE
17214
0
2347
AM CASTLE & CO
Common Stock
148411101
825
74773
SH
SOLE
24367
0
50406
FOREST OIL CORP
Common Stock
346091705
825
361951
SH
SOLE
180281
0
181670
NIC INC
Common Stock
62914B100
825
52058
SH
SOLE
17436
0
34622
IMATION CORP
Common Stock
45245A107
825
239798
SH
SOLE
49753
0
190045
GORMAN-RUPP CO/THE
Common Stock
383082104
824
23305
SH
SOLE
6551
0
16754
ARCH COAL INC COM
Common Stock
039380100
824
225738
SH
SOLE
167414
0
58324
FINANCIAL INSTITUTIONS INC
Common Stock
317585404
822
35098
SH
SOLE
11200
0
23898
OLYMPIC STEEL INC
Common Stock
68162K106
821
33167
SH
SOLE
12171
0
20996
ALNYLAM PHARMACEUTICALS INC
Common Stock
02043Q107
819
12967
SH
SOLE
6510
0
6457
INDEPENDENT BANK CORP MICH COM
Common Stock
453838609
819
63599
SH
SOLE
13294
0
50305
BIOSCRIP INC
Common Stock
09069N108
818
98120
SH
SOLE
23015
0
75105
POWERSHRES QQQ NASDAQ 100
ETP
73935A104
818
8711
SH
SOLE
8711
0
0
SKULLCANDY INC COM
Common Stock
83083J104
817
112749
SH
SOLE
62883
0
49866
CONNECTICUT WATER SERVICE INC
Common Stock
207797101
814
24037
SH
SOLE
12117
0
11920
MOTORCAR PARTS OF AMERICA INC
Common Stock
620071100
814
33431
SH
SOLE
11266
0
22165
ABERDEEN ASSET MGMT PL ADR
ADR
00300A104
814
52494
SH
SOLE
52139
0
355
AU OPTRONICS CORP SPONSORED ADR
ADR
002255107
814
194175
SH
SOLE
67099
0
127076
AXCELIS TECHNOLOGIES INC
Common Stock
054540109
813
406482
SH
SOLE
80924
0
325558
CRA INTERNATIONAL INC
Common Stock
12618T105
811
35165
SH
SOLE
6473
0
28692
DXP ENTERPRISES INC
Common Stock
233377407
808
10699
SH
SOLE
2895
0
7804
TERRENO RLTY CORP COM
REIT
88146M101
807
41755
SH
SOLE
39433
0
2322
PICO HOLDINGS INC
Common Stock
693366205
807
33964
SH
SOLE
7336
0
26628
CALLWAVE INC
Common Stock
M6787E101
805
53262
SH
SOLE
53063
0
199
AEROFLEX HOLDING CORP
Common Stock
007767106
805
76678
SH
SOLE
28186
0
48492
QUICKSILVER RESOURCES INC
Common Stock
74837R104
805
301316
SH
SOLE
177846
0
123470
WYNN MACAU LTD ADR
ADR
98313R106
804
20457
SH
SOLE
10746
0
9711
OMV AG SPON ADR NEW
ADR
670875509
804
17798
SH
SOLE
17020
0
778
CDI CORP
Common Stock
125071100
803
55741
SH
SOLE
17908
0
37833
GULF ISLAND FABRICATION INC
Common Stock
402307102
803
37317
SH
SOLE
16120
0
21197
GLOBAL POWER EQUIPMENT GROUP I
Common Stock
37941P306
803
49684
SH
SOLE
7946
0
41738
VESTAS WIND SYSTEMS - UNSP ADR
ADR
925458101
803
47809
SH
SOLE
47582
0
227
AMPCO-PITTSBURGH CORP
Common Stock
032037103
800
34863
SH
SOLE
6614
0
28249
DUNKIN BRANDS GRP INC COM
Common Stock
265504100
799
17445
SH
SOLE
13803
0
3642
CENTRAL PACIFIC FINANCIAL CORP
Common Stock
154760409
798
40192
SH
SOLE
20163
0
20029
IPG PHOTONICS CORP
Common Stock
44980X109
797
11582
SH
SOLE
5496
0
6086
MVC CAPITAL INC
Common Stock
553829102
797
61526
SH
SOLE
61526
0
0
ISHARES TRUST ISHARES MSCI ACWI INDEX FUND
ETP
464288257
796
13210
SH
SOLE
13210
0
0
NORTHWEST PIPE CO
Common Stock
667746101
795
19700
SH
SOLE
5648
0
14052
BANK OF NEW YORK MELLON 5.2%
PUBLIC
064058209
794
33909
SH
SOLE
0
0
33909
HERSHA HOSPITALITY TRUST REIT
REIT
427825104
793
118250
SH
SOLE
111670
0
6580
PACIFIC SUNWEAR OF CALIFORNIA
Common Stock
694873100
793
333294
SH
SOLE
73388
0
259906
IRONWOOD PHARMACEUTICALS INC
Common Stock
46333X108
792
51679
SH
SOLE
31232
0
20447
ULTRAPAR PARTICIPAC-SPON ADR
ADR
90400P101
792
33543
SH
SOLE
32860
0
683
COSAN LTD - CLASS A SHARES
Common Stock
G25343107
792
58377
SH
SOLE
58377
0
0
BARCLAY'S BK PLC PREF SHARE
PUBLIC
06739F390
790
31148
SH
SOLE
0
0
31148
ALLSCRIPTS HEALTHCARE SOLUTION
Common Stock
01988P108
789
49176
SH
SOLE
31629
0
17547
CAPITALAND LTD SPONSORED ADR
ADR
140547100
789
155334
SH
SOLE
135641
0
19693
ENSIGN GROUP INC/THE
Common Stock
29358P101
788
25344
SH
SOLE
7620
0
17724
AMERICAN RAILCAR INDUSTRIES IN
Common Stock
02916P103
787
11620
SH
SOLE
11325
0
295
ACACIA RESH CORP ACACIA TCH COM
Common Stock
003881307
787
44318
SH
SOLE
10555
0
33763
CARMIKE CINEMAS INC
Common Stock
143436400
787
22391
SH
SOLE
4502
0
17889
IMAX CORP
Common Stock
45245E109
786
27584
SH
SOLE
27584
0
0
BANCORP INC/DE
Common Stock
05969A105
784
65839
SH
SOLE
15537
0
50302
VISHAY PRECISION GROUP INC
Common Stock
92835K103
784
47623
SH
SOLE
9789
0
37834
JAMBA INC
Common Stock
47023A309
780
64464
SH
SOLE
16486
0
47978
OTTER TAIL CORP
Common Stock
689648103
780
25741
SH
SOLE
22910
0
2831
ATHLON ENERGY INC COM
Common Stock
047477104
777
16291
SH
SOLE
16281
0
10
DIGI INTERNATIONAL INC
Common Stock
253798102
776
82399
SH
SOLE
30095
0
52304
ANGIODYNAMICS INC
Common Stock
03475V101
775
47478
SH
SOLE
10315
0
37163
SOTHEBY'S
Common Stock
835898107
770
18333
SH
SOLE
16793
0
1540
K12 INC
Common Stock
48273U102
770
31975
SH
SOLE
12494
0
19481
PANTRY INC/THE
Common Stock
698657103
769
47470
SH
SOLE
25302
0
22168
BOISE CASCADE CO
Common Stock
09739D100
769
26843
SH
SOLE
14796
0
12047
SYMMETRY MEDICAL INC
Common Stock
871546206
767
86554
SH
SOLE
22983
0
63571
ORITANI FINANCIAL CORP
Common Stock
68633D103
766
49804
SH
SOLE
22290
0
27514
TRAVEL CENTERS OF AMERICA
Common Stock
894174101
766
86237
SH
SOLE
36800
0
49437
PIKE CORP
Common Stock
721283109
765
85422
SH
SOLE
17366
0
68056
ARTISAN PARTNERS ASSET CL A
Common Stock
04316A108
762
13447
SH
SOLE
9786
0
3661
PERFECT WORLD CO ADR
ADR
71372U104
759
38671
SH
SOLE
38671
0
0
DCP MIDSTREAP PARTNERS
MLP
23311P100
758
13297
SH
SOLE
13297
0
0
AMERICAN WOODMARK CORP
Common Stock
030506109
758
23774
SH
SOLE
6606
0
17168
BOFI HOLDING INC
Common Stock
05566U108
757
10308
SH
SOLE
4727
0
5581
FORTUM OYJ ADR
ADR
34959F106
757
143695
SH
SOLE
136749
0
6946
LEGG MASON BW GLOBAL INCOME
Closed-End Fund
52469B100
757
41251
SH
SOLE
41251
0
0
OCEANFIRST FINANCIAL CORP
Common Stock
675234108
756
45680
SH
SOLE
9971
0
35709
AMREIT INC NEW CL B
REIT
03216B208
756
41317
SH
SOLE
17543
0
23774
PACIFIC CONTINENTAL CORP
Common Stock
69412V108
754
54926
SH
SOLE
10755
0
44171
HAWAIIAN TELCOM HOLDCO COM
Common Stock
420031106
751
26252
SH
SOLE
9301
0
16951
FRANKLIN COVEY CO
Common Stock
353469109
751
37296
SH
SOLE
7709
0
29587
SYSTEMAX INC
Common Stock
871851101
750
52174
SH
SOLE
9553
0
42621
WESTWOOD HOLDINGS GROUP INC
Common Stock
961765104
749
12472
SH
SOLE
3267
0
9205
RETAIL PPTYS AMER INC CL A
REIT
76131V202
749
48676
SH
SOLE
43581
0
5095
DUCOMMUN INC
Common Stock
264147109
748
28642
SH
SOLE
5848
0
22794
INTERDIGITAL INC
Common Stock
45867G101
748
15641
SH
SOLE
14151
0
1490
TMK OAO SPONSORED ADR
ADR
87260R300
747
74748
SH
SOLE
0
0
74748
CELESTICA INC
Common Stock
15101Q108
746
59418
SH
SOLE
59418
0
0
EL PASO PIPELINE PARTNERS LP
MLP
283702108
746
20583
SH
SOLE
20583
0
0
II-VI INC
Common Stock
902104108
742
51332
SH
SOLE
18595
0
32737
AAC ACOUSTIC TECHNOLOG ADR
ADR
000304105
742
11448
SH
SOLE
1489
0
9959
BANK OF AMERICA CORP 6.25%
PUBLIC
060505740
741
28953
SH
SOLE
0
0
28953
HMS HOLDINGS CORP
Common Stock
40425J101
741
36307
SH
SOLE
23924
0
12383
SHAW COMMUNICATIONS INC
Common Stock
82028K200
741
28869
SH
SOLE
28210
0
659
VOXX INTERNATIONAL CORP
Common Stock
91829F104
740
78598
SH
SOLE
33419
0
45179
PGT INC COM
Common Stock
69336V101
739
87277
SH
SOLE
19578
0
67699
UNIVERSAL HEALTH RLTY INCOME REIT
REIT
91359E105
739
16987
SH
SOLE
16639
0
348
CARDINAL FINANCIAL CORP
Common Stock
14149F109
738
39983
SH
SOLE
18195
0
21788
ASSOCIATED ESTATES REALTY CP REIT
REIT
045604105
737
40905
SH
SOLE
35424
0
5481
ACORDA THERAPEUTICS INC
Common Stock
00484M106
737
21865
SH
SOLE
8314
0
13551
MABUCHI MTR CO LTD ADR
ADR
554141101
736
39354
SH
SOLE
38662
0
692
ENTERPRISE FINANCIAL SERVICES
Common Stock
293712105
735
40716
SH
SOLE
8064
0
32652
GOLUB CAPITAL BDC INC
Common Stock
38173M102
735
41533
SH
SOLE
41380
0
153
INTEGRATED SILICON SOLUTION IN
Common Stock
45812P107
735
49730
SH
SOLE
25909
0
23821
TERRITORIAL BANCORP INC
Common Stock
88145X108
734
35138
SH
SOLE
7789
0
27349
DYNAMIC MATERIALS CORP
Common Stock
267888105
732
33097
SH
SOLE
5990
0
27107
BEL FUSE INC
Common Stock
077347300
731
28492
SH
SOLE
6849
0
21643
INTERCEPT PHARMACEUTICALS INC
Common Stock
45845P108
731
3088
SH
SOLE
1857
0
1231
BELLATRIX EXPLORATION COM
Common Stock
078314101
730
83781
SH
SOLE
83781
0
0
QUIDEL CORP
Common Stock
74838J101
727
32900
SH
SOLE
15274
0
17626
AGRICULTURAL BK CHINA ADR
ADR
00850M102
725
65414
SH
SOLE
224
0
65190
NORTH AMERICAN ENERGY PARTNERS
Common Stock
656844107
724
89922
SH
SOLE
89922
0
0
FIRST DEFIANCE FINANCIAL CORP
Common Stock
32006W106
721
25110
SH
SOLE
4280
0
20830
DOT HILL SYSTEMS CORP
Common Stock
25848T109
720
153293
SH
SOLE
32281
0
121012
IMMUNOGEN INC COM
Common Stock
45253H101
720
60757
SH
SOLE
35062
0
25695
CROCS INC
Common Stock
227046109
717
47732
SH
SOLE
44839
0
2893
IXYS CORP
Common Stock
46600W106
717
58196
SH
SOLE
14891
0
43305
ISHARES TR US TIPS BD FD
ETP
464287176
717
6213
SH
SOLE
6213
0
0
CENTERSTATE BANKS INC
Common Stock
15201P109
716
63967
SH
SOLE
14012
0
49955
NUVEEN SELECT TAX FREE SH BEN INT
Closed-End Fund
67062F100
716
50858
SH
SOLE
50858
0
0
UNITED INS HLDGS CORP COM
Common Stock
910710102
715
41415
SH
SOLE
9180
0
32235
MAZDA MTR CORP ADR
ADR
578787103
714
15152
SH
SOLE
14675
0
477
ORBOTECH LTD ORD
Common Stock
M75253100
712
46932
SH
SOLE
46932
0
0
BRYN MAWR BANK CORP
Common Stock
117665109
711
24431
SH
SOLE
4466
0
19965
GREAT SOUTHERN BANCORP INC
Common Stock
390905107
711
22184
SH
SOLE
6360
0
15824
MITEL NETWORKS CORP COM
Common Stock
60671Q104
711
67416
SH
SOLE
67416
0
0
EXCEL TR INC COM REIT
REIT
30068C109
710
53289
SH
SOLE
49562
0
3727
SINGAPORE AIRLINES LTD.
ADR
82930C106
710
42889
SH
SOLE
37328
0
5561
BANCO DO BRASIL S A SPONSORED ADR
ADR
059578104
710
63418
SH
SOLE
0
0
63418
GOLDCORP INC
Common Stock
380956409
709
25412
SH
SOLE
25279
0
133
IVY HIGH INC OPPORTUN COM
Closed-End Fund
465893105
709
38325
SH
SOLE
38325
0
0
SEACHANGE INTERNATIONAL INC
Common Stock
811699107
709
88483
SH
SOLE
17337
0
71146
BLOOMIN BRANDS INC COM
Common Stock
094235108
708
31584
SH
SOLE
21592
0
9992
CONTROLADORA VUELA CIA DE AV
ADR
21240E105
706
78484
SH
SOLE
78423
0
61
BEBE STORES INC
Common Stock
075571109
706
231426
SH
SOLE
42957
0
188469
COMPUTER PROGRAMS & SYSTEMS IN
Common Stock
205306103
705
11090
SH
SOLE
10290
0
800
ENCANA CORP
Common Stock
292505104
705
29725
SH
SOLE
29572
0
153
MONARCH CASINO & RESORT INC
Common Stock
609027107
703
46433
SH
SOLE
16724
0
29709
FLY LEASING LTD
ADR
34407D109
702
48466
SH
SOLE
48466
0
0
TAL ED GROUP ADS REPSTG COM
ADR
874080104
702
25519
SH
SOLE
16321
0
9198
INSMED INC COM NEW
Common Stock
457669307
702
35123
SH
SOLE
7222
0
27901
MARLIN BUSINESS SERVICES CORP
Common Stock
571157106
702
38571
SH
SOLE
16896
0
21675
KRATON PERFORMANCE POLYMERS IN
Common Stock
50077C106
698
31161
SH
SOLE
16972
0
14189
RESOLUTE ENERGY CORP
Common Stock
76116A108
696
80550
SH
SOLE
25837
0
54713
CHIPMOS TECH BERMUDA LTD SHS
Common Stock
G2110R114
695
28786
SH
SOLE
28786
0
0
CYRUSONE INC COM
REIT
23283R100
693
27834
SH
SOLE
9881
0
17953
AMAG PHARMACEUTICALS INC
Common Stock
00163U106
693
33442
SH
SOLE
8120
0
25322
SCHAWK INC
Common Stock
806373106
692
33971
SH
SOLE
9045
0
24926
CRYOLIFE INC
Common Stock
228903100
691
77200
SH
SOLE
20342
0
56858
NEW AMERICA HIGH INCOME FUND
Closed-End Fund
641876800
691
68818
SH
SOLE
64541
0
4277
CHINA LODG GROUP LTD SPONSORED ADR
ADR
16949N109
691
27522
SH
SOLE
27495
0
27
CELESIO AG - UNSPONSORED ADR
ADR
15100H109
688
97692
SH
SOLE
93144
0
4548
CAESARSTONE SDOT-YAM L ORD SHS
Common Stock
M20598104
686
13984
SH
SOLE
13984
0
0
TESSCO TECHNOLOGIES INC
Common Stock
872386107
686
21605
SH
SOLE
3360
0
18245
ISHARES TR RSSL MCRCP IDX
ETP
464288869
683
8973
SH
SOLE
8973
0
0
FIRST TR STRAT INC FND COM SHS
Closed-End Fund
337353304
683
41744
SH
SOLE
41744
0
0
SANTANDER CONSUMER USA COM
Common Stock
80283M101
680
34981
SH
SOLE
4411
0
30570
BB&T CORPORATION
PUBLIC
054937404
679
28616
SH
SOLE
0
0
28616
VAIL RESORTS INC
Common Stock
91879Q109
678
8788
SH
SOLE
6839
0
1949
WELLS FARGO 5.85%
PUBLIC
949746556
678
26137
SH
SOLE
0
0
26137
HOVNANIAN ENTERPRISES INC
Common Stock
442487203
677
131466
SH
SOLE
28586
0
102880
HALCON RESOURCES CORP
Common Stock
40537Q209
674
92487
SH
SOLE
85280
0
7207
TOPPAN PRTG LTD ADR
ADR
890747306
674
86244
SH
SOLE
74338
0
11906
GLU MOBILE INC
Common Stock
379890106
672
134446
SH
SOLE
80381
0
54065
FAIRPOINT COMMUNICATIONS INC COM
Common Stock
305560302
672
48098
SH
SOLE
47572
0
526
FORTINET INC
Common Stock
34959E109
670
26646
SH
SOLE
15645
0
11001
HELIOS TOTAL RETURN FUND
Closed-End Fund
11283U108
669
26581
SH
SOLE
26581
0
0
AVG TECHNOLOGIES N V SHS
Common Stock
N07831105
668
33202
SH
SOLE
33176
0
26
MONOTARO CO LTD ADR
ADR
61022V107
666
24059
SH
SOLE
23274
0
785
FIVE BELOW INC COM
Common Stock
33829M101
666
16678
SH
SOLE
10805
0
5873
EATON VANCE SR INCM TR SH BEN INT
Closed-End Fund
27826S103
665
97667
SH
SOLE
86224
0
11443
ZELTIQ AESTHETICS INC COM
Common Stock
98933Q108
665
43784
SH
SOLE
25855
0
17929
WESTFIELD FINANCIAL INC COM
Common Stock
96008P104
665
89150
SH
SOLE
24765
0
64385
CARDIOVASCULAR SYSTEMS INC
Common Stock
141619106
664
21318
SH
SOLE
6752
0
14566
PARK STERLING CORP
Common Stock
70086Y105
664
100705
SH
SOLE
62631
0
38074
CIRRUS LOGIC INC
Common Stock
172755100
663
29175
SH
SOLE
19442
0
9733
CHATHAM LODGING TR COM REIT
REIT
16208T102
663
30280
SH
SOLE
29439
0
841
G4S PLC ADR
ADR
37441W108
662
29854
SH
SOLE
28959
0
895
EXXARO RESOURCES LTD - SP ADR
ADR
30231D109
660
50450
SH
SOLE
0
0
50450
ALPHA & OMEGA SEMICONDUCTOR LT
Common Stock
G6331P104
658
71026
SH
SOLE
17726
0
53300
THERAVANCE INC COM
Common Stock
88338T104
658
22084
SH
SOLE
19242
0
2842
BANKRATE INC
Common Stock
06647F102
657
37462
SH
SOLE
11701
0
25761
LANDAUER INC
Common Stock
51476K103
656
15629
SH
SOLE
14221
0
1408
PERFICIENT INC
Common Stock
71375U101
656
33684
SH
SOLE
18090
0
15594
NANOMETRICS INC COM
Common Stock
630077105
656
35922
SH
SOLE
9138
0
26784
DICE HOLDINGS INC
Common Stock
253017107
655
86007
SH
SOLE
27947
0
58060
CHINDEX INTERNATIONAL INC
Common Stock
169467107
651
27465
SH
SOLE
7158
0
20307
BADGER METER INC
Common Stock
056525108
649
12328
SH
SOLE
4301
0
8027
TRAVELSKY TECHNOLOGY SPON ADR H SHS
ADR
89420Y209
649
69784
SH
SOLE
69784
0
0
GOLDMAN SACHS GROUP INC 6.125%
PUBLIC
38145X111
649
25000
SH
SOLE
0
0
25000
SPEEDWAY MOTORSPORTS INC
Common Stock
847788106
648
35520
SH
SOLE
11733
0
23787
PROGRESSIVE WASTE SOLUTIONS LTD
Common Stock
74339G101
648
25236
SH
SOLE
25236
0
0
ACTUATE CORP
Common Stock
00508B102
648
135800
SH
SOLE
29971
0
105829
ELEKTA AB ADR
ADR
28617Y101
646
51013
SH
SOLE
49623
0
1390
MENTOR GRAPHICS CORP
Common Stock
587200106
646
29944
SH
SOLE
27352
0
2592
CHINA YUCHAI INTERNATIONAL LTD
Common Stock
G21082105
645
30401
SH
SOLE
30401
0
0
ERA GROUP INC COM
Common Stock
26885G109
645
22486
SH
SOLE
14321
0
8165
COTY INC
Common Stock
222070203
644
37616
SH
SOLE
22557
0
15059
ING GROEP NV 6.125% PERPETUAL
PUBLIC
456837509
643
25383
SH
SOLE
0
0
25383
MULTI-COLOR CORP
Common Stock
625383104
642
16056
SH
SOLE
5636
0
10420
GENESIS ENERGY L P UNIT LTD PARTN
MLP
371927104
642
11462
SH
SOLE
11462
0
0
TEEKAY TANKERS LTD
Common Stock
Y8565N102
641
149427
SH
SOLE
149214
0
213
ROSETTA STONE INC
Common Stock
777780107
640
65858
SH
SOLE
22296
0
43562
PT UTD TRACTORS TBK ADR
ADR
69367T108
639
16601
SH
SOLE
16601
0
0
PROS HOLDINGS INC
Common Stock
74346Y103
634
23985
SH
SOLE
7198
0
16787
MISTRAS GROUP INC.
Common Stock
60649T107
633
25808
SH
SOLE
23251
0
2557
RTI SURGICAL INC
Common Stock
74975N105
630
144859
SH
SOLE
42527
0
102332
HERCULES TECHNOLOGY GROWTH CAP
Common Stock
427096508
629
38941
SH
SOLE
35421
0
3520
WALTER ENERGY INC
Common Stock
93317Q105
629
115432
SH
SOLE
65697
0
49735
SEASPAN CORP
Common Stock
Y75638109
629
26863
SH
SOLE
26863
0
0
OPPENHEIMER HOLDINGS INC
Common Stock
683797104
628
26190
SH
SOLE
4713
0
21477
DEL FRISCOS RESTN GRP COM
Common Stock
245077102
627
22755
SH
SOLE
4256
0
18499
GRUPO AEROPORTUARIO SUR-ADR
ADR
40051E202
626
4931
SH
SOLE
4907
0
24
BENEFICIAL MUTUAL BANCORP INC
Common Stock
08173R104
626
46167
SH
SOLE
15521
0
30646
NEW RESIDENTIAL INVT C COM
REIT
64828T102
625
99205
SH
SOLE
92351
0
6854
RICOH LTD ADR NEW
ADR
765658307
624
10440
SH
SOLE
9875
0
565
NUSTAR ENERGY LP UNIT COM
MLP
67058H102
624
10066
SH
SOLE
10066
0
0
KONE OYJ ADR
ADR
50048H101
624
29923
SH
SOLE
29446
0
477
FORESTAR GROUP INC
Common Stock
346233109
623
32623
SH
SOLE
18448
0
14175
MODUSLINK GLOBAL SOLUTIONS INC
Common Stock
60786L107
623
166507
SH
SOLE
33558
0
132949
WATERSTONE FINANCIAL INC
Common Stock
94188P101
621
54390
SH
SOLE
20250
0
34140
ALTISOURCE ASSET MANAGEMENT CO
Common Stock
02153X108
620
858
SH
SOLE
842
0
16
SAMSUNG ELECTRONICS - 144A GDR
GDR
796050201
619
1181
SH
SOLE
1181
0
0
HINO MOTORS LTD-UNSPON ADR
ADR
433406204
618
4415
SH
SOLE
3834
0
581
TITAN INTERNATIONAL INC
Common Stock
88830M102
618
36745
SH
SOLE
15923
0
20822
VOYA NATURAL RESOURCES EQUITY
Closed-End Fund
92913C106
617
53680
SH
SOLE
47702
0
5978
CAMECO CORP
Common Stock
13321L108
617
31449
SH
SOLE
31271
0
178
CAMPUS CREST COMMUNITIES INC REIT
REIT
13466Y105
615
71012
SH
SOLE
69659
0
1353
CASS INFORMATION SYSTEMS INC
Common Stock
14808P109
614
12407
SH
SOLE
4329
0
8078
CHECKPOINT SYSTEMS INC
Common Stock
162825103
614
43860
SH
SOLE
37687
0
6173
THERMON GROUP HLDGS IN COM
Common Stock
88362T103
613
23307
SH
SOLE
7252
0
16055
FIRST BANCORP P R COM
Common Stock
318672706
612
112579
SH
SOLE
108113
0
4466
WABASH NATIONAL CORP
Common Stock
929566107
610
42796
SH
SOLE
39222
0
3574
GERON CORP COM
Common Stock
374163103
610
189975
SH
SOLE
117418
0
72557
PANHANDLE OIL AND GAS INC
Common Stock
698477106
609
10873
SH
SOLE
3551
0
7322
HEARTLAND FINANCIAL USA INC
Common Stock
42234Q102
609
24621
SH
SOLE
5578
0
19043
CAR.COM INC
Common Stock
141633107
608
47999
SH
SOLE
47999
0
0
DSW INC
Common Stock
23334L102
608
21747
SH
SOLE
16580
0
5167
HAWKINS INC
Common Stock
420261109
605
16300
SH
SOLE
8416
0
7884
GOLDMAN SACHS 6.375%
PUBLIC
38148B108
605
22986
SH
SOLE
0
0
22986
FIVE STAR QUALITY CARE INC
Common Stock
33832D106
604
120550
SH
SOLE
48746
0
71804
VIEWPOINT FINANCIAL GROUP
Common Stock
92672A101
603
22417
SH
SOLE
18499
0
3918
FUTUREFUEL CORPORATION COM
Common Stock
36116M106
603
36349
SH
SOLE
9910
0
26439
MTR CORP LTD SPONSORED ADR
ADR
553768300
603
15651
SH
SOLE
14678
0
973
FIRST COMMUNITY BANCSHARES INC
Common Stock
31983A103
602
42034
SH
SOLE
8650
0
33384
GOLDMAN SACHS 5.50%
PUBLIC
38145G308
601
24538
SH
SOLE
0
0
24538
MERIT MEDICAL SYSTEMS INC
Common Stock
589889104
601
39778
SH
SOLE
14534
0
25244
LSI INDUSTRIES INC
Common Stock
50216C108
600
75158
SH
SOLE
29191
0
45967
LUXFER HLDGS PLC SPONSORED ADR
ADR
550678106
596
31446
SH
SOLE
31446
0
0
ALCATEL-LUCENT SPONSORED ADR
ADR
013904305
596
167359
SH
SOLE
160800
0
6559
POWERSHARES SENIOR LOAN PORT
ETP
73936Q769
595
23911
SH
SOLE
11692
0
12219
STEINER LEISURE LTD
Common Stock
P8744Y102
594
13732
SH
SOLE
13704
0
28
HERITAGE FINL CORP WASH COM
Common Stock
42722X106
594
36921
SH
SOLE
12903
0
24018
EMBOTELLADORA ANDINA S A SPON ADR A
ADR
29081P204
594
31933
SH
SOLE
31738
0
195
EMERALD OIL INC
Common Stock
29101U209
594
77596
SH
SOLE
75940
0
1656
AEROPOSTALE INC
Common Stock
007865108
593
170021
SH
SOLE
127313
0
42708
STAG INDL INC COM REIT
REIT
85254J102
593
24684
SH
SOLE
24603
0
81
GENERAL ELECTRIC CAPITAL 4.875%
PUBLIC
369622428
593
23878
SH
SOLE
0
0
23878
MILLER INDUSTRIES INC/TN
Common Stock
600551204
592
28787
SH
SOLE
7789
0
20998
SPEED COMMERCE INC
Common Stock
84764T106
591
158013
SH
SOLE
20089
0
137924
HOUSTON WIRE & CABLE CO
Common Stock
44244K109
589
47491
SH
SOLE
11385
0
36106
PORTUGAL TELECOM SGPS S A SPONSORED ADR
ADR
737273102
587
160263
SH
SOLE
157912
0
2351
GUGGENHEIM EQ WEIGHT E COM SH BEN INT
Closed-End Fund
40167M106
586
29279
SH
SOLE
26988
0
2291
MATADOR RES CO COM
Common Stock
576485205
586
20003
SH
SOLE
10270
0
9733
RITCHIE BROS AUCTIONEERS INC
Common Stock
767744105
585
23738
SH
SOLE
23738
0
0
ISHARES TR 1-3 YR TRS BD
ETP
464287457
585
6915
SH
SOLE
3253
0
3662
SPARTAN MOTORS INC
Common Stock
846819100
585
128766
SH
SOLE
40956
0
87810
ISHARES TR DJ US REAL EST
ETP
464287739
584
8141
SH
SOLE
8003
0
138
DREYFUS MUN BD INFRSTR SHS
Closed-End Fund
26203D101
584
49334
SH
SOLE
49334
0
0
ARBOR RLTY TR INC COM REIT
REIT
038923108
584
84035
SH
SOLE
11982
0
72053
MIDSTATES PETROLEUM
Common Stock
59804T100
584
80770
SH
SOLE
77719
0
3051
BARCLAYS BK PLC 7.1% PFD
PUBLIC
06739H776
583
22757
SH
SOLE
0
0
22757
BANK OF AMERICA CRP 6.375% SERIES3 PFD
PUBLIC
060505617
582
23123
SH
SOLE
0
0
23123
QUANTUM CORP
Common Stock
747906204
582
476778
SH
SOLE
79919
0
396859
BBCN BANCORP INC COM
Common Stock
073295107
581
36406
SH
SOLE
33252
0
3154
NPS PHARMACEUTICALS INC COM
Common Stock
62936P103
580
17561
SH
SOLE
14420
0
3141
GENERAL ELECTRIC 4.875%
PUBLIC
369622410
579
23931
SH
SOLE
0
0
23931
ARTESIAN RESOURCES CORP
Common Stock
043113208
578
25725
SH
SOLE
25409
0
316
JP MORGAN 5.45% SERIES A
PUBLIC
46637G124
575
25239
SH
SOLE
0
0
25239
GENERAL ELECTRIC CAPITAL 4.70%
PUBLIC
369622394
575
24761
SH
SOLE
0
0
24761
ANHUI CONCH CEMENT UNSPONS ADR
ADR
035243104
574
33517
SH
SOLE
0
0
33517
MEDIFAST INC
Common Stock
58470H101
573
18856
SH
SOLE
6842
0
12014
WEIGHT WATCHERS INTERNATIONAL
Common Stock
948626106
572
28378
SH
SOLE
26786
0
1592
INTERNAP NETWORK SERVICES CORP
Common Stock
45885A300
570
80895
SH
SOLE
25849
0
55046
TREX CO INC
Common Stock
89531P105
570
19775
SH
SOLE
9299
0
10476
BERKSHIRE HATHAWAY INC CL A
Common Stock
084670108
570
3
SH
SOLE
3
0
0
TRULIA INC COM
Common Stock
897888103
569
11999
SH
SOLE
11238
0
761
PRG-SCHULTZ INTERNATIONAL IN COM
Common Stock
69357C503
568
88943
SH
SOLE
13036
0
75907
TCW STRATEGIC INCM FND COM
Closed-End Fund
872340104
567
102684
SH
SOLE
91340
0
11344
PDF SOLUTIONS INC COM
Common Stock
693282105
566
26679
SH
SOLE
12696
0
13983
CALIX INC COM
Common Stock
13100M509
565
69053
SH
SOLE
30916
0
38137
ORTHOFIX INTERNATIONAL NV
Common Stock
N6748L102
564
15552
SH
SOLE
14837
0
715
ZHONE TECHNOLOGIES INC
Common Stock
98950P884
564
181857
SH
SOLE
35831
0
146026
BOULDER GROWTH & INC COM
Closed-End Fund
101507101
562
66013
SH
SOLE
60838
0
5175
KFX INC COM
Common Stock
G5307C105
561
65195
SH
SOLE
11925
0
53270
PT BK RAKYAT ADR SHS B
ADR
69366X100
556
32211
SH
SOLE
419
0
31792
MORGAN STANLEY CAP TR 6.25% PFD
PUBLIC
617460209
556
22000
SH
SOLE
0
0
22000
LOCALIZA RENT A CAR SPONSORED ADR
ADR
53956W300
555
33777
SH
SOLE
0
0
33777
DEPOMED INC COM
Common Stock
249908104
553
39773
SH
SOLE
17965
0
21808
PRUDENTIAL FINANCIAL 5.70%
PUBLIC
744320706
550
22325
SH
SOLE
0
0
22325
MAGNACHIP SEMICONDUCTOR CORP
Common Stock
55933J203
550
39002
SH
SOLE
39002
0
0
ZUMIEZ INC
Common Stock
989817101
550
19926
SH
SOLE
8609
0
11317
PIONEER FLOATING RATE TRUST
Closed-End Fund
72369J102
548
43955
SH
SOLE
39397
0
4558
CITIGROUP CAPITAL XIII 7.875%
PUBLIC
173080201
548
19784
SH
SOLE
0
0
19784
RENTRAK CORP
Common Stock
760174102
548
10446
SH
SOLE
5064
0
5382
NEW YORK & CO INC
Common Stock
649295102
546
148027
SH
SOLE
31667
0
116360
FARMER BROS CO
Common Stock
307675108
545
25240
SH
SOLE
5607
0
19633
GAZIT GLOBE LTD SHS
Common Stock
M4793C102
544
40988
SH
SOLE
40988
0
0
SUMITOMO CHEM CO LTD ADR
ADR
865612105
544
28898
SH
SOLE
26317
0
2581
TECUMSEH PRODS CO CL B
Common Stock
878895309
544
106783
SH
SOLE
25467
0
81316
KURARAY CO LTD ADR
ADR
50127R103
542
14190
SH
SOLE
13934
0
256
LEND LEASE LTD SPONSORED ADR
ADR
526023205
542
43634
SH
SOLE
36571
0
7063
ENVENTIS CORP
Common Stock
29402J101
540
34120
SH
SOLE
21375
0
12745
CHINA EASTN AIRLS LTD SPON ADR CL H
ADR
16937R104
539
35287
SH
SOLE
35256
0
31
STANDARD BK GROUP LTD SPONSORED ADR
ADR
853118206
539
39542
SH
SOLE
0
0
39542
STERLING CONSTRUCTION CO INC
Common Stock
859241101
538
57351
SH
SOLE
9349
0
48002
BLACKROCK LONG-TERM MUNI ADVANTAGE TRUST
Closed-End Fund
09250B103
538
47646
SH
SOLE
47646
0
0
STAAR SURGICAL CO COM PAR $0.01
Common Stock
852312305
538
32013
SH
SOLE
6606
0
25407
RINGCENTRAL INC -CLASS A
Common Stock
76680R206
538
35536
SH
SOLE
35503
0
33
YORK WATER CO
Common Stock
987184108
538
25824
SH
SOLE
25395
0
429
BPZ RESOURCES INC
Common Stock
055639108
536
174062
SH
SOLE
117606
0
56456
ENLINK MIDSTREAM LLC
Common Stock
29336T100
535
12837
SH
SOLE
10866
0
1971
QUINSTREET INC
Common Stock
74874Q100
534
96913
SH
SOLE
21705
0
75208
EXAR CORP
Common Stock
300645108
534
47245
SH
SOLE
16611
0
30634
JAPAN RETAIL FD INVT C SPONSORED ADR
ADR
471095208
534
23506
SH
SOLE
23021
0
485
VOLCANO CORP
Common Stock
928645100
533
30262
SH
SOLE
7224
0
23038
HIMAX TECHNOLOGIES INC ADR
ADR
43289P106
531
77388
SH
SOLE
77388
0
0
NUVEEN GLOBAL VALUE OPPORTUNITY FD
Closed-End Fund
6706EH103
530
36007
SH
SOLE
33185
0
2822
FEDERATED NATL HLDG CO COM
Common Stock
31422T101
529
20757
SH
SOLE
5862
0
14895
ARUBA NETWORKS INC
Common Stock
043176106
529
30188
SH
SOLE
19074
0
11114
EQUAL ENERGY LTD COM
Common Stock
29390Q109
526
97139
SH
SOLE
19732
0
77407
ANWORTH MORTGAGE ASSET CORP REIT
REIT
037347101
525
101795
SH
SOLE
92007
0
9788
BANK EAST ASIA LTD SPONSORED ADR
ADR
061874103
523
126981
SH
SOLE
113688
0
13293
ING GROEP NV 7.05% PFD
PUBLIC
456837202
523
20373
SH
SOLE
0
0
20373
FRANCESCAS HLDGS CORP COM
Common Stock
351793104
522
35392
SH
SOLE
23425
0
11967
PROVIDENT FINANCIAL HOLDINGS I
Common Stock
743868101
520
35796
SH
SOLE
4099
0
31697
ITOCHU TECHNO-SOLOT-UNSP ADR
ADR
465720100
520
23976
SH
SOLE
23870
0
106
CASTLIGHT HEALTH INC CL B
Common Stock
14862Q100
519
34160
SH
SOLE
33164
0
996
PLUG POWER INC COM
Common Stock
72919P202
518
110666
SH
SOLE
20197
0
90469
AVIAT NETWORKS INC
Common Stock
05366Y102
517
403876
SH
SOLE
59057
0
344819
RENAISSANCE WORLDWIDE COM
Common Stock
75972A301
516
45010
SH
SOLE
10283
0
34727
CHANGYOU.COM LTD - ADR
ADR
15911M107
516
19854
SH
SOLE
19841
0
13
CAMDEN NATIONAL CORP
Common Stock
133034108
516
13305
SH
SOLE
2536
0
10769
MITCHAM INDUSTRIES INC
Common Stock
606501104
515
36867
SH
SOLE
10908
0
25959
VILLAGE SUPER MARKET INC
Common Stock
927107409
515
21808
SH
SOLE
6990
0
14818
KRISPY KREME DOUGHNUTS INC
Common Stock
501014104
515
32225
SH
SOLE
8838
0
23387
INTERNATIONAL SHIPHOLDING CORP
Common Stock
460321201
511
22309
SH
SOLE
4962
0
17347
ENSTAR GROUP LTD
Common Stock
G3075P101
511
3387
SH
SOLE
2937
0
450
ULTRATECH INC
Common Stock
904034105
510
22994
SH
SOLE
8226
0
14768
CARETRUST REIT INC
REIT
14174T107
507
25630
SH
SOLE
7908
0
17722
MATTRESS FIRM HLDG COR COM
Common Stock
57722W106
506
10606
SH
SOLE
2969
0
7637
GEOSPACE TECHNOLOGIES CORP
Common Stock
37364X109
506
9178
SH
SOLE
3483
0
5695
COHU INC
Common Stock
192576106
504
47122
SH
SOLE
17542
0
29580
CDW CORP/DE
Common Stock
12514G108
502
15753
SH
SOLE
3817
0
11936
SPROUTS FARMERS MARKET INC
Common Stock
85208M102
500
15294
SH
SOLE
7971
0
7323
BLACKROCK MUNIYIELD QU COM
Closed-End Fund
09254G108
500
39070
SH
SOLE
39070
0
0
ROCKWELL MEDICAL INC
Common Stock
774374102
497
41490
SH
SOLE
38521
0
2969
RESOURCES CONNECTION INC
Common Stock
76122Q105
497
37921
SH
SOLE
20736
0
17185
AEP INDUSTRIES INC
Common Stock
001031103
496
14231
SH
SOLE
8092
0
6139
HOMETRUST BANCSHARES I COM
Common Stock
437872104
496
31422
SH
SOLE
6516
0
24906
POZEN INC COM
Common Stock
73941U102
495
59462
SH
SOLE
22677
0
36785
FABRINET
Common Stock
G3323L100
495
24011
SH
SOLE
23998
0
13
MORGAN STANLEY 6.625% SRS G
PUBLIC
61762V507
494
19355
SH
SOLE
0
0
19355
AMYRIS INC COM
Common Stock
03236M101
492
132015
SH
SOLE
74453
0
57562
CAI INTERNATIONAL INC
Common Stock
12477X106
491
22310
SH
SOLE
21513
0
797
VICOR CORP
Common Stock
925815102
489
58382
SH
SOLE
21282
0
37100
SEAWORLD ENTMT INC COM
Common Stock
81282V100
487
17182
SH
SOLE
6854
0
10328
ALON USA ENERGY INC
Common Stock
020520102
486
39058
SH
SOLE
15989
0
23069
VRINGO INC COM
Common Stock
92911N104
484
141521
SH
SOLE
134796
0
6725
LADBROKES PLC ADR
ADR
505730101
484
193586
SH
SOLE
193586
0
0
DTS INC/CA
Common Stock
23335C101
481
26141
SH
SOLE
8733
0
17408
GRAHAM CORP
Common Stock
384556106
481
13824
SH
SOLE
4131
0
9693
ADVENT CLAYMORE ENH GR COM
Closed-End Fund
00765E104
481
46713
SH
SOLE
41763
0
4950
SUMMIT HOTEL PPTYS INC COM
REIT
866082100
480
45323
SH
SOLE
27301
0
18022
SCORPIO TANKERS INC SHS
Common Stock
Y7542C106
480
47185
SH
SOLE
44329
0
2856
HACKETT GROUP INC/THE
Common Stock
404609109
477
79946
SH
SOLE
16307
0
63639
COURIER CORP
Common Stock
222660102
477
31982
SH
SOLE
14619
0
17363
TAIHEIYO CEMENT CORP - SPON ADR
ADR
87401G106
477
11864
SH
SOLE
11217
0
647
TELEKOM AUSTRIA AG SPONSORED ADR
ADR
87943Q109
477
24748
SH
SOLE
22486
0
2262
ELECTRO SCIENTIFIC INDUSTRIES
Common Stock
285229100
476
69904
SH
SOLE
22265
0
47639
GIGAMON INC
Common Stock
37518B102
476
24847
SH
SOLE
20436
0
4411
HEALTH INS INNOVAT INC COM CL A
Common Stock
42225K106
475
38541
SH
SOLE
38541
0
0
LIQUIDITY SERVICES INC
Common Stock
53635B107
474
30081
SH
SOLE
15572
0
14509
COTT CORP
Common Stock
22163N106
474
67016
SH
SOLE
67016
0
0
WORLETYPARSONS LTD ADR
ADR
98161Q101
473
29216
SH
SOLE
28000
0
1216
KINDER MORGAN MANAGEMENT LLC SHS
Common Stock
49455U100
473
5987
SH
SOLE
5015
0
972
JOHN B SANFILIPPO & SON INC
Common Stock
800422107
472
17845
SH
SOLE
684
0
17161
CLOVIS ONCOLOGY INC COM
Common Stock
189464100
472
11394
SH
SOLE
6942
0
4452
OMNIAMERICAN BANCORP COM
Common Stock
68216R107
471
18859
SH
SOLE
6257
0
12602
BLUE NILE INC
Common Stock
09578R103
471
16818
SH
SOLE
4558
0
12260
MERRILL LYNCH CA 6.45% 6/15/2062
PUBLIC
59024T203
470
18541
SH
SOLE
0
0
18541
AGNICO-EAGLE MINES LTD
Common Stock
008474108
470
12262
SH
SOLE
12231
0
31
PROGENICS PHARMACEUTICALS IN COM
Common Stock
743187106
469
108877
SH
SOLE
26255
0
82622
ANGIES LIST INC COM
Common Stock
034754101
467
39113
SH
SOLE
38180
0
933
STANDARD PACIFIC CORP
Common Stock
85375C101
465
54099
SH
SOLE
49201
0
4898
HARBINGER GROUP INC
Common Stock
41146A106
465
36619
SH
SOLE
17198
0
19421
CALAMOS GLOBAL DYNAMIC INCOME FUND III
Closed-End Fund
12811L107
465
47449
SH
SOLE
40985
0
6464
ORASURE TECHNOLOGIES INC COM
Common Stock
68554V108
465
53974
SH
SOLE
33307
0
20667
CHINA DIGITAL TV HOLDING - ADR
ADR
16938G107
463
103655
SH
SOLE
103503
0
152
FLAHERTY & CRUMRINE DYNAMIC
Closed-End Fund
33848W106
463
19665
SH
SOLE
17018
0
2647
JTEKT CORP UNSPNSORED ADR
ADR
48124H102
460
9053
SH
SOLE
9010
0
43
WET SEAL INC/THE
Common Stock
961840105
460
505109
SH
SOLE
92649
0
412460
EMC INSURANCE GROUP INC
Common Stock
268664109
459
14907
SH
SOLE
2632
0
12275
AMBARELLA INC SHS
Common Stock
G037AX101
458
14684
SH
SOLE
6421
0
8263
MEMORIAL RESOURCE DEVELOPMENT
Common Stock
58605Q109
457
18766
SH
SOLE
18766
0
0
THK CO LTD - ADR
ADR
872434105
457
38693
SH
SOLE
35392
0
3301
ING GROEP NV 7.2% SERIES
PUBLIC
456837301
457
17693
SH
SOLE
0
0
17693
TEIJIN LTD ADR
ADR
879063204
456
18272
SH
SOLE
17183
0
1089
BNC BANCORP COM
Common Stock
05566T101
455
26655
SH
SOLE
5197
0
21458
US BANCORP 6.5%
PUBLIC
902973833
453
16026
SH
SOLE
0
0
16026
CONSUMER PORTFOLIO SVC COM
Common Stock
210502100
453
59397
SH
SOLE
9833
0
49564
AMERICAN AXLE & MANUFACTURING
Common Stock
024061103
451
23851
SH
SOLE
19593
0
4258
VORNADO RLTY LP
PUBLIC
929043602
450
17638
SH
SOLE
0
0
17638
BANCO LATINOAMERICANO DE COMER
Common Stock
P16994132
450
15167
SH
SOLE
14144
0
1023
CHINA OILFIELD SERVICES ADR
ADR
168909109
450
9288
SH
SOLE
0
0
9288
EXACTECH INC COM
Common Stock
30064E109
450
17821
SH
SOLE
3184
0
14637
NORTHERN OIL & GAS NEV COM
Common Stock
665531109
449
27574
SH
SOLE
10138
0
17436
ENDOLOGIX INC
Common Stock
29266S106
447
29392
SH
SOLE
4070
0
25322
NATURES SUNSHINE PRODUCTS IN COM
Common Stock
639027101
447
26312
SH
SOLE
3957
0
22355
CAE INC
Common Stock
124765108
446
33998
SH
SOLE
33747
0
251
CITIZENS INC/TX
Common Stock
174740100
446
60302
SH
SOLE
27438
0
32864
WEST MARINE INC
Common Stock
954235107
446
43464
SH
SOLE
5439
0
38025
GOLD RESOURCE CORP COM
Common Stock
38068T105
445
88010
SH
SOLE
85597
0
2413
BLYTH INC
Common Stock
09643P207
441
56747
SH
SOLE
12901
0
43846
BUILDERS FIRSTSOURCE INC
Common Stock
12008R107
440
58887
SH
SOLE
14504
0
44383
ARGAN INC
Common Stock
04010E109
440
11810
SH
SOLE
3105
0
8705
BALDWIN & LYONS INC CL B
Common Stock
057755209
440
16953
SH
SOLE
7561
0
9392
TALISMAN ENERGY INC
Common Stock
87425E103
438
41325
SH
SOLE
38840
0
2485
KONICA MINOLTA HLDGS INC - ADR
ADR
50048B104
438
22102
SH
SOLE
20527
0
1575
BANK OF CALIFORNIA INC
Common Stock
05990K106
438
40141
SH
SOLE
13039
0
27102
INTEGRYS ENERGY 6%
PUBLIC
45822P204
437
16600
SH
SOLE
0
0
16600
NATIONAL INTERSTATE CORP
Common Stock
63654U100
436
15568
SH
SOLE
3658
0
11910
AEGON NV
PUBLIC
007924608
434
14931
SH
SOLE
0
0
14931
VERIZON COMM 5.90%
PUBLIC
92343V302
434
16860
SH
SOLE
0
0
16860
TELEPHONE & DATA SYSTEM 7%
PUBLIC
879433837
434
16847
SH
SOLE
0
0
16847
GERMAN AMERICAN BANCORP INC
Common Stock
373865104
433
16006
SH
SOLE
2517
0
13489
JPMORGAN ALERIAN MLP ETN
ETP
46625H365
433
8263
SH
SOLE
8263
0
0
TELENAV INC
Common Stock
879455103
433
76043
SH
SOLE
14476
0
61567
ALLIANCE NEW YORK MUNI INC
Closed-End Fund
018714105
432
33921
SH
SOLE
33921
0
0
JARDINE STRATEGIC HLDG ADR
ADR
471122200
432
24364
SH
SOLE
24364
0
0
HOLLYSYS AUTOMATION TE SHS
Common Stock
G45667105
432
17624
SH
SOLE
17624
0
0
MARKET VECTORS VIETNAM ETF
ETP
57060U761
430
20690
SH
SOLE
20690
0
0
VERMILION ENERGY INC
Common Stock
923725105
430
6169
SH
SOLE
6169
0
0
HILL INTERNATIONAL INC
Common Stock
431466101
430
68966
SH
SOLE
14309
0
54657
MELLANON TECHNOLOGIES LTD
Common Stock
M51363113
429
12293
SH
SOLE
1445
0
10848
SPDR BARCLAYS INTERNATIONAL TREASURY BOND
ETP
78464A516
428
7044
SH
SOLE
7044
0
0
PUBLIC STORAGE 5.75% SERIES T
PUBLIC
74460W404
427
17578
SH
SOLE
0
0
17578
SANCHEZ ENERGY CORP COM
Common Stock
79970Y105
427
11356
SH
SOLE
10879
0
477
BELMOND LTD
Common Stock
G1154H107
426
29278
SH
SOLE
23482
0
5796
BB&T CORP 5.20% PFD
PUBLIC
054937800
425
19212
SH
SOLE
0
0
19212
VANDA PHARMACEUTICALS COM
Common Stock
921659108
424
26196
SH
SOLE
6397
0
19799
KRONOS WORLDWIDE INC
Common Stock
50105F105
424
27045
SH
SOLE
9210
0
17835
CHAMBERS STR PPTYS COM
REIT
157842105
423
52670
SH
SOLE
46800
0
5870
KENNEDY-WILSON HLDGS I COM
Common Stock
489398107
423
15772
SH
SOLE
14589
0
1183
BITAUTO HLDGS LTD SPONSORED ADS
ADR
091727107
423
8685
SH
SOLE
8660
0
25
ASOS PLC ADR
ADR
00212V105
422
8261
SH
SOLE
6337
0
1924
CENTER BANCORP INC
Common Stock
151408101
422
21954
SH
SOLE
3510
0
18444
VERA BRADLEY INC
Common Stock
92335C106
422
19287
SH
SOLE
3318
0
15969
PACIFIC PREMIER BNCRP COM
Common Stock
69478X105
422
29923
SH
SOLE
5800
0
24123
NUVEEN EQUITY PREM & GROWTH
Closed-End Fund
6706EW100
421
29106
SH
SOLE
26825
0
2281
ANI PHARMACEUTICALS IN COM
Common Stock
00182C103
421
12228
SH
SOLE
2708
0
9520
FTD GROUP INC COM
Common Stock
30281V108
420
13221
SH
SOLE
12572
0
649
FIRST OF LONG ISLAND CORP/THE
Common Stock
320734106
420
10752
SH
SOLE
2553
0
8199
TELUS CORP NON-VTG SHS
Common Stock
87971M103
420
11269
SH
SOLE
10914
0
355
XINYI GLASS HLDGS LTD ADS REP 20 SHS
ADR
98418R100
419
35633
SH
SOLE
34559
0
1074
ANTON OILFIELD SVCS GR ADR
ADR
037193109
418
3054
SH
SOLE
0
0
3054
BROTHER INDS LTD ADR
ADR
114813207
418
12025
SH
SOLE
11236
0
789
KCAP FINANCIAL INC
Common Stock
48668E101
417
49072
SH
SOLE
49055
0
17
CHARLES SCHWAB 6%
PUBLIC
808513204
416
16498
SH
SOLE
0
0
16498
BEZEQ ISRAEL TELECOM L ADR
ADR
08861Q103
416
44070
SH
SOLE
0
0
44070
VIRNETX HLDG CORP COM
Common Stock
92823T108
415
23558
SH
SOLE
22324
0
1234
KVH INDS INC COM
Common Stock
482738101
414
31790
SH
SOLE
30686
0
1104
OREXIGEN THERAPEUTICS INC
Common Stock
686164104
413
66856
SH
SOLE
54596
0
12260
ORMAT TECHNOLOGIES INC
Common Stock
686688102
412
14293
SH
SOLE
8473
0
5820
FLEETMATICS GROUP PLC
Common Stock
G35569105
411
12705
SH
SOLE
12702
0
3
REX ENERGY CORPORATION COM
Common Stock
761565100
410
23163
SH
SOLE
4852
0
18311
PARTNERRE LTD 5.875%
PUBLIC
G68603128
410
16764
SH
SOLE
0
0
16764
MOLYCORP INC DEL COM
Common Stock
608753109
410
159469
SH
SOLE
153396
0
6073
ACHILLION PHARMACEUTIC COM
Common Stock
00448Q201
410
54118
SH
SOLE
42565
0
11553
ENLINK MIDSTREAM PARTN COM UNIT REP LTD
MLP
29336U107
410
13031
SH
SOLE
13031
0
0
LUMBER LIQUIDATORS HOLDINGS IN
Common Stock
55003T107
407
5362
SH
SOLE
4630
0
732
INTERSECTIONS INC COM
Common Stock
460981301
407
82622
SH
SOLE
13905
0
68717
SPDR BARCLAYS AGGRAGATE BOND ETF
ETP
78464A649
406
7009
SH
SOLE
6597
0
412
ISHARES TR MSCI RUSS INDX
ETP
46429B705
406
20063
SH
SOLE
20063
0
0
UNWIRED PLANET INC
Common Stock
91531F103
406
181913
SH
SOLE
39606
0
142307
PENN WEST PETROLEUM LTD
Common Stock
707887105
406
41561
SH
SOLE
41444
0
117
FAIRWAY GROUP HLDGS CL A
Common Stock
30603D109
405
60938
SH
SOLE
54889
0
6049
CRESTWOOD MIDSTREAM PARTNERS L
MLP
226378107
405
18341
SH
SOLE
18341
0
0
INSULET CORP COM
Common Stock
45784P101
404
10193
SH
SOLE
7323
0
2870
PENNANTPARK INVESTMENT CORP
Common Stock
708062104
404
35272
SH
SOLE
35077
0
195
ROUSE CO COM
REIT
779287101
402
23513
SH
SOLE
17000
0
6513
PIMCO ETF TR TOTL RETN ETF
ETP
72201R775
402
3690
SH
SOLE
3690
0
0
NEWCASTLE INVT CORP COM REIT
REIT
65105M108
402
83931
SH
SOLE
18684
0
65247
ISHARES BARCLAYS MBS BOND FD - ETF
ETP
464288588
400
3698
SH
SOLE
3698
0
0
GRUPO AEROPORTUARIO SPON ADR
ADR
400501102
400
12391
SH
SOLE
12376
0
15
REALTY INCOME 6.625% SERIED F
PUBLIC
756109807
400
15284
SH
SOLE
0
0
15284
ALUMINUM CORP CHINA LTD SPON ADR H SHS
ADR
022276109
400
44342
SH
SOLE
44093
0
249
JP MORGAN 6.70%
PUBLIC
48127A161
399
15438
SH
SOLE
0
0
15438
KINROSS GOLD CORP
Common Stock
496902404
399
96442
SH
SOLE
91238
0
5204
ORICA LTD ADR
ADR
68618H103
399
21821
SH
SOLE
20720
0
1101
BAYTEX ENERGY CORP
Common Stock
07317Q105
398
8631
SH
SOLE
8581
0
50
PREFERRED BK LOS ANGELES CA COM
Common Stock
740367404
398
16849
SH
SOLE
1820
0
15029
OMRON CORP SPONSORED ADR
ADR
682151303
398
9421
SH
SOLE
8996
0
425
VASCULAR SOLUTIONS INC
Common Stock
92231M109
398
17920
SH
SOLE
5852
0
12068
YY INC ADS REPCOM CLA
ADR
98426T106
397
5257
SH
SOLE
5257
0
0
SPECTRUM PHARMACEUTICALS INC
Common Stock
84763A108
397
48816
SH
SOLE
38287
0
10529
MFS MUN INCOME TR SH BEN INT
Closed-End Fund
552738106
396
60026
SH
SOLE
60026
0
0
GILDAN ACTIVEWEAR INC
Common Stock
375916103
396
6728
SH
SOLE
6683
0
45
TAYLOR MORRISON HOME CL A
Common Stock
87724P106
396
17663
SH
SOLE
11846
0
5817
SUNESIS PHARMACEUTICLS COM NEW
Common Stock
867328601
396
60675
SH
SOLE
42114
0
18561
MEDLEY CAPITAL CORP
Common Stock
58503F106
395
30272
SH
SOLE
18679
0
11593
BANK HAPOALIM LTD ADR
ADR
062510300
395
13566
SH
SOLE
13511
0
55
QWEST CORP 7.5%
PUBLIC
74913G303
394
14867
SH
SOLE
0
0
14867
PACIFIC ETHANOL INC
Common Stock
69423U305
394
25795
SH
SOLE
17255
0
8540
RENAISSANCERE HOLDINGS 5.375%
PUBLIC
G7498P119
394
17424
SH
SOLE
0
0
17424
CHARTER FINL CORP WEST PT GA COM
Common Stock
16122W108
393
35430
SH
SOLE
6757
0
28673
LIFELOCK INC COM
Common Stock
53224V100
392
28115
SH
SOLE
9825
0
18290
BRIGHT HORIZON FAMILY SOLUTI COM
Common Stock
109194100
392
9139
SH
SOLE
1692
0
7447
TECK RESOURCES LTD
Common Stock
878742204
392
17169
SH
SOLE
17066
0
103
PLY GEM HLDGS INC COM
Common Stock
72941W100
391
38727
SH
SOLE
36860
0
1867
ACADIA PHARMACEUTICALS INC COM
Common Stock
004225108
390
17274
SH
SOLE
5735
0
11539
DEMANDWARE INC COM
Common Stock
24802Y105
390
5616
SH
SOLE
2335
0
3281
STANLEY BLACK & DECKER 5.75%
PUBLIC
854502705
389
15970
SH
SOLE
0
0
15970
BPOST SA ADR
ADR
05578W100
388
15191
SH
SOLE
0
0
15191
KEMET CORP
Common Stock
488360207
388
67451
SH
SOLE
25302
0
42149
KIMCO REALTY 6.00% SERIES I
PUBLIC
49446R794
386
15590
SH
SOLE
0
0
15590
ARAMARK
Common Stock
03852U106
386
14905
SH
SOLE
962
0
13943
OIL-DRI CORP OF AMERICA
Common Stock
677864100
385
12605
SH
SOLE
4913
0
7692
FIDELITY SOUTHERN CORP
Common Stock
316394105
384
29590
SH
SOLE
4758
0
24832
PENNYMAC FINL SVCS INC CL A
Common Stock
70932B101
383
25228
SH
SOLE
24543
0
685
FIRST TR HIGH INCOME L COM
Closed-End Fund
33738E109
383
21108
SH
SOLE
18193
0
2915
COMVERSE INC
Common Stock
20585P105
383
14355
SH
SOLE
4737
0
9618
CHANNELADVISOR CORP COM
Common Stock
159179100
382
14509
SH
SOLE
14061
0
448
SOLAZYME INC COM
Common Stock
83415T101
382
32453
SH
SOLE
30531
0
1922
MORGAN STANLEY EMER COM
Closed-End Fund
61744H105
381
37537
SH
SOLE
37537
0
0
FURIEX PHARMACEUTICALS INC
Common Stock
36106P101
381
3590
SH
SOLE
3019
0
571
PACIRA PHARMACEUTICALS COM
Common Stock
695127100
380
4140
SH
SOLE
3588
0
552
US CELLULAR CORP 6.95%
PUBLIC
911684405
379
14867
SH
SOLE
0
0
14867
ULTRA CLEAN HOLDINGS
Common Stock
90385V107
377
41710
SH
SOLE
13673
0
28037
HURCO COS INC
Common Stock
447324104
377
13382
SH
SOLE
4181
0
9201
PARTNERRE LTD 7.25%
PUBLIC
G68603508
377
14101
SH
SOLE
0
0
14101
NUVEEN PREMIUM INCOME MUNI FUND
Closed-End Fund
6706K4105
377
29389
SH
SOLE
29389
0
0
PS BUSINESS PARKS 6.00%
PUBLIC
69360J685
376
15593
SH
SOLE
0
0
15593
UTI WORLDWIDE INC
Common Stock
G87210103
375
36294
SH
SOLE
36043
0
251
EUROCASH SA-UNSP ADR
ADR
29872M105
375
30882
SH
SOLE
0
0
30882
JIVE SOFTWARE INC COM
Common Stock
47760A108
374
43941
SH
SOLE
39898
0
4043
YANZHOU COAL MNG CO LTD SPON ADR H SHS
ADR
984846105
374
49921
SH
SOLE
49848
0
73
HSBC HLDGS PLC 6.2% SRS A
PUBLIC
404280604
373
14730
SH
SOLE
0
0
14730
TESORO LOGISTICS LP COM UNIT LP
MLP
88160T107
372
5066
SH
SOLE
5066
0
0
BIODELIVERY SCIENCES INTERNATIONAL INC
Common Stock
09060J106
371
30777
SH
SOLE
14219
0
16558
NXSTAGE MEDICAL INC COM
Common Stock
67072V103
371
25828
SH
SOLE
6338
0
19490
ATLAS PIPELINE PARTNERS LP UNIT L P INT
MLP
049392103
371
10776
SH
SOLE
10776
0
0
YAMAHA CORP SPON ADR
ADR
984627109
369
23177
SH
SOLE
20155
0
3022
INTERTEK GROUP PLC ADR
ADR
461130106
369
7978
SH
SOLE
7838
0
140
LIFETIME BRANDS INC
Common Stock
53222Q103
368
23423
SH
SOLE
3760
0
19663
SPARTON CORP COM
Common Stock
847235108
368
13269
SH
SOLE
3208
0
10061
ISHARES TR RUSL 2000 VALU
ETP
464287630
367
3551
SH
SOLE
3551
0
0
ADVANCED EMISSIONS SOLUTIONS I
Common Stock
00770C101
367
15990
SH
SOLE
5708
0
10282
TAHOE RES INC COM
Common Stock
873868103
366
13965
SH
SOLE
6787
0
7178
PATTERN ENERGY GROUP INC
Common Stock
70338P100
366
11048
SH
SOLE
2995
0
8053
TELEPHONE & DATA SYSTEM 6.875%
PUBLIC
879433845
365
14437
SH
SOLE
0
0
14437
STATE STREET 5.25%
PUBLIC
857477509
365
15756
SH
SOLE
0
0
15756
VISTAPRINT NV
Common Stock
N93540107
364
9006
SH
SOLE
7213
0
1793
ARES COML REAL ESTATE COM
REIT
04013V108
362
29191
SH
SOLE
26887
0
2304
AXIS CAPITAL SERIES C 6.875%
PUBLIC
G0692U307
360
13749
SH
SOLE
0
0
13749
BROADWIND ENERGY INC
Common Stock
11161T207
359
40979
SH
SOLE
7379
0
33600
CIE GEN GEOPHYSIQUE - SP ADR
ADR
12531Q105
359
25262
SH
SOLE
24834
0
428
SAREPTA THERAPEUTICS I COM
Common Stock
803607100
358
12013
SH
SOLE
8294
0
3719
INFOBLOX INC COM
Common Stock
45672H104
355
26983
SH
SOLE
5749
0
21234
AG MTG INVT TR INC COM
REIT
001228105
355
18739
SH
SOLE
10078
0
8661
DON QUIJOTE CO LTD ADR
ADR
257569103
354
2124
SH
SOLE
2079
0
45
MAXWELL TECHNOLOGIES INC COM
Common Stock
577767106
354
23411
SH
SOLE
11697
0
11714
CENTRAIS ELEC BRAS -ADR PREF (ELETROBRAS)
ADR
15234Q108
353
74173
SH
SOLE
73894
0
279
NUVERRA ENVIRONMENTAL SOLUTIONS INC
Common Stock
67091K203
353
17529
SH
SOLE
16806
0
723
TRIANGLE PETE CORP COM NEW
Common Stock
89600B201
352
29976
SH
SOLE
28473
0
1503
ZIOPHARM ONCOLOGY INC COM
Common Stock
98973P101
352
87220
SH
SOLE
47882
0
39338
LIGAND PHARMACEUTICALS CL B
Common Stock
53220K504
351
5639
SH
SOLE
5593
0
46
FRONTLINE LTD/BERMUDA
Common Stock
G3682E127
351
120098
SH
SOLE
111643
0
8455
SPECTRA ENERGY PARTNERS LP
MLP
84756N109
350
6558
SH
SOLE
6558
0
0
WESTELL TECHNOLOGIES INC
Common Stock
957541105
350
142709
SH
SOLE
12505
0
130204
GETINGE AB ADR
ADR
37427X104
347
13265
SH
SOLE
12798
0
467
SENOMYX INC COM
Common Stock
81724Q107
347
40163
SH
SOLE
9343
0
30820
SIMPLICITY BANCORP INC
Common Stock
828867101
347
19907
SH
SOLE
1173
0
18734
KAJIMA CORP - UNSPON ADR
ADR
483111209
347
7930
SH
SOLE
7127
0
803
UMH PROPERTIES INC COM REIT
REIT
903002103
347
34627
SH
SOLE
30694
0
3933
NATIONAL BK HLDGS CORP CL A
Common Stock
633707104
347
17413
SH
SOLE
16861
0
552
REMY INTL INC COM
Common Stock
759663107
347
14861
SH
SOLE
2604
0
12257
TRI POINTE HOMES INC COM
Common Stock
87265H109
347
22055
SH
SOLE
21364
0
691
DELTIC TIMBER CORP
Common Stock
247850100
346
5734
SH
SOLE
5734
0
0
MANNKIND CORP
Common Stock
56400P201
345
31519
SH
SOLE
21869
0
9650
AEGON NV 6.5000% SERIES
PUBLIC
007924400
345
13571
SH
SOLE
0
0
13571
SINOPEC SHANGHAI PETROCHEMIC SPON ADR H
ADR
82935M109
345
12461
SH
SOLE
12444
0
17
MARTHA STEWART LIVING-A
Common Stock
573083102
345
73410
SH
SOLE
15993
0
57417
MER LYNCH CAP TR 6.45% 12/15/66
PUBLIC
590199204
344
13573
SH
SOLE
0
0
13573
CEMPRA INC COM
Common Stock
15130J109
344
32049
SH
SOLE
19564
0
12485
MORGAN ST CAP V
PUBLIC
617466206
344
13727
SH
SOLE
0
0
13727
NORANDA ALUMINUM HOLDING CORP
Common Stock
65542W107
343
97176
SH
SOLE
55215
0
41961
ROYAL BK SCOTLAND GRP SER S
PUBLIC
780097739
343
13967
SH
SOLE
0
0
13967
INFINIS ENERGY PLC ADR
ADR
456675107
343
20892
SH
SOLE
0
0
20892
GUIDEWIRE SOFTWARE INC COM
Common Stock
40171V100
342
8399
SH
SOLE
1834
0
6565
CHINA SOUTHN AIRLS LTD SPON ADR CL H
ADR
169409109
341
22726
SH
SOLE
22697
0
29
OPLINK COMMUNICATIONS INC
Common Stock
68375Q403
341
20080
SH
SOLE
8561
0
11519
DENDREON CORP
Common Stock
24823Q107
341
148057
SH
SOLE
137569
0
10488
ISHARES TR MSCI INDIA IDX
ETP
46429B598
338
11378
SH
SOLE
11378
0
0
MUNIENHANCED FD INC COM
Closed-End Fund
09253Y100
336
30070
SH
SOLE
30070
0
0
CELLDEX THERAPEUTICS INC
Common Stock
15117B103
335
20543
SH
SOLE
18192
0
2351
EBIX INC
Common Stock
278715206
335
23415
SH
SOLE
21005
0
2410
SHILOH INDS INC COM
Common Stock
824543102
334
18112
SH
SOLE
4027
0
14085
NATIONAL RETAIL PPTY 6.625% SERIES D
PUBLIC
637417601
334
13213
SH
SOLE
0
0
13213
ISHARES CORE S&P SMALL CAP ETF
ETP
464287804
333
2971
SH
SOLE
2971
0
0
WELLS FARGO 6.625%
PUBLIC
949746465
333
11906
SH
SOLE
0
0
11906
VANGUARD FTSE EUROPE ETF
ETP
922042874
332
5542
SH
SOLE
2450
0
3092
ING GROEP NV 6.375% PFD
PUBLIC
456837608
331
13020
SH
SOLE
0
0
13020
MONMOUTH REAL ESTATE INVESTMENT CORP REIT
REIT
609720107
329
32809
SH
SOLE
30382
0
2427
SYNAGEVA BIOPHARMA CORP
Common Stock
87159A103
329
3141
SH
SOLE
1453
0
1688
MCG CAPITAL CORP
Common Stock
58047P107
329
83867
SH
SOLE
41196
0
42671
PIRAEUS BK SA - ADR
ADR
724249206
328
76902
SH
SOLE
0
0
76902
SUN BANCORP INC/NJ
Common Stock
86663B102
328
81848
SH
SOLE
23599
0
58249
ABIOMED INC COM
Common Stock
003654100
328
13054
SH
SOLE
12224
0
830
APOLLO RESIDENTIAL MTG COM
REIT
03763V102
328
19604
SH
SOLE
15449
0
4155
DIGITAL REALTY TRUST INC 7%
PUBLIC
253868707
328
12873
SH
SOLE
0
0
12873
LULULEMON ATHLETICA INC
Common Stock
550021109
326
8046
SH
SOLE
7105
0
941
REGIONS FINANCIAL CORP 6.375%
PUBLIC
7591EP506
326
12653
SH
SOLE
0
0
12653
CORESITE REALTY CORP REIT
REIT
21870Q105
326
9847
SH
SOLE
9176
0
671
HOOKER FURNITURE CORP
Common Stock
439038100
326
20171
SH
SOLE
5890
0
14281
MILLENNIAL MEDIA
Common Stock
60040N105
323
64770
SH
SOLE
52468
0
12302
ICG GROUP INC
Common Stock
44928D108
323
15478
SH
SOLE
14063
0
1415
AMPIO PHARMACEUTICALS COM
Common Stock
03209T109
323
38703
SH
SOLE
38633
0
70
GREENLIGHT CAPITAL RE LTD
Common Stock
G4095J109
323
9793
SH
SOLE
8479
0
1314
HEARTWARE INTERNATIONAL INC
Common Stock
422368100
322
3638
SH
SOLE
3216
0
422
RADIO ONE INC -CL D
Common Stock
75040P405
321
65202
SH
SOLE
15466
0
49736
TCF FINANCIAL CO. 7.5%
PUBLIC
872277207
321
12079
SH
SOLE
0
0
12079
HALLMARK FINL SVCS EC COM NEW
Common Stock
40624Q203
321
29874
SH
SOLE
5464
0
24410
CAPITAL ONE 6.25%
PUBLIC
14040H600
321
13022
SH
SOLE
0
0
13022
ENERGY RECOVERY INC
Common Stock
29270J100
321
65241
SH
SOLE
21283
0
43958
CNINSURE INC.
ADR
18976M103
321
46740
SH
SOLE
46677
0
63
PT BK MANDIRI PERSERO ADR
ADR
69367U105
320
39435
SH
SOLE
39435
0
0
NUVEEN INVT QUALITY COM
Closed-End Fund
67062E103
319
21737
SH
SOLE
21737
0
0
AIXTRON AG - SPONSORED ADR
ADR
009606104
319
21926
SH
SOLE
21926
0
0
CHEMOCENTRYX INC COM
Common Stock
16383L106
317
54254
SH
SOLE
47963
0
6291
TILE SHOP HLDGS COM
Common Stock
88677Q109
317
20729
SH
SOLE
15486
0
5243
E-HOUSE CHINA HOLDINGS - ADS
ADR
26852W103
317
36622
SH
SOLE
36578
0
44
NEXTERA ENERGY 5.125% SER I
PUBLIC
65339K803
317
14289
SH
SOLE
0
0
14289
EDUCATION MANAGEMENT CORP
Common Stock
28140M103
316
187132
SH
SOLE
56173
0
130959
EQT MIDSTREAM PARTN LP UNIT LTD PARTN
MLP
26885B100
316
3268
SH
SOLE
3268
0
0
WESTERN ASSET MUNICIPAL PART
Closed-End Fund
95766P108
316
21450
SH
SOLE
21450
0
0
STATESTREET CORP
PUBLIC
857477608
315
12035
SH
SOLE
0
0
12035
SEQUENOM INC
Common Stock
817337405
315
81323
SH
SOLE
27056
0
54267
ROADRUNNER TRANSPORTATION SYST
Common Stock
76973Q105
314
11183
SH
SOLE
11169
0
14
PEOPLES FED BANCSHARES COM
Common Stock
711037101
314
17022
SH
SOLE
4113
0
12909
INDEPENDENCE HOLDING CO
Common Stock
453440307
314
22221
SH
SOLE
10615
0
11606
CITIGROUP INC 6.875%
PUBLIC
172967341
314
11569
SH
SOLE
0
0
11569
DOMINION RES INC VA NEW ENH JR NT A 64
PUBLIC
25746U604
313
12272
SH
SOLE
0
0
12272
BBX CAPITAL CORP
Common Stock
05540P100
313
17388
SH
SOLE
1610
0
15778
REALD INC COM
Common Stock
75604L105
312
24453
SH
SOLE
9233
0
15220
PINNACLE FOODS INC DEL COM
Common Stock
72348P104
311
9446
SH
SOLE
9120
0
326
RELIANCE INDS-SPONS GDR 144A
GDR
759470107
310
9200
SH
SOLE
9200
0
0
HOMESTREET INC COM
Common Stock
43785V102
309
16832
SH
SOLE
4481
0
12351
OPKO HEALTH INC COM
Common Stock
68375N103
308
34793
SH
SOLE
32218
0
2575
VIVUS INC
Common Stock
928551100
306
57502
SH
SOLE
50128
0
7374
MEDIASET SPA SPONSORED ADR
ADR
584469407
306
20894
SH
SOLE
20894
0
0
WEYCO GROUP INC
Common Stock
962149100
305
11127
SH
SOLE
4282
0
6845
H LUNDBECK A S ADR
ADR
40422M206
305
12342
SH
SOLE
12271
0
71
UCB S A ADR
ADR
903480101
304
7189
SH
SOLE
7189
0
0
HOSPITALITY PPTYS TR 7.125% PFD SERIES D
PUBLIC
44106M607
304
11934
SH
SOLE
0
0
11934
HELLENIC TELECOM ORGANIZATN SPONSORED ADR
ADR
423325307
304
41059
SH
SOLE
40635
0
424
ADEPT TECHNOLOGY INC COM
Common Stock
006854202
304
28947
SH
SOLE
7090
0
21857
LUBY'S INC
Common Stock
549282101
304
51631
SH
SOLE
6368
0
45263
BANKFINANCIAL CORP
Common Stock
06643P104
303
27141
SH
SOLE
14538
0
12603
COMMERCIAL VEHICLE GROUP INC
Common Stock
202608105
303
30160
SH
SOLE
17323
0
12837
YAMANA GOLD INC
Common Stock
98462Y100
302
36786
SH
SOLE
33712
0
3074
FIRST NIAGRA 8.6250% SERIES B
PUBLIC
33582V207
302
10426
SH
SOLE
0
0
10426
INOVIO BIOMEDICAL CORP COM
Common Stock
45773H201
302
27960
SH
SOLE
27893
0
67
SERVICESOURCE INTL LLC COM
Common Stock
81763U100
302
52042
SH
SOLE
33039
0
19003
MARUI LIMITED ADR NEW
ADR
573814308
301
15377
SH
SOLE
12858
0
2519
AMERICAN VANGUARD CORP
Common Stock
030371108
300
22658
SH
SOLE
8628
0
14030
TITAN MACHINERY INC
Common Stock
88830R101
299
18173
SH
SOLE
7043
0
11130
AMERICAN SOFTWARE INC/GEORGIA
Common Stock
029683109
299
30219
SH
SOLE
29563
0
656
MERIDIAN INTERSTATE BANCORP IN
Common Stock
58964Q104
297
11557
SH
SOLE
3195
0
8362
CLEARFIELD INC COM
Common Stock
18482P103
295
17599
SH
SOLE
4128
0
13471
FIRST CONN BANCORP INC COM
Common Stock
319850103
294
18290
SH
SOLE
6541
0
11749
ATRICURE INC COM
Common Stock
04963C209
293
15932
SH
SOLE
3856
0
12076
TEXTAINER GROUP HOLDINGS LTD
Common Stock
G8766E109
292
7555
SH
SOLE
7283
0
272
FIRST NBC BK HLDG CO COM
Common Stock
32115D106
292
8699
SH
SOLE
350
0
8349
PENN NATIONAL GAMING INC
Common Stock
707569109
291
23949
SH
SOLE
20041
0
3908
ALLSTATE CORP 6.625% SER E
PUBLIC
020002879
291
11205
SH
SOLE
0
0
11205
UOL GROUP LIMITIED ADR
ADR
91529G105
290
13778
SH
SOLE
9925
0
3853
MORGAN STANLEY 7.125%
PUBLIC
61762V200
290
10406
SH
SOLE
0
0
10406
ISHARES TR POLND INVT MKT
ETP
46429B606
290
9876
SH
SOLE
9876
0
0
CHINA SHENHUA ENERGY C ADR
ADR
16942A302
289
25079
SH
SOLE
13227
0
11852
AVIV REIT INC MD COM
REIT
05381L101
288
10228
SH
SOLE
4451
0
5777
EXONE CO
Common Stock
302104104
287
7236
SH
SOLE
6926
0
310
QWEST CORP NT
PUBLIC
74913G600
286
12271
SH
SOLE
0
0
12271
SURUGA BANK LTD - UNSPON ADR
ADR
869007203
285
1471
SH
SOLE
1241
0
230
MAGYAR TELEKOM LTD SPONSORED ADR
ADR
559776109
285
37300
SH
SOLE
37300
0
0
NORWEGIAN CRUISE LINE SHS
Common Stock
G66721104
285
8977
SH
SOLE
2963
0
6014
AMP LIMITED
ADR
0017EP202
284
14143
SH
SOLE
10787
0
3356
KAWASAKI HEAVY INDS LTD SPONSORED ADR
ADR
486359201
284
18520
SH
SOLE
17643
0
877
INFINITY PHARMACEUTICALS INC
Common Stock
45665G303
284
22267
SH
SOLE
19966
0
2301
PZENA INVESTMENT MANAGEMENT
Common Stock
74731Q103
283
25380
SH
SOLE
24008
0
1372
COUNTRYWIDE IV 6.75% 4/1/33 SERIES
PUBLIC
22238E206
283
11079
SH
SOLE
0
0
11079
NEUBERGER BERMAN HIGH YIELD STRATEGIES FD
Closed-End Fund
64128C106
281
20285
SH
SOLE
20285
0
0
RUBICON TECHNOLOGY INC COM
Common Stock
78112T107
280
32050
SH
SOLE
20237
0
11813
TIPTREE FINL INC CL A
REIT
88822Q103
280
32162
SH
SOLE
31999
0
163
TRAVELZOO INC
Common Stock
89421Q205
279
14441
SH
SOLE
4310
0
10131
NRG YIELD INC COM CL A
Common Stock
62942X108
279
5367
SH
SOLE
5057
0
310
KYTHERA BIOPHARMACEUTI COM
Common Stock
501570105
279
7274
SH
SOLE
7176
0
98
FINANCIAL SELECT SECTOR SPDR FUND
ETP
81369Y605
279
12250
SH
SOLE
3850
0
8400
ENANTA PHARMACEUT INC COM
Common Stock
29251M106
278
6462
SH
SOLE
6462
0
0
SINO LD LTD SPONSORED ADR
ADR
829344308
277
33570
SH
SOLE
31243
0
2327
SAGA COMMUNICATIONS INC-CL A
Common Stock
786598300
276
6469
SH
SOLE
3282
0
3187
WISDOMTREE L/C DIVIDENT FUND- ETF
ETP
97717W307
275
3888
SH
SOLE
3888
0
0
BAZAARVOICE INC COM
Common Stock
073271108
275
34887
SH
SOLE
32034
0
2853
DELTA NATURAL GAS CO INC
Common Stock
247748106
275
12520
SH
SOLE
5415
0
7105
ROYAL BK SCOTLAND 6.75%
PUBLIC
780097754
275
11031
SH
SOLE
0
0
11031
PROTECTIVE LIFE CORP 6.25%
PUBLIC
743674608
274
10618
SH
SOLE
0
0
10618
KEYW HOLDING CORP
Common Stock
493723100
274
21760
SH
SOLE
15789
0
5971
WESTERN ASSET MUNICIPAL HIGH INCOME FUND
Closed-End Fund
95766N103
273
37026
SH
SOLE
37026
0
0
ESSA BANCORP INC
Common Stock
29667D104
273
24534
SH
SOLE
7135
0
17399
MULTI-FINELINE ELECTRONIX INC
Common Stock
62541B101
273
24725
SH
SOLE
5559
0
19166
PRUDENTIAL FINANCIAL 5.75%
PUBLIC
744320607
272
10913
SH
SOLE
0
0
10913
ERICKSON INC
Common Stock
29482P100
272
16715
SH
SOLE
3218
0
13497
BERKLEY CORPORATION
PUBLIC
084423409
272
11682
SH
SOLE
0
0
11682
MATTSON TECHNOLOGY INC
Common Stock
577223100
271
123632
SH
SOLE
24486
0
99146
GLOBAL INDEMNITY PLC
Common Stock
G39319101
271
10411
SH
SOLE
10187
0
224
FUELCELL ENERGY INC COM
Common Stock
35952H106
270
112631
SH
SOLE
105460
0
7171
ASX LTD ADR
ADR
00212E103
270
8113
SH
SOLE
7433
0
680
SERVICEMASTER GLOBAL COM
Common Stock
81761R109
269
14764
SH
SOLE
0
0
14764
INTELSAT S A COM
Common Stock
L5140P101
269
14280
SH
SOLE
14280
0
0
CAPITAL CITY BANK GROUP INC
Common Stock
139674105
269
18495
SH
SOLE
3078
0
15417
PUBLIC STORAGE 6.35%
PUBLIC
74460D125
269
10446
SH
SOLE
0
0
10446
PILLOWTEX CORP COM
Common Stock
71426V108
267
29740
SH
SOLE
25057
0
4683
HYSAN DEV LTD SPONSORED ADR
ADR
449162304
267
28652
SH
SOLE
27157
0
1495
VITESSE SEMICONDUCTOR CORP COM
Common Stock
928497304
266
77187
SH
SOLE
14304
0
62883
AVANIR PHARMACEUTICALS-CL A
Common Stock
05348P401
266
47211
SH
SOLE
14956
0
32255
ARCH CAPITAL GROUP 6.75%
PUBLIC
G0450A204
266
10083
SH
SOLE
0
0
10083
HARVARD APPARATUS REGENERATI
Common Stock
41690A106
266
25434
SH
SOLE
24902
0
532
OMEROS CORP COM
Common Stock
682143102
266
15274
SH
SOLE
13246
0
2028
WILLIAM HILL PLC-UNSPN ADR
ADR
96925P104
265
11683
SH
SOLE
11560
0
123
AMERESCO INC CL A
Common Stock
02361E108
265
37709
SH
SOLE
7843
0
29866
ATRION CORP
Common Stock
049904105
265
813
SH
SOLE
693
0
120
DUKE ENERGY CORP 5.125%
PUBLIC
26441C303
264
11060
SH
SOLE
0
0
11060
CUTWATER SELECT INCOME FUND
Closed-End Fund
232229104
264
13123
SH
SOLE
12087
0
1036
NUVEEN DIV DIVIDEND AND INCOME
Closed-End Fund
6706EP105
264
21546
SH
SOLE
19852
0
1694
PRADA S.P.A.-UNSP ADR
ADR
73942H100
264
18786
SH
SOLE
18786
0
0
PROSIEBENSAT 1 MEDIA A ADR
ADR
743476202
264
23756
SH
SOLE
23088
0
668
PACIFIC CENTY CYBERWKS SPONSORED ADR
ADR
70454G207
264
44403
SH
SOLE
40721
0
3682
ROYAL BANK OF SCOTLAND 6.35%
PUBLIC
780097770
263
10973
SH
SOLE
0
0
10973
QWEST CORP 7.00% 4/1/52 Series
PUBLIC
74913G402
263
10142
SH
SOLE
0
0
10142
RANDSTAD HLDG NV ADR
ADR
75279Q108
262
9667
SH
SOLE
9260
0
407
TRIANGLE CAPITAL CORP
Common Stock
895848109
262
9223
SH
SOLE
9223
0
0
PERSIMMON ADR
ADR
715318101
261
5966
SH
SOLE
5913
0
53
BLACK BOX CORP
Common Stock
091826107
261
11130
SH
SOLE
4938
0
6192
RIGEL PHARMACEUTICALS INC COM NEW
Common Stock
766559603
261
71767
SH
SOLE
67627
0
4140
ALLOT COMMUNICATIONS SHS
Common Stock
M0854Q105
259
19881
SH
SOLE
767
0
19114
REGENCY CENTERS CORP 6.625% SERIES 6
PUBLIC
758849707
258
10129
SH
SOLE
0
0
10129
HEALTH CARE REIT SERIES J
PUBLIC
42217K700
258
10180
SH
SOLE
0
0
10180
QI PLC SPONSERED ADR
ADR
74735M108
258
6401
SH
SOLE
6383
0
18
BACLAY'S PD PLC PREF SHARES SERIES 4
PUBLIC
06739H511
257
9976
SH
SOLE
0
0
9976
TEJON RANCH CO DEL COM
Common Stock
879080109
256
7955
SH
SOLE
7895
0
60
YINGLI GREEN ENERGY HL ADR
ADR
98584B103
256
68415
SH
SOLE
68264
0
151
VANGARD TOTAL WORLD STOCK INDEX FUND ETF
ETP
922042742
256
4110
SH
SOLE
4110
0
0
APOLLO TACTICAL INCOME COM
Closed-End Fund
037638103
254
13857
SH
SOLE
12769
0
1088
CGI GROUP INC
Common Stock
39945C109
254
7159
SH
SOLE
7083
0
76
YADKIN FINANCIAL CORP
Common Stock
984305102
253
13434
SH
SOLE
1877
0
11557
KIMCO REALTY 5.625%
PUBLIC
49446R745
253
10885
SH
SOLE
0
0
10885
POWERSECURE INTERNATIONAL INC
Common Stock
73936N105
251
25790
SH
SOLE
13597
0
12193
AMERICAN HOMES 4 RENT CLASS A
REIT
02665T306
250
14102
SH
SOLE
6634
0
7468
ARMADA HOFFLER PPTYS COM
REIT
04208T108
250
25870
SH
SOLE
19435
0
6435
LIVEPERSON INC
Common Stock
538146101
250
24589
SH
SOLE
6852
0
17737
FAMOUS DAVE'S OF AMERICA INC
Common Stock
307068106
249
8692
SH
SOLE
1802
0
6890
PS BUSINESS PARK 6.45% SERIES S
PUBLIC
69360J719
249
9900
SH
SOLE
0
0
9900
ROYCE MICRO-CAP TR INC COM
Closed-End Fund
780915104
248
19664
SH
SOLE
18128
0
1536
RESEARCH IN MOTION LTD
Common Stock
09228F103
248
24232
SH
SOLE
24157
0
75
BB&T CORP 5.85% PFD
PUBLIC
054937206
246
9882
SH
SOLE
0
0
9882
CHINA NATL MATLS CO LT ADR
ADR
16948E100
245
70267
SH
SOLE
0
0
70267
PHOENIX COS INC/THE
Common Stock
71902E604
245
5065
SH
SOLE
4807
0
258
SHUTTERSTOCK INC COM
Common Stock
825690100
245
2951
SH
SOLE
1481
0
1470
NEXTERA ENERGY 5.00% SER J
PUBLIC
65339K886
244
11267
SH
SOLE
0
0
11267
KOBE STEEL LTD ADR SPONSORED ADR
ADR
499892107
244
32750
SH
SOLE
24420
0
8330
SUMITOMO ELEC INDS LTD ADR
ADR
865617203
244
1721
SH
SOLE
1430
0
291
BUILD-A-BEAR WORKSHOP INC
Common Stock
120076104
244
18272
SH
SOLE
10468
0
7804
PROSHARES TR SHRT 20+YR TRE
ETP
74347X849
244
8471
SH
SOLE
8471
0
0
NEUROCRINE BIOSCIENCES INC COM
Common Stock
64125C109
243
16390
SH
SOLE
14705
0
1685
TELEKOMUNIKACJA POLSKA SPON GDR 144A
GDR
685215105
243
76100
SH
SOLE
76100
0
0
CALDERA INTERNATIONAL INC
Common Stock
13123E500
242
20292
SH
SOLE
5099
0
15193
INPHI CORP
Common Stock
45772F107
242
16495
SH
SOLE
9020
0
7475
Vanguard Growth ETF
ETP
922908736
241
2441
SH
SOLE
1274
0
1167
VORNADO REALTY TRUST 6.875%
PUBLIC
929042869
241
9241
SH
SOLE
0
0
9241
HALOZYME THERAPEUTICS INC
Common Stock
40637H109
241
24349
SH
SOLE
21782
0
2567
CHINA MERCHANTS BK CO ADR
ADR
16950T102
240
24448
SH
SOLE
0
0
24448
RUCKUS WIRELESS INC COM
Common Stock
781220108
239
20069
SH
SOLE
3085
0
16984
AMERICAN FINANCIAL GROUP 7%
PUBLIC
025932302
238
9096
SH
SOLE
0
0
9096
DIAMONDBACK ENERGY INC COM
Common Stock
25278X109
237
2672
SH
SOLE
2367
0
305
MARIN SOFTWARE INC COM
Common Stock
56804T106
237
20107
SH
SOLE
16855
0
3252
RUDOLPH TECHNOLOGIES INC
Common Stock
781270103
234
23646
SH
SOLE
21284
0
2362
DEX MEDIA INC
Common Stock
25213A107
233
20935
SH
SOLE
20914
0
21
MORGAN STANLEY
PUBLIC
61763E207
233
8602
SH
SOLE
0
0
8602
ISHARES TR MSCI CHINA IDX
ETP
46429B671
233
5027
SH
SOLE
5027
0
0
AV HOMES INC
Common Stock
00234P102
231
14158
SH
SOLE
13152
0
1006
PS BUSINESS PARKS 5.75% SER U
PUBLIC
69360J669
231
10055
SH
SOLE
0
0
10055
JSR CORP ADR
ADR
46632X106
231
13531
SH
SOLE
13274
0
257
M/I HOMES INC
Common Stock
55305B101
230
9492
SH
SOLE
8841
0
651
ENDURANCE INTL GROUP H COM
Common Stock
29272B105
230
15040
SH
SOLE
15017
0
23
KIMCO REALTY CORP 6.9%
PUBLIC
49446R828
229
8772
SH
SOLE
0
0
8772
UFP TECHNOLOGIES INC
Common Stock
902673102
229
9512
SH
SOLE
1767
0
7745
SEMICONDUCTOR MFG INTL SPONSORED ADR
ADR
81663N206
229
54291
SH
SOLE
53847
0
444
GUIDANCE SOFTWARE INC COM
Common Stock
401692108
229
25062
SH
SOLE
24993
0
69
WHITESTONE REIT CL B SBI
REIT
966084204
229
15326
SH
SOLE
14500
0
826
TILLYS INC CL A
Common Stock
886885102
228
28406
SH
SOLE
28379
0
27
EMPIRE ST RLTY TR INC CL A
REIT
292104106
228
13794
SH
SOLE
12772
0
1022
DEMAND MEDIA INC COM
Common Stock
24802N109
228
47204
SH
SOLE
42545
0
4659
EMPRESAS ICA S.A. -SPONS ADR
ADR
292448206
228
29095
SH
SOLE
29095
0
0
MEDALLION FINANCIAL CORP
Common Stock
583928106
227
18258
SH
SOLE
18127
0
131
FRANKLIN FINL CORP VA COM
Common Stock
35353C102
227
10470
SH
SOLE
4515
0
5955
AMERICAN NATIONAL BANKSHARES I
Common Stock
027745108
227
10426
SH
SOLE
3268
0
7158
KEARNY FINANCIAL CORP
Common Stock
487169104
227
14964
SH
SOLE
14762
0
202
INNERWORKINGS INC
Common Stock
45773Y105
226
26615
SH
SOLE
23686
0
2929
SIERRA BANCORP
Common Stock
82620P102
226
14304
SH
SOLE
3291
0
11013
SIBANYE GOLD LTD SPONSORED ADR
ADR
825724206
225
20379
SH
SOLE
20335
0
44
MSCI EMU I SHARES
ETP
464286608
225
5307
SH
SOLE
2439
0
2868
FORD OTOMOTIV SANAYI A ADR
ADR
345409106
225
3692
SH
SOLE
0
0
3692
BANK OF MARIN BANCORP
Common Stock
063425102
224
4921
SH
SOLE
840
0
4081
CITIGROUP INC 7.125%
PUBLIC
172967358
224
8108
SH
SOLE
0
0
8108
FEDERAL AGRICULTURAL MORTGAGE
Common Stock
313148306
224
7195
SH
SOLE
6724
0
471
HIGHER ONE HOLDINGS INC
Common Stock
42983D104
224
58675
SH
SOLE
49240
0
9435
BRASKEM S A SP ADR PFD A
ADR
105532105
223
17364
SH
SOLE
17256
0
108
SAPPI LTD SPON ADR NEW
ADR
803069202
223
62398
SH
SOLE
62398
0
0
UCP INC - CL A
Common Stock
90265Y106
223
16284
SH
SOLE
14137
0
2147
BRIDGE BANCORP INC COM
Common Stock
108035106
222
9245
SH
SOLE
1912
0
7333
REGIONAL MGMT CORP COM
Common Stock
75902K106
222
14324
SH
SOLE
4487
0
9837
JGWPT HOLDINGS INC - A
Common Stock
46617M109
220
19562
SH
SOLE
19526
0
36
ISHARES MSCI MALAYASIA
ETP
464286830
220
13864
SH
SOLE
13864
0
0
CRAFT BREW ALLIANCE INC
Common Stock
224122101
220
19888
SH
SOLE
11599
0
8289
TRANSALTA CORP
Common Stock
89346D107
220
17919
SH
SOLE
17919
0
0
PREFORMED LINE PRODUCTS CO
Common Stock
740444104
219
4065
SH
SOLE
1097
0
2968
HARVARD BIOSCIENCE INC
Common Stock
416906105
219
48060
SH
SOLE
10223
0
37837
SCICLONE PHARMACEUTICALS INC COM
Common Stock
80862K104
218
41400
SH
SOLE
12162
0
29238
INCONTACT INC
Common Stock
45336E109
217
23604
SH
SOLE
21484
0
2120
BENEFITFOCUS INC
Common Stock
08180D106
215
4662
SH
SOLE
4662
0
0
RAPTOR PHARMACEUTICAL CORP
Common Stock
75382F106
215
18656
SH
SOLE
17696
0
960
RCS CAPITAL CORP
Common Stock
74937W102
215
10135
SH
SOLE
10016
0
119
VANGUARD SMALL CAP GROWTH - ETF
ETP
922908595
215
1687
SH
SOLE
601
0
1086
BROWN FORMAN CORP CL A
Common Stock
115637100
215
2324
SH
SOLE
2324
0
0
TRANS WORLD ENTMT CORP COM
Common Stock
89336Q100
215
56465
SH
SOLE
5297
0
51168
HARTFORD FINANCIAL 7.875%
PUBLIC
416518504
215
7165
SH
SOLE
0
0
7165
ZOOMLION HEAVY IND SCI ADR
ADR
98978W101
214
36039
SH
SOLE
0
0
36039
QUICKLOGIC CORP COM
Common Stock
74837P108
213
41272
SH
SOLE
12306
0
28966
CHINA CONTRUCT UNSPON ADR
ADR
168919108
213
15112
SH
SOLE
204
0
14908
RSP PERMIAN INC
Common Stock
74978Q105
213
6577
SH
SOLE
6235
0
342
NII HOLDINGS INC
Common Stock
62913F201
213
387797
SH
SOLE
259647
0
128150
GSV CAP CORP COM
Common Stock
36191J101
213
20166
SH
SOLE
19984
0
182
QAD INC
Common Stock
74727D306
213
9980
SH
SOLE
2302
0
7678
MONEYGRAM INTERNATIONAL INC
Common Stock
60935Y208
212
14380
SH
SOLE
7661
0
6719
NEW MTN FIN CORP COM
Common Stock
647551100
211
14228
SH
SOLE
14208
0
20
HOPEWELL HLDGS LTD SPONSORED ADR
ADR
439555301
211
59890
SH
SOLE
54576
0
5314
TREMOR VIDEO INC COM
Common Stock
89484Q100
211
44778
SH
SOLE
40536
0
4242
SHINSEI BANK LTD TOKYO SPONSORED ADR
ADR
824631105
209
46543
SH
SOLE
35593
0
10950
MARKETO INC COM
Common Stock
57063L107
208
7139
SH
SOLE
2755
0
4384
COMMUNITYONE BANCORP
Common Stock
20416Q108
207
21351
SH
SOLE
20368
0
983
ARROWHEAD RESH CORP COM
Common Stock
042797209
207
14448
SH
SOLE
13438
0
1010
CALAVO GROWERS INC
Common Stock
128246105
206
6092
SH
SOLE
6063
0
29
SENIOR HOUSING 5.625% 8/1/42 SERIES
PUBLIC
81721M208
206
8948
SH
SOLE
0
0
8948
BARRACUDA NETWORKS INC
Common Stock
068323104
205
6624
SH
SOLE
6624
0
0
HARDINGE INC COM
Common Stock
412324303
205
16205
SH
SOLE
1863
0
14342
MACQUARIE INFRASTRUCTURE CO LL
Common Stock
55608B105
205
3284
SH
SOLE
3284
0
0
VORNADO REALTY TRUST 5.40% SER L
PUBLIC
929042844
203
8886
SH
SOLE
0
0
8886
SYNERGY RES CORP COM
Common Stock
87164P103
203
15339
SH
SOLE
14478
0
861
WIX.COM LTD
Common Stock
M98068105
203
10229
SH
SOLE
10053
0
176
ANADIGICS INC COM
Common Stock
032515108
188
231824
SH
SOLE
34424
0
197400
SUNTECH POWER HOLDINGS CO LTD
ADR
86800C104
160
432553
SH
SOLE
432553
0
0
RAYONIER INC FRACTIONAL SHARES
FRACTIONAL SHARES
HFE907109
0
250000
SH
SOLE
250000
0
0
FRACTIONAL CUSIP FOR MAR
FRACTIONAL SHARES
FHB903208
0
1126824
SH
SOLE
1126824
0
0
FIRST HORIZON NATL CORP - FRACTIONAL SHRS
FRACTIONAL SHARES
DCA517101
0
2355547
SH
SOLE
2355547
0
0
FRACTIONAL SHARES
FRACTIONAL SHARES
JKE174103
0
240000
SH
SOLE
190000
0
50000
AIG.WS FRACTIONAL CUSIP
FRACTIONAL SHARES
ACG874152
0
2500231
SH
SOLE
2435754
0
64477
COMMONWWEALTH FRACTIONAL SHARES
FRACTIONAL SHARES
CAD233107
0
461111
SH
SOLE
386111
0
75000
KINDER MORGAN LLC FRAC CUSIP
FRACTIONAL SHARES
EKE55U103
0
1845512
SH
SOLE
1138990
0
706522
MESA AIR GROUP INC
Common Stock
590479101
0
1031237
SH
SOLE
156672
0
874565