Cool Stats - Sorted By Weekly MACD Condition
S&P 400 Midcap components
January 5, 2012
7 AVERAGE DAY OVER DAY MOVING AVERAGE 40660   Select Fundamentals
##### 1 & 5 YEAR HIGH/LOW STATS VOLATILITY VOLATILITY RISE/FALL +/-DAYS Curr RANGE         Weekly MACD % OF 50 DAY AVERAGE INDICATORS   Cash Price                     Short   INCREASE
% Off % Over Gain Gain 65 5 RISK - Past 65 Days 10 20 50 130 PRICE MID RANGE RANGE PRICE   Trend - SHARE VOLUME TREND EPS   RSI Current Flow To   TY NY Price Price   Debt Rtn   Div % Days 50 DAY AVG IN AVG $$
1 Yr 1 Yr To 1 Yr To 5 Yr Day Day High Pot Low DAY DAY DAY DAY TO 50D POINT HIGH LOW TO LINE Most Recent             Grw     RSI Closing Per Cash   Fwd Fwd To To Prft To On PEG % Float To DAILY $$$ VOLUME IN
SYM NAME High Low  High High ADJ ACT % Risk % Risk % Vol SMA SMA SMA SMA SMA AVG AVG AVG RANGE SLOPE Last 1/5 1/4 1/3 12/30 12/29 12/28 SYM Name Rank QRS RSI Chng Price Share Flow PE PE PE Revs Book Marg Eqty Eqty Ratio Yield Short Cover VOLUME 15 DAYS SYM
SGMS Scientific Games Corporation COM -7.7% 60.0% 8.4% 290.7% 5.0 4.3 16.0 14.9 2.4 7 11 27 1 21.1 4.9 19.5 -6.7 106% 0.374 Y2 Y2 Y3 Y3 Y3 144% -109% 173% 127% 109% -199% SGMS Scientific Games Corporation COM 23 91 73 3.6 $10.40 -0.16 -64.47 ##### 208.0 21.2 1.13 2.08 -0.7% 3.07 -30.11 0.00 0.00% 4.8% 3.95 $4,799,319 13.52% SGMS
BXS BancorpSouth Inc. COM -28.2% 46.1% 39.2% 137.9% 4.7 3.7 17.9 12.9 2.2 25 19 25 -152 19.6 7.6 18.1 -1.3 108% 0.205 Y2 Y2 Y2 Y3 Y3 126% 94% 86% -38% 43% -43% BXS BancorpSouth Inc. COM 40 43 71 2.5 $12.02 0.87 13.74 25.6 27.3 16.2 1.39 0.79 5.4% 0.13 3.21 2.19 0.33% 12.1% 13.71 $9,131,326 -7.98% BXS
AF Astoria Financial Corporatio COM -40.3% 38.4% 67.4% 250.7% 4.9 4.3 14.6 10.0 2.6 11 22 3 -142 14.4 11.8 15.9 6.8 83% 0.320 Y2 Y2 Y2 Y2 Y3 77% 74% 159% -47% 30% -35% AF Astoria Financial Corporatio COM 28 19 67 2.9 $9.11 0.98 9.33 10.8 12.1 14.2 2.31 0.70 21.3% 0.30 6.12 1.15 5.71% 9.2% 10.59 $9,362,224 -12.17% AF
SNV Synovus Financial Corp COM -46.5% 70.2% 86.9% 1895.6% 6.4 8.0 16.2 13.8 3.1 9 3 26 -147 10.0 2.1 14.7 -6.6 78% 0.345 Y1 Y- Y2 Y3 Y3 214% 112% 176% -91% 99% -62% SNV Synovus Financial Corp COM 86 72 62 1.1 $1.60 -0.32 -4.97 -3.9 -9.4 12.3 0.98 0.44 ##### 0.25 -14.95 1.55 2.50% 8.2% 7.53 $11,725,564 8.24% SNV
JEF Jefferies Group  Inc. COM -48.9% 45.4% 95.7% 152.0% 6.4 3.6 29.3 19.9 2.9 -1 23 11 -168 12.2 13.7 20.1 3.7 52% 0.052 Y3 Y3 Y3 Y2 Y3 26% -20% 23% 12% 11% -16% JEF Jefferies Group  Inc. COM 23 15 59 1.5 $13.81 1.80 7.66 12.9 11.6 9.5 1.12 0.87 8.6% 0.00 0.00 0.98 2.17% 14.8% 8.53 $89,457,183 2.27% JEF
CIEN Ciena Corporation COM -54.9% 33.3% 121.9% 818.6% 6.1 5.1 14.3 11.4 3.2 7 9 -2 -141 7.1 2.9 7.3 -3.3 98% -0.091 Y1 Y1 Y2 Y1 Y3 181% -95% 87% -60% 53% -42% CIEN Ciena Corporation COM 0 21 62 9.0 $13.18 -0.69 -19.23 -48.8 25.3 14.0 0.74 92.58 -1.5% #### ##### 0.00 0.00% 24.7% 5.18 $64,926,773 -8.42% CIEN
TOL Toll Brothers Inc COM -1.6% 67.7% 1.6% 165.8% 4.1 3.9 15.5 10.6 2.0 6 13 55 2 13.6 12.1 20.5 1.5 64% 0.367 Y1 Y1 Y1 Y2 Y2 101% 94% 84% -41% 66% -40% TOL Toll Brothers Inc COM 0 92 67 2.6 $22.07 0.32 69.72 92.0 59.6 29.8 2.49 1.41 2.7% 0.64 1.55 0.27 0.00% 6.9% 3.16 $79,581,212 2.47% TOL
TRMK Trustmark Corporation COM -2.9% 48.7% 3.0% 32.5% 4.1 3.2 12.0 8.4 2.0 11 14 27 11 12.4 6.5 12.4 -0.7 100% 0.253 Y1 Y1 Y1 Y1 Y2 76% -93% 79% -69% 78% -54% TRMK Trustmark Corporation COM 38 81 67 4.1 $25.37 2.08 12.22 15.9 15.6 15.9 3.08 1.33 19.4% 0.10 9.05 1.91 3.63% 8.6% 13.81 $9,202,503 3.49% TRMK
ASNA Ascena Retail Group  Inc. COM -7.5% 35.8% 8.1% -15.6% 3.6 3.8 9.8 6.8 1.7 14 13 25 -105 14.1 3.0 10.3 -3.6 127% 0.213 Y1 Y0 Y1 Y1 Y2 287% 182% 134% -65% 50% -54% ASNA Ascena Retail Group  Inc. COM 58 87 72 7.6 $32.60 3.25 10.05 13.8 12.6 11.2 0.84 2.11 6.1% 0.00 15.07 0.00 0.00% 11.9% 8.57 $22,606,981 13.73% ASNA
PXP Plains Exploration & Product COM -7.9% 90.9% 8.6% 28.7% 4.9 3.8 12.2 9.7 2.3 9 11 48 5 12.2 14.7 26.5 3.3 39% 0.493 Y1 Y1 Y2 Y2 Y2 -157% 102% 144% 77% 56% -65% PXP Plains Exploration & Product COM 61 96 65 -1.6 $38.65 4.88 7.91 24.8 21.2 11.7 2.94 1.55 11.9% 0.99 2.55 0.00 0.00% 4.6% 2.49 $107,301,660 4.52% PXP
RS Reliance Steel and Aluminum COM -13.9% 67.9% 16.1% -4.7% 4.4 3.5 13.0 10.3 1.8 9 4 49 5 12.6 11.5 20.0 4.4 53% 0.425 Y1 Y1 Y1 Y2 Y2 182% 131% 85% 54% 58% -57% RS Reliance Steel and Aluminum COM 78 90 66 1.9 $52.20 6.02 8.67 12.4 11.8 10.0 0.51 1.27 4.1% 0.30 10.76 0.23 0.92% 2.3% 3.09 $29,680,837 6.92% RS
RJF Raymond James Financial  Inc COM -17.0% 42.2% 20.5% 2.1% 4.1 3.1 13.4 9.0 2.2 9 14 26 1 10.1 4.1 9.3 -1.8 107% 0.129 Y1 Y1 Y1 Y1 Y2 106% -86% 86% -49% 47% -72% RJF Raymond James Financial  Inc COM 36 80 66 4.3 $32.93 2.52 13.08 15.0 13.1 11.5 1.24 1.61 8.3% 0.27 11.02 1.41 1.58% 2.2% 3.76 $22,261,634 -9.82% RJF
CATY Cathay General Bancorp COM -17.3% 56.7% 21.0% 156.1% 5.0 3.7 12.3 10.3 2.8 10 14 26 -126 13.4 7.0 12.9 -1.1 104% 0.310 Y2 Y1 Y2 Y2 Y2 110% -79% 107% -73% 61% -44% CATY Cathay General Bancorp COM 86 72 65 3.4 $15.69 1.08 14.50 16.5 14.8 11.5 3.41 0.83 20.7% 0.13 6.11 1.51 0.25% 6.2% 13.32 $6,458,979 -9.12% CATY
AGP Amerigroup Corporation COM -17.5% 66.4% 21.1% -21.1% 3.3 2.5 10.1 9.0 1.5 11 13 55 -110 10.8 13.2 27.1 0.9 38% 0.487 Y1 Y1 Y1 Y1 Y2 98% 39% 46% -21% 27% -45% AGP Amerigroup Corporation COM 24 98 69 4.3 $62.52 5.44 11.50 12.7 16.6 15.6 0.48 2.35 3.8% 0.21 20.72 0.00 0.00% 10.2% 9.33 $48,701,328 -6.79% AGP
SIVB SVB Financial Group COM -18.6% 55.6% 22.9% 6.2% 4.4 4.0 13.5 10.8 2.0 9 11 27 -106 12.1 5.4 12.0 -0.9 101% 0.203 Y1 Y1 Y1 Y1 Y2 170% 67% 61% -36% 32% -34% SIVB SVB Financial Group COM 69 85 67 6.4 $51.59 6.85 7.53 17.3 15.7 16.6 2.56 1.45 14.8% 0.95 10.97 1.82 0.00% 6.8% 10.60 $17,662,423 -28.97% SIVB
PL Protective Life Corp COM -20.3% 71.7% 25.5% 115.7% 4.7 3.5 16.5 11.3 2.2 9 11 48 5 11.1 13.8 23.5 5.0 33% 0.433 Y1 Y1 Y2 Y2 Y2 68% -63% 71% -39% 28% -54% PL Protective Life Corp COM 41 87 64 1.9 $23.54 3.86 6.10 7.1 6.8 7.1 0.62 0.48 8.7% 0.61 8.57 1.33 2.72% 4.4% 6.59 $18,669,926 -0.69% PL
FMER Firstmerit Corp COM -20.9% 59.2% 26.5% 85.7% 4.2 3.6 11.4 9.3 2.6 11 11 53 -167 10.6 9.8 17.9 2.3 53% 0.314 Y1 Y1 Y2 Y1 Y2 117% -54% 84% -58% 59% -65% FMER Firstmerit Corp COM 31 54 64 2.3 $15.89 1.28 12.46 15.0 15.0 13.8 2.46 1.11 16.4% 0.22 7.52 1.86 4.03% 6.1% 9.60 $13,169,267 -5.48% FMER
ASBC Associated Banc-Corp COM -21.4% 37.4% 27.2% 193.7% 4.1 3.7 7.8 7.4 2.0 10 11 25 -146 11.6 1.9 9.9 -4.8 112% 0.099 Y1 Y1 Y1 Y2 Y2 182% 116% 60% -37% 34% -41% ASBC Associated Banc-Corp COM 74 47 69 4.8 $12.01 0.82 14.68 25.0 18.2 13.5 2.30 0.74 9.2% 0.13 2.97 1.53 0.33% 2.2% 2.82 $17,949,967 -13.93% ASBC
SFG StanCorp Financial Group  In COM -22.2% 52.4% 28.5% 46.6% 3.7 3.1 8.9 7.5 1.8 9 25 55 -152 9.6 10.2 18.2 3.0 43% 0.294 Y1 Y1 Y1 Y1 Y2 66% 69% 78% 36% 37% -70% SFG StanCorp Financial Group  In COM 7 79 65 1.8 $38.03 6.31 6.03 11.0 11.6 9.4 0.59 0.83 5.4% 0.29 7.54 0.57 2.26% 5.5% 12.53 $10,143,411 -4.88% SFG
JBLU JetBlue Airways Corporation COM -23.9% 59.4% 31.4% 479.9% 5.2 4.7 11.5 9.9 2.4 2 22 24 -193 18.9 17.1 24.7 5.8 69% 0.383 Y2 Y2 Y2 Y2 Y2 110% 66% -82% -37% 27% -37% JBLU JetBlue Airways Corporation COM 28 79 63 4.2 $5.42 1.01 5.36 22.6 20.8 10.8 0.37 0.94 1.7% 1.72 4.32 0.00 0.00% 15.4% 11.75 $25,211,847 6.98% JBLU
SPW SPX Corporation COM -25.5% 59.7% 34.1% 16.6% 4.2 3.1 14.5 10.3 2.0 5 1 48 -111 9.5 9.4 18.0 1.5 49% 0.322 Y1 Y1 Y1 Y1 Y2 98% 57% 69% 29% 51% -53% SPW SPX Corporation COM 12 89 65 3.5 $64.95 5.70 11.39 19.0 14.7 12.3 0.63 1.47 3.3% 0.53 8.54 1.77 1.54% 1.4% 1.74 $36,971,347 -0.48% SPW
CYN City National Corp COM -25.7% 33.4% 34.5% 67.2% 3.8 3.1 8.9 8.2 2.0 9 13 25 -151 10.2 4.7 9.9 -0.1 103% 0.294 Y1 Y1 Y1 Y1 Y2 125% -51% 55% -35% 58% -33% CYN City National Corp COM 43 45 65 4.8 $46.80 3.95 11.86 15.0 14.4 13.0 2.25 1.16 15.0% 0.36 8.14 1.48 1.71% 4.8% 5.95 $22,134,419 -20.87% CYN
LPX Louisiana-Pacific Corp. COM -27.2% 92.1% 37.3% 251.2% 5.9 4.3 14.1 11.8 3.5 11 3 37 5 16.0 14.1 25.5 4.6 55% 0.418 Y2 Y2 Y2 Y2 Y2 79% 40% 65% -36% 52% -46% LPX Louisiana-Pacific Corp. COM 10 92 63 2.4 $8.47 -0.12 -69.20 -12.1 -10.6 -18.8 0.85 1.07 -7.0% 0.59 -10.14 0.74 0.00% 13.3% 13.45 $17,688,111 -4.99% LPX
KFY Korn/Ferry International COM -28.0% 58.6% 38.8% 34.0% 5.2 4.4 15.7 12.7 2.6 9 11 38 -116 8.8 6.1 15.8 -4.2 65% 0.169 Y1 Y1 Y2 Y2 Y2 84% -65% 77% -60% 78% -50% KFY Korn/Ferry International COM 0 77 60 1.2 $17.84 1.62 10.99 13.3 14.0 12.8 1.07 1.40 8.0% 0.00 11.50 1.22 0.00% 4.4% 8.06 $5,266,133 -13.40% KFY
THO Thor Industries  Inc. COM -28.8% 58.2% 40.4% 104.3% 4.2 2.8 11.1 8.8 2.3 13 11 9 -145 9.6 7.5 12.8 -1.5 78% 0.050 Y2 Y2 Y2 Y2 Y2 94% -100% 139% 79% 60% -51% THO Thor Industries  Inc. COM 32 36 67 1.2 $27.87 2.33 11.95 15.0 12.7 11.3 0.54 1.84 3.6% 0.00 13.13 1.38 1.44% 9.8% 11.84 $11,984,003 -10.79% THO
STLD Steel Dynamics Inc COM -30.4% 64.0% 43.8% 149.3% 4.9 3.3 15.9 11.1 2.6 9 3 26 -147 11.1 5.5 14.1 -3.4 83% 0.297 Y1 Y1 Y2 Y2 Y2 -79% 166% 96% -36% 61% -58% STLD Steel Dynamics Inc COM 90 65 66 -1.3 $14.40 2.01 7.15 12.2 12.0 9.7 0.41 1.37 3.4% 1.14 11.64 0.44 2.78% 2.1% 1.76 $43,893,440 -9.32% STLD
UTHR United Therapeutics Corporat COM -32.0% 31.6% 47.1% 63.7% 3.1 2.5 7.2 5.5 1.8 23 14 24 -149 12.3 6.4 13.4 -0.6 92% 0.276 Y2 Y2 Y2 Y2 Y2 64% -75% 97% -59% 80% -76% UTHR United Therapeutics Corporat COM 93 51 71 1.3 $48.09 3.27 14.70 16.1 13.2 12.1 3.91 2.56 24.2% 0.08 18.86 0.00 0.00% 13.8% 9.23 $42,804,423 -19.73% UTHR
LAMR Lamar Advertising Co CL A -34.2% 67.2% 51.9% 138.8% 5.1 3.1 25.9 16.0 2.7 11 12 49 7 12.9 14.9 23.6 3.7 46% 0.525 Y3 Y3 Y3 Y3 Y2 -63% -105% 80% 74% 48% -47% LAMR Lamar Advertising Co CL A 95 84 65 -3.6 $27.57 3.17 8.69 ##### 919.0 145.1 2.29 3.10 -0.5% 2.94 -0.65 13.81 0.00% 9.0% 9.88 $21,164,507 -0.32% LAMR
LII Lennox International  Inc. COM -34.3% 45.8% 52.2% -2.2% 3.9 4.2 18.6 10.9 2.0 5 14 26 -148 8.0 7.0 12.8 0.6 61% 0.372 Y1 Y1 Y1 Y2 Y2 83% 49% 61% -26% 70% -35% LII Lennox International  Inc. COM 28 68 61 0.9 $35.54 2.94 12.09 17.1 17.5 14.7 0.55 3.67 3.2% 0.54 18.84 1.05 2.03% 3.2% 4.80 $20,038,311 -7.82% LII
SHAW The Shaw Group Inc COM -34.5% 43.7% 52.6% 27.7% 3.8 3.5 17.6 11.1 2.2 10 10 27 -142 12.8 7.2 16.9 -3.8 80% 0.454 Y3 Y2 Y3 Y3 Y2 -49% 53% 76% 77% 60% -82% SHAW The Shaw Group Inc COM 39 53 68 -2.3 $27.27 -0.75 -36.60 36.9 13.0 10.8 0.30 2.05 0.8% 0.00 -8.75 4.20 0.00% 5.4% 2.06 $37,053,666 11.15% SHAW
JLL Jones Lang LaSalle  Inc. COM -40.5% 39.4% 68.1% 48.1% 4.9 3.9 15.3 11.9 2.2 7 1 25 -113 4.5 1.3 10.8 -5.6 62% 0.016 Y1 Y1 Y1 Y1 Y2 76% -63% 126% 53% 48% -46% JLL Jones Lang LaSalle  Inc. COM 85 54 60 2.3 $64.16 5.51 11.64 14.8 14.4 11.7 0.82 1.70 5.5% 0.13 10.51 3.12 0.47% 1.7% 2.83 $27,138,134 -15.40% JLL
OSK Oshkosh Corporation COM -42.8% 63.1% 74.8% 186.2% 5.3 3.7 13.3 11.2 2.5 11 13 25 -165 9.5 6.5 11.2 -1.7 86% 0.249 Y1 Y1 Y2 Y2 Y2 60% 89% 110% 63% 65% -47% OSK Oshkosh Corporation COM 17 75 62 0.2 $22.95 4.55 5.04 7.2 16.0 11.4 0.28 1.31 3.8% 0.64 18.71 1.26 0.00% 4.3% 5.62 $18,572,347 -6.71% OSK
BGC General Cable Corporation COM -44.9% 34.4% 81.5% 67.1% 5.5 4.5 30.9 18.1 2.7 7 1 -1 -109 4.7 4.7 5.3 -0.8 91% -0.092 Y0 Y- Y1 Y1 Y2 106% 67% 61% -39% 46% -48% BGC General Cable Corporation COM 46 43 60 2.0 $27.17 4.02 6.75 9.7 12.0 9.0 0.40 0.96 4.1% 0.58 7.80 3.95 0.00% 6.4% 11.64 $26,594,906 -11.98% BGC
JNS Janus Capital Group  Inc. COM -54.5% 23.7% 119.8% 340.9% 5.2 4.6 12.3 9.9 2.9 5 -2 -1 -165 4.5 4.5 6.8 1.0 60% -0.079 Y1 Y1 Y2 Y2 Y2 -44% 95% 90% -52% 75% -77% JNS Janus Capital Group  Inc. COM 86 13 58 -0.8 $6.63 1.18 5.62 6.1 8.8 11.1 1.19 0.98 19.3% 0.50 14.71 0.96 0.75% 5.4% 2.52 $33,821,725 -10.00% JNS
TEX Terex Corp COM -60.7% 62.8% 154.3% 339.4% 6.9 6.7 23.9 15.8 4.1 5 -7 3 -146 0.9 -1.3 1.4 -13.6 96% 0.027 Y- Y- Y2 Y2 Y2 83% 91% 107% 71% 45% -59% TEX Terex Corp COM 88 61 57 1.7 $15.14 1.11 13.69 151.4 34.4 8.9 0.28 0.83 0.2% 0.64 0.51 0.85 0.00% 19.2% 8.24 $52,564,150 -4.55% TEX
FST Forest Oil Corp COM -65.2% 57.5% 187.6% 291.4% 6.6 4.6 22.1 16.9 3.2 5 -7 23 -167 -2.4 3.3 25.1 -10.8 23% 0.274 Y- Y- Y2 Y2 Y2 -78% -42% 71% 37% 39% -47% FST Forest Oil Corp COM 17 27 49 -1.3 $13.99 2.88 4.86 10.7 13.3 12.2 1.93 1.36 18.1% 1.17 6.99 3.13 0.00% 10.4% 5.66 $63,781,962 -13.34% FST
MWW Monster Worldwide  Inc. COM -67.9% 31.2% 211.3% 621.0% 5.9 4.0 18.4 13.9 2.9 5 11 -13 -169 3.2 -2.5 4.2 -8.9 92% -0.218 Y2 Y1 Y2 Y2 Y2 70% -39% 60% -33% 41% -34% MWW Monster Worldwide  Inc. COM 78 8 59 1.2 $8.32 0.96 8.67 25.2 21.3 15.7 1.02 0.86 4.1% 0.04 3.74 1.74 0.00% 9.1% 6.64 $29,666,229 0.81% MWW
RYN Rayonier  Inc. COM -1.2% 29.5% 1.2% 5.8% 2.5 1.9 7.3 5.5 1.5 14 13 25 11 8.0 4.5 9.4 -0.5 86% 0.171 Y1 Y1 Y1 Y1 Y1 72% -137% -126% -72% 93% -95% RYN Rayonier  Inc. COM 89 85 67 2.7 $44.91 3.28 13.71 23.5 21.2 20.7 3.87 4.00 16.4% 0.54 21.53 3.08 4.81% 3.0% 4.56 $35,583,964 -2.33% RYN
VAL Valspar Corporation COM -1.7% 45.4% 1.8% -25.8% 2.8 2.2 10.9 7.5 1.0 13 26 61 18 10.2 6.7 10.8 2.1 93% 0.299 Y1 Y1 Y1 Y1 Y1 141% 144% 110% 71% 88% 86% VAL Valspar Corporation COM 70 85 73 0.7 $39.90 -0.42 -94.20 14.9 13.4 11.9 0.94 3.08 6.3% 0.56 -9.75 0.83 1.80% 2.8% 3.76 $28,080,856 1.85% VAL
WWD Woodward  Inc. COM -1.9% 74.9% 1.9% -16.7% 4.7 3.8 19.0 13.1 1.9 11 4 57 35 11.3 13.6 23.6 3.8 38% 0.498 Y1 Y0 Y1 Y1 Y1 95% 66% 111% -54% 56% -79% WWD Woodward  Inc. COM 66 93 61 1.3 $42.65 2.95 14.45 22.6 18.5 16.0 1.72 3.18 7.6% 0.44 15.28 0.00 0.66% 3.6% 7.21 $14,853,237 7.24% WWD
EAT Brinker International  Inc. COM -2.6% 36.7% 2.6% 20.2% 3.2 2.3 11.1 7.6 1.6 26 25 37 17 11.0 7.1 14.9 -0.6 75% 0.232 Y2 Y1 Y1 Y1 Y1 129% 123% -127% -83% 100% -60% EAT Brinker International  Inc. COM 64 90 66 1.1 $26.65 3.08 8.66 16.3 14.4 12.5 0.77 5.64 4.7% 1.15 27.96 1.01 2.10% 11.4% 5.32 $38,419,862 5.19% EAT
SIG Signet Jewelers Ltd. COM -3.2% 51.2% 3.3% -47.6% 3.7 3.5 13.4 8.5 1.9 6 3 57 -2 6.6 8.2 17.9 -1.2 41% 0.189 Y0 Y0 Y1 Y1 Y1 60% -56% 113% 31% 24% -24% SIG Signet Jewelers Ltd. COM 97 84 62 2.5 $46.77 3.47 13.48 14.9 20.0 17.6 1.09 2.17 7.3% 0.16 10.89 ##### 0.00% 3.5% 5.54 $53,814,594 -2.49% SIG
SCHL Scholastic Corporation COM -5.5% 29.7% 5.8% 87.8% 3.5 3.0 11.4 7.6 1.6 14 14 8 15 11.2 11.8 16.1 5.7 52% 0.068 Y1 Y1 Y2 Y1 Y1 128% -160% 183% -108% 75% -62% SCHL Scholastic Corporation COM 25 51 62 1.0 $30.25 5.51 5.49 14.2 15.0 12.6 0.48 1.19 3.4% 0.29 7.78 1.72 1.32% 10.2% 13.64 $4,875,260 21.15% SCHL
IBOC International Bancshares Cor COM -6.5% 56.7% 6.9% 83.0% 5.1 4.3 19.8 12.2 2.7 9 11 57 27 9.3 9.3 24.4 -2.9 45% 0.096 Y1 Y0 Y1 Y1 Y1 88% 71% 97% -78% 55% -79% IBOC International Bancshares Cor COM 32 71 62 1.6 $19.45 2.26 8.62 11.6 12.0 13.5 2.35 0.83 20.3% 0.14 8.64 0.00 1.95% 7.2% 16.05 $5,183,103 -6.92% IBOC
HBHC Hancock Holding Company COM -6.5% 29.9% 7.0% 73.5% 4.1 3.2 12.2 8.9 2.4 11 14 -2 9 7.8 7.1 9.2 3.4 76% -0.023 Y1 Y0 Y1 Y1 Y1 96% 76% 107% -44% 44% -74% HBHC Hancock Holding Company COM 54 60 61 2.4 $32.96 2.03 16.21 19.3 16.5 13.0 4.62 1.15 24.0% 0.00 4.52 2.80 2.91% 5.3% 9.52 $17,226,470 -10.43% HBHC
HUB  B Hubbell  Inc. CL B -6.9% 45.3% 7.4% -20.3% 3.2 2.6 8.3 6.4 1.7 9 14 57 11 7.4 8.4 14.0 2.2 44% 0.235 Y1 Y1 Y1 Y1 Y1 -97% 92% 164% -72% 78% -68% HUB  B Hubbell  Inc. CL B 69 90 63 -0.5 $68.00 5.26 12.93 16.1 15.6 14.3 1.45 2.72 9.0% 0.41 16.98 1.34 2.24% 0.7% 2.87 $10,826,281 0.19% HUB  B
WSO Watsco  Inc. COM -7.3% 34.8% 7.9% 8.3% 3.2 3.1 8.2 6.7 1.4 11 13 27 1 7.4 5.7 10.3 0.3 71% 0.266 Y0 Y0 Y0 Y0 Y1 66% 81% 114% -46% 50% -40% WSO Watsco  Inc. COM 51 81 63 3.9 $67.99 4.54 14.97 25.9 25.5 21.7 0.75 2.79 2.9% 0.01 10.41 2.40 3.35% 8.5% 12.91 $16,165,588 -11.50% WSO
AME Ametek  Inc. COM -7.4% 41.0% 7.9% -21.7% 3.3 2.6 9.7 7.3 1.4 7 1 27 -8 6.2 5.2 12.7 -1.0 53% 0.176 Y0 Y0 Y0 Y0 Y1 105% 76% 106% 116% 71% -60% AME Ametek  Inc. COM 73 83 62 3.2 $43.54 2.76 15.78 19.4 18.5 16.6 2.40 3.40 12.4% 0.60 19.58 1.95 0.55% 0.7% 2.03 $24,308,942 -1.83% AME
HNT Health Net Inc COM -7.4% 53.6% 8.0% 71.7% 3.3 2.1 7.5 6.7 1.2 9 3 57 -9 7.9 9.3 16.7 2.1 40% 0.285 Y1 Y0 Y1 Y1 Y1 67% -44% 62% -43% 32% -79% HNT Health Net Inc COM 81 93 66 4.7 $31.51 1.36 23.15 10.3 10.2 9.4 0.21 1.85 2.0% 0.24 5.90 1.38 0.00% 2.6% 4.87 $20,730,260 -2.19% HNT
BOH Bank of Hawaii Corporation COM -7.6% 31.9% 8.3% 21.2% 3.0 2.5 7.7 6.6 1.5 11 11 26 -116 7.0 5.3 8.0 1.5 85% 0.171 Y1 Y1 Y1 Y1 Y1 104% 41% 50% -30% 40% -41% BOH Bank of Hawaii Corporation COM 24 70 64 1.9 $45.50 3.68 12.36 13.5 13.5 14.0 3.55 2.08 26.3% 0.03 15.69 2.32 3.96% 4.1% 6.49 $21,572,232 -22.36% BOH
MSM MSC Industrial Direct Co.  I COM -7.7% 47.1% 8.3% -23.7% 2.8 3.0 7.9 6.3 1.0 11 13 27 22 7.4 3.9 9.0 -0.8 84% 0.127 Y1 Y0 Y0 Y1 Y1 207% 187% -146% -60% 65% -95% MSM MSC Industrial Direct Co.  I COM 77 77 66 2.1 $73.13 3.92 18.64 21.3 18.7 16.3 2.28 4.62 10.7% 0.00 22.92 1.44 1.20% 0.7% 1.07 $21,855,821 9.02% MSM
ENR Energizer Holdings  Inc. COM -7.8% 27.1% 8.5% 2.7% 2.4 1.9 6.4 5.0 1.3 11 23 25 20 7.3 4.2 8.2 0.5 89% 0.091 Y1 Y1 Y1 Y1 Y1 -83% -99% 183% -45% 52% -72% ENR Energizer Holdings  Inc. COM 35 72 63 -0.3 $78.29 0.00 0.00 15.1 12.6 11.2 1.11 2.50 7.4% 1.05 12.44 1.86 0.00% 4.1% 6.40 $35,454,926 -2.05% ENR
CSL Carlisle Companies  Inc. COM -7.9% 56.0% 8.6% 93.9% 3.7 3.1 11.6 8.3 1.6 10 4 57 -47 8.1 9.3 18.3 1.4 40% 0.306 Y0 Y0 Y1 Y1 Y1 140% 88% 72% -57% 35% -30% CSL Carlisle Companies  Inc. COM 68 91 64 1.9 $46.60 3.97 11.75 16.6 16.1 13.1 0.94 1.95 5.6% 0.30 11.71 1.94 1.46% 1.2% 4.05 $13,071,803 -3.95% CSL
HPT Hospitality Properties Trust COM -8.4% 25.0% 9.2% 116.7% 3.2 2.7 6.9 6.3 1.7 11 14 1 -12 6.0 6.0 6.0 2.2 100% 0.020 Y1 Y0 Y0 Y0 Y1 60% -78% 103% -72% 51% -47% HPT Hospitality Properties Trust COM 38 70 64 4.1 $23.75 2.10 11.31 15.7 7.2 7.2 2.48 1.04 15.8% 0.74 1.16 5.97 7.58% 4.2% 8.83 $18,825,526 -10.69% HPT
BYI Bally Technologies  Inc. COM -8.7% 60.9% 9.5% -14.2% 3.6 2.5 16.8 12.3 2.1 10 14 51 -3 7.2 11.7 19.9 4.4 18% 0.287 Y1 Y1 Y1 Y1 Y1 67% 84% -119% 42% 23% -65% BYI Bally Technologies  Inc. COM 34 90 63 0.2 $39.80 3.36 11.84 21.2 16.8 13.7 2.21 8.54 10.4% 2.35 25.86 0.82 0.00% 8.4% 10.01 $20,963,362 -4.19% BYI
IDXX Idexx Laboratories COM -9.1% 24.3% 10.0% 20.4% 2.8 2.0 8.9 6.1 1.6 11 12 25 12 7.5 4.1 8.0 0.5 94% 0.114 Y1 Y0 Y1 Y1 Y1 108% -111% 108% -67% 42% -53% IDXX Idexx Laboratories COM 80 79 64 1.0 $79.37 3.53 22.48 29.1 29.0 25.9 3.73 7.61 12.8% 0.01 28.28 2.81 0.00% 8.3% 18.71 $20,767,949 -10.56% IDXX
GPN Global Payments  Inc. COM -10.6% 25.4% 11.8% 14.1% 2.6 1.6 11.9 7.6 1.4 11 13 25 -110 6.1 3.0 6.5 -2.6 96% 0.119 Y1 Y1 Y1 Y1 Y1 -116% 122% 123% -64% 86% -69% GPN Global Payments  Inc. COM 68 74 65 -2.1 $47.99 4.18 11.48 16.7 13.7 12.4 1.92 3.26 11.5% 0.23 21.62 1.39 0.17% 0.8% 1.04 $30,851,151 -16.74% GPN
OIS Oil States International  In COM -10.8% 73.3% 12.2% -43.4% 4.7 2.9 12.8 9.6 2.2 7 13 27 -1 7.0 8.6 19.2 1.6 31% 0.230 Y1 Y1 Y1 Y1 Y1 81% -120% 100% 75% 87% -71% OIS Oil States International  In COM 77 95 60 0.5 $77.57 8.08 9.60 15.3 13.3 11.0 1.25 2.19 8.2% 0.45 16.26 1.26 0.00% 4.8% 4.29 $44,909,651 1.45% OIS
WBS Webster Financial Corp COM -10.9% 47.5% 12.2% 146.6% 4.4 3.2 15.2 11.9 2.1 11 11 27 5 9.1 4.7 10.4 -2.7 90% 0.143 Y1 Y1 Y1 Y1 Y1 -150% 87% 103% -47% 44% -40% WBS Webster Financial Corp COM 90 78 64 -1.6 $21.15 2.37 8.91 14.4 13.2 13.0 3.07 1.00 21.3% 0.33 7.76 0.99 0.95% 5.6% 12.30 $10,159,184 -18.69% WBS
NVR NVR  Inc. COM -11.1% 28.9% 12.5% 32.6% 2.7 2.7 6.3 5.8 1.5 7 14 27 -121 9.3 4.3 9.3 -1.3 100% 0.189 Y1 Y1 Y1 Y1 Y1 49% 46% 220% 29% 46% -48% NVR NVR  Inc. COM 31 71 68 2.6 $715.00 27.90 25.62 26.5 26.4 19.8 1.33 2.66 5.0% 0.05 10.27 0.71 0.00% 6.5% 10.80 $23,381,545 -8.43% NVR
CFR Cullen Frost Bankers  Inc. COM -12.3% 26.0% 14.0% 9.0% 2.9 2.1 7.9 6.2 1.6 11 25 25 -146 8.5 5.5 8.4 1.0 101% 0.227 Y1 Y1 Y1 Y1 Y1 122% 112% 103% -39% 36% -27% CFR Cullen Frost Bankers  Inc. COM 43 52 65 1.8 $54.89 4.13 13.29 15.5 15.5 15.1 3.64 1.50 23.5% 0.18 9.83 1.94 3.35% 8.4% 9.43 $31,142,462 -10.80% CFR
MHK Mohawk Industries  Inc. COM -12.9% 50.2% 14.8% 57.9% 4.0 2.5 10.2 7.7 1.9 9 14 57 -2 9.5 9.1 18.6 1.1 48% 0.182 Y2 Y1 Y1 Y1 Y1 261% -124% 111% -66% 97% -69% MHK Mohawk Industries  Inc. COM 35 86 62 1.5 $59.97 6.83 8.79 23.4 20.5 16.3 0.75 1.21 3.2% 0.40 5.27 0.82 0.00% 4.2% 3.88 $32,827,341 1.97% MHK
EWBC East West Bancorp Inc COM -13.0% 48.4% 15.0% 111.1% 3.8 3.0 9.1 8.3 1.7 9 11 53 11 7.5 9.5 19.3 0.1 39% 0.190 Y1 Y0 Y1 Y1 Y1 141% 70% 86% -41% 30% -28% EWBC East West Bancorp Inc COM 77 88 65 3.2 $20.69 1.74 11.89 13.6 13.2 11.8 3.35 1.36 24.6% 0.14 9.03 1.54 0.97% 2.9% 4.64 $25,445,518 -17.75% EWBC
AMG Affiliated Managers Group In COM -13.1% 39.8% 15.0% 10.5% 4.0 2.7 12.0 9.7 1.9 9 1 27 -4 6.0 5.3 11.5 -2.1 60% 0.172 Y1 Y0 Y1 Y1 Y1 105% 65% 84% -57% 43% -50% AMG Affiliated Managers Group In COM 61 77 59 0.8 $98.23 9.06 10.84 14.3 14.8 13.5 2.93 2.80 20.6% 0.77 10.62 1.45 0.00% 2.4% 4.04 $42,805,709 -12.31% AMG
SMTC Semtech Corporation COM -13.7% 32.7% 15.9% 62.5% 4.1 2.8 11.3 8.6 1.5 11 11 24 -6 7.4 2.8 9.4 -4.8 85% 0.104 Y1 Y1 Y1 Y1 Y1 102% -90% 135% -56% 56% -48% SMTC Semtech Corporation COM 81 80 62 2.5 $25.42 1.79 14.18 14.0 14.5 14.6 3.36 2.65 24.0% 0.00 18.41 0.74 0.00% 5.5% 8.04 $11,470,782 -2.18% SMTC
FULT Fulton Financial Corp COM -13.9% 42.9% 16.1% 75.4% 4.4 3.2 10.9 8.7 2.2 9 11 27 -113 9.0 4.3 8.8 -1.5 102% 0.034 Y1 Y1 Y1 Y1 Y1 122% 69% 93% -31% 38% -43% FULT Fulton Financial Corp COM 81 81 63 4.2 $10.26 0.84 12.29 14.5 13.7 11.9 3.55 1.03 24.6% 0.20 7.30 1.52 1.95% 2.1% 4.01 $11,769,022 -22.17% FULT
MDP Meredith Corporation COM -13.9% 53.0% 16.2% 77.5% 3.5 2.7 21.1 12.5 1.9 11 26 49 22 10.3 13.0 19.1 6.7 29% 0.457 Y2 Y2 Y2 Y1 Y1 96% -177% 104% 26% 40% -55% MDP Meredith Corporation COM 35 81 62 0.3 $32.28 3.65 8.84 12.0 12.2 10.6 0.84 1.86 7.0% 0.19 17.12 1.83 3.16% 26.2% 12.61 $22,069,447 8.84% MDP
URI United Rentals Inc COM -13.9% 133.6% 16.2% 26.4% 5.3 4.7 17.4 11.5 2.6 12 13 58 27 12.3 21.0 33.2 8.9 14% 0.385 Y1 Y1 Y1 Y1 Y1 84% 167% -168% -41% 42% -59% URI United Rentals Inc COM 75 96 62 0.7 $29.93 7.80 3.84 25.8 17.9 12.1 0.76 34.09 3.0% 0.00 280.00 2.21 0.00% 19.3% 5.16 $62,770,564 15.25% URI
AYI Acuity Brands Inc COM -14.4% 58.8% 16.8% 3.5% 4.2 3.4 15.0 9.7 1.8 10 26 27 -145 9.1 10.2 16.4 2.0 50% 0.263 Y1 Y1 Y1 Y2 Y1 -176% 66% 83% 60% 79% -66% AYI Acuity Brands Inc COM 44 75 59 -7.5 $52.62 3.44 15.30 21.7 17.9 14.8 1.23 2.88 5.7% 0.47 14.28 0.00 0.99% 6.7% 12.32 $14,057,989 -20.37% AYI
VLY Valley National Bancorp COM -14.6% 33.2% 17.1% 112.2% 3.5 2.5 9.6 7.3 1.9 9 11 27 -146 7.4 2.2 7.0 -3.5 103% 0.052 Y1 Y1 Y1 Y1 Y1 118% -97% 198% -241% 67% 75% VLY Valley National Bancorp COM 61 47 65 3.5 $12.75 1.01 12.64 14.7 15.2 15.2 3.72 1.66 25.3% 0.22 11.37 2.16 5.41% 13.3% 15.28 $15,380,180 -3.58% VLY
MTX Minerals Technologies  Inc. COM -14.9% 30.3% 17.5% 15.5% 3.4 3.0 8.4 7.0 1.3 11 4 27 -109 7.4 3.9 7.8 -0.6 96% 0.227 Y0 Y0 Y0 Y1 Y1 146% 88% 98% -104% 68% -51% MTX Minerals Technologies  Inc. COM 37 65 63 4.9 $60.17 6.72 8.95 17.2 16.5 14.7 1.03 1.39 5.9% 0.12 8.36 1.71 0.33% 2.9% 5.72 $6,060,653 -15.91% MTX
KMT Kennametal Inc. COM -15.0% 32.4% 17.7% 73.7% 4.0 3.4 8.6 7.0 2.0 5 -6 -1 -39 3.8 3.8 3.9 -0.9 97% -0.009 Y0 Y0 Y0 Y0 Y1 75% 80% 80% -65% 55% -30% KMT Kennametal Inc. COM 92 62 61 3.6 $38.79 4.40 8.82 11.4 10.5 9.2 1.22 1.96 10.6% 0.00 17.87 1.48 1.24% 3.4% 5.65 $34,294,580 -6.37% KMT
ASH Ashland Inc COM -15.7% 42.5% 18.6% 28.3% 4.1 2.9 14.3 9.3 2.0 9 13 25 -109 8.1 8.3 15.2 2.6 44% 0.268 Y1 Y1 Y1 Y1 Y1 -98% 86% 65% -41% 31% -74% ASH Ashland Inc COM 24 89 61 -0.1 $58.57 4.44 13.20 16.4 10.7 8.7 0.70 1.10 4.3% 0.88 1.41 1.69 1.20% 6.2% 5.98 $59,019,863 4.39% ASH
AVT Avnet Inc COM -17.2% 32.8% 20.8% -7.1% 3.8 2.8 7.2 6.6 2.0 9 1 27 -2 4.7 2.1 6.7 -4.9 83% 0.063 Y1 Y0 Y0 Y0 Y1 113% -59% 107% -57% 58% -54% AVT Avnet Inc COM 73 52 58 2.7 $31.46 4.87 6.46 7.3 7.9 7.4 0.17 1.20 2.4% 0.31 18.45 1.09 0.00% 1.6% 2.60 $39,685,579 -9.17% AVT
VMI Valmont Industries  Inc. COM -18.4% 29.6% 22.6% -35.3% 3.5 2.9 9.9 7.1 1.9 11 13 10 -4 10.8 8.6 11.6 2.4 92% 0.168 Y1 Y1 Y1 Y1 Y1 106% 71% 85% -49% 125% -69% VMI Valmont Industries  Inc. COM 35 74 66 2.5 $94.62 8.38 11.29 17.2 16.0 13.5 1.00 2.47 5.8% 0.51 16.00 0.00 0.76% 2.5% 4.86 $9,869,844 -22.77% VMI
QLGC QLogic Corporation COM -18.7% 28.0% 23.1% 91.9% 3.5 2.2 8.3 7.0 1.6 7 11 25 -165 5.1 5.1 9.1 1.0 50% 0.246 Y0 Y0 Y1 Y0 Y1 52% -36% 49% 36% 23% -38% QLGC QLogic Corporation COM 40 52 58 2.3 $15.30 1.68 9.11 10.7 11.1 10.1 2.52 2.50 23.5% 0.00 24.95 0.53 0.00% 1.8% 3.95 $15,447,103 -14.92% QLGC
WRC Warnaco Group  Inc. COM -19.0% 31.3% 23.5% -2.7% 3.7 3.5 8.6 7.6 1.8 5 -1 24 5 6.2 4.7 10.7 -0.3 59% 0.168 Y0 Y0 Y0 Y1 Y1 -113% 119% 62% -29% 25% -40% WRC Warnaco Group  Inc. COM 86 72 59 -6.0 $52.64 5.15 10.22 14.1 13.1 11.6 0.86 2.37 6.1% 0.00 17.52 0.00 0.00% 8.2% 6.26 $38,850,475 -11.76% WRC
UFS Domtar Corp COM -19.1% 37.5% 23.6% -89.3% 3.8 3.1 8.7 7.9 1.8 10 11 25 -111 8.5 2.3 8.2 -4.5 103% 0.128 Y0 Y0 Y1 Y1 Y1 95% 83% 109% -31% 21% -34% UFS Domtar Corp COM 28 82 66 2.3 $85.62 24.17 3.54 7.7 7.9 10.3 0.65 1.08 8.4% 0.26 21.65 0.00 1.39% 3.8% 5.77 $34,519,644 -16.77% UFS
EGN Energen Corp COM -19.3% 41.8% 24.0% -9.8% 3.7 2.6 10.2 8.3 2.0 7 3 27 -107 6.5 2.4 7.9 -3.3 87% 0.126 Y0 Y0 Y1 Y1 Y1 93% 91% 117% 52% 53% -45% EGN Energen Corp COM 30 79 63 1.2 $52.79 8.13 6.49 13.1 13.6 13.6 2.42 1.53 18.5% 0.19 13.98 3.27 1.02% 2.8% 6.60 $23,845,230 -5.57% EGN
WABC Westamerica Bancorporation COM -19.5% 25.3% 24.2% 34.4% 3.8 3.0 8.8 8.2 1.9 11 3 27 -152 4.3 0.5 5.3 -4.5 90% 0.066 Y0 Y0 Y1 Y1 Y1 77% -55% 102% -49% 54% -44% WABC Westamerica Bancorporation COM 44 41 60 2.0 $45.52 3.59 12.66 14.4 14.7 13.9 4.59 2.33 31.9% 0.05 16.40 1.73 3.16% 7.9% 15.93 $10,422,075 0.48% WABC
OHI Omega Healthcare Investors COM -19.5% 36.7% 24.3% -8.5% 3.5 2.9 9.1 6.9 1.7 25 22 24 -136 8.9 7.4 11.3 2.3 74% 0.174 Y1 Y1 Y1 Y1 Y1 77% -107% 90% -72% 56% -63% OHI Omega Healthcare Investors COM 46 64 60 4.4 $19.68 1.31 15.06 65.6 11.1 10.1 7.07 2.27 10.8% 1.17 3.41 0.00 7.72% 7.4% 12.61 $15,527,695 -7.41% OHI
IEX Idex Corporation COM -19.8% 30.0% 24.7% 40.4% 3.3 2.4 16.0 10.0 1.5 5 14 26 -107 6.5 3.9 8.9 -0.2 73% 0.128 Y1 Y1 Y1 Y1 Y1 99% 53% 80% 84% 112% -106% IEX Idex Corporation COM 87 70 64 4.0 $38.09 3.05 12.48 15.6 15.2 13.9 1.80 2.10 11.5% 0.30 13.23 1.89 1.79% 2.2% 4.81 $14,806,890 -16.01% IEX
MENT Mentor Graphics Corporation COM -19.9% 56.0% 24.9% 104.7% 3.9 2.9 14.8 10.5 1.8 -1 11 37 11 8.0 13.0 19.1 6.2 13% 0.458 Y2 Y1 Y1 Y1 Y1 72% -56% 92% -54% 51% -85% MENT Mentor Graphics Corporation COM 79 91 56 1.7 $13.26 1.12 11.86 12.8 12.8 10.8 1.45 1.77 11.4% 0.27 10.04 1.43 0.00% 3.7% 4.55 $12,357,064 8.66% MENT
CMC Commercial Metals Company COM -20.8% 66.9% 26.2% 119.8% 4.5 3.6 24.5 14.4 2.1 2 -1 27 2 7.6 12.6 22.9 2.2 26% 0.343 Y? Y0 Y0 Y1 Y1 -95% 131% 97% 36% 38% -61% CMC Commercial Metals Company COM 58 84 61 -0.6 $14.42 0.26 55.22 144.2 13.4 8.1 0.21 1.44 0.1% 1.01 -10.75 0.00 3.33% 3.2% 2.90 $27,248,485 3.21% CMC
HOLX Hologic Inc COM -21.0% 32.1% 26.6% 208.9% 3.8 3.1 14.6 9.1 1.8 9 3 27 -114 8.7 5.1 10.1 0.8 84% 0.268 Y1 Y1 Y1 Y1 Y1 104% 73% 121% -48% 48% -33% HOLX Hologic Inc COM 59 74 65 4.4 $18.36 1.75 10.49 14.7 13.5 12.2 2.70 1.64 18.4% 0.51 5.58 4.12 0.00% 1.9% 3.24 $37,869,844 -1.16% HOLX
ISCA International Speedway Corpo CL A -21.0% 27.1% 26.6% 137.3% 3.8 3.0 15.5 10.8 1.8 7 19 25 -113 5.3 4.8 8.3 -1.0 67% 0.116 Y1 Y1 Y1 Y0 Y1 47% -82% 112% -76% 41% -64% ISCA International Speedway Corpo CL A 33 56 57 2.6 $25.53 2.80 9.11 16.2 16.2 14.8 1.92 1.00 11.9% 0.26 4.91 1.33 0.71% 6.0% 13.38 $3,559,112 -4.64% ISCA
TRN Trinity Industries  Inc. COM -21.2% 57.5% 26.8% 58.6% 5.2 3.9 13.1 10.3 2.2 11 13 25 -109 5.6 7.2 13.0 -0.4 45% 0.152 Y1 Y1 Y1 Y1 Y1 159% -117% 95% -41% 62% -55% TRN Trinity Industries  Inc. COM 40 92 56 0.2 $30.08 3.84 7.84 22.3 19.9 12.7 0.86 1.31 3.9% 1.65 5.62 15.41 1.20% 7.3% 9.77 $22,811,878 -2.96% TRN
CYT Cytec Industries COM -21.4% 47.5% 27.3% 34.8% 4.3 2.9 23.0 12.7 2.1 3 2 38 -107 4.5 6.7 16.3 -1.0 31% 0.096 Y? Y? Y1 Y1 Y1 113% 126% 62% -28% 24% -23% CYT Cytec Industries COM 46 79 60 0.7 $47.24 5.86 8.06 13.0 14.4 13.4 0.77 1.26 5.9% 0.37 9.48 1.87 1.06% 4.0% 4.61 $28,321,411 -11.37% CYT
DRE Duke Realty Corp COM -21.6% 31.9% 27.6% 259.6% 3.8 3.0 9.9 7.4 1.8 11 14 25 -108 5.0 3.8 7.8 -0.7 68% 0.089 Y1 Y1 Y1 Y0 Y1 112% -132% 86% -45% 58% -47% DRE Duke Realty Corp COM 20 78 59 3.7 $12.25 1.05 11.62 ##### 10.7 11.3 3.33 1.14 -0.5% 1.43 -1.66 5.71 5.55% 6.0% 7.77 $31,893,615 -7.40% DRE
AGCO AGCO Corp COM -21.7% 55.6% 27.7% -43.4% 4.3 3.5 7.8 7.6 2.1 5 1 27 -125 6.7 2.3 10.9 -6.1 75% 0.240 Y0 Y0 Y0 Y1 Y1 239% 134% 94% 41% 73% -88% AGCO AGCO Corp COM 71 82 66 4.8 $46.84 5.13 9.13 12.0 11.2 9.7 0.54 1.61 4.5% 0.17 14.33 0.00 0.00% 2.8% 1.79 $75,636,950 2.04% AGCO
SMG The Scotts Miracle Gro Co COM -21.7% 18.7% 27.8% 15.3% 2.8 1.8 12.5 8.0 1.4 9 20 -2 -112 5.6 5.7 6.2 4.0 74% -0.058 Y1 Y1 Y1 Y1 Y1 -77% 67% 58% 44% 41% -50% SMG The Scotts Miracle Gro Co COM 9 41 66 -1.2 $47.45 2.80 16.93 19.6 17.2 14.5 1.02 5.15 5.2% 1.41 18.41 0.81 2.11% 15.6% 19.87 $26,520,860 -17.97% SMG
BIO Bio-Rad Laboratories Inc. COM -22.5% 17.2% 29.0% -14.3% 2.6 1.9 7.9 6.9 1.2 13 11 -2 -112 3.0 2.7 3.8 1.0 70% -0.061 Y0 Y0 Y1 Y1 Y1 164% -102% 86% 69% 55% -31% BIO Bio-Rad Laboratories Inc. COM 63 45 61 1.2 $98.44 10.68 9.22 15.3 16.9 15.3 1.35 1.63 8.8% 0.48 11.99 ##### 0.00% 0.7% 2.63 $5,898,752 7.07% BIO
WFSL Washington Federal Inc. COM -22.8% 17.8% 29.5% 76.4% 3.3 2.5 10.1 7.4 1.7 11 11 10 -116 6.7 5.6 8.8 0.2 75% 0.199 Y1 Y1 Y1 Y1 Y1 -144% 101% 103% -59% 32% -59% WFSL Washington Federal Inc. COM 79 39 63 -4.7 $14.31 1.06 13.54 14.3 11.6 10.0 3.70 0.82 25.8% 0.00 5.93 1.86 1.68% 0.6% 1.15 $8,964,147 -8.04% WFSL
SLG SL Green Realty Corporation COM -22.9% 32.5% 29.6% 105.9% 3.7 3.4 11.7 8.4 1.8 7 11 24 -76 4.7 1.6 5.7 -2.1 86% 0.049 Y0 Y0 Y1 Y1 Y1 98% 117% 115% -51% 55% -90% SLG SL Green Realty Corporation COM 3 81 61 3.4 $69.44 10.27 6.76 58.4 14.5 15.6 5.88 0.99 10.1% 1.08 11.40 4.46 0.58% 6.5% 7.85 $57,462,556 -9.35% SLG
URS URS Corporation COM -24.4% 30.8% 32.3% 36.3% 3.6 2.5 11.4 8.8 1.5 7 1 37 -113 3.4 2.8 9.3 -2.5 50% 0.057 Y- Y? Y0 Y1 Y1 65% 107% 82% 128% 129% -59% URS URS Corporation COM 26 57 57 0.6 $36.53 -2.21 -16.54 8.6 10.1 9.5 0.24 0.83 2.8% 0.16 -11.41 2.86 0.00% 1.9% 2.93 $23,343,318 -2.27% URS
OLN Olin Corporation COM -25.0% 26.4% 33.3% 24.4% 3.6 2.3 12.0 8.0 1.7 11 11 -2 -76 5.6 5.0 6.0 2.4 89% -0.049 Y0 Y0 Y0 Y1 Y1 71% 86% 71% -36% 29% -40% OLN Olin Corporation COM 49 57 61 2.1 $20.37 3.98 5.11 12.6 11.6 10.3 0.86 1.62 6.8% 0.50 24.13 1.76 3.93% 6.3% 9.11 $20,962,537 0.44% OLN
FAF First American Financial Cor COM -25.0% 23.9% 33.4% 280.2% 3.7 2.9 9.2 8.6 1.9 21 21 -5 -88 8.4 6.6 8.9 3.7 90% -0.113 Y1 Y1 Y1 Y1 Y1 57% -62% 55% -29% 56% -31% FAF First American Financial Cor COM 20 36 59 3.7 $13.02 1.54 8.45 16.5 18.1 11.2 0.36 0.69 2.2% 0.15 4.36 0.75 1.84% 3.9% 10.01 $9,640,418 -17.11% FAF
ALB Albemarle Corp COM -25.4% 40.9% 34.0% 39.4% 4.2 3.0 16.0 11.3 2.2 5 -5 48 -99 3.4 6.1 14.3 -2.9 37% 0.192 Y0 Y0 Y1 Y1 Y1 68% 43% 57% 43% 33% -38% ALB Albemarle Corp COM 89 82 59 0.2 $53.58 5.29 10.13 11.7 11.3 11.4 1.72 3.00 14.7% 0.60 28.40 2.59 1.23% 3.1% 5.89 $46,990,943 -18.82% ALB
WOR Worthington Industries COM -25.7% 37.4% 34.6% 28.9% 5.3 4.7 12.1 10.6 2.1 7 -2 27 -107 4.8 2.0 11.2 -6.4 64% 0.074 Y- Y- Y1 Y1 Y1 -181% 130% 127% -67% 87% -90% WOR Worthington Industries COM 79 65 58 -0.2 $17.64 2.52 7.01 11.2 11.1 9.2 0.51 1.81 4.6% 0.36 17.62 0.64 2.27% 9.3% 10.33 $9,202,982 -6.64% WOR
NOG Northern Oil & Gas  Inc. COM -25.9% 90.0% 34.9% -71.8% 6.4 4.5 27.0 16.3 2.8 5 -1 26 43 5.9 5.0 16.4 -4.6 50% 0.230 Y0 Y0 Y1 Y1 Y1 -114% 69% 180% 40% 52% -40% NOG Northern Oil & Gas  Inc. COM 95 80 57 -3.4 $25.18 1.24 20.38 47.5 40.0 18.5 12.45 3.22 26.2% 0.00 11.07 0.00 0.00% 31.2% 23.69 $26,895,248 -3.17% NOG
KBR KBR  Inc. COM -28.8% 34.3% 40.4% -1.4% 4.5 2.5 12.0 10.0 2.2 9 -5 -1 -107 2.2 2.2 3.6 0.9 45% -0.092 Y0 Y1 Y1 Y1 Y1 -85% 78% 94% 53% 78% -116% KBR KBR  Inc. COM 32 65 54 -1.8 $28.01 3.97 7.05 12.0 9.0 10.7 0.44 1.65 3.7% 0.04 19.26 0.00 0.71% 0.5% 0.51 $43,384,469 3.86% KBR
TDS Telephone and Data Systems COM -28.9% 35.9% 40.6% 110.2% 3.5 2.4 8.6 7.2 1.7 7 -2 27 -166 4.7 6.5 14.6 1.0 27% 0.228 Y1 Y1 Y1 Y1 Y1 106% -68% 58% 44% 44% -62% TDS Telephone and Data Systems COM 58 41 59 0.7 $26.27 9.96 2.64 35.3 10.9 13.5 0.70 0.68 2.0% 0.39 5.67 1.45 1.79% 8.9% 22.02 $15,277,139 2.67% TDS
CNW Con-way Inc COM -29.4% 45.4% 41.7% 106.9% 4.4 2.3 10.9 9.8 2.0 10 11 25 -108 5.4 5.3 9.4 0.3 56% 0.139 Y1 Y1 Y1 Y1 Y1 68% 62% 63% -24% 29% -46% CNW Con-way Inc COM 80 80 59 0.5 $29.90 4.80 6.23 23.2 18.1 13.7 0.32 1.85 1.4% 0.97 7.75 1.38 0.33% 4.5% 7.27 $20,272,473 -13.47% CNW
SEIC SEI Investments Company COM -29.5% 27.8% 41.8% 245.8% 3.7 2.7 15.3 12.0 1.9 11 14 25 -151 7.1 4.7 8.8 -1.4 84% 0.147 Y1 Y1 Y1 Y1 Y1 94% -60% 91% 56% 35% -50% SEIC SEI Investments Company COM 56 37 61 1.3 $17.55 1.46 12.02 15.4 15.1 13.9 3.36 2.99 21.8% 0.09 21.65 1.88 1.37% 0.5% 1.18 $15,506,469 -9.11% SEIC
ESL Esterline Technologies COM -29.5% 22.2% 41.9% -19.6% 3.8 3.5 10.4 7.2 1.8 11 11 9 -86 6.4 3.9 9.0 -1.0 74% 0.116 Y1 Y1 Y1 Y1 Y1 45% 68% 151% -85% 63% -37% ESL Esterline Technologies COM 29 36 63 0.8 $58.00 7.00 8.28 11.9 10.9 9.5 1.03 1.14 8.7% 0.65 8.95 1.89 0.00% 3.5% 5.42 $16,361,816 -7.34% ESL
ACM AECOM Technology Corporation COM -29.7% 28.6% 42.3% 4.4% 3.3 2.2 7.5 6.6 1.7 7 -7 26 -126 2.3 1.2 8.4 -5.4 56% 0.039 Y0 Y0 Y1 Y1 Y1 69% 81% 98% 84% 112% -80% ACM AECOM Technology Corporation COM 73 39 59 2.6 $21.07 3.32 6.34 9.0 8.1 7.3 0.30 1.02 3.4% 0.49 12.45 0.00 0.00% 1.9% 2.45 $17,947,409 1.71% ACM
RBC Regal-Beloit Corporation COM -30.7% 27.6% 44.2% 2.8% 3.8 2.9 9.9 8.8 1.9 8 3 8 -114 4.2 1.5 4.3 -2.2 98% 0.054 Y1 Y0 Y1 Y1 Y1 53% -45% 54% -25% 30% -48% RBC Regal-Beloit Corporation COM 30 33 61 3.9 $53.14 6.05 8.78 14.6 12.3 10.6 0.84 1.45 5.7% 0.31 10.13 2.00 1.35% 8.1% 14.44 $19,058,340 -10.22% RBC
HRC Hill-Rom Holdings  Inc. COM -30.9% 25.4% 44.7% 116.2% 3.3 2.1 6.8 6.2 1.5 9 13 -1 -112 3.2 3.2 6.2 2.1 27% -0.003 Y1 Y1 Y1 Y1 Y1 -152% -73% 88% -47% 34% -49% HRC Hill-Rom Holdings  Inc. COM 55 46 55 -3.3 $33.73 3.72 9.07 14.8 13.4 12.7 1.31 2.81 8.8% 0.07 18.40 1.48 1.33% 2.6% 5.96 $12,987,866 -16.68% HRC
SPN Superior Energy Services Inc COM -31.0% 33.3% 44.9% 23.3% 5.7 3.8 23.5 15.5 2.5 9 -5 11 -97 3.8 2.7 6.0 -3.6 77% 0.163 Y0 Y0 Y1 Y1 Y1 -142% -64% 106% -62% 41% -44% SPN Superior Energy Services Inc COM 32 55 55 -1.3 $29.59 4.61 6.42 16.2 14.2 9.6 1.21 1.65 7.5% 0.53 9.34 0.30 0.00% 26.9% 10.18 $70,247,702 -24.63% SPN
GEF Greif  Inc. CL A -31.3% 13.8% 45.6% 164.5% 3.1 2.1 7.4 7.1 1.2 7 3 -1 -113 1.8 1.8 3.2 0.3 54% -0.004 Y0 Y0 Y1 Y1 Y1 -52% -37% 49% 47% 37% -44% GEF Greif  Inc. CL A 0 25 55 -1.3 $46.41 6.68 6.95 12.5 12.2 10.6 0.51 1.77 4.1% 1.09 14.26 1.66 3.62% 2.9% 7.94 $10,031,258 -3.84% GEF
NYB New York Community Bancorp COM -32.7% 16.4% 48.6% 174.7% 2.9 2.5 7.5 7.2 1.7 11 11 4 -181 5.9 3.9 7.1 -0.5 85% 0.051 Y1 Y1 Y1 Y1 Y1 115% 235% 78% 53% 38% -63% NYB New York Community Bancorp COM 40 20 67 1.9 $12.95 1.28 10.11 11.3 11.8 11.7 4.70 1.02 41.7% 0.19 9.10 0.93 7.72% 4.4% 4.58 $53,739,533 -6.41% NYB
CBT Cabot Corporation COM -32.9% 45.8% 49.0% 34.2% 4.1 2.9 10.9 8.9 1.7 5 -2 25 -116 3.1 7.3 17.0 0.7 15% 0.235 Y1 Y0 Y1 Y1 Y1 -119% 88% 53% -38% 28% -78% CBT Cabot Corporation COM 35 81 53 -3.3 $32.73 5.21 6.28 10.6 11.2 9.2 0.64 1.41 6.1% 0.37 12.91 0.00 2.20% 1.6% 2.44 $18,275,125 -3.09% CBT
ORI Old Republic International COM -33.1% 29.5% 49.5% 155.4% 3.5 2.0 16.2 11.9 1.7 -1 23 -5 -157 5.8 5.7 7.9 3.4 53% -0.205 Y1 Y1 Y1 Y1 Y1 45% -38% 66% -46% 53% -52% ORI Old Republic International COM 6 17 56 0.0 $9.26 0.00 0.00 -10.6 -44.1 14.0 0.53 0.63 -5.0% 0.12 -5.32 0.88 7.56% 7.5% 9.28 $32,920,791 3.91% ORI
NYT New York Times Company CL A -33.9% 40.9% 51.2% 583.9% 4.8 2.7 13.4 11.4 2.2 6 -2 25 -20 4.5 6.7 14.9 0.2 29% 0.086 Y1 Y1 Y1 Y1 Y1 81% -106% 164% -37% 42% -48% NYT New York Times Company CL A 27 56 55 1.2 $7.75 0.57 13.64 11.6 12.5 11.2 0.49 1.94 4.2% 1.51 -5.05 1.11 0.00% 9.4% 11.21 $9,650,095 -17.16% NYT
GES Guess  Inc. COM -36.6% 17.1% 57.7% 116.8% 4.2 2.7 9.7 8.5 2.0 10 13 -2 -152 2.3 2.5 3.6 0.0 62% -0.211 Y1 Y1 Y1 Y1 Y1 -60% 73% 78% -36% 50% -64% GES Guess  Inc. COM 60 24 57 -1.7 $30.43 3.86 7.88 9.5 9.9 9.1 1.06 2.31 11.2% 0.01 22.77 2.83 2.63% 6.0% 3.78 $45,847,645 0.03% GES
ITT ITT Corporation COM -36.8% 21.3% 58.3% 190.5% 3.2 2.4 36.8 17.1 1.6 5 1 -45 -118 1.5 -5.9 1.8 -13.8 98% -0.209 Y- Y- Y- Y0 Y1 50% 51% 49% -27% 19% -32% ITT ITT Corporation COM 41 22 55 1.6 $20.22 10.13 2.00 5.9 2.1 2.0 0.16 0.44 2.7% 0.30 14.86 0.85 4.95% 4.4% 2.95 $67,594,314 -21.77% ITT
TCB TCF Financial Corporation COM -37.6% 25.9% 60.2% 200.9% 4.4 3.9 8.8 8.2 2.3 9 10 -5 -135 4.8 2.3 7.3 -1.7 73% -0.097 Y1 Y1 Y1 Y1 Y1 131% 79% 98% -41% 41% -39% TCB TCF Financial Corporation COM 21 23 60 2.0 $10.84 1.35 8.03 13.4 14.6 12.5 2.48 0.93 18.5% 0.41 7.24 1.28 1.85% 7.0% 8.76 $16,017,889 -13.98% TCB
AOL AOL  Inc. COM -37.9% 53.7% 61.1% 56.5% 4.2 2.7 14.8 11.9 1.9 11 11 25 -221 6.1 1.8 7.1 -4.9 92% 0.054 Y1 Y1 Y1 Y1 Y1 117% -67% 70% 49% 47% -48% AOL AOL  Inc. COM 15 31 61 5.6 $15.46 3.00 5.16 21.2 309.2 41.8 0.68 0.70 3.2% 0.02 2.45 0.00 0.00% 15.9% 12.97 $21,104,548 -11.76% AOL
PTEN Patterson-UTI Energy  Inc. COM -38.3% 39.7% 62.0% 82.9% 5.6 4.2 10.2 8.7 2.7 7 -1 24 -97 2.2 -0.1 10.4 -8.7 57% 0.101 Y- Y0 Y1 Y1 Y1 -66% -120% 109% 43% 38% -44% PTEN Patterson-UTI Energy  Inc. COM 92 86 56 -2.6 $21.04 4.48 4.70 11.1 10.0 7.8 1.40 1.35 12.6% 0.18 12.62 1.16 0.95% 3.7% 2.08 $82,138,253 -16.66% PTEN
PSS Collective Brands  Inc. COM -38.5% 61.7% 62.7% 128.1% 4.2 3.2 17.3 10.9 2.4 9 -2 -12 1 4.1 0.4 3.9 -5.0 101% -0.113 Y1 Y0 Y0 Y0 Y1 105% 84% -62% -27% 33% -76% PSS Collective Brands  Inc. COM 13 24 58 6.0 $14.73 -0.08 -193.82 14.3 37.8 16.2 0.26 1.27 1.8% 0.80 -17.16 3.73 0.00% 25.5% 15.81 $25,114,317 -7.03% PSS
ARO Aeropostale  Inc. COM -40.1% 75.5% 66.9% 120.5% 4.9 4.9 23.4 15.3 2.4 2 -4 55 -170 2.1 16.0 39.0 -2.9 12% 0.207 Y? Y? Y- Y? Y1 117% 99% -90% -33% 44% -34% ARO Aeropostale  Inc. COM 5 51 55 8.4 $16.08 2.32 6.94 11.0 18.7 13.7 0.55 3.40 5.0% 0.00 28.96 0.00 0.00% 15.8% 6.62 $46,385,519 -6.83% ARO
FNFG First Niagara Financial Grou COM -40.6% 9.1% 68.3% 84.5% 3.5 2.8 8.6 7.3 1.9 5 -5 2 -137 2.5 2.7 4.0 -0.4 66% 0.075 Y1 Y0 Y1 Y1 Y1 -114% 82% 65% -32% 60% -35% FNFG First Niagara Financial Grou COM 63 16 57 -0.6 $8.97 0.91 9.91 9.2 9.1 9.0 3.03 0.66 33.1% 0.14 4.73 0.00 7.13% 2.3% 1.71 $60,283,981 -8.17% FNFG
MDC M.D.C. Holdings  Inc. COM -41.7% 27.7% 71.6% 374.7% 4.9 5.8 16.0 13.3 2.5 6 -4 -15 -149 3.0 -6.9 3.3 -14.4 98% -0.371 Y0 Y0 Y0 Y1 Y1 119% 82% 95% -50% 66% -78% MDC M.D.C. Holdings  Inc. COM 15 18 59 4.3 $18.88 -2.20 -8.57 -9.5 -9.0 -32.6 1.05 1.02 ##### 1.29 -11.60 0.34 5.30% 13.4% 7.11 $18,009,138 -4.40% MDC
DWA Dreamworks Animation SKG  In COM -42.0% 9.1% 72.3% 138.9% 3.7 3.4 12.5 10.8 1.8 2 -7 -15 -249 0.6 -5.4 0.4 -8.0 103% -0.118 R0 R0 R0 Y0 Y1 134% 157% -123% -101% 53% -39% DWA Dreamworks Animation SKG  In COM 26 11 57 5.8 $17.83 1.79 9.94 10.4 15.5 14.9 1.95 1.12 18.8% 0.00 11.84 0.00 0.00% 24.8% 20.22 $17,701,685 0.27% DWA
RVBD Riverbed Technology  Inc. COM -42.0% 41.4% 72.5% 35.7% 5.7 5.6 11.6 10.2 2.8 4 -7 -1 -118 -0.5 -0.5 1.7 -9.1 80% -0.027 R0 R0 Y0 Y1 Y1 104% 144% 103% -33% 35% -47% RVBD Riverbed Technology  Inc. COM 91 66 56 2.0 $25.92 0.47 55.74 30.9 29.1 22.9 5.82 5.80 18.9% 0.00 9.67 0.00 0.00% 3.3% 2.04 $83,171,438 -19.41% RVBD
ITRI Itron Inc. COM -43.2% 36.1% 75.9% 101.4% 4.3 3.4 21.8 13.7 1.8 7 -1 25 -210 2.4 2.4 7.9 -3.2 50% 0.153 Y1 Y1 Y2 Y1 Y1 -90% -130% 109% -57% 94% 73% ITRI Itron Inc. COM 52 25 55 -1.2 $36.60 -7.39 -4.95 9.0 8.9 9.4 0.62 1.45 6.9% 0.27 -35.25 2.19 0.00% 3.7% 3.28 $19,754,061 -4.48% ITRI
MAN ManpowerGroup COM -46.2% 17.9% 85.8% 105.7% 4.5 3.3 10.3 8.9 2.2 7 -5 -15 -147 -0.1 -6.2 0.3 -12.0 97% -0.305 Y- Y- Y1 Y1 Y1 56% 84% 54% -27% 41% -40% MAN ManpowerGroup COM 81 12 56 0.4 $37.50 -0.66 -57.24 12.8 11.9 10.8 0.14 1.21 1.1% 0.28 -6.14 1.61 2.13% 3.1% 4.20 $44,126,073 -9.18% MAN
CRK Comstock Resources  Inc. COM -49.2% 24.8% 96.8% 100.4% 6.2 4.7 19.2 13.5 3.5 3 -2 -14 -106 0.6 -7.7 0.6 -13.2 100% -0.193 Y- Y- Y1 Y1 Y1 103% 48% 105% -59% 64% -59% CRK Comstock Resources  Inc. COM 69 33 55 3.3 $17.09 5.44 3.14 -74.3 -63.3 24.8 2.07 0.77 -2.8% 0.48 -1.24 1.08 0.00% 20.9% 10.01 $23,544,286 -0.04% CRK
VSH Vishay Intertechnology  Inc. COM -50.7% 20.3% 102.7% 173.8% 5.3 3.5 12.4 10.8 3.0 5 -6 -13 -124 -1.8 -8.5 0.0 -14.5 88% -0.232 Y- Y- Y1 Y1 Y1 83% -76% 74% -51% 30% -33% VSH Vishay Intertechnology  Inc. COM 49 22 55 3.3 $9.55 3.12 3.06 5.6 6.4 8.5 0.55 0.91 9.9% 0.29 22.23 2.32 0.00% 4.1% 4.55 $19,961,870 -14.35% VSH
GHL Greenhill & Co  Inc. COM -54.9% 43.7% 121.5% 103.3% 4.2 3.3 11.3 9.7 1.7 3 -5 38 -213 1.3 4.6 13.0 -4.4 33% 0.023 Y- Y- Y1 Y1 Y1 87% -66% 96% -51% 44% -42% GHL Greenhill & Co  Inc. COM 13 21 56 1.8 $37.92 1.25 30.26 38.7 26.0 17.4 4.19 3.37 10.8% 0.00 9.99 0.00 4.75% 16.9% 13.94 $12,560,901 -19.95% GHL
KBH KB Home COM -55.7% 42.2% 125.6% 1096.8% 6.9 5.4 15.0 13.3 3.5 -15 -8 -5 -148 -0.9 -5.2 0.0 -14.9 94% -0.177 Y- Y- Y- Y- Y1 107% -73% 64% -52% 98% -71% KBH KB Home COM 15 15 51 5.5 $7.14 -2.27 -3.15 -3.1 -25.5 15.9 0.48 1.24 ##### 3.58 -33.27 0.54 3.50% 33.5% 4.96 $35,842,713 2.70% KBH
KWK Quicksilver Resources  Inc. COM -55.7% 14.7% 125.7% 645.1% 6.6 3.6 28.2 17.9 2.9 5 -7 -15 -128 -5.8 -11.0 0.0 -17.4 67% -0.234 Y- Y- Y- Y- Y1 154% -84% 109% -54% 42% -51% KWK Quicksilver Resources  Inc. COM 12 10 48 3.9 $7.08 3.45 2.05 23.6 44.2 88.5 1.33 1.09 5.6% 1.65 38.77 4.17 0.00% 18.0% 8.61 $25,938,389 -17.84% KWK
WMS WMS Industries  Inc. COM -57.8% 25.1% 136.7% 84.0% 4.6 3.4 21.1 13.4 2.7 9 4 -1 -209 1.0 1.0 4.7 -0.7 31% -0.123 Y1 Y1 Y2 Y1 Y1 -127% -68% 101% 34% 52% -136% WMS WMS Industries  Inc. COM 18 10 52 -1.4 $20.31 2.88 7.04 13.3 13.3 11.5 1.51 1.36 11.3% 0.00 7.92 3.40 0.00% 10.3% 7.89 $20,200,157 -5.11% WMS
ACI Arch Coal Inc COM -58.5% 17.2% 141.1% 268.0% 5.8 4.6 16.9 13.1 3.4 4 -6 -15 -154 -2.7 -9.0 0.0 -15.0 82% -0.287 Y- Y- Y1 Y1 Y1 93% 99% 102% 63% -45% -62% ACI Arch Coal Inc COM 33 8 53 0.4 $15.34 3.04 5.04 12.7 12.8 6.2 0.83 0.92 6.6% 0.69 4.54 2.47 2.87% 5.6% 2.57 $98,936,340 -9.20% ACI
CYH Community Health Systems Inc COM -58.9% 19.4% 143.6% 133.4% 5.1 3.6 18.9 11.9 3.2 5 -23 -12 -166 -5.1 -8.6 0.0 -13.5 62% -0.253 Y- Y0 Y- Y- Y1 74% -62% -82% 49% 29% -37% CYH Community Health Systems Inc COM 72 13 49 3.3 $17.45 11.16 1.56 5.3 5.2 4.9 0.12 0.67 2.2% 4.02 13.44 1.19 0.00% 9.2% 7.70 $34,933,768 -9.33% CYH
PCX Patriot Coal Corporation COM -68.8% 31.5% 220.9% 342.7% 8.1 5.2 22.3 18.0 3.5 3 -6 -14 -115 -8.4 -12.6 0.0 -18.7 55% -0.365 Y- Y- Y1 Y1 Y1 -52% 68% 118% 64% -64% -70% PCX Patriot Coal Corporation COM 29 9 49 -1.4 $9.10 1.22 7.46 -5.8 -7.4 19.0 0.36 1.03 -6.2% 0.54 -8.15 0.00 0.00% 15.7% 2.61 $65,524,247 -14.78% PCX
WFR MEMC Electronic Materials In COM -72.7% 12.3% 266.8% 1092.7% 6.4 4.2 20.5 16.7 3.0 6 -7 -45 -187 -8.6 -19.3 0.9 -26.8 66% -0.949 X- Y- Y1 Y1 Y1 42% -28% 50% 56% 52% -38% WFR MEMC Electronic Materials In COM 6 3 49 1.6 $4.10 0.83 4.95 22.8 11.1 8.5 0.28 0.42 1.2% 0.27 -1.74 2.53 0.00% 7.6% 4.28 $37,809,404 -1.88% WFR
LKQX LKQ Corporation COM -0.4% 55.1% 0.4% -19.3% 3.3 2.5 8.9 7.0 1.8 9 4 63 65 7.5 7.5 15.6 -0.5 50% 0.184 Y0 Y0 Y0 Y0 Y0 129% 162% 165% -73% 74% -76% LKQX LKQ Corporation COM 82 88 65 4.0 $31.60 1.63 19.42 23.1 21.8 17.2 1.54 2.93 6.7% 0.39 13.40 0.00 0.00% 0.7% 1.43 $21,125,397 -3.15% LKQX
NSR NeuStar  Inc. COM -0.7% 55.4% 0.7% 9.2% 2.3 2.3 9.2 6.3 1.2 2 2 65 65 4.2 12.1 22.3 1.8 12% 0.193 Y0 Y0 R0 Y0 Y0 221% 100% -130% -36% 58% -33% NSR NeuStar  Inc. COM 71 91 60 4.8 $34.55 2.32 14.88 19.7 16.0 14.8 4.29 3.54 21.7% 0.01 21.12 0.00 0.00% 4.7% 8.02 $19,637,251 -13.85% NSR
INT World Fuel Services Corporat COM -0.7% 47.1% 0.7% 23.0% 3.7 2.3 11.8 8.2 2.3 7 3 57 44 5.7 7.2 13.5 1.2 36% 0.196 Y0 Y0 Y0 Y0 Y0 82% 75% 94% -43% 29% -40% INT World Fuel Services Corporat COM 74 81 60 1.3 $43.44 3.10 14.02 16.8 16.1 14.5 0.10 2.41 0.6% 0.02 15.62 2.45 0.35% 11.1% 17.10 $32,447,127 30.81% INT
KSU Kansas City Southern  Inc. COM -0.9% 53.3% 0.9% -56.7% 3.6 2.4 9.0 7.2 1.7 9 3 57 61 6.3 10.6 19.4 0.7 30% 0.259 Y0 Y0 Y0 Y0 Y0 -71% 75% 86% 42% 34% -38% KSU Kansas City Southern  Inc. COM 81 93 63 -1.3 $69.96 4.30 16.26 26.0 24.5 20.2 3.76 2.88 14.4% 0.67 11.29 5.28 0.00% 1.8% 2.53 $84,711,448 -3.53% KSU
PETM PetSmart Inc. COM -1.0% 37.9% 1.0% -30.4% 2.5 2.6 4.8 4.2 1.5 2 14 61 65 7.2 6.5 11.4 1.3 58% 0.204 Y0 Y0 Y0 Y0 Y0 117% 134% -112% -75% 60% -55% PETM PetSmart Inc. COM 83 91 61 2.7 $52.08 4.37 11.92 21.5 20.6 17.6 0.97 5.07 4.5% 0.45 24.02 1.00 1.08% 3.6% 5.02 $41,735,574 -1.84% PETM
TGI Triumph Group  Inc. COM -1.1% 51.2% 1.1% -8.7% 3.5 2.7 11.7 8.1 1.6 11 11 57 102 5.4 6.9 13.0 0.5 39% 0.149 Y0 Y0 Y0 Y0 Y0 65% 62% 77% -36% 35% -26% TGI Triumph Group  Inc. COM 76 88 58 3.3 $60.25 6.34 9.50 14.6 13.3 11.6 0.88 1.70 6.0% 0.62 13.19 5.26 0.27% 6.7% 11.54 $32,846,312 -5.74% TGI
LECO Lincoln Electric Holdings  I COM -1.1% 49.0% 1.1% 57.4% 3.6 2.4 9.1 7.5 1.4 10 4 57 27 5.7 9.0 16.5 1.7 27% 0.208 Y0 Y0 Y0 Y0 Y0 73% 70% 84% -87% 49% -65% LECO Lincoln Electric Holdings  I COM 92 91 60 1.0 $39.98 3.11 12.87 17.5 16.1 14.4 1.31 2.73 7.5% 0.07 17.03 1.78 1.55% 0.6% 2.14 $11,641,089 2.32% LECO
AFG American Financial Group Inc COM -1.4% 26.1% 1.4% -1.2% 2.4 1.7 6.8 5.5 1.2 11 11 55 25 3.4 5.6 11.2 0.9 24% 0.060 Y0 Y0 Y0 Y0 Y0 71% -68% 93% -59% 52% -54% AFG American Financial Group Inc COM 24 75 57 1.4 $37.14 4.90 7.58 10.6 10.8 10.1 1.36 0.82 12.8% 0.73 8.12 1.52 1.75% 0.6% 1.37 $17,278,948 -8.36% AFG
TCO Taubman Centers  Inc. COM -1.5% 34.4% 1.6% -18.4% 2.8 1.9 11.4 7.6 1.2 9 11 49 28 2.5 6.6 12.9 1.6 8% 0.176 Y0 Y0 Y0 Y0 Y0 56% -131% 91% -63% 111% -72% TCO Taubman Centers  Inc. COM 72 88 58 2.6 $62.83 3.60 17.46 57.1 23.1 20.6 5.73 -10.52 10.0% 0.00 0.00 -56.90 2.79% 5.6% 5.62 $39,748,052 -2.68% TCO
SBNY Signature Bank COM -1.5% 38.6% 1.6% -38.5% 3.6 2.5 12.0 8.8 1.7 11 14 27 25 6.6 7.1 11.6 1.9 49% 0.267 Y1 Y0 Y0 Y0 Y0 90% -55% 61% -30% -48% -47% SBNY Signature Bank COM 86 86 59 2.9 $61.09 1.20 51.04 19.3 18.3 16.6 5.93 2.07 30.8% 0.00 12.24 0.00 0.00% 7.7% 11.60 $29,472,096 -6.72% SBNY
AAP Advance Auto Parts Inc COM -1.6% 43.8% 1.6% -32.9% 2.3 2.6 7.0 5.5 1.1 7 11 94 30 4.6 5.7 11.4 -0.9 45% 0.224 Y0 Y0 Y0 Y0 Y0 74% 174% -100% -57% 55% -50% AAP Advance Auto Parts Inc COM 93 83 61 1.8 $71.17 6.91 10.30 14.9 14.3 12.7 0.84 6.63 5.7% 0.29 39.10 0.00 0.34% 5.4% 5.49 $55,206,898 4.19% AAP
CLC Clarcor Inc. COM -1.6% 29.8% 1.7% -27.7% 3.1 2.5 8.9 6.6 1.6 11 14 27 59 5.0 5.0 7.8 -0.3 66% 0.135 Y0 Y0 Y0 Y0 Y0 68% -46% 63% -35% 41% -56% CLC Clarcor Inc. COM 77 82 58 0.1 $50.79 2.89 17.60 22.5 21.4 19.2 2.33 3.06 10.4% 0.02 14.80 1.91 0.83% 3.2% 5.74 $20,198,502 64.87% CLC
WGL WGL Holdings  Inc. COM -1.8% 27.3% 1.8% -21.3% 2.3 1.6 6.0 5.1 1.1 11 11 26 65 3.7 2.8 5.7 -0.5 68% 0.103 Y0 Y0 Y0 Y0 Y0 -65% 61% 69% -52% 45% -60% WGL WGL Holdings  Inc. COM 55 80 59 -1.1 $44.20 3.62 12.20 19.6 17.5 17.0 0.83 1.84 4.2% 0.48 9.94 3.86 3.51% 6.9% 17.40 $13,609,789 -3.25% WGL
TRH Transatlantic Holdings  Inc. COM -2.0% 25.2% 2.0% 36.0% 1.6 0.8 4.5 3.8 0.6 -1 11 59 61 1.3 4.6 9.1 0.9 5% 0.074 Y0 Y0 Y0 Y0 Y0 46% -60% 89% -45% 39% -30% TRH Transatlantic Holdings  Inc. COM 4 62 55 1.1 $54.91 0.00 0.00 98.1 ##### 9.0 0.87 0.79 0.9% 0.24 2.31 1.11 1.60% 1.8% 3.08 $38,751,374 -11.39% TRH
LNT Alliant Energy Corporation COM -2.0% 28.8% 2.1% -8.5% 1.9 1.5 3.9 3.6 1.0 11 14 59 28 4.1 3.6 6.5 0.3 62% 0.090 Y0 Y0 Y0 Y0 Y0 184% -122% -114% -52% 32% -74% LNT Alliant Energy Corporation COM 38 79 58 3.4 $43.66 5.53 7.89 15.6 15.5 14.7 1.34 1.51 8.6% 0.86 9.93 5.16 3.89% 1.3% 2.44 $30,828,167 3.43% LNT
EQIX Equinix  Inc. COM -2.1% 29.6% 2.1% 7.6% 3.1 2.8 8.3 8.1 1.7 5 1 37 25 5.6 4.2 7.9 -0.2 72% 0.129 Y0 Y0 Y0 Y0 Y0 188% -103% -110% -40% 38% -36% EQIX Equinix  Inc. COM 42 84 61 9.3 $104.75 9.09 11.52 63.1 54.8 39.1 3.27 2.45 5.2% 1.07 4.09 0.00 0.00% 10.1% 9.72 $65,154,886 1.52% EQIX
DCI Donaldson Company  Inc. COM -2.3% 48.9% 2.4% -43.6% 2.9 2.3 7.4 5.7 1.7 5 -1 63 57 3.6 7.8 14.6 1.4 17% 0.172 Y0 Y0 Y0 Y0 Y0 58% 44% 52% -50% 85% -64% DCI Donaldson Company  Inc. COM 86 85 57 2.0 $69.06 3.87 17.86 22.3 20.9 19.0 2.16 5.76 9.7% 0.22 27.91 1.93 0.87% 3.0% 8.05 $21,370,871 6.79% DCI
ALK Alaska Air Group  Inc. COM -2.5% 47.2% 2.5% -39.1% 3.4 2.5 7.1 6.3 1.8 -1 25 60 25 8.3 9.7 15.9 -0.6 54% 0.191 Y1 Y1 Y0 Y0 Y0 82% 93% -118% -57% 42% -57% ALK Alaska Air Group  Inc. COM 46 92 60 2.4 $75.24 13.27 5.67 9.3 9.3 8.1 0.63 2.12 6.8% 1.19 20.99 2.63 0.00% 4.0% 3.94 $31,497,101 4.22% ALK
NEU NewMarket Corporation COM -2.5% 68.1% 2.6% -65.0% 3.7 2.5 9.3 8.6 2.0 9 -1 61 61 3.8 8.7 19.4 1.2 15% 0.180 Y0 Y0 Y0 Y0 Y0 -58% -60% 108% -60% 86% -69% NEU NewMarket Corporation COM 67 95 55 -0.9 $199.73 18.94 10.55 13.3 13.4 12.3 1.27 4.81 9.6% 0.44 43.01 0.00 1.20% 10.9% 19.85 $14,085,641 0.79% NEU
OGE OGE Energy Corp COM -2.8% 37.9% 2.8% -27.5% 2.1 1.5 4.6 4.3 1.0 14 16 27 26 5.9 5.0 9.0 0.7 63% 0.144 Y1 Y1 Y0 Y0 Y0 100% 73% -69% -75% 60% -42% OGE OGE Energy Corp COM 64 84 61 0.1 $55.95 6.62 8.45 16.5 16.4 15.5 1.42 2.16 8.6% 1.03 14.15 6.60 2.68% 0.6% 1.92 $22,805,234 -2.39% OGE
STR Questar Corp COM -2.8% 19.8% 2.9% 364.4% 2.2 1.4 4.7 4.2 1.1 11 1 -2 94 1.4 1.4 4.3 0.4 25% -0.005 Y0 Y0 Y0 Y0 Y0 -92% -116% -75% -48% 31% -53% STR Questar Corp COM 13 67 52 -0.6 $19.60 2.05 9.54 16.8 17.0 16.3 2.90 3.18 17.3% 0.87 20.31 3.68 3.11% 1.4% 3.60 $21,034,953 -18.55% STR
WAB Westinghouse Air Brake Techn COM -2.9% 42.5% 2.9% -43.0% 3.6 2.9 9.8 8.3 1.4 9 1 57 25 4.7 7.8 16.8 0.1 28% 0.193 Y0 Y0 Y0 Y0 Y0 88% -129% -177% 94% 55% -66% WAB Westinghouse Air Brake Techn COM 75 92 59 4.2 $70.36 4.15 16.97 20.8 19.0 16.7 1.85 3.34 8.9% 0.42 16.39 1.37 0.17% 0.8% 1.59 $17,295,990 12.09% WAB
FCN FTI Consulting  Inc. COM -3.0% 31.1% 3.1% -24.1% 2.6 1.8 10.7 6.7 1.0 -1 -5 63 44 1.8 6.9 12.8 0.6 10% 0.130 Y? R0 Y0 R0 Y0 61% -60% 100% -46% 57% -52% FCN FTI Consulting  Inc. COM 37 82 52 1.1 $42.78 2.82 15.17 18.0 17.2 14.7 1.14 1.67 6.4% 0.67 6.73 1.71 0.00% 11.6% 12.63 $21,219,254 5.43% FCN
FL Foot Locker Inc COM -3.0% 48.5% 3.1% 21.1% 3.7 3.0 11.6 9.3 2.0 3 -4 27 2 6.9 7.0 13.9 -0.9 53% 0.195 Y0 Y0 Y0 Y0 Y0 103% 65% 81% -63% 46% -41% FL Foot Locker Inc COM 94 87 62 5.7 $24.74 2.32 10.64 14.9 14.2 12.2 0.68 1.79 4.6% 0.07 12.48 1.15 2.67% 5.9% 3.94 $63,922,640 4.53% FL
WR Westar Energy  Inc. COM -3.0% 24.9% 3.1% -3.6% 1.7 1.7 3.3 2.9 0.9 11 14 27 26 3.2 2.3 6.3 -1.3 59% 0.056 Y0 Y0 Y0 Y0 Y0 158% -121% -75% -57% 40% -47% WR Westar Energy  Inc. COM 29 68 57 1.2 $28.26 4.36 6.48 16.9 15.8 14.3 1.55 1.27 9.1% 1.15 8.61 ##### 4.53% 1.5% 2.47 $29,020,234 -7.64% WR
CLH Clean Harbors  Inc. COM -3.3% 56.9% 3.4% -55.4% 3.4 2.6 9.7 7.6 1.7 11 25 27 59 7.1 7.5 11.2 1.2 59% 0.219 Y1 Y0 Y0 Y0 Y0 46% -47% -158% -40% 52% -60% CLH Clean Harbors  Inc. COM 23 93 59 2.2 $63.18 4.32 14.64 30.4 29.9 25.4 1.81 3.99 5.9% 0.35 14.24 0.00 0.00% 4.6% 8.54 $22,371,329 -4.59% CLH
AJG Arthur J. Gallagher & Co. COM -3.4% 35.2% 3.5% 13.4% 2.2 1.7 4.9 4.4 1.1 -1 25 57 44 4.0 7.4 12.9 2.4 15% 0.096 Y1 Y0 Y0 Y0 Y0 91% -69% -80% -40% 37% -49% AJG Arthur J. Gallagher & Co. COM 42 82 55 0.9 $32.84 2.30 14.25 23.1 24.5 18.6 1.86 3.04 8.1% 0.50 13.41 1.16 4.02% 2.1% 4.45 $25,834,195 -4.63% AJG
VVC Vectren Corp COM -3.4% 25.4% 3.5% -0.6% 1.9 1.7 5.9 4.3 1.0 13 11 26 26 2.6 2.6 6.2 -0.4 45% 0.056 Y0 Y0 Y0 Y0 Y0 -81% -92% -99% -57% 44% -56% VVC Vectren Corp COM 75 75 54 -0.7 $29.65 4.66 6.36 17.2 17.1 15.9 1.07 1.67 6.2% 1.00 9.81 3.50 4.65% 1.3% 3.10 $14,334,631 4.94% VVC
BKH Black Hills Corporation COM -3.4% 30.3% 3.6% 32.6% 2.4 2.4 5.1 4.9 1.1 11 11 -2 27 2.7 2.0 4.1 0.3 62% -0.008 Y0 Y0 Y0 Y0 Y0 86% 58% -74% -59% 59% -77% BKH Black Hills Corporation COM 42 70 55 3.4 $33.65 4.89 6.87 19.9 19.0 15.1 1.05 1.22 5.3% 1.08 5.32 3.36 4.34% 6.8% 13.03 $9,725,315 -2.53% BKH
GMT GATX Corp COM -3.5% 50.8% 3.6% 11.5% 3.8 3.2 10.3 8.2 2.1 11 14 57 27 6.5 10.3 17.4 2.9 25% 0.267 Y1 Y1 Y0 Y0 Y0 101% -137% 85% -89% 73% -52% GMT GATX Corp COM 40 92 57 2.2 $43.57 6.83 6.38 25.5 22.9 17.1 1.66 1.76 6.5% 2.75 8.76 1.89 2.66% 6.8% 12.92 $12,214,932 7.32% GMT
ACC American Campus Communities COM -3.5% 36.6% 3.7% -27.7% 2.8 1.9 7.3 6.2 1.3 14 19 25 104 5.6 4.0 8.7 -1.0 68% 0.097 Y0 Y0 Y0 Y0 Y0 114% -110% -96% -39% 42% -66% ACC American Campus Communities COM 74 88 60 1.8 $41.79 2.11 19.77 53.6 23.3 21.4 7.98 2.26 14.9% 1.11 3.05 0.00 3.23% 6.2% 7.89 $27,834,337 -12.64% ACC
PNRA Panera Bread Company  Inc. CL A -3.6% 48.2% 3.7% -45.9% 3.1 3.2 19.8 10.2 1.4 7 -5 57 49 2.6 10.3 19.6 -2.8 24% 0.344 Y0 Y0 R0 R0 Y0 86% 97% -124% -43% 40% -37% PNRA Panera Bread Company  Inc. CL A 87 94 55 5.1 $140.23 6.95 20.17 31.5 30.2 25.6 2.37 6.77 7.5% 0.00 22.84 1.27 0.00% 6.8% 6.64 $64,216,168 -4.88% PNRA
SXT Sensient Technologies Corpor COM -3.6% 26.9% 3.8% -32.1% 3.1 2.1 9.0 7.7 1.7 11 14 25 20 4.2 3.7 7.1 -1.6 67% 0.088 Y0 Y0 Y0 Y0 Y0 -115% 81% 85% -83% 40% -64% SXT Sensient Technologies Corpor COM 70 67 56 -1.1 $38.25 3.28 11.67 16.2 15.9 14.9 1.34 1.85 8.3% 0.33 11.78 1.62 2.20% 2.8% 6.64 $9,860,516 2.26% SXT
KEX Kirby Corp. COM -3.7% 54.1% 3.9% -38.0% 2.9 3.2 10.7 7.5 1.5 10 11 58 58 5.2 7.4 13.4 2.3 26% 0.232 Y0 Y0 Y0 Y0 Y0 -129% 155% -220% -68% 38% -49% KEX Kirby Corp. COM 66 93 61 -1.7 $66.71 5.12 13.02 23.0 20.1 16.8 2.34 2.64 10.2% 0.17 12.42 1.01 0.00% 8.8% 12.94 $25,942,076 6.36% KEX
NVE NV Energy Inc COM -4.0% 29.5% 4.2% 23.0% 2.2 2.1 4.6 4.2 1.2 13 14 26 12 2.9 1.8 6.6 -2.0 57% 0.021 Y1 Y0 Y0 Y0 Y0 110% -107% -112% -54% 48% -69% NVE NV Energy Inc COM 33 74 56 0.2 $15.94 2.33 6.83 18.3 18.5 13.0 1.26 1.09 6.9% 1.47 5.94 7.19 3.01% 0.9% 1.13 $32,954,998 -7.34% NVE
O Realty Income Corporation COM -4.0% 24.9% 4.2% -18.4% 2.2 1.9 6.7 4.5 1.1 14 20 18 17 3.3 3.7 6.2 1.1 43% 0.061 Y0 Y0 Y0 Y0 Y0 81% -101% -150% -65% 50% -60% O Realty Income Corporation COM 56 64 56 3.6 $34.88 1.94 17.94 32.6 17.6 16.7 11.61 2.04 35.6% 0.87 7.46 4.59 4.98% 4.8% 9.02 $29,138,501 -8.53% O
UVV Universal Corporation COM -4.1% 30.6% 4.3% 17.4% 3.0 2.6 10.1 7.7 1.8 13 4 65 43 3.0 6.1 14.3 -2.6 33% 0.180 Y0 Y0 Y0 Y0 Y0 -68% 87% 79% -46% 66% -73% UVV Universal Corporation COM 3 83 54 -5.3 $45.75 4.86 9.42 16.5 10.2 0.0 0.43 0.92 2.6% 0.27 7.70 0.00 4.20% 15.2% 14.29 $16,907,286 8.63% UVV
OII Oceaneering International COM -4.3% 48.3% 4.5% 0.2% 3.8 2.4 11.6 8.6 1.9 7 -5 38 43 4.5 7.6 16.3 1.8 19% 0.132 Y0 Y0 Y0 Y0 Y0 62% -47% 57% -62% 67% -46% OII Oceaneering International COM 53 92 55 0.8 $47.12 3.46 13.60 24.6 23.6 18.5 2.40 3.36 9.8% 0.00 15.77 1.70 0.32% 2.8% 4.12 $46,580,927 -1.42% OII
PVH PVH Corp COM -4.4% 42.1% 4.6% -27.2% 3.8 3.1 9.6 8.4 1.7 6 -3 -1 27 3.4 3.4 5.1 0.2 66% -0.013 Y0 Y0 Y0 Y0 Y0 -84% 92% 72% -35% 44% -39% PVH PVH Corp COM 72 84 58 -4.6 $72.68 5.68 12.81 15.5 13.8 12.2 0.85 1.77 5.5% 0.97 11.65 1.93 0.21% 3.4% 2.77 $73,466,030 -4.78% PVH
WEN Wendy's Co COM -4.4% 25.2% 4.7% 569.5% 3.5 3.1 6.5 6.4 2.1 9 10 24 25 3.5 3.4 7.5 -0.8 51% 0.239 Y0 Y0 Y0 Y0 Y0 60% 76% -64% -31% 17% -38% WEN Wendy's Co COM 40 81 57 3.7 $5.37 0.34 16.02 44.8 35.8 24.4 0.72 1.05 1.6% 0.72 0.14 0.00 1.49% 4.3% 5.44 $29,229,509 -2.42% WEN
OCR Omnicare Inc COM -4.5% 68.2% 4.8% 82.5% 3.3 2.5 18.3 9.2 1.6 -1 53 32 27 7.5 12.3 17.6 6.6 8% 0.455 Y1 Y1 Y1 Y1 Y0 -116% -90% 125% -61% 34% -32% OCR Omnicare Inc COM 27 96 56 -2.1 $34.24 1.68 20.32 16.5 16.2 14.3 0.63 1.04 3.8% 0.55 1.67 1.18 0.47% 10.3% 10.13 $52,212,265 -15.99% OCR
WRB WR Berkley Corp COM -4.8% 29.4% 5.1% -16.2% 2.2 1.7 6.7 5.5 1.0 11 11 57 28 1.2 6.0 15.2 -0.9 13% 0.042 Y0 Y0 Y0 R0 Y0 53% -50% -60% -84% 46% -40% WRB WR Berkley Corp COM 17 85 56 4.8 $34.31 3.79 9.05 15.3 16.0 13.5 0.94 1.22 6.1% 0.47 10.50 1.25 0.93% 4.6% 9.71 $27,697,305 -13.85% WRB
ATR AptarGroup  Inc. COM -5.0% 23.7% 5.2% 19.9% 2.5 1.8 6.6 5.2 1.3 -1 26 26 -1 4.7 5.2 8.1 1.2 50% 0.096 Y0 Y0 Y0 Y0 Y0 -119% 64% 139% -65% 64% -44% ATR AptarGroup  Inc. COM 63 72 57 -3.4 $51.95 4.64 11.20 19.3 19.2 17.1 1.48 2.57 7.6% 0.20 14.16 2.14 1.39% 1.7% 7.05 $10,647,927 6.77% ATR
HMSY HMS Holdings Corporation COM -5.2% 57.3% 5.5% -47.9% 3.6 3.2 18.7 14.6 1.9 -1 46 42 41 5.8 11.2 18.5 3.9 13% 0.238 Y1 Y0 Y0 Y0 Y0 50% -53% -58% 81% 37% -37% HMSY HMS Holdings Corporation COM 80 93 54 0.2 $31.11 0.79 39.43 54.6 52.7 44.4 7.53 7.21 13.8% 0.00 15.04 0.00 0.00% 6.1% 10.15 $31,728,604 52.08% HMSY
ESS Essex Property Trust COM -5.3% 27.8% 5.6% -4.7% 3.1 2.5 10.9 8.1 1.6 23 14 24 14 3.7 2.8 6.8 -0.9 59% 0.006 Y0 Y0 Y0 Y0 Y0 58% -47% -106% -55% -65% -41% ESS Essex Property Trust COM 17 85 58 5.2 $140.57 5.89 23.87 143.4 24.7 21.7 10.55 3.37 7.4% 1.96 2.28 4.62 2.96% 6.8% 11.61 $43,840,769 -16.03% ESS
FNF Fidelity National Financial COM -5.5% 26.0% 5.8% 56.2% 2.6 2.4 6.8 5.4 1.5 9 1 24 22 5.9 2.9 5.9 -1.2 99% 0.124 Y0 Y0 Y0 Y0 Y0 125% -60% 77% -41% 42% -48% FNF Fidelity National Financial COM 35 80 61 7.8 $16.47 1.72 9.58 11.3 10.9 14.2 0.67 1.03 5.9% 0.28 8.96 0.00 2.91% 2.7% 5.84 $19,700,449 -16.53% FNF
RAH Ralcorp Holdings  Inc. COM -5.6% 45.5% 6.0% -37.2% 1.7 1.7 6.3 3.8 0.8 22 23 27 -4 4.8 4.4 6.6 -0.2 73% 0.122 Y0 Y0 Y0 Y0 Y0 114% 42% -53% -53% 115% -74% RAH Ralcorp Holdings  Inc. COM 44 87 62 3.3 $86.19 0.71 121.60 16.6 14.6 13.5 1.00 1.82 6.0% 0.83 -6.87 1.74 0.00% 0.9% 1.67 $32,841,448 -7.18% RAH
TFX Teleflex Inc. COM -5.7% 23.3% 6.0% 18.6% 2.4 1.5 5.8 4.7 1.3 -1 11 57 -1 1.8 4.4 8.9 0.4 17% 0.072 Y0 Y0 Y0 Y0 Y0 113% -104% 124% -79% 93% -90% TFX Teleflex Inc. COM 41 75 53 0.0 $60.90 4.81 12.65 15.5 15.0 13.1 1.51 1.28 9.7% 0.46 5.89 1.94 2.23% 3.0% 8.30 $10,892,549 5.03% TFX
FICO Fair Isaac  Inc. COM -5.7% 80.9% 6.1% -38.7% 4.2 3.9 26.4 14.3 2.4 -1 -4 53 43 5.8 19.7 33.6 3.9 6% 0.538 Y0 Y? Y0 Y? Y0 53% -60% 57% -47% 27% -54% FICO Fair Isaac  Inc. COM 75 97 53 3.6 $36.28 2.39 15.15 17.9 14.7 13.3 2.09 2.89 11.7% 1.08 15.22 1.45 0.22% 4.8% 9.02 $13,068,039 1.64% FICO
ROL Rollins  Inc. COM -7.1% 33.6% 7.6% 4.0% 3.4 2.3 10.2 8.2 1.6 -1 -2 27 27 2.1 4.0 9.2 -0.7 29% 0.079 Y0 Y0 Y0 Y0 Y0 -59% -78% 128% -58% 54% -55% ROL Rollins  Inc. COM 65 74 53 -0.4 $22.06 1.07 20.71 32.9 32.4 29.4 2.70 9.88 8.2% 0.00 32.08 0.00 1.27% 3.7% 11.55 $6,292,165 -1.17% ROL
TECD Tech Data Corporation COM -7.1% 31.9% 7.6% 2.5% 3.0 2.4 8.5 7.1 1.8 -1 -2 25 27 2.0 3.7 7.2 -0.2 30% 0.075 Y0 R0 Y0 Y0 Y0 92% 78% 85% -73% 98% -77% TECD Tech Data Corporation COM 77 70 53 0.3 $50.41 6.47 7.80 10.0 10.1 8.9 0.08 1.03 0.8% 0.03 11.31 1.20 0.00% 5.7% 6.34 $23,192,728 -11.73% TECD
BRE BRE Properties  Inc. COM -7.3% 26.9% 7.9% 31.8% 2.9 2.1 9.2 6.3 1.2 14 14 25 11 3.8 3.0 6.0 -0.9 68% 0.061 Y0 Y0 Y0 Y0 Y0 46% -54% -64% 92% 34% -93% BRE BRE Properties  Inc. COM 13 84 58 4.3 $50.32 1.75 28.71 114.4 23.5 21.1 10.25 2.38 9.0% 1.40 1.22 9.05 2.98% 4.3% 7.94 $29,793,648 -21.96% BRE
LTM Life Time Fitness  Inc. COM -7.5% 35.2% 8.1% 18.4% 3.7 3.0 8.7 7.1 2.5 14 14 27 65 5.8 3.9 13.6 -4.7 58% 0.078 Y2 Y1 Y1 Y0 Y0 -144% -163% -153% -136% 132% 115% LTM Life Time Fitness  Inc. COM 72 71 55 -3.1 $44.81 4.58 9.78 20.3 19.2 16.5 1.92 2.05 9.5% 0.72 10.40 0.00 0.00% 20.7% 15.96 $16,859,342 10.84% LTM
BOBE Bob Evans Farms  Inc. COM -7.8% 24.3% 8.5% 2.4% 3.0 2.5 8.6 7.4 1.4 10 11 53 -4 3.9 4.5 11.6 -1.7 42% 0.080 Y0 Y0 Y0 Y0 Y0 45% 94% 76% -80% 39% -62% BOBE Bob Evans Farms  Inc. COM 41 76 60 1.7 $34.08 4.82 7.07 14.9 14.4 13.0 0.60 1.53 4.1% 0.20 9.90 3.13 2.35% 6.2% 12.90 $6,451,606 -1.64% BOBE
MD Mednax  Inc. COM -7.9% 18.8% 8.6% -52.5% 2.5 2.0 13.5 7.4 1.0 10 11 26 -3 2.9 2.6 8.0 -2.6 52% 0.098 Y1 Y1 Y0 Y0 Y0 -105% -98% -182% 86% 63% -65% MD Mednax  Inc. COM 73 56 54 -2.1 $69.50 4.89 14.21 15.8 15.5 13.8 2.19 2.04 13.9% 0.10 14.06 0.00 0.00% 8.5% 14.34 $22,658,057 2.37% MD
CR Crane Company COM -8.0% 45.0% 8.7% -5.1% 3.4 2.6 9.1 6.7 1.4 7 2 55 -4 5.1 8.1 15.6 0.7 30% 0.194 Y0 Y0 Y0 Y0 Y0 62% 79% 85% -41% 47% -59% CR Crane Company COM 82 88 61 0.9 $48.19 4.27 11.30 15.2 14.2 12.5 1.13 2.61 7.4% 0.40 18.85 1.89 1.91% 0.9% 2.35 $10,697,648 0.39% CR
UDR UDR Inc COM -8.3% 24.7% 9.1% 35.1% 3.2 2.1 9.5 6.9 1.4 -1 14 23 11 3.5 2.8 6.6 -2.3 65% 0.090 Y0 Y0 Y0 Y0 Y0 108% -111% 93% -48% 41% -65% UDR UDR Inc COM 88 79 57 0.6 $24.99 1.20 20.81 -71.4 19.7 17.6 7.86 2.35 ##### 2.22 -6.57 28.37 3.20% 2.9% 3.92 $46,576,693 -7.43% UDR
SNH Senior Housing Properties Tr COM -8.4% 18.3% 9.2% 7.2% 2.7 2.4 6.9 5.4 1.6 11 11 -2 -69 3.5 2.4 5.8 0.6 56% -0.009 Y0 Y0 Y0 Y? Y0 77% -94% 103% -64% 42% -60% SNH Senior Housing Properties Tr COM 57 54 57 5.8 $22.58 1.78 12.70 21.7 13.0 12.1 8.98 1.50 41.4% 0.57 7.05 6.02 6.55% 1.8% 2.56 $31,962,975 -22.36% SNH
BR Broadridge Financial Solutio COM -8.7% 19.4% 9.5% -13.2% 2.3 1.2 5.8 5.2 1.0 5 4 55 -10 2.4 3.5 8.3 -0.7 34% 0.048 Y0 Y0 Y0 Y0 Y0 107% -100% 101% 52% 31% -51% BR Broadridge Financial Solutio COM 49 68 57 1.2 $22.69 2.15 10.56 16.3 14.5 12.0 1.27 3.54 7.8% 0.16 23.10 0.00 2.64% 1.3% 3.07 $15,818,119 -5.74% BR
BEAV BE Aerospace Inc COM -9.1% 35.1% 10.0% -24.0% 3.3 2.1 9.4 7.9 1.4 10 1 55 -6 2.7 6.5 16.0 -0.3 18% 0.111 Y0 Y0 Y0 Y0 Y0 64% 73% 111% -65% 25% -57% BEAV BE Aerospace Inc COM 68 77 58 0.2 $38.96 2.58 15.10 18.7 17.5 14.5 1.68 2.22 9.0% 0.78 11.86 -36.64 0.00% 2.4% 4.39 $32,659,959 -10.79% BEAV
MAC Macerich Company COM -9.1% 32.9% 10.0% 69.6% 3.3 2.5 7.4 6.2 1.4 11 11 26 -10 4.0 3.9 7.4 0.8 49% 0.121 Y0 Y0 Y0 Y0 Y0 61% -68% 82% -50% 40% -45% MAC Macerich Company COM 45 84 59 5.2 $51.37 1.90 27.01 111.7 19.6 16.3 8.59 2.50 7.7% 1.13 0.71 7.72 3.89% 6.4% 13.37 $45,467,547 -16.87% MAC
AAN Aaron's  Inc. COM -9.4% 38.7% 10.4% 16.8% 3.1 2.5 15.4 9.1 1.7 -1 -3 -7 -4 2.2 2.8 5.0 0.4 39% -0.134 X0 X0 X0 Y0 Y0 -125% 90% -52% -49% 45% -42% AAN Aaron's  Inc. COM 72 84 52 -1.0 $26.58 8.74 3.04 15.6 15.2 13.6 1.01 2.13 6.5% 0.04 11.96 0.00 0.20% 6.3% 13.82 $10,988,620 -5.94% AAN
PLT Plantronics COM -10.3% 29.8% 11.4% 36.2% 3.5 2.2 9.9 7.6 1.7 -1 -2 48 -3 3.2 6.1 10.7 1.3 20% 0.149 Y1 Y0 Y0 Y0 Y0 100% -86% 102% -38% 27% -52% PLT Plantronics COM 59 61 53 0.5 $35.20 2.65 13.30 13.8 13.3 12.3 2.17 2.97 15.7% 0.00 20.54 0.50 0.57% 9.0% 14.22 $14,725,122 -4.87% PLT
WERN Werner Enterprises  Inc. COM -10.4% 23.1% 11.6% -4.5% 3.1 1.9 8.1 6.7 1.4 10 1 25 -4 2.9 2.5 5.7 -2.4 65% 0.054 Y0 Y0 Y0 Y0 Y0 87% -81% 120% -47% 46% -44% WERN Werner Enterprises  Inc. COM 82 68 56 0.5 $24.34 3.50 6.95 18.3 17.5 15.6 0.91 2.41 4.9% 0.00 13.01 1.14 0.82% 8.5% 10.01 $11,972,341 -13.95% WERN
MDU MDU Resources Group Inc COM -10.6% 19.4% 11.9% 25.8% 2.4 1.7 5.7 4.4 1.1 10 3 26 -87 3.2 2.6 6.7 -0.9 54% 0.048 Y0 Y0 Y0 Y0 Y0 -72% -47% 88% -51% 39% -66% MDU MDU Resources Group Inc COM 36 64 57 -0.2 $21.49 3.10 6.94 17.9 18.7 16.5 1.01 1.45 5.6% 0.53 8.98 1.66 3.02% 1.1% 4.39 $17,264,699 -10.80% MDU
CPT Camden Property Trust COM -10.9% 19.7% 12.2% 31.4% 3.2 2.3 8.0 6.2 1.3 14 13 24 -47 4.9 2.4 7.3 -2.4 75% 0.074 Y1 Y1 Y0 Y0 Y0 81% -79% -84% -55% 63% -62% CPT Camden Property Trust COM 37 80 60 3.9 $61.92 2.77 22.39 619.2 22.8 18.1 7.92 3.04 1.3% 1.52 0.56 14.38 3.17% 4.2% 6.22 $39,494,518 -2.09% CPT
TNB Thomas & Betts Corporation COM -11.1% 46.6% 12.5% 11.5% 3.5 2.4 9.4 7.6 1.7 11 14 57 18 5.9 10.4 18.4 3.8 14% 0.235 Y1 Y1 Y1 Y1 Y0 -157% -48% 90% -55% 47% -78% TNB Thomas & Betts Corporation COM 81 91 59 -0.5 $54.99 4.81 11.44 16.6 16.1 14.1 1.29 1.77 7.7% 0.39 11.14 2.01 0.00% 2.0% 4.15 $17,365,395 -2.68% TNB
HSIC Henry Schein  Inc. COM -11.7% 13.2% 13.2% -18.3% 2.5 2.0 8.8 6.6 1.3 10 3 -2 -109 3.0 2.5 3.6 0.7 82% -0.032 Y0 Y0 Y0 Y0 Y0 116% -51% 93% -67% 40% -40% HSIC Henry Schein  Inc. COM 69 63 60 2.6 $66.22 5.20 12.73 17.3 16.8 15.4 0.73 2.37 4.2% 0.16 14.51 1.93 0.00% 3.7% 10.73 $35,300,735 -11.74% HSIC
GDI Gardner Denver  Inc. COM -11.7% 40.8% 13.3% -50.4% 3.9 2.9 10.5 8.8 2.2 5 -7 27 -10 4.0 3.5 13.2 -3.5 45% 0.130 R0 R0 Y0 Y0 Y0 68% 131% 97% -67% 38% -33% GDI Gardner Denver  Inc. COM 85 89 59 1.7 $82.05 6.09 13.46 16.1 14.9 13.3 1.81 3.36 11.3% 0.21 21.55 1.85 0.24% 2.7% 4.41 $38,337,369 -12.80% GDI
CPO Corn Products International COM -12.0% 42.9% 13.6% -28.4% 2.8 2.6 17.1 9.9 1.5 10 1 48 -76 3.3 8.9 17.0 0.8 15% 0.252 Y0 Y0 Y0 Y0 Y0 109% -44% -109% 52% 54% -84% CPO Corn Products International COM 84 90 57 5.1 $52.37 7.50 6.99 11.3 11.2 10.2 0.65 1.92 5.8% 0.85 18.95 3.37 1.22% 1.0% 1.85 $29,817,250 -1.46% CPO
SLAB Silicon Laboratories  Inc. COM -12.1% 45.5% 13.8% 35.8% 3.4 2.0 14.3 8.5 1.9 9 11 58 22 4.2 9.6 19.4 -0.2 22% 0.371 Y0 Y0 Y0 Y0 Y0 96% -33% 54% -31% 18% -25% SLAB Silicon Laboratories  Inc. COM 7 75 59 2.4 $44.17 1.32 33.46 56.3 25.5 21.9 3.88 3.23 6.9% 0.00 6.07 0.91 0.00% 16.0% 33.59 $17,223,284 -4.57% SLAB
CBSH Commerce Bancshares  Inc. COM -12.2% 16.8% 13.9% 32.2% 3.0 2.1 9.4 7.7 1.3 10 10 -1 -88 2.1 2.1 3.0 -0.1 71% -0.019 Y0 Y0 Y0 Y0 Y0 126% -95% 121% -66% 39% -42% CBSH Commerce Bancshares  Inc. COM 79 46 56 0.9 $38.63 3.26 11.87 13.8 13.6 13.7 3.24 1.62 23.5% 0.00 12.22 1.77 2.38% 2.6% 5.65 $17,576,488 -13.39% CBSH
LRY Liberty Property Trust COM -12.4% 21.5% 14.2% 65.8% 3.2 2.0 7.6 5.9 1.4 11 11 16 -76 3.3 0.9 4.3 -4.5 89% 0.031 Y0 Y0 Y0 Y0 Y0 152% 200% 80% -58% 48% -69% LRY Liberty Property Trust COM 65 59 60 5.1 $31.66 2.70 11.73 20.3 12.3 12.5 5.14 1.74 25.3% 1.13 5.56 4.91 6.00% 3.1% 3.27 $29,137,809 -7.18% LRY
SCI Service Corporation Internat COM -13.0% 31.9% 14.9% 0.3% 3.1 2.2 7.3 5.5 1.6 10 11 25 -98 4.3 2.6 7.4 -3.8 73% 0.073 Y1 Y1 Y1 Y1 Y0 -208% -62% 125% -73% 86% -63% SCI Service Corporation Internat COM 57 88 57 -2.8 $10.55 1.17 9.01 16.5 16.5 15.1 1.05 1.72 6.3% 1.24 9.53 1.95 1.90% 3.0% 8.39 $8,227,132 6.08% SCI
RGS Regis Corporation COM -13.4% 33.4% 15.5% 182.1% 3.1 2.3 9.3 7.1 1.6 -1 11 -1 43 0.9 0.9 3.2 -0.2 30% -0.011 Y0 Y0 Y0 Y0 Y0 -366% 96% 69% -53% 51% -54% RGS Regis Corporation COM 28 55 52 -2.7 $16.62 1.48 11.25 14.7 13.9 12.0 0.41 0.94 2.8% 0.27 -1.83 0.00 1.44% 14.3% 16.24 $8,338,054 -12.68% RGS
GNTX Gentex Corporation COM -14.0% 39.2% 16.3% -22.6% 3.7 3.3 11.3 9.1 1.9 6 -4 27 1 4.9 3.2 13.6 -5.0 53% 0.019 Y0 Y0 Y0 Y0 Y0 176% -125% 86% -70% 56% -49% GNTX Gentex Corporation COM 70 67 58 4.3 $30.40 1.42 21.47 27.1 26.2 22.0 4.43 4.43 16.3% 0.00 17.77 1.20 1.58% 3.6% 7.43 $23,069,040 -6.03% GNTX
CAKE Cheesecake Factory  Inc. COM -14.0% 23.8% 16.3% 34.1% 3.4 2.8 5.9 5.6 1.8 9 14 25 -89 5.0 4.3 8.3 -1.0 65% 0.067 Y1 Y1 Y1 Y0 Y0 106% -119% 98% -63% 69% -66% CAKE Cheesecake Factory  Inc. COM 57 57 59 1.3 $29.29 2.67 10.97 19.8 17.9 15.8 0.96 3.05 4.8% 0.00 16.17 1.12 0.00% 16.5% 11.72 $24,431,366 -15.60% CAKE
EQY Equity One  Inc. COM -15.0% 18.3% 17.6% 64.8% 3.0 2.2 6.9 5.5 1.6 9 11 17 -109 3.5 2.0 5.2 -2.7 79% 0.063 Y0 Y0 Y0 Y0 Y0 77% -113% 77% -51% 63% -56% EQY Equity One  Inc. COM 69 60 59 3.3 $17.23 1.07 16.15 21.5 14.6 16.1 6.19 1.34 28.7% 0.94 2.72 2.52 5.11% 10.0% 10.73 $11,659,395 -10.26% EQY
TWTC tw telecom inc COM -15.0% 26.1% 17.6% 9.1% 3.0 2.3 6.7 6.2 1.7 25 25 26 -76 5.2 5.9 9.2 2.8 38% 0.152 Y1 Y0 Y1 Y0 Y0 87% -95% 94% -62% 47% -58% TWTC tw telecom inc COM 48 80 58 1.4 $19.44 2.26 8.60 51.2 51.2 37.4 2.17 2.93 4.2% 1.38 5.83 0.00 0.00% 3.3% 8.35 $12,485,875 19.34% TWTC
AHL Aspen Insurance Holdings Ltd COM -15.7% 21.0% 18.7% 13.3% 2.6 2.0 6.4 5.1 1.3 9 11 49 11 2.3 4.9 11.0 -0.4 24% 0.037 Y0 Y0 Y0 Y? Y0 128% -99% -116% -46% 35% -63% AHL Aspen Insurance Holdings Ltd COM 2 45 56 5.0 $26.60 4.62 5.76 -32.1 9.1 7.2 0.98 0.65 -3.0% 0.08 12.66 ##### 2.26% 2.5% 5.25 $11,445,409 5.04% AHL
CVG Convergys Corporation COM -15.8% 48.8% 18.8% 204.1% 3.7 3.1 13.9 9.3 1.7 -1 1 49 -10 4.6 12.2 19.9 2.8 10% 0.332 Y1 Y1 Y1 Y0 Y0 48% -82% -109% -41% 35% -43% CVG Convergys Corporation COM 47 86 54 0.8 $12.63 1.86 6.80 11.9 12.6 12.0 0.68 1.07 5.7% 0.10 9.78 1.71 0.00% 6.3% 11.69 $11,724,136 -9.32% CVG
IM Ingram Micro  Inc. COM -15.9% 17.8% 18.8% 16.4% 2.7 1.9 10.8 7.8 1.2 9 1 5 11 1.3 1.5 4.2 -0.5 39% 0.024 Y0 Y0 Y0 Y0 Y0 68% -78% 74% -38% 39% -50% IM Ingram Micro  Inc. COM 25 37 55 0.9 $18.20 1.89 9.61 11.7 11.4 9.1 0.08 0.85 0.7% 0.16 8.00 1.20 0.00% 1.8% 3.33 $24,085,865 -22.60% IM
GVA Granite Construction Inc. COM -16.5% 46.5% 19.7% 157.1% 4.7 3.7 19.9 12.7 2.0 5 1 57 1 3.3 9.1 21.5 -1.3 20% 0.161 Y? Y? Y0 Y0 Y0 55% 45% 63% -59% 63% -61% GVA Granite Construction Inc. COM 21 62 56 2.1 $24.79 0.90 27.60 -49.6 20.8 17.5 0.51 1.23 -1.0% 0.32 -2.27 3.12 2.10% 10.9% 21.99 $7,517,861 -8.76% GVA
WSM Williams-Sonoma  Inc. COM -16.6% 35.9% 19.9% 19.0% 3.5 3.2 6.7 6.3 1.5 -1 -4 -1 5 0.5 0.5 1.6 -2.8 75% -0.036 Y0 Y0 R0 Y0 Y0 113% 132% -299% -45% 59% -49% WSM Williams-Sonoma  Inc. COM 69 83 51 0.0 $37.93 3.40 11.17 17.6 17.0 15.1 1.07 3.13 6.1% 0.01 18.61 1.01 1.79% 3.3% 2.00 $56,457,049 -3.84% WSM
BRO Brown & Brown  Inc. COM -17.4% 33.4% 21.0% 57.6% 2.6 2.2 10.6 6.9 1.1 23 16 55 -120 3.3 7.0 14.6 -0.4 25% 0.013 Y1 Y1 Y1 Y0 Y0 72% -101% 110% 45% 61% -40% BRO Brown & Brown  Inc. COM 39 75 58 1.1 $22.37 1.61 13.86 20.2 20.2 17.5 3.21 1.98 15.9% 0.17 9.98 0.88 1.43% 1.6% 2.65 $21,104,460 -19.75% BRO
SLGN Silgan Holdings  Inc. COM -17.4% 14.8% 21.0% 15.6% 2.5 3.0 6.1 5.2 1.4 10 4 5 -55 2.0 2.0 4.2 -1.0 57% 0.041 Y0 Y0 Y0 Y0 Y0 -87% -48% 75% 72% 43% -73% SLGN Silgan Holdings  Inc. COM 60 66 57 -0.7 $38.66 4.57 8.45 15.5 14.7 13.1 0.80 4.04 5.2% 1.61 23.58 1.35 1.14% 1.0% 4.38 $6,645,551 -14.78% SLGN
MSA Mine Safety Appliances COM -17.4% 38.0% 21.0% 56.8% 4.3 3.1 14.1 10.9 1.9 -1 -5 53 -16 1.3 7.8 16.4 -0.9 13% 0.112 Y0 Y? Y0 Y0 Y0 72% -57% 93% -85% 85% -58% MSA Mine Safety Appliances COM 75 83 53 0.8 $33.80 2.70 12.54 17.6 16.8 14.8 1.07 2.63 6.1% 0.81 14.06 1.33 3.08% 3.7% 14.69 $3,698,636 -1.00% MSA
HCC HCC Insurance Holdings Inc. COM -17.5% 10.8% 21.2% 28.7% 2.5 1.9 7.4 5.7 1.3 -1 1 -7 -111 1.1 1.3 3.6 -1.5 51% -0.212 Y0 Y0 Y0 Y- Y0 98% -57% 56% -38% 29% -56% HCC HCC Insurance Holdings Inc. COM 20 36 51 2.2 $27.32 2.61 10.46 11.2 11.9 9.4 1.39 0.89 12.5% 0.09 8.19 0.81 2.12% 0.7% 1.46 $24,547,766 3.78% HCC
PKG Packaging Corporation of Ame COM -17.7% 20.0% 21.5% 1.5% 2.9 2.1 7.0 5.8 1.6 9 -6 -3 -120 -0.3 -0.8 2.2 -2.0 41% -0.089 X0 Y0 Y0 Y0 Y0 135% -175% -159% 64% 48% -62% PKG Packaging Corporation of Ame COM 28 42 54 3.2 $25.25 3.30 7.65 14.6 15.5 13.6 0.97 2.58 6.6% 0.57 17.88 9.52 3.17% 1.5% 2.26 $16,998,061 -9.74% PKG
WRI Weingarten Realty Investors COM -18.1% 14.3% 22.1% 117.1% 3.2 2.9 7.1 6.7 1.8 14 13 -2 -108 3.3 2.2 5.5 -0.1 60% -0.050 Y1 Y0 Y1 Y0 Y0 145% -131% 91% -60% 62% -118% WRI Weingarten Realty Investors COM 13 53 56 4.2 $22.08 0.95 23.13 -71.2 18.7 11.9 4.93 1.60 -6.9% 1.44 -2.14 3.51 4.98% 7.7% 9.30 $23,018,386 -2.10% WRI
RGA Reinsurance Group of America COM -18.1% 18.3% 22.1% 11.4% 3.2 1.9 6.8 5.7 1.7 9 11 -2 -111 2.8 2.8 5.0 0.1 55% -0.028 Y0 Y0 Y1 Y0 Y0 -81% -92% 98% -38% 36% -43% RGA Reinsurance Group of America COM 67 50 57 -0.2 $52.67 0.00 0.00 7.0 7.3 7.4 0.44 0.68 6.3% 0.40 11.97 1.18 0.91% 0.7% 1.77 $22,921,788 -11.19% RGA
STE Steris Corporation COM -18.8% 10.4% 23.2% -5.5% 3.1 2.0 7.4 6.2 1.7 9 -2 -1 -113 1.9 1.9 2.5 0.2 72% -0.059 Y0 Y0 Y0 Y0 Y0 97% -105% 136% -56% 66% -68% STE Steris Corporation COM 41 28 55 0.1 $29.90 2.96 10.11 13.8 13.2 11.3 1.27 2.23 9.2% 0.27 15.82 1.24 2.01% 9.7% 18.69 $11,946,791 -3.79% STE
DBD Diebold Incorporated COM -19.3% 21.3% 23.9% 93.0% 3.3 2.5 7.5 6.5 1.8 5 -2 -2 -3 -2.1 -2.5 0.8 -4.5 45% -0.107 Y0 Y0 Y0 R0 Y0 150% -300% 68% -56% 34% -45% DBD Diebold Incorporated COM 33 35 50 1.6 $29.95 0.25 122.19 14.3 13.6 13.4 0.68 2.26 4.7% 0.57 -5.72 1.53 3.74% 6.2% 9.29 $14,396,170 11.41% DBD
MLM Martin Marietta Materials COM -19.5% 26.6% 24.3% 49.8% 3.6 3.3 13.5 9.3 1.4 -1 3 57 -156 2.0 5.2 11.7 -0.8 23% 0.090 Y0 Y0 Y0 Y0 Y0 82% -32% 73% 59% 68% -64% MLM Martin Marietta Materials COM 7 53 54 0.6 $75.89 5.71 13.28 41.7 36.1 29.5 1.91 2.40 4.6% 0.55 5.76 2.98 2.11% 14.9% 20.10 $36,834,849 2.34% MLM
ARE Alexandria Real Estate Equit COM -19.6% 22.3% 24.4% 53.7% 3.2 2.3 7.9 6.0 1.6 11 1 -2 -108 2.6 1.7 5.9 0.0 44% -0.060 Y1 Y0 Y0 Y? Y0 92% -87% -87% -60% 36% -50% ARE Alexandria Real Estate Equit COM 40 62 55 4.2 $68.62 5.62 12.21 24.5 15.6 15.2 8.23 1.25 33.6% 0.88 5.83 5.35 2.62% 2.1% 3.58 $37,285,878 -7.67% ARE
HIW Highwoods Properties Inc COM -20.1% 16.9% 25.1% 37.8% 3.2 2.2 7.6 6.6 1.4 -1 11 -1 -108 2.2 2.2 2.9 0.0 74% -0.045 Y0 Y0 Y0 Y0 Y0 55% -84% 65% -69% 74% -54% HIW Highwoods Properties Inc COM 34 56 57 2.6 $29.98 2.28 13.14 65.2 11.8 11.2 4.60 2.16 7.1% 1.41 3.28 32.89 5.67% 10.5% 11.92 $22,397,955 -9.73% HIW
MTD Mettler-Toledo International COM -20.5% 22.1% 25.8% -46.7% 3.6 2.5 9.3 7.5 1.7 5 -7 -1 -21 -0.1 -0.1 0.2 -2.5 90% -0.002 R0 R0 Y0 Y0 Y0 79% -89% 94% -36% 118% -89% MTD Mettler-Toledo International COM 76 63 54 2.4 $153.91 9.17 16.79 19.4 18.9 16.6 2.16 5.93 11.1% 0.87 32.52 2.01 0.00% 4.7% 10.81 $29,635,105 -19.38% MTD
DLX Deluxe Corporation COM -20.7% 32.8% 26.1% 115.7% 4.1 3.1 13.6 9.0 2.2 9 4 -2 -111 3.1 2.9 4.8 0.0 65% -0.082 Y0 Y0 Y0 Y0 Y0 52% -59% 132% -73% 69% -113% DLX Deluxe Corporation COM 39 65 58 0.5 $23.24 4.18 5.56 7.6 7.5 7.3 0.84 4.17 11.1% 3.31 57.16 0.00 4.30% 10.9% 20.16 $8,483,997 -4.17% DLX
BCO Brink's Company COM -22.3% 24.4% 28.7% 146.9% 4.2 2.5 11.9 9.7 2.3 11 11 -2 -106 3.2 3.3 6.5 1.0 40% -0.147 Y1 Y1 Y1 Y1 Y0 -75% -81% 80% -61% 57% -93% BCO Brink's Company COM 23 58 56 -0.9 $26.78 5.28 5.08 14.6 15.6 13.1 0.33 2.24 2.3% 0.63 13.62 0.45 1.49% 3.1% 7.06 $7,330,990 1.75% BCO
LNCR Lincare Holdings Inc. COM -22.3% 25.6% 28.8% 86.3% 2.5 2.7 6.6 5.1 1.3 24 14 55 -119 3.4 5.5 10.4 -0.3 34% 0.087 Y1 Y1 Y0 Y? Y0 146% -102% -163% -41% 77% -98% LNCR Lincare Holdings Inc. COM 42 52 53 1.1 $24.69 3.18 7.77 13.0 12.8 10.9 1.23 2.42 9.5% 0.50 18.64 0.78 3.24% 8.3% 11.60 $17,419,681 -14.21% LNCR
ENDP Endo Pharmaceutical Holdings COM -22.7% 32.4% 29.3% 0.9% 3.0 1.9 8.8 7.3 1.5 -1 49 48 -105 2.9 8.7 13.9 2.7 3% 0.323 Y0 Y0 Y0 Y0 Y0 -177% -120% 67% 53% 45% -50% ENDP Endo Pharmaceutical Holdings COM 82 79 52 -1.4 $34.44 4.17 8.25 7.9 7.5 6.3 1.65 2.09 20.9% 0.60 13.74 0.00 0.00% 4.8% 5.60 $44,866,067 4.68% ENDP
ARW Arrow Electronics Inc COM -22.7% 42.8% 29.4% 0.7% 3.9 2.5 13.2 8.8 1.8 9 -3 57 -4 2.6 8.0 17.7 -0.8 19% 0.159 Y1 Y1 Y1 Y0 Y0 -189% -102% 113% 70% 46% -64% ARW Arrow Electronics Inc COM 66 85 54 -0.9 $36.71 5.77 6.36 7.4 7.2 7.6 0.19 1.16 2.6% 0.54 17.47 1.26 0.00% 2.1% 3.39 $30,625,118 -4.82% ARW
TDW Tidewater  Inc. COM -22.8% 26.4% 29.6% 28.2% 3.4 2.2 9.8 8.0 1.7 5 -2 22 -109 0.8 2.2 9.1 -3.1 32% 0.017 Y0 Y0 Y0 Y0 Y0 -65% -66% 88% 69% 42% -59% TDW Tidewater  Inc. COM 5 58 51 -2.4 $49.03 3.95 12.40 25.8 22.2 11.0 2.47 1.01 9.6% 0.28 2.65 2.82 2.04% 10.1% 10.30 $32,428,918 0.02% TDW
GGG Graco Incorporated COM -23.5% 30.0% 30.8% 20.2% 3.4 2.6 10.5 7.5 1.7 6 -6 55 -109 0.2 5.2 15.7 -5.7 28% 0.054 Y0 Y0 Y0 Y0 Y0 96% 94% 132% -87% 67% -102% GGG Graco Incorporated COM 87 83 56 1.0 $41.60 2.81 14.78 18.4 18.2 15.9 2.83 7.46 15.4% 0.27 47.78 1.88 2.02% 1.5% 2.95 $12,238,388 -1.09% GGG
PCH Potlatch Corp. COM -23.7% 11.6% 31.0% 43.8% 3.4 2.4 9.3 7.2 1.9 11 3 -15 -113 0.1 -2.4 1.3 -7.4 85% -0.159 X0 X0 X0 X0 Y0 82% -72% 65% -77% 48% -87% PCH Potlatch Corp. COM 16 37 52 1.3 $31.25 2.01 15.53 23.9 26.9 34.0 2.35 6.60 9.9% 1.78 25.42 4.51 6.53% 5.7% 9.97 $9,683,992 -11.81% PCH
ALEX Alexander & Baldwin  Inc. COM -24.5% 26.7% 32.4% 33.8% 3.8 3.0 18.8 11.3 2.0 5 -3 24 -75 4.5 5.1 13.6 -1.0 38% 0.028 Y0 Y0 Y0 Y0 Y0 51% 70% 79% -47% 59% -54% ALEX Alexander & Baldwin  Inc. COM 6 78 56 0.6 $41.92 4.01 10.46 33.5 39.2 19.2 0.97 1.53 2.9% 0.34 5.24 0.00 3.01% 3.6% 9.53 $10,311,875 7.72% ALEX
UNT Unit Corporation COM -25.2% 42.1% 33.8% 35.9% 4.5 2.7 9.8 8.4 1.6 5 -6 -1 -106 -1.5 -1.5 0.0 -2.9 47% -0.007 Y- Y- Y0 Y0 Y0 -82% -63% 88% -44% 55% -34% UNT Unit Corporation COM 68 86 52 -1.1 $47.70 9.41 5.07 12.1 11.8 10.1 2.06 1.20 17.0% 0.10 10.46 0.79 0.00% 0.7% 2.14 $13,614,526 -8.78% UNT
WOOF VCA Antech  Inc. COM -25.3% 33.4% 33.8% 86.1% 2.9 2.1 18.0 9.3 1.4 9 -2 55 -7 0.8 7.3 15.8 0.1 5% 0.152 Y0 Y0 Y1 Y0 Y0 -78% -73% 114% 30% 39% -51% WOOF VCA Antech  Inc. COM 41 67 52 -0.3 $19.65 2.04 9.62 14.1 14.0 12.8 1.17 1.54 8.3% 0.50 11.56 0.00 0.00% 7.2% 18.39 $11,131,711 -11.04% WOOF
ATK Alliant Techsystems Inc COM -25.5% 13.7% 34.2% 45.7% 2.9 1.9 14.0 7.9 1.2 9 2 -2 -158 0.8 0.6 1.3 -1.1 77% -0.083 Y0 Y0 Y0 Y0 Y0 66% 98% 95% 60% 48% -46% ATK Alliant Techsystems Inc COM 17 26 57 0.7 $58.26 11.99 4.86 6.7 6.6 6.8 0.42 1.54 6.2% 1.11 26.19 2.15 1.37% 2.0% 4.54 $13,648,656 8.86% ATK
RKT Rock-Tenn COM -25.7% 34.0% 34.6% -51.6% 3.6 2.6 7.9 7.2 1.7 11 1 26 -110 1.0 0.6 6.5 -3.6 46% 0.009 Y0 Y0 Y0 Y0 Y0 201% -84% 113% 62% 61% -43% RKT Rock-Tenn COM 37 82 56 1.4 $58.42 8.89 6.57 11.0 9.2 7.4 0.76 1.22 6.9% 0.98 6.37 3.95 1.37% 2.7% 3.76 $35,468,132 -2.83% RKT
CVD Covance  Inc. COM -26.3% 9.9% 35.8% 45.7% 2.7 2.3 9.5 6.5 1.6 11 11 -15 -109 0.5 -2.0 2.3 -7.4 82% -0.180 X0 X- Y1 Y0 Y0 137% -135% 124% -83% -68% -50% CVD Covance  Inc. COM 49 44 55 0.4 $47.04 3.98 11.82 18.6 17.4 15.3 1.39 1.99 7.5% 0.07 9.53 2.29 0.00% 4.5% 6.84 $24,827,343 -4.53% CVD
HNI HNI Corporation COM -28.7% 64.8% 40.3% 140.0% 5.7 4.2 18.2 13.9 3.0 -1 14 60 26 4.4 12.8 25.5 1.1 14% 0.141 Y1 Y1 Y1 Y0 Y0 -121% -98% 101% -62% 76% -54% HNI HNI Corporation COM 41 57 52 -0.1 $26.00 1.95 13.33 29.4 24.8 18.2 0.65 2.85 2.2% 0.37 9.96 1.36 3.54% 4.9% 11.40 $5,616,624 -10.14% HNI
EV Eaton Vance Corporation COM -29.5% 19.7% 41.9% 39.5% 3.8 2.7 12.2 10.2 1.5 5 -5 -9 -126 -0.2 -2.0 1.8 -5.4 72% -0.099 Y0 Y0 Y0 Y0 Y0 66% 47% 66% 43% 45% -54% EV Eaton Vance Corporation COM 68 29 55 2.2 $24.03 2.08 11.56 14.0 13.7 12.2 2.21 6.03 15.8% 1.09 48.31 1.80 3.00% 8.0% 10.76 $34,577,132 -9.49% EV
TKR Timken Company COM -29.9% 34.3% 42.7% -9.7% 4.4 3.2 10.9 8.8 2.3 5 -7 -2 -122 -0.3 -0.9 0.0 -4.3 92% -0.068 Y- Y- Y0 Y0 Y0 84% 75% 89% -58% 47% -63% TKR Timken Company COM 79 50 56 2.0 $40.53 6.36 6.38 9.6 8.9 7.9 0.80 1.80 8.3% 0.25 21.59 1.79 1.97% 1.0% 1.16 $37,596,252 -15.17% TKR
GPRO Gen-Probe  Inc. COM -31.8% 9.9% 46.7% 1.2% 3.2 2.5 6.2 5.7 1.7 7 -20 -2 -112 0.3 -1.2 2.0 -2.8 64% -0.033 Y0 Y0 Y0 R0 Y0 143% -212% -165% -38% 32% -67% GPRO Gen-Probe  Inc. COM 50 44 54 8.2 $59.28 2.32 25.60 26.6 25.7 22.2 4.97 3.59 18.7% 0.00 7.33 0.00 0.00% 1.8% 1.96 $21,474,367 21.07% GPRO
ACXM Acxiom Corporation COM -34.2% 38.6% 52.0% 119.0% 4.6 3.8 13.2 9.9 2.3 5 -5 53 -4 -1.2 6.9 22.1 -4.0 11% 0.056 Y? Y? Y0 Y0 Y0 -57% -60% 68% -80% 66% -69% ACXM Acxiom Corporation COM 59 30 51 -0.3 $12.39 1.41 8.76 17.2 16.3 14.9 0.82 1.69 4.7% 0.67 -3.88 2.02 0.00% 3.1% 8.48 $5,382,535 -3.77% ACXM
IDTI Integrated Device Technology COM -36.0% 18.9% 56.4% 560.8% 4.8 3.2 10.4 8.6 2.6 -1 -5 -1 -109 -3.2 -3.2 0.0 -4.5 30% -0.066 R0 R0 Y0 Y0 Y0 -156% -73% 118% 107% 133% -97% IDTI Integrated Device Technology COM 24 34 50 -1.1 $5.59 0.68 8.21 12.8 16.4 15.5 1.35 1.29 10.5% 0.00 10.85 2.67 0.00% 4.1% 4.48 $7,497,687 -7.08% IDTI
WDR Waddell & Reed Financial  In COM -39.1% 13.3% 64.2% 27.9% 4.6 3.6 14.9 11.2 2.7 5 -5 -2 -109 -1.5 -3.3 0.0 -7.2 78% -0.117 Y- Y- Y- Y- Y0 196% -139% 113% -39% 53% -59% WDR Waddell & Reed Financial  In COM 79 24 52 5.4 $25.88 2.29 11.29 12.2 12.5 11.8 1.86 4.24 15.3% 0.42 38.81 1.33 3.09% 4.9% 4.24 $29,765,718 -7.32% WDR
UTIW UTi Worldwide  Inc. COM -43.1% 14.6% 75.8% 165.5% 4.5 3.3 15.4 12.2 2.0 5 -24 -15 -136 -2.6 -6.7 0.0 -11.5 77% -0.215 Y- Y- Y0 Y- Y0 92% -68% 192% 83% 51% -56% UTIW UTi Worldwide  Inc. COM 61 15 51 2.8 $13.68 1.02 13.37 18.9 19.5 14.3 0.28 1.71 1.5% 0.16 5.42 0.68 0.44% 1.0% 2.73 $5,386,941 2.19% UTIW
IRF International Rectifier COM -43.1% 16.0% 75.9% 183.8% 4.2 3.0 14.7 10.4 2.4 7 -6 -15 -152 -4.9 -9.0 0.0 -13.5 64% -0.284 X- N0 X- X- Y0 115% -51% 63% -53% 72% -47% IRF International Rectifier COM 32 16 51 4.9 $20.05 3.42 5.86 10.0 31.3 13.1 1.16 1.03 11.5% 0.00 11.91 0.71 0.00% 1.7% 3.52 $10,115,852 -6.25% IRF
FRT Federal Realty Investment Tr COM -3.3% 19.7% 3.4% -3.2% 2.4 1.6 7.2 5.9 0.9 -2 1 26 27 1.8 3.7 6.3 0.5 22% 0.063 Y0 Y0 Y0 R0 Y? 87% -110% 91% -78% -70% -52% FRT Federal Realty Investment Tr COM 59 77 52 4.1 $90.11 4.17 21.61 38.8 22.3 21.5 10.38 4.43 26.7% 0.94 10.52 9.08 2.97% 6.0% 7.96 $45,480,961 -0.59% FRT
IDA Idacorp  Inc. COM -3.4% 22.3% 3.5% -0.7% 2.1 1.5 5.2 4.4 1.0 -1 14 61 27 1.7 3.6 7.7 -0.4 26% 0.049 Y0 Y0 Y0 Y? Y? -124% -65% -120% -87% 76% -78% IDA Idacorp  Inc. COM 11 67 51 -0.4 $41.42 5.91 7.01 17.0 12.6 13.4 2.01 1.24 11.8% 0.97 11.22 3.58 2.90% 3.1% 6.60 $11,080,377 -6.33% IDA
GXP Great Plains Energy Inc COM -3.5% 30.5% 3.6% 67.4% 2.0 1.8 5.2 4.1 1.1 11 11 59 22 1.5 3.9 7.8 -0.8 27% 0.060 Y0 Y0 Y0 Y? Y? 161% -116% -75% -81% 50% -44% GXP Great Plains Energy Inc COM 22 65 51 0.7 $21.32 3.31 6.45 16.4 15.9 14.0 1.26 0.96 7.7% 1.01 5.62 2.03 3.89% 4.3% 8.09 $18,474,820 -11.51% GXP
CPRT Copart  Inc. COM -4.4% 29.9% 4.6% -33.4% 2.5 1.9 5.8 4.8 1.1 -1 25 28 -1 3.5 5.6 8.5 1.6 28% 0.106 Y1 Y0 Y0 Y? Y? 137% -184% -149% -94% 42% -47% CPRT Copart  Inc. COM 82 84 53 1.2 $46.45 2.99 15.56 19.5 17.5 15.8 3.42 5.45 17.5% 0.59 21.03 1.73 0.00% 1.6% 3.41 $13,033,182 -7.35% CPRT
RCII Rent-A-Center  Inc. COM -4.7% 71.2% 4.9% -3.7% 3.2 3.1 9.4 7.5 1.7 -1 11 64 48 2.5 11.7 22.0 2.1 2% 0.240 Y0 Y0 Y0 Y0 Y? -70% -92% 55% -45% 31% -50% RCII Rent-A-Center  Inc. COM 44 87 52 -1.2 $36.47 11.11 3.28 13.1 12.6 11.4 0.76 1.62 5.8% 0.52 11.02 0.85 1.75% 9.7% 13.19 $23,170,790 1.80% RCII
LSTR Landstar System  Inc. COM -5.1% 28.6% 5.4% 4.0% 2.9 2.0 7.4 5.6 1.2 -1 14 59 22 2.6 6.2 10.8 1.9 8% 0.059 Y0 Y0 Y0 Y0 Y? -123% -95% -119% -42% 38% -40% LSTR Landstar System  Inc. COM 79 80 52 -2.1 $47.11 2.71 17.37 21.5 20.1 17.8 0.88 7.93 4.1% 0.39 37.60 2.59 0.42% 1.8% 4.25 $13,030,925 -7.30% LSTR
RPM RPM International Inc COM -9.5% 36.8% 10.5% -10.5% 3.2 3.4 10.7 7.8 1.7 -1 -1 59 25 1.3 8.9 16.4 1.5 -2% 0.118 Y1 Y1 Y1 Y1 Y? -260% 99% 85% -74% 55% -62% RPM RPM International Inc COM 53 65 48 -16.8 $23.53 2.21 10.64 15.5 14.8 13.5 0.89 2.37 5.7% 0.88 15.79 1.45 3.57% 2.7% 5.06 $19,053,545 -3.73% RPM
JBHT J.B. Hunt Transport Services COM -10.0% 28.5% 11.1% -41.4% 2.9 2.2 8.8 6.9 1.7 -1 -5 55 -8 1.1 6.4 11.3 1.9 -9% 0.068 Y0 Y0 Y0 Y0 Y? -172% 53% 89% -44% 46% -49% JBHT J.B. Hunt Transport Services COM 80 77 48 -8.0 $44.23 3.65 12.12 22.6 21.3 18.2 1.19 10.38 5.3% 0.79 44.37 1.32 1.18% 5.1% 7.95 $37,438,300 -16.71% JBHT
SON Sonoco Products Company COM -11.6% 25.1% 13.2% 18.6% 2.7 1.6 7.8 6.2 1.2 -1 19 25 -123 2.2 4.3 7.2 1.5 12% 0.091 Y0 Y0 Y0 Y0 Y? -129% -60% 68% -64% 40% -41% SON Sonoco Products Company COM 54 59 52 -2.6 $32.65 3.82 8.54 13.4 13.4 12.7 0.73 2.13 5.4% 0.40 14.74 2.67 3.55% 3.5% 9.82 $17,049,632 -4.76% SON
CNQR Concur Technologies  Inc. COM -14.6% 45.0% 17.0% -61.8% 3.9 3.4 17.3 10.9 1.8 -2 -2 57 -2 2.1 11.1 21.0 1.2 4% 0.194 Y1 Y0 Y0 Y? Y? 75% -83% 83% -67% 66% -54% CNQR Concur Technologies  Inc. COM 60 79 49 0.9 $49.72 0.35 142.48 61.4 59.9 44.8 7.70 3.85 12.5% 0.34 -1.61 3.39 0.00% 15.9% 19.72 $25,737,633 3.78% CNQR
EXBD Corporate Executive Board Co COM -17.6% 35.3% 21.3% 199.3% 3.8 3.6 12.2 9.2 2.2 -1 -1 49 -109 0.2 9.7 17.8 1.2 -6% 0.191 Y0 Y0 Y1 Y0 Y? -131% -61% 99% -66% 51% -69% EXBD Corporate Executive Board Co COM 35 78 48 -8.5 $37.75 1.86 20.30 28.0 23.9 19.9 2.65 19.08 9.5% 0.00 66.68 2.30 1.59% 5.5% 11.65 $8,446,408 3.11% EXBD
DRQ Dril-Quip  Inc. COM -20.1% 39.1% 25.1% -31.7% 4.5 3.2 12.2 9.2 2.4 -1 -6 26 -1 -0.9 4.4 16.8 -4.0 15% 0.007 Y? Y? Y0 Y0 Y? -69% 48% 65% -49% 36% -47% DRQ Dril-Quip  Inc. COM 18 64 49 -4.8 $65.95 2.75 24.02 27.7 28.5 20.6 4.63 2.96 16.7% 0.00 10.42 0.00 0.00% 8.0% 12.18 $25,701,682 -17.36% DRQ
STRA Strayer Education  Inc. COM -38.8% 36.0% 63.5% 37.8% 4.6 2.8 15.7 11.7 1.8 9 -3 27 -109 1.4 5.0 12.6 -1.7 22% 0.061 Y1 Y1 Y? Y1 Y? -43% 50% -86% -40% 22% -25% STRA Strayer Education  Inc. COM 32 23 50 -1.6 $94.27 11.21 8.41 10.2 10.7 13.3 1.76 25.87 17.3% 0.00 97.37 1.78 4.24% 24.5% 34.79 $14,214,192 -16.36% STRA
CLGX CoreLogic  Inc. COM -39.7% 65.4% 65.9% 63.3% 4.0 3.1 14.4 10.0 2.3 -1 -6 27 -161 -1.9 3.1 13.1 -3.2 8% 0.123 Y0 Y1 Y1 Y- Y? 97% -103% -89% 62% 59% -55% CLGX CoreLogic  Inc. COM 5 28 49 1.5 $12.64 2.39 5.30 17.8 17.1 14.5 0.84 1.06 4.7% 0.32 14.23 0.00 0.00% 6.9% 15.34 $8,582,269 -11.67% CLGX
UGI UGI Corporation COM -14.5% 19.1% 17.0% 4.6% 2.4 1.7 6.3 5.4 1.3 -1 1 26 -120 -0.5 1.3 7.1 -2.7 23% 0.019 Y0 Y0 Y0 Y? Y- -100% -76% -61% -55% 54% -42% UGI UGI Corporation COM 7 46 48 -1.1 $28.67 4.71 6.08 13.0 11.6 10.9 0.54 1.62 4.2% 1.07 12.25 2.21 3.63% 1.1% 2.02 $29,602,281 -6.43% UGI
MSCI MSCI  Inc. COM -17.6% 18.9% 21.4% -10.8% 3.1 2.2 8.7 6.9 1.7 -1 -5 -2 -47 -1.0 -1.6 2.5 -3.2 38% -0.038 Y- Y0 Y- R0 Y- 94% -145% -147% 58% 45% -41% MSCI MSCI  Inc. COM 85 35 49 3.2 $32.72 2.02 16.22 20.6 17.9 16.4 4.44 3.13 21.6% 1.12 13.76 0.00 0.00% 3.9% 11.19 $17,297,524 -14.29% MSCI
TR Tootsie Roll Industries COM -21.1% 3.4% 26.8% 80.7% 2.5 1.8 5.6 5.0 1.3 3 -2 -15 -113 -1.3 -1.7 0.4 -4.2 62% -0.137 Y0 Y- Y- Y- Y- 81% -84% 113% -91% 78% -112% TR Tootsie Roll Industries COM 28 25 48 0.3 $23.60 1.04 22.75 32.9 28.8 20.5 1.67 2.03 5.1% 0.01 6.15 2.49 1.36% 13.4% 26.54 $2,757,703 8.11% TR
REG Regency Centers Corporation COM -23.0% 14.2% 29.9% 120.8% 3.2 2.8 8.4 6.6 1.5 -1 -2 -2 -108 -1.4 -1.7 3.4 -2.9 25% -0.107 Y0 Y0 Y0 Y- Y- 130% -127% -106% -59% 108% -89% REG Regency Centers Corporation COM 26 41 49 1.5 $36.88 1.48 24.85 ##### 15.4 15.0 6.88 1.80 -3.5% 1.23 -1.09 4.95 5.02% 10.0% 11.20 $30,705,270 -2.70% REG
SKS Saks Incorporated COM -25.1% 26.6% 33.6% 153.8% 4.5 3.2 10.2 9.7 2.2 -1 -1 -2 -122 -1.0 -0.4 3.7 -3.1 31% -0.218 Y0 Y0 Y1 Y0 Y- -151% -121% 104% -64% 53% -57% SKS Saks Incorporated COM 87 39 50 -2.2 $9.71 0.96 10.16 27.0 25.6 19.8 0.53 1.32 1.9% 0.31 5.48 2.98 0.00% 28.3% 13.52 $29,120,960 0.14% SKS
CLI Mack-Cali Realty Corp COM -27.7% 9.6% 38.4% 113.0% 3.2 1.9 10.9 7.3 1.3 -1 13 -2 -113 -1.0 -1.0 2.5 -2.2 25% -0.171 Y0 Y0 Y0 Y- Y- -123% -53% -81% -61% 51% -77% CLI Mack-Cali Realty Corp COM 50 26 47 -0.3 $25.99 2.69 9.66 31.7 9.3 9.8 3.07 1.19 9.7% 1.19 3.29 7.36 6.93% 2.8% 2.95 $30,368,660 -16.37% CLI
THG Hanover Insurance Group  Inc COM -29.2% 11.8% 41.3% 57.1% 2.6 1.6 6.8 6.2 1.2 9 -2 -2 -186 -3.4 -3.4 0.0 -5.4 38% -0.148 Y0 Y0 Y0 Y- Y- -57% -89% 97% -47% 41% -50% THG Hanover Insurance Group  Inc COM 1 19 46 -0.4 $34.65 1.32 26.28 150.7 165.0 9.0 0.47 0.63 0.3% 0.25 1.75 4.99 3.17% 1.5% 3.10 $11,468,147 -6.58% THG
MANT Mantech International Corp CL A -30.4% 9.8% 43.7% 20.3% 3.4 2.5 9.1 7.3 1.6 -1 -6 -15 -110 -2.1 -3.8 0.0 -7.5 72% -0.223 Y- R0 Y0 Y0 Y- -56% -109% 191% -83% 64% -55% MANT Mantech International Corp CL A 75 24 49 -1.4 $32.20 4.72 6.83 8.6 8.8 8.6 0.41 1.11 4.8% 0.21 13.73 0.00 1.30% 10.8% 14.09 $7,875,700 -5.13% MANT
UHS Universal Health Services  I CL B -32.6% 21.4% 48.3% 67.5% 3.7 3.7 13.6 8.6 2.1 9 -6 -2 -106 -2.8 -4.1 0.5 -6.6 54% -0.030 Y- Y0 Y- R0 Y- 94% -112% -171% 49% 35% -40% UHS Universal Health Services  I CL B 78 70 49 5.3 $38.06 6.80 5.59 10.5 9.6 8.6 0.51 1.68 4.9% 1.98 16.30 1.28 0.53% 2.0% 2.82 $37,456,334 -15.13% UHS
QSFT Quest Software  Inc. COM -35.1% 24.7% 54.1% 51.9% 3.8 2.4 12.5 8.6 1.9 -1 -3 27 -173 -1.0 2.5 7.9 -2.3 12% 0.022 Y0 Y0 Y0 Y? Y- -81% -33% 58% -63% 46% -33% QSFT Quest Software  Inc. COM 36 21 47 -1.0 $18.22 1.30 13.96 14.7 13.6 10.9 1.83 1.78 12.4% 0.03 7.56 1.12 0.00% 4.2% 6.39 $11,518,913 -3.67% QSFT
VCI Valassis Communications Inc COM -41.8% 32.6% 71.7% 111.7% 4.5 3.4 33.0 19.1 2.3 3 -5 -2 -115 -1.7 -1.2 3.7 -2.8 18% -0.096 Y- Y- Y1 Y0 Y- -27% -43% 59% 52% 39% -58% VCI Valassis Communications Inc COM 73 17 48 -1.9 $19.50 3.26 5.99 8.3 7.5 6.4 0.38 1.88 4.6% 1.32 21.96 1.12 0.00% 24.3% 16.30 $25,936,559 -2.70% VCI
OFC Corporate Office Properties COM -42.5% 9.7% 73.8% 142.3% 3.7 2.7 13.6 9.2 2.1 -4 1 -7 -151 -3.8 -3.8 0.4 -6.8 41% -0.320 Y- Y- Y- Y- Y- 77% -56% 65% -43% 58% -84% OFC Corporate Office Properties COM 6 15 46 1.6 $21.23 1.53 13.92 ##### 24.4 10.2 2.62 1.25 -1.5% 1.89 -2.41 9.19 7.77% 5.2% 6.59 $17,711,198 -9.27% OFC
HSC Harsco Corporation COM -44.3% 15.2% 79.7% 338.2% 4.3 3.5 14.2 10.9 2.3 9 -1 -15 -118 -2.8 -4.3 1.2 -10.3 65% -0.230 Y- Y0 Y1 Y0 Y- -129% -160% 70% 66% 56% -48% HSC Harsco Corporation COM 35 23 49 -2.3 $20.47 4.27 4.80 17.5 15.5 12.6 0.51 1.14 2.9% 0.59 2.18 2.57 4.01% 4.2% 6.14 $13,874,017 4.71% HSC
XEC Cimarex Energy Company COM -47.1% 22.8% 89.1% -23.4% 4.4 3.9 16.9 10.8 2.6 5 -6 -2 -125 -2.9 -1.7 3.0 -4.0 15% -0.058 Y- Y- Y1 Y1 Y- -102% -135% 68% -59% 48% -48% XEC Cimarex Energy Company COM 43 38 47 -3.8 $62.39 10.38 6.01 9.9 10.2 10.7 3.08 1.78 31.3% 0.13 18.06 0.00 0.64% 5.1% 6.36 $70,415,369 -9.86% XEC
LPS Lender Processing Services COM -55.2% 20.9% 123.4% 117.8% 3.9 3.4 24.1 15.7 2.2 3 -19 -1 -167 -10.1 -10.1 0.0 -12.2 17% -0.133 R0 R0 Y- Y- Y- -63% 80% 81% 42% 34% -76% LPS Lender Processing Services COM 13 15 44 -1.7 $15.61 3.50 4.46 5.4 6.2 6.3 0.59 2.61 10.8% 2.10 40.43 0.00 2.56% 4.2% 3.54 $24,102,321 12.09% LPS
EXH Exterran Holdings  Inc. COM -63.8% 14.0% 176.4% 777.7% 6.8 6.2 21.2 15.6 3.3 4 -23 -1 -189 -10.7 -10.7 0.0 -11.5 8% -0.035 Y- Y- Y1 Y2 Y- -95% 66% 105% 697% 83% -91% EXH Exterran Holdings  Inc. COM 4 9 45 -6.6 $9.20 -0.28 -33.08 -4.9 -5.2 -9.2 0.23 0.39 -4.6% 1.18 -24.04 0.00 0.00% 8.5% 2.96 $13,636,127 10.65% EXH
ODP Office Depot Inc COM -65.2% 22.9% 187.4% 2063.7% 6.6 4.1 14.5 12.1 4.0 -1 -5 -2 -163 -5.4 -4.9 0.0 -8.5 36% -0.342 Y- Y- Y- Y- Y- -135% -48% 66% 74% 37% -44% ODP Office Depot Inc COM 38 8 45 -1.7 $2.15 0.50 4.29 71.7 -35.8 26.9 0.05 0.55 0.1% 0.63 -9.54 2.52 0.00% 10.3% 10.83 $9,075,510 -15.14% ODP
REGN Regeneron Pharmaceuticals  I COM -23.7% 88.6% 31.1% -50.5% 4.7 4.1 14.4 11.5 2.3 11 2 1 10 11.1 11.1 13.4 2.1 80% 0.008 X0 N0 X0 X0 X1 183% 151% 63% -45% 46% -31% REGN Regeneron Pharmaceuticals  I COM 6 93 66 7.2 $60.94 -1.72 -35.50 -30.0 -22.5 -28.7 12.36 13.17 ##### 0.30 -47.12 0.00 0.00% 12.9% 9.63 $68,364,691 5.03% REGN
ESI ITT Educational Services  In COM -37.6% 18.7% 60.3% 19.1% 4.9 6.2 12.7 11.9 2.0 8 1 -101 -49 4.5 -9.6 3.6 -22.3 103% -0.233 X1 X0 X- X- X1 144% 92% -158% -50% 44% -62% ESI ITT Educational Services  In COM 38 28 60 11.3 $59.60 12.39 4.81 5.2 5.6 7.7 1.03 12.37 19.7% 1.17 243.13 1.63 0.00% 39.8% 24.25 $26,567,132 -18.98% ESI
VRTX Vertex Pharmaceuticals COM -43.7% 25.0% 77.7% 37.0% 5.1 3.4 11.3 10.8 2.4 -3 15 -52 -69 2.9 -16.0 1.7 -32.3 104% -0.672 X0 X1 X0 X0 X1 88% -73% -66% 37% 23% -21% VRTX Vertex Pharmaceuticals COM 70 19 56 4.9 $33.12 -1.42 -23.26 -17.9 110.4 7.3 8.01 11.91 ##### 0.79 -50.32 0.00 0.00% 4.0% 4.41 $117,772,737 -15.04% VRTX
SWKS Skyworks Solutions  Inc. COM -54.3% 25.9% 118.9% 40.2% 5.4 3.4 13.1 12.0 2.9 9 4 -34 -152 0.3 -15.7 0.2 -25.0 101% -0.533 X0 X0 X1 X1 X1 87% -51% 85% 36% 36% -48% SWKS Skyworks Solutions  Inc. COM 86 10 61 4.2 $17.28 1.59 10.87 9.7 9.1 8.3 1.87 2.00 19.2% 0.00 15.49 -0.67 0.00% 3.8% 2.19 $92,087,151 -11.14% SWKS
NNN National Retail Properties I COM -2.7% 18.4% 2.8% -10.3% 2.4 2.0 5.5 4.6 1.4 13 5 -2 22 2.4 1.7 2.9 0.6 77% -0.006 X0 X0 X0 X0 X0 47% -70% 96% -63% 24% -29% NNN National Retail Properties I COM 30 52 58 3.8 $26.86 1.48 18.15 28.6 17.3 16.2 11.16 1.44 39.1% 0.74 4.49 7.65 5.66% 10.0% 10.34 $51,824,710 -0.39% NNN
RDK Ruddick Corporation COM -8.0% 26.6% 8.7% -31.7% 2.9 2.1 7.9 6.5 1.6 14 11 -2 -4 1.7 1.5 5.0 -1.5 48% -0.080 X0 X0 X0 X0 X0 93% -71% 92% -67% 52% -66% RDK Ruddick Corporation COM 42 73 55 0.7 $42.33 5.16 8.20 16.6 17.3 15.1 0.46 2.15 2.8% 0.29 11.97 2.37 1.23% 6.0% 12.75 $12,492,654 6.78% RDK
WCN Waste Connections  Inc. COM -8.1% 22.4% 8.8% 27.2% 2.0 2.1 7.9 5.4 1.1 7 11 -22 28 0.9 -1.7 2.3 -4.7 80% -0.117 X0 X0 X0 N+ X0 73% -65% -70% -66% 61% -65% WCN Waste Connections  Inc. COM 79 58 55 3.4 $33.03 2.85 11.60 22.8 22.5 20.3 2.53 2.65 11.1% 0.67 11.82 0.96 0.91% 6.3% 15.72 $22,688,649 -13.89% WCN
SM SM Energy Co COM -11.1% 47.2% 12.5% -42.1% 4.7 3.6 12.8 10.9 2.5 5 -7 -2 56 1.7 1.2 1.8 -3.4 99% -0.075 N0 N0 X0 X0 X0 110% 93% 86% 72% 41% -42% SM SM Energy Co COM 91 92 60 1.3 $78.69 12.36 6.36 32.5 30.6 20.0 4.23 3.17 13.0% 0.27 26.76 0.00 0.13% 4.1% 4.25 $71,808,526 -4.58% SM
MCRS Micros Systems  Inc. COM -11.4% 23.2% 12.8% 17.0% 3.2 2.3 8.1 6.6 1.9 7 1 -2 -10 0.4 0.2 2.8 -1.0 38% -0.129 X0 X0 X0 X0 X0 68% -53% 123% -51% 58% -56% MCRS Micros Systems  Inc. COM 76 58 54 0.5 $47.30 2.02 23.41 23.6 22.3 19.5 3.68 3.84 15.5% 0.00 16.10 0.00 0.00% 1.1% 3.33 $16,664,964 -5.13% MCRS
CRS Carpenter Technology Corpora COM -11.9% 44.5% 13.4% 168.7% 4.6 3.2 10.9 9.2 2.1 9 -1 25 -7 0.4 0.4 8.6 -6.4 45% 0.013 X0 N0 X0 X0 X0 -77% 49% 78% -63% 52% -51% CRS Carpenter Technology Corpora COM 95 87 54 -1.6 $52.89 3.51 15.05 28.0 20.1 14.3 1.34 3.15 4.8% 0.53 12.90 2.22 1.36% 3.4% 5.36 $24,420,590 -3.97% CRS
HME Home Properties  Inc. COM -15.9% 8.6% 18.9% 12.7% 2.9 2.4 8.1 5.8 1.5 -1 13 -1 -67 0.8 0.8 1.2 -1.0 81% -0.003 X0 X0 X0 X- X0 62% -107% -64% -43% 39% -63% HME Home Properties  Inc. COM 48 53 51 2.5 $56.58 4.45 12.73 73.5 16.3 14.9 4.84 2.34 6.6% 3.55 3.28 8.29 4.38% 6.3% 7.25 $35,458,634 -15.17% HME
VCLK ValueClick  Inc. COM -16.2% 23.9% 19.3% 54.0% 3.8 2.6 12.2 8.7 2.3 9 11 -2 -4 1.9 0.8 3.2 -0.7 68% -0.076 X0 X0 X0 X0 X0 59% -52% 55% -45% 33% -60% VCLK ValueClick  Inc. COM 87 40 54 3.9 $16.54 1.51 10.93 14.4 14.3 14.6 2.70 2.37 18.8% 0.00 18.07 1.48 0.00% 10.5% 14.67 $17,144,839 -5.90% VCLK
PNR Pentair  Inc. COM -16.4% 19.3% 19.7% 31.0% 3.2 2.7 7.8 6.6 1.7 3 -17 -14 -110 -0.6 -6.6 0.0 -9.3 94% -0.113 N0 N0 N0 N0 X0 144% 119% 88% -62% 125% -54% PNR Pentair  Inc. COM 58 46 56 5.3 $35.46 3.24 10.93 16.3 14.8 13.3 1.04 1.60 6.4% 0.34 10.14 1.45 2.26% 6.0% 7.74 $28,612,577 11.75% PNR
COO Cooper Companies COM -16.8% 33.3% 20.1% 20.8% 3.6 1.9 23.7 15.1 1.6 -1 15 -1 -56 7.3 7.3 8.7 5.6 53% -0.014 X1 X1 X1 X1 X0 -45% -35% 36% -20% 20% -19% COO Cooper Companies COM 74 64 59 -2.8 $70.09 5.66 12.38 15.6 14.3 13.2 2.52 1.73 16.1% 0.17 9.73 0.86 0.09% 1.4% 1.86 $63,905,636 -16.39% COO
ATW Atwood Oceanics  Inc. COM -17.2% 32.0% 20.8% 44.5% 4.0 3.0 8.3 7.3 2.0 5 -2 -2 -8 -1.4 -0.9 1.5 -3.8 45% -0.106 N0 N0 X0 X0 X0 -78% -60% 59% -61% 41% -41% ATW Atwood Oceanics  Inc. COM 53 87 52 -2.8 $40.44 4.82 8.38 9.7 10.3 8.3 4.07 1.59 41.9% 0.31 17.97 0.66 0.00% 6.9% 9.88 $28,394,697 -20.39% ATW
TECH Techne Corporation COM -21.3% 9.6% 27.1% -10.7% 2.5 1.5 6.3 5.6 1.1 -1 13 -45 -74 1.4 -2.4 2.4 -7.8 90% -0.166 X0 X0 X0 X0 X0 114% -85% 120% 91% 84% -57% TECH Techne Corporation COM 66 43 53 0.8 $67.98 3.32 20.50 21.3 20.0 18.7 8.40 4.27 39.4% 0.00 20.39 2.88 1.59% 1.5% 5.49 $7,019,698 9.19% TECH
CHSI Catalyst Health Solutions  I COM -21.6% 25.9% 27.6% -29.0% 3.4 2.7 14.8 9.0 1.6 5 1 -2 -58 4.2 3.4 5.5 0.6 73% -0.106 X0 X0 X0 X0 X0 111% -107% 88% 35% 18% -26% CHSI Catalyst Health Solutions  I COM 82 68 58 3.2 $52.95 2.21 24.00 23.6 22.5 19.4 0.54 3.19 2.3% 0.26 10.54 0.00 0.00% 3.8% 8.69 $20,196,079 -10.38% CHSI
DST DST Systems  Inc. COM -21.7% 14.9% 27.8% 37.6% 2.5 1.7 6.5 5.6 1.1 -1 -7 -2 -17 -1.7 -1.6 0.0 -2.3 26% -0.054 N0 N0 X0 X0 X0 -75% -82% 105% 74% 86% -47% DST DST Systems  Inc. COM 24 56 50 -0.7 $46.50 7.82 5.95 11.3 11.5 11.3 1.20 2.91 10.6% 1.12 34.51 1.62 3.01% 1.2% 2.86 $10,054,016 -6.19% DST
TUP Tupperware Brands Corporatio COM -22.4% 23.7% 28.8% -55.3% 3.1 2.4 5.4 5.4 1.7 7 -6 -3 -70 0.4 0.0 2.9 -1.5 41% -0.084 X0 X0 X- X0 X0 -72% 38% -62% -56% 40% -36% TUP Tupperware Brands Corporatio COM 33 77 51 -0.4 $55.89 4.19 13.34 16.1 12.4 11.2 1.25 5.92 7.8% 0.54 33.07 0.98 2.15% 2.0% 3.49 $31,795,510 -11.88% TUP
MATW Matthews International Corpo CL A -22.8% 11.1% 29.5% 31.9% 3.7 2.4 13.5 10.4 1.7 7 -6 -15 -47 -3.2 -6.0 0.0 -10.7 70% -0.248 N0 N0 X0 X0 X0 35% -53% 89% -93% 64% -112% MATW Matthews International Corpo CL A 48 41 50 0.1 $31.73 3.50 9.06 13.0 12.3 10.9 1.00 1.94 7.7% 0.64 15.31 1.34 0.00% 6.7% 16.87 $4,752,552 2.14% MATW
ACIW ACI Worldwide  Inc. COM -23.0% 20.6% 29.8% 47.2% 3.5 2.4 10.1 8.3 2.0 -3 -5 25 -10 -1.7 -0.6 4.7 -4.7 32% 0.013 N0 N0 N0 N0 X0 62% -70% 111% -67% 48% -63% ACIW ACI Worldwide  Inc. COM 91 72 50 5.8 $29.22 2.26 12.93 20.2 22.5 18.7 2.08 3.40 10.3% 0.00 19.07 1.63 0.00% 9.7% 18.85 $7,710,262 -14.37% ACIW
HLX Helix Energy Solutions Group COM -24.3% 50.1% 32.1% 178.3% 5.3 4.1 12.5 10.3 3.2 5 -7 -7 -2 -2.3 -4.8 0.8 -8.9 68% -0.179 N0 N0 X0 X0 X0 -54% -64% 82% 41% 41% -50% HLX Helix Energy Solutions Group COM 82 90 52 -0.6 $16.39 3.72 4.41 12.3 11.7 9.9 1.32 1.22 10.7% 1.07 4.50 0.60 0.00% 6.8% 7.91 $24,036,033 -11.72% HLX
CHS Chico's FAS  Inc. COM -33.5% 14.7% 50.3% 349.9% 3.7 2.3 21.3 11.4 1.9 9 10 -45 -75 -2.4 -6.9 0.3 -13.2 80% -0.271 X0 X0 X0 X0 X0 -87% -53% 78% -53% 28% -54% CHS Chico's FAS  Inc. COM 79 31 51 -4.2 $10.98 1.33 8.24 13.6 13.6 11.2 0.88 1.82 6.5% 0.00 13.08 1.06 1.82% 3.7% 2.85 $36,537,885 -4.31% CHS
CRL Charles River Laboratories I COM -36.0% 7.5% 56.2% 93.5% 3.1 2.0 9.6 7.9 1.6 7 -7 -45 -108 -3.6 -4.5 1.9 -9.5 52% -0.284 X- X- X0 X0 X0 36% -34% 60% 29% 39% -56% CRL Charles River Laboratories I COM 43 18 49 0.4 $27.43 -3.11 -8.82 11.1 11.4 10.4 1.20 2.53 10.8% 0.98 -31.62 0.95 0.00% 1.8% 2.22 $21,062,682 -6.62% CRL
HMA Health Management Associates COM -37.6% 20.8% 60.4% 268.9% 4.6 3.8 12.1 10.0 2.5 7 -32 -13 -110 -7.9 -11.1 0.0 -16.3 52% -0.356 N0 X0 N0 N0 X0 107% -100% -73% 59% 63% -73% HMA Health Management Associates COM 81 34 48 4.7 $7.32 1.85 3.95 9.5 9.4 8.8 0.33 2.62 3.5% 5.73 32.48 1.04 0.00% 3.4% 2.88 $27,501,873 -8.55% HMA
FCS Fairchild Semiconductor Inte COM -41.4% 20.1% 70.8% 160.2% 4.7 2.9 12.1 9.8 2.4 6 -5 -8 -115 -6.0 -7.7 0.0 -11.7 49% -0.262 N0 N0 X0 X- X0 100% -67% 71% -30% 34% -38% FCS Fairchild Semiconductor Inte COM 41 31 49 2.4 $12.31 2.51 4.91 7.7 9.2 10.9 0.94 1.19 12.2% 0.27 14.47 1.13 0.00% 2.3% 2.84 $23,429,317 -23.87% FCS
IPI Intrepid Potash  Inc. COM -42.8% 10.8% 74.9% 122.7% 4.4 3.2 9.8 8.4 2.1 9 -2 -46 -76 -4.2 -11.2 0.4 -17.0 74% -0.467 N0 X- X0 X0 X0 79% -69% 72% 69% 58% -69% IPI Intrepid Potash  Inc. COM 85 13 50 0.6 $22.99 1.81 12.70 16.9 16.4 12.9 3.98 2.04 23.6% 0.00 12.96 0.00 0.00% 6.7% 7.21 $15,266,843 -11.17% IPI
AINV Apollo Investment Corp COM -44.9% 14.9% 81.6% 239.7% 4.0 3.6 11.3 8.4 2.3 5 -39 -45 -147 -4.2 -8.1 1.3 -16.5 69% -0.309 N0 N0 X0 X0 X0 119% -79% 59% -63% 55% -83% AINV Apollo Investment Corp COM 33 12 53 5.0 $6.86 0.00 0.00 6.9 7.5 7.5 3.58 0.85 51.7% 0.54 -4.09 0.00 ##### 3.2% 3.42 $17,343,346 -5.28% AINV
ATML Atmel Corporation COM -48.5% 17.5% 94.2% 27.3% 4.9 3.3 9.9 8.8 2.0 3 -35 -14 -122 -5.6 -13.2 0.0 -18.3 69% -0.538 N0 N0 X0 N0 X0 88% -108% 91% -31% 31% -62% ATML Atmel Corporation COM 95 23 52 7.0 $8.65 1.23 7.01 8.1 12.0 12.9 2.13 3.31 26.4% 0.00 49.78 -2.82 0.00% 2.6% 2.29 $76,691,588 -10.37% ATML
MASI Masimo Corporation COM -47.5% 4.8% 90.4% 15.9% 3.6 2.7 23.5 13.3 1.7 2 -8 -152 -111 -7.3 -7.8 2.8 -21.1 58% -0.441 N0 X- X- X- X- 102% -38% 73% 62% 43% -60% MASI Masimo Corporation COM 44 10 41 0.0 $18.46 1.21 15.24 17.1 17.6 15.4 2.56 3.76 15.0% 0.00 24.42 0.00 8.13% 8.8% 10.32 $12,900,336 3.80% MASI
BID Sothebys COM -49.0% 13.6% 96.0% 36.1% 5.1 2.8 17.3 13.7 2.2 5 -5 -15 -109 -7.4 -8.9 0.0 -13.8 46% -0.356 N0 X- X0 X- X- -103% -116% 119% 62% -66% -59% BID Sothebys COM 48 19 45 -2.7 $28.40 3.10 9.17 10.1 10.1 9.8 2.22 2.20 21.9% 0.61 25.39 2.82 0.70% 6.6% 3.90 $41,294,760 -12.34% BID
PLCM Polycom  Inc. COM -53.2% 11.1% 113.6% 143.4% 4.8 3.1 51.1 24.6 1.7 5 -5 -2 -78 -4.3 -5.1 0.3 -7.0 37% -0.054 X- X- X- N0 X- 105% -116% 68% 23% -26% -32% PLCM Polycom  Inc. COM 80 27 45 3.3 $16.06 1.05 15.36 16.0 15.2 12.4 1.99 2.15 12.5% 0.00 9.79 1.43 0.00% 1.4% 1.61 $44,120,276 -28.29% PLCM
CREE Cree  Inc. COM -67.7% 10.4% 209.5% 89.8% 5.5 3.6 15.6 12.6 2.9 4 -29 -40 -203 -10.3 -9.7 5.5 -19.6 37% -0.266 N0 X- X- X- X- 70% -52% -84% 61% 59% -59% CREE Cree  Inc. COM 16 3 46 5.3 $22.36 1.97 11.38 16.6 18.9 12.6 2.62 1.04 15.8% 0.00 4.40 0.71 0.00% 13.9% 6.23 $75,883,558 -14.80% CREE
BKS Barnes & Noble  Inc. COM -46.6% 33.0% 87.4% 330.7% 7.5 14.0 44.9 32.1 4.1 -13 -16 -1 -29 -23.2 -23.2 0.0 -36.1 36% -0.045 R0 R0 R0 R1 R4 -778% -142% -93% 42% 50% -37% BKS Barnes & Noble  Inc. COM 6 38 27 -11.4 $11.24 2.85 3.94 -9.4 -17.8 374.7 0.10 0.68 -1.0% 0.38 -8.68 1.18 8.90% 50.1% 6.99 $25,194,632 22.39% BKS
AEO American Eagle Outfitters COM -17.4% 35.2% 21.1% 144.1% 3.2 6.6 21.3 13.5 1.9 -1 -1 57 26 -4.2 9.9 16.3 -0.4 -23% 0.026 Y1 Y1 Y1 Y1 R1 -457% -284% 175% -38% 47% -57% AEO American Eagle Outfitters COM 42 48 37 -22.4 $13.52 1.66 8.14 14.4 14.5 12.2 0.86 1.89 6.0% 0.00 13.47 0.00 3.25% 7.9% 2.39 $61,476,874 17.05% AEO
NDN 99 Cents Only Stores COM -0.3% 50.7% 0.3% 64.9% 0.5 0.2 8.5 4.6 0.1 27 26 63 63 0.7 6.2 11.4 0.2 5% 0.017 R0 R0 R0 R0 R0 106% -33% 55% -48% 40% -24% NDN 99 Cents Only Stores COM 62 91 65 1.0 $21.96 1.48 14.87 20.1 19.4 15.0 1.05 2.16 5.2% 0.00 11.44 1.72 0.00% 11.2% 9.98 $23,520,399 -52.69% NDN
CHD Church & Dwight Company  Inc COM -2.8% 33.5% 2.9% -3.5% 1.8 1.9 3.8 3.1 1.1 -2 14 1 265 1.9 1.9 2.3 -0.1 85% 0.032 Y0 Y0 Y0 R0 R0 117% -103% -118% -77% 45% -50% CHD Church & Dwight Company  Inc COM 68 78 52 3.4 $45.15 2.52 17.94 17.4 19.5 17.8 1.94 3.11 11.1% 0.13 15.00 1.66 0.75% 2.6% 6.20 $33,464,753 -0.30% CHD
HE Hawaiian Electric Industries COM -3.1% 26.1% 3.2% 14.8% 2.1 1.7 4.3 4.0 1.1 -1 11 26 27 0.7 2.1 4.0 -0.6 30% 0.036 Y0 Y0 Y0 R0 R0 62% -41% -84% -55% 32% -42% HE Hawaiian Electric Industries COM 51 63 50 2.0 $25.96 4.00 6.49 19.4 18.3 15.5 0.81 1.62 4.2% 0.92 8.53 5.92 4.78% 3.8% 11.18 $13,385,205 1.07% HE
LANC Lancaster Colony Corporation COM -4.0% 33.1% 4.1% -31.5% 2.7 2.4 9.4 7.2 1.2 -4 -2 65 65 1.4 6.0 10.8 0.3 10% 0.108 Y0 R0 R0 R0 R0 83% -57% 91% -71% 60% -82% LANC Lancaster Colony Corporation COM 31 82 50 1.0 $69.17 4.43 15.63 18.3 18.8 17.0 1.71 3.61 9.4% 0.00 20.70 1.84 1.91% 13.6% 26.18 $7,957,901 10.46% LANC
MCY Mercury General Corporation COM -4.4% 32.2% 4.6% 35.3% 2.3 2.1 9.9 6.5 1.1 -1 -1 65 28 1.7 6.2 12.9 0.5 10% 0.087 Y0 Y0 Y0 Y? R0 -148% -67% 91% -64% 49% -63% MCY Mercury General Corporation COM 8 64 50 -1.1 $44.69 2.37 18.89 29.4 15.6 16.4 0.92 1.35 3.1% 0.15 4.81 1.16 5.37% 2.4% 3.89 $10,107,781 0.92% MCY
ADS Alliance Data Systems Corpor COM -4.5% 46.3% 4.7% -35.6% 2.8 2.0 7.2 5.6 1.0 -3 -3 27 263 0.9 3.7 8.4 -0.6 17% 0.031 Y0 Y0 R0 R0 R0 131% -185% -223% -49% 49% -67% ADS Alliance Data Systems Corpor COM 71 88 50 5.7 $102.54 7.82 13.12 13.7 13.8 12.4 1.66 35.28 12.2% #### 310.70 0.00 0.00% 24.6% 19.12 $74,192,410 -16.22% ADS
JKHY Henry Jack & Associates  Inc COM -4.5% 34.9% 4.7% -25.7% 2.6 2.0 6.3 5.9 1.4 -1 -2 63 28 0.4 5.9 11.6 0.0 4% 0.029 Y0 Y0 Y0 R0 R0 -125% -141% 93% -64% 79% -57% JKHY Henry Jack & Associates  Inc COM 70 71 48 -0.2 $32.94 2.69 12.23 20.1 18.9 17.2 2.91 3.13 14.5% 0.15 16.86 1.41 1.28% 4.1% 8.25 $16,220,386 -4.52% JKHY
CNL Cleco Corporation COM -4.7% 22.4% 4.9% -28.8% 1.9 1.5 4.2 3.8 0.8 -1 14 25 27 1.3 2.6 6.1 -0.5 28% 0.013 Y0 Y0 Y0 Y0 R0 -90% -87% -165% -55% 56% -58% CNL Cleco Corporation COM 45 74 50 -2.7 $36.80 5.61 6.56 15.2 15.2 15.0 1.98 1.58 13.0% 1.06 13.67 0.00 3.04% 4.7% 7.20 $19,416,745 -7.10% CNL
HSNI HSN  Inc. COM -4.9% 35.4% 5.1% -57.9% 3.6 3.0 7.8 6.3 1.9 -1 -2 27 61 0.9 2.2 6.9 -3.2 40% 0.024 Y0 R0 R0 Y0 R0 -122% 47% 82% -62% -40% -31% HSNI HSN  Inc. COM 65 77 51 -3.8 $36.58 2.56 14.29 18.7 17.7 14.9 0.69 3.81 3.7% 0.64 23.75 0.00 0.00% 7.1% 10.30 $17,758,394 -2.24% HSNI
SFD Smithfield Foods  Inc. COM -5.0% 34.2% 5.2% 45.1% 3.1 2.2 5.9 5.6 1.8 -1 -4 57 41 1.1 8.0 13.2 2.3 -11% 0.115 Y0 Y0 Y? Y0 R0 -129% 114% -110% -51% 48% -58% SFD Smithfield Foods  Inc. COM 0 85 48 -5.6 $23.87 4.46 5.36 8.3 8.8 8.5 0.30 1.11 3.6% 0.56 15.31 1.10 0.00% 7.0% 6.84 $47,894,763 -7.21% SFD
NST Nstar COM -5.3% 15.6% 5.6% -20.2% 2.2 2.1 4.5 4.3 1.2 -2 1 17 -2 -0.3 2.3 5.3 -1.1 13% 0.023 Y0 Y0 Y0 R0 R0 169% -351% -98% -65% 54% 78% NST Nstar COM 52 71 46 0.0 $45.00 5.41 8.32 17.2 16.9 16.4 1.58 2.31 9.2% 1.21 13.21 3.78 3.78% 0.8% 2.06 $15,708,952 7.52% NST
ANSS Ansys  Inc. COM -8.0% 25.3% 8.7% 1.6% 2.9 2.3 9.4 7.0 1.6 -15 -7 49 28 -1.3 7.5 14.8 -2.0 4% 0.192 R0 R0 R0 R0 R0 86% -62% 79% 123% 41% -66% ANSS Ansys  Inc. COM 85 75 47 4.4 $57.30 2.60 22.04 22.9 22.5 20.0 7.96 3.13 34.7% 0.08 11.57 3.12 0.00% 1.4% 4.44 $21,983,001 -4.36% ANSS
SNPS Synopsys COM -8.5% 25.6% 9.3% 39.7% 2.2 1.8 6.2 4.4 1.1 -2 -6 -2 27 -0.9 -1.6 2.2 -2.8 38% -0.006 R0 Y0 R0 R0 R0 80% -92% -99% 57% 44% -24% SNPS Synopsys COM 52 54 48 4.6 $26.85 2.33 11.52 14.9 13.6 12.4 2.52 1.83 16.9% 0.00 10.54 1.79 0.00% 1.0% 2.01 $26,064,061 -9.79% SNPS
WTR Aqua America Inc COM -9.6% 11.6% 10.6% 38.5% 2.0 1.9 4.3 4.1 1.1 -1 -3 -2 -2 -1.4 -1.1 2.7 -2.6 23% -0.064 Y0 Y0 Y? R0 R0 -213% -118% -105% -53% 65% -54% WTR Aqua America Inc COM 67 39 45 -1.9 $21.51 1.85 11.61 20.9 20.5 19.9 4.05 2.46 19.4% 1.30 12.05 0.00 2.88% 2.9% 8.66 $11,993,160 -9.66% WTR
WCG WellCare Health Plans  Inc. COM -9.7% 78.9% 10.7% 34.4% 3.8 2.4 12.7 10.2 1.8 -1 -7 53 52 -0.7 13.5 27.1 -2.7 7% 0.281 R0 R0 R0 R0 R0 67% -78% 91% -52% 45% -39% WCG WellCare Health Plans  Inc. COM 88 97 50 4.6 $53.32 5.32 10.02 10.1 9.8 13.0 0.39 2.23 3.9% 0.00 22.48 0.00 0.00% 3.6% 4.23 $31,219,160 3.78% WCG
RAX Rackspace Hosting  Inc. COM -10.2% 41.5% 11.3% -72.3% 3.6 2.2 9.3 8.0 2.1 -4 -2 57 -3 -1.4 8.2 16.9 0.4 -11% 0.090 Y0 Y? Y0 R0 R0 -166% -116% 96% -49% 49% -74% RAX Rackspace Hosting  Inc. COM 90 90 43 -3.1 $41.77 1.81 23.14 88.9 78.8 52.2 5.72 9.93 6.4% 0.16 13.46 0.00 0.00% 10.0% 6.98 $68,628,389 10.24% RAX
DRC Dresser-Rand Group  Inc. COM -10.3% 46.3% 11.4% -43.9% 4.1 2.3 8.9 7.7 1.7 -1 -5 -1 -4 0.4 0.4 1.6 -1.9 65% -0.065 R0 R0 Y0 R0 R0 -51% -48% 43% -63% 39% -32% DRC Dresser-Rand Group  Inc. COM 15 85 50 -0.2 $50.73 2.23 22.76 32.5 25.6 16.2 1.81 4.52 5.6% 0.34 10.88 0.00 0.00% 3.1% 4.54 $35,677,418 -10.10% DRC
RE Everest Re Group  Ltd. COM -10.9% 14.4% 12.2% 29.3% 2.4 1.8 6.5 5.1 0.9 8 -2 -2 8 -2.2 -2.5 0.0 -4.2 48% -0.074 Y0 Y0 Y0 R0 R0 58% -62% 84% -74% 42% -69% RE Everest Re Group  Ltd. COM 4 49 50 1.8 $83.90 0.00 0.00 25.7 12.7 7.1 1.06 0.82 4.1% 0.17 12.16 0.76 2.29% 1.0% 1.38 $39,194,677 3.08% RE
ZBRA Zebra Technologies Corporati COM -20.5% 25.3% 25.8% 76.3% 2.9 1.7 6.9 6.4 1.3 -1 -5 -1 -109 -2.7 -2.7 0.0 -4.1 35% -0.003 Y- R0 R0 R0 R0 -117% -158% -78% -62% 23% -42% ZBRA Zebra Technologies Corporati COM 86 49 44 -0.3 $35.40 2.76 12.81 15.5 14.7 13.6 1.87 2.49 12.1% 0.00 17.23 1.30 0.00% 1.1% 4.87 $5,791,770 -7.47% ZBRA
TRMB Trimble Navigation Ltd. COM -22.0% 27.9% 28.3% 30.0% 3.7 3.0 9.3 7.7 1.9 -3 -3 55 22 -3.6 8.2 15.5 -2.7 -5% 0.035 Y0 Y? R0 R0 R0 169% -243% -344% -42% 45% -80% TRMB Trimble Navigation Ltd. COM 94 71 41 3.0 $40.77 1.73 23.60 20.5 19.4 17.0 2.72 3.25 13.2% 0.11 11.08 3.52 0.00% 1.6% 3.19 $24,098,337 21.31% TRMB
ADVS Advent Software  Inc. COM -24.9% 25.0% 33.2% 161.8% 4.1 3.2 13.3 9.9 1.8 -2 -7 -1 -17 -8.9 -8.9 0.0 -9.7 9% -0.041 R0 R0 R0 R0 R0 -156% -88% 81% -88% 49% -49% ADVS Advent Software  Inc. COM 67 27 40 -1.3 $23.75 0.94 25.16 27.9 29.0 23.8 3.82 4.50 13.7% 0.00 11.91 9.14 0.00% 4.6% 19.27 $4,443,641 -0.10% ADVS
NATI National Instruments Corpora COM -25.9% 15.3% 35.0% 52.1% 3.6 3.9 9.0 7.4 1.9 -1 -2 -2 -111 -5.4 -5.6 2.9 -8.4 27% -0.138 Y0 Y0 Y0 R0 R0 138% -552% 127% -66% 61% -163% NATI National Instruments Corpora COM 37 49 42 0.7 $24.59 1.31 18.78 25.1 27.3 23.2 2.93 3.58 11.7% 0.00 14.11 2.02 1.63% 1.7% 3.77 $8,225,902 11.86% NATI
PMTC Parametric Technology Corpor COM -27.1% 29.5% 37.1% 14.4% 4.0 2.7 29.1 14.6 1.6 -15 -7 -1 -123 -7.6 -7.6 0.0 -10.5 28% -0.012 R0 R0 R0 R0 R0 55% -52% 90% -38% 35% -48% PMTC Parametric Technology Corpor COM 80 40 44 2.5 $18.45 1.22 15.10 21.4 12.3 10.4 1.87 2.62 8.8% 0.24 10.88 1.66 0.00% 3.8% 4.78 $27,272,929 -1.61% PMTC
NFG National Fuel Gas Company COM -28.1% 22.7% 39.1% -26.4% 3.3 2.7 8.5 7.2 1.7 -1 -6 -6 -107 -5.6 -4.4 0.0 -8.3 33% -0.172 Y- Y- Y- R0 R0 -95% -95% 78% -61% 52% -50% NFG National Fuel Gas Company COM 57 41 42 -2.3 $54.61 5.80 9.42 20.2 18.5 15.3 2.54 2.39 12.6% 0.48 14.21 3.48 2.60% 1.1% 2.49 $28,181,970 -13.21% NFG
ANN Ann  Inc. COM -28.5% 22.2% 39.9% 94.4% 4.1 3.6 11.3 8.8 2.3 -1 -3 -9 -78 -6.4 -1.5 5.0 -8.0 12% -0.304 Y0 Y0 R0 R0 R0 -156% -136% -148% -55% 58% -70% ANN Ann  Inc. COM 71 42 40 -3.6 $23.22 3.48 6.67 13.0 12.0 10.3 0.56 2.79 4.3% 0.00 19.78 3.27 0.00% 12.6% 4.21 $42,809,247 -9.19% ANN
CMP Compass Minerals Internation COM -30.0% 9.2% 42.9% -49.5% 3.3 2.4 9.3 6.6 1.6 -17 -7 -10 -144 -6.8 -5.8 0.0 -8.1 17% -0.206 R0 R0 R0 R0 R0 -164% -267% 113% -113% 168% -111% CMP Compass Minerals Internation COM 37 25 42 -0.2 $68.64 7.01 9.78 14.2 13.8 12.4 1.95 5.53 13.8% 1.39 47.11 0.00 2.62% 1.2% 1.47 $16,029,648 16.15% CMP
MLHR Herman Miller  Inc. COM -33.5% 23.1% 50.4% 99.1% 5.5 3.7 20.0 14.5 3.2 -9 -7 -9 -115 -5.6 -9.3 5.6 -12.7 39% -0.255 R1 R1 R0 R0 R0 95% -85% 135% 65% 70% -82% MLHR Herman Miller  Inc. COM 77 20 47 1.9 $19.24 2.04 9.42 13.6 13.8 11.7 0.64 4.47 4.7% 1.22 46.22 2.44 0.46% 6.5% 8.47 $7,243,133 -5.03% MLHR
ADTN Adtran Inc COM -38.3% 15.6% 62.1% 29.2% 4.4 3.9 14.2 10.8 1.7 -1 -7 -7 -123 -6.5 -5.3 0.0 -12.2 47% -0.152 Y- Y- Y- R0 R0 67% -203% 100% 74% 51% -37% ADTN Adtran Inc COM 70 28 45 2.6 $29.42 2.36 12.44 13.4 14.0 13.1 2.65 2.82 19.8% 0.08 23.87 1.30 1.22% 7.4% 5.15 $27,105,848 -14.28% ADTN
TLAB Tellabs  Inc. COM -46.6% 6.3% 87.4% 347.9% 3.7 3.2 13.0 8.5 2.1 -2 -2 -31 -246 -4.7 -5.4 0.1 -9.6 51% -0.385 Y0 Y0 Y0 R0 R0 55% -87% 50% 31% 49% -41% TLAB Tellabs  Inc. COM 5 10 44 1.7 $3.90 -0.32 -12.16 ##### -55.7 390.0 0.79 0.85 -0.6% 0.00 -10.75 2.19 2.05% 3.2% 0.90 $23,424,121 38.17% TLAB
DECK Deckers Outdoor Corporation COM -29.7% 17.4% 42.3% -27.5% 4.5 6.4 12.8 11.5 2.8 -17 -17 -14 -6 -16.3 -17.8 0.0 -25.0 35% -0.460 N4 N4 N3 N3 N2 248% 180% 110% -203% -273% -55% DECK Deckers Outdoor Corporation COM 46 30 41 6.1 $83.55 4.84 17.27 20.1 16.6 14.2 2.68 4.51 13.3% 0.00 25.61 1.07 0.00% 12.5% 2.25 $149,044,235 13.08% DECK
DKS Dick's Sporting Goods  Inc. COM -18.5% 20.3% 22.7% 60.7% 3.4 2.7 8.9 7.0 1.4 -1 -17 -4 -9 -8.4 -6.4 0.0 -9.7 13% -0.215 R0 N0 N0 N0 N1 -185% -102% -120% -43% 42% 54% DKS Dick's Sporting Goods  Inc. COM 83 41 36 -3.6 $35.02 2.83 12.39 18.4 17.3 14.8 0.83 2.70 4.5% 0.10 17.26 0.00 0.00% 10.0% 7.17 $62,110,608 3.52% DKS
TIBX TIBCO Software  Inc. COM -24.2% 29.3% 32.0% -29.1% 4.4 2.9 17.6 12.3 2.1 5 -21 -14 -16 -10.4 -12.3 0.0 -21.5 52% -0.313 N1 N1 N1 N1 N1 78% -109% -119% -45% 62% -91% TIBX TIBCO Software  Inc. COM 85 74 43 1.4 $23.83 0.93 25.74 24.6 20.9 18.2 4.27 4.63 17.4% 0.08 13.56 1.48 0.00% 1.2% 0.45 $77,633,469 14.60% TIBX
INFA Informatica Corporation COM -42.6% 2.8% 74.2% -52.2% 4.2 3.7 14.7 10.5 1.8 -17 -23 -15 -99 -17.0 -14.2 0.0 -19.4 13% -0.439 N1 N1 N1 N2 N1 152% -249% 115% -56% 64% -81% INFA Informatica Corporation COM 83 21 34 1.5 $35.83 1.26 28.44 26.7 25.8 21.6 5.05 4.09 18.9% 0.00 14.38 3.28 0.00% 3.9% 2.06 $63,341,817 -2.13% INFA
AM American Greetings Corporati COM -47.6% 4.3% 90.9% 116.4% 3.6 3.6 33.3 19.7 2.3 -17 -9 -13 -88 -17.6 -14.5 3.2 -23.0 21% -0.550 N2 N2 N2 N2 N1 173% -106% 189% -111% 84% 115% AM American Greetings Corporati COM 39 9 36 5.3 $13.01 2.96 4.39 6.2 6.5 6.2 0.32 0.68 5.1% 0.30 11.21 1.27 4.61% 19.9% 4.88 $11,582,166 12.21% AM
GMCR Green Mountain Coffee Roaste COM -61.8% 35.5% 161.6% 20.9% 7.9 4.2 70.0 36.0 3.5 -2 -14 -62 -41 -16.9 -25.3 0.0 -45.0 63% -1.090 N2 N2 N1 N1 N1 -57% -48% 55% -38% 19% -23% GMCR Green Mountain Coffee Roaste COM 96 80 37 -1.8 $44.34 2.07 21.39 27.4 17.3 12.3 2.59 3.58 9.4% 0.30 15.28 2.22 0.00% 24.5% 8.63 $451,855,835 -22.62% GMCR
ATO Atmos Energy Corp COM -7.6% 15.2% 8.2% 0.7% 2.3 1.6 6.5 5.2 1.1 10 -2 -3 -2 -2.2 -1.9 0.9 -3.4 27% -0.068 X0 X0 N0 N0 N0 -75% -85% -60% -58% 54% -54% ATO Atmos Energy Corp COM 46 50 47 -1.4 $32.85 4.71 6.98 14.4 13.7 13.1 0.67 1.32 4.7% 0.98 8.88 2.90 4.14% 0.7% 1.70 $20,686,622 2.90% ATO
TSCO Tractor Supply COM -11.3% 53.4% 12.7% -2.6% 3.1 2.3 9.5 7.6 1.8 -4 -5 -3 638 -3.7 -3.8 0.0 -5.1 28% -0.120 N0 N0 N1 N1 N0 127% -98% -166% -54% -36% -52% TSCO Tractor Supply COM 90 90 42 0.2 $69.42 3.73 18.60 25.5 23.9 20.7 1.22 5.26 4.8% 0.00 22.13 1.57 0.69% 2.9% 3.76 $47,183,933 -12.38% TSCO
CDNS Cadence Design Systems  Inc. COM -11.5% 28.2% 13.0% 135.1% 3.2 3.2 10.1 7.2 1.9 -3 -7 -2 -3 -3.2 -4.7 0.1 -7.6 57% -0.032 R0 R0 N0 N0 N0 96% -61% -88% 55% 36% -63% CDNS Cadence Design Systems  Inc. COM 20 82 48 6.8 $10.37 0.44 23.75 123.3 20.7 16.0 2.59 7.50 2.1% 1.47 7.23 1.42 0.00% 8.4% 11.61 $33,429,538 -2.59% CDNS
TW Towers Watson & Co. COM -12.4% 14.0% 14.2% -63.0% 2.5 2.4 6.2 5.2 1.2 -1 -7 -15 -15 -5.5 -5.3 0.0 -8.8 37% -0.194 N0 N0 N0 N0 N0 -85% 108% -184% -45% 127% -66% TW Towers Watson & Co. COM 62 52 42 -3.0 $58.93 5.00 11.79 12.5 11.7 10.9 1.29 1.69 10.3% 0.00 8.94 1.77 0.51% 1.5% 3.18 $18,256,751 -0.33% TW
PII Polaris Industries  Inc. COM -12.5% 64.7% 14.3% 28.8% 4.1 4.3 12.5 8.7 2.4 2 -7 -3 1 -3.5 -6.4 0.0 -10.2 66% -0.081 N0 N1 N1 N1 N0 101% 75% -115% -55% 38% -50% PII Polaris Industries  Inc. COM 90 91 51 6.7 $57.60 4.03 14.28 18.7 18.1 15.2 1.59 7.99 8.5% 0.27 55.02 1.02 3.13% 8.7% 9.06 $47,995,507 -16.32% PII
JW   A John Wiley & Sons  Inc. CL A -15.2% 7.4% 17.9% 0.6% 2.8 2.5 7.6 5.7 1.4 5 -21 -15 -47 -3.1 -6.1 0.0 -8.3 62% -0.234 N0 N0 N0 N0 N0 197% -112% 153% 174% 99% -146% JW   A John Wiley & Sons  Inc. CL A 0 43 49 6.0 $44.98 4.22 10.67 16.0 14.4 13.3 1.53 2.69 9.6% 0.34 18.78 ##### 1.42% 2.2% 6.24 $5,374,217 22.49% JW   A
UA Under Armour  Inc. CL A COM -16.2% 41.5% 19.3% -26.3% 4.2 3.3 12.7 9.7 2.6 2 -17 -2 -6 -6.8 -7.2 0.0 -10.6 36% -0.078 N1 N1 N1 N1 N0 119% 94% 78% -45% -59% -53% UA Under Armour  Inc. CL A COM 94 86 45 2.1 $73.25 2.32 31.57 43.9 39.8 31.4 2.76 6.38 6.3% 0.02 16.47 0.00 0.00% 10.9% 4.67 $88,933,435 -2.60% UA
LPNT LifePoint Hospitals  Inc. COM -16.7% 25.0% 20.0% 42.4% 3.3 3.1 7.0 6.2 1.9 -1 -7 -8 -47 -3.8 -2.9 0.0 -7.2 47% -0.159 Y0 Y0 R0 N0 N0 223% -109% -148% -51% 30% -39% LPNT LifePoint Hospitals  Inc. COM 70 49 46 4.3 $36.20 6.29 5.75 11.6 11.3 10.3 0.50 0.92 4.3% 0.83 8.44 0.85 0.00% 9.8% 14.63 $16,137,028 -2.24% LPNT
MRX Medicis Pharmaceuticals Corp CL A NEW -19.1% 31.3% 23.5% 38.0% 2.8 2.0 10.2 8.4 1.6 9 -2 -41 -39 -3.5 -7.9 0.3 -16.9 78% -0.336 N0 N0 N0 N0 N0 35% -91% 82% -31% -79% -163% MRX Medicis Pharmaceuticals Corp CL A NEW 41 64 47 2.0 $32.79 2.07 15.80 15.6 14.2 12.5 2.78 2.31 17.8% 0.20 12.54 0.86 0.98% 10.7% 6.16 $49,639,270 -2.68% MRX
IT Gartner  Inc. COM -19.2% 9.7% 23.7% -39.0% 2.6 1.7 6.6 5.3 1.2 -17 -32 -10 -36 -5.5 -6.5 0.0 -8.6 36% -0.226 N0 N0 N0 N0 N0 72% 82% -78% -67% 61% -48% IT Gartner  Inc. COM 80 54 43 3.4 $35.08 1.64 21.45 26.0 25.1 19.9 2.90 17.19 11.1% 0.96 73.83 0.00 0.00% 1.8% 6.12 $17,824,293 -3.37% IT
FLO Flowers Foods  Inc. COM -19.2% 17.2% 23.8% 67.3% 2.0 1.7 6.5 4.7 1.0 -1 -26 -15 -34 -4.8 -4.2 0.0 -5.8 17% -0.129 N0 N0 N0 N0 N0 -231% 296% -134% 71% 82% -62% FLO Flowers Foods  Inc. COM 44 48 38 -1.4 $18.69 1.63 11.48 19.4 18.7 17.0 0.94 3.20 4.9% 0.12 16.58 2.05 2.14% 7.5% 13.31 $11,984,239 2.55% FLO
THOR Thoratec Laboratories Corpor COM -20.1% 36.1% 25.2% -16.5% 3.4 3.7 19.0 11.4 1.8 -1 -1 -22 -2 -2.6 -1.4 7.4 -7.5 33% -0.440 X1 X1 X0 X- N0 -257% -93% -83% -57% 61% -32% THOR Thoratec Laboratories Corpor COM 75 35 43 -7.0 $30.40 1.40 21.75 27.8 20.1 18.7 4.43 2.99 16.0% 0.00 11.46 1.22 0.00% 2.6% 2.36 $25,545,688 -5.40% THOR
NCR NCR Corporation COM -20.3% 9.4% 25.5% 167.7% 3.4 2.2 7.0 6.9 1.8 5 -7 -15 -39 -4.2 -7.3 0.0 -11.7 64% -0.254 N0 N0 N0 N0 N0 -58% -60% 106% -44% 35% -67% NCR NCR Corporation COM 76 38 49 -1.0 $16.71 1.54 10.89 9.2 9.1 7.7 0.50 2.57 5.5% 0.01 10.30 2.64 0.00% 1.1% 2.03 $23,057,127 -8.46% NCR
CXW Corrections Corporation of A COM -20.7% 13.9% 26.1% 137.2% 2.7 1.9 5.6 5.1 1.5 -1 -2 -40 -8 -1.9 -3.3 1.8 -7.8 61% -0.150 N0 N0 N0 N0 N0 -99% -65% 119% -49% -69% 109% CXW Corrections Corporation of A COM 59 24 47 -0.7 $20.96 2.57 8.15 13.8 14.0 13.4 1.21 1.53 8.8% 0.79 11.81 -0.03 0.00% 2.6% 3.34 $16,863,530 3.26% CXW
MDRX Allscripts-Misys Healthcare COM -21.9% 30.5% 28.0% 61.5% 3.6 3.6 8.1 6.5 2.0 7 -23 -3 -3 -5.0 -5.1 1.7 -7.4 26% -0.221 X0 X0 N0 N0 N0 144% -142% -126% 66% 59% -59% MDRX Allscripts-Misys Healthcare COM 89 33 46 1.6 $18.07 0.69 26.02 26.6 23.2 20.3 3.17 2.37 11.9% 0.33 0.00 0.00 0.00% 3.2% 3.46 $37,234,672 0.95% MDRX
FDS FactSet Research Systems  In COM -21.9% 12.2% 28.1% -33.9% 2.6 2.0 10.3 7.6 1.2 -1 -7 -15 -115 -5.3 -6.5 0.5 -9.0 39% -0.233 N0 N0 N0 N0 N0 116% -91% 140% -58% 65% -73% FDS FactSet Research Systems  In COM 72 36 44 1.9 $87.77 4.49 19.57 23.3 21.4 19.0 5.28 7.38 22.7% 0.00 32.44 2.18 1.23% 4.3% 6.90 $28,721,548 1.34% FDS
OMI Owens & Minor  Inc. COM -22.3% 7.3% 28.7% 27.0% 2.7 1.5 11.6 7.1 1.3 -1 -7 -15 -109 -4.7 -5.2 0.0 -7.5 37% -0.258 N0 N0 N0 N0 N0 -96% -98% 134% -74% 80% -82% OMI Owens & Minor  Inc. COM 56 35 43 -0.9 $27.75 2.33 11.93 14.1 14.6 13.3 0.21 1.94 1.5% 0.24 12.85 1.53 2.88% 10.4% 10.58 $17,612,268 4.82% OMI
NDSN Nordson Corporation COM -29.2% 16.4% 41.3% 37.5% 3.8 2.7 13.1 9.9 2.0 4 -15 -13 -107 -5.1 -8.1 0.0 -11.8 56% -0.189 N0 N0 N0 N0 N0 117% 147% 130% -64% 40% -43% NDSN Nordson Corporation COM 76 42 46 2.4 $42.04 3.67 11.46 12.9 13.8 12.4 2.23 4.83 17.3% 0.56 41.32 1.96 1.00% 3.6% 7.43 $14,233,771 2.88% NDSN
CY Cypress Semiconductor Corpor COM -29.4% 23.7% 41.6% 50.7% 4.5 2.5 13.1 9.4 2.2 5 -17 -3 -50 -6.5 -7.0 0.0 -8.9 27% -0.246 N0 N0 N0 N0 N0 56% -61% 54% 77% 34% -54% CY Cypress Semiconductor Corpor COM 93 51 46 2.1 $16.91 1.04 16.27 22.5 14.3 12.9 2.69 6.46 12.0% 0.00 26.35 3.30 0.53% 4.5% 3.66 $51,747,114 -13.87% CY
SLH Solera Holdings  Inc. COM -29.6% 1.1% 42.0% -57.4% 2.5 1.7 5.9 5.7 1.3 -4 -7 -45 -42 -8.3 -7.0 0.7 -10.4 19% -0.397 N0 N0 N0 N0 N0 -115% -72% -128% -38% 57% -47% SLH Solera Holdings  Inc. COM 78 22 33 -1.7 $43.91 3.67 11.96 17.1 15.6 14.0 4.30 4.04 25.2% 1.32 23.38 0.00 0.68% 1.0% 2.13 $21,026,581 4.08% SLH
RMD ResMed Inc. COM -29.8% 6.2% 42.4% 106.2% 2.6 2.3 21.9 10.2 1.4 -1 -7 -41 -60 -5.7 -7.8 0.3 -13.3 56% -0.521 N0 N0 X0 N0 N0 -97% -86% 71% 36% 43% -37% RMD ResMed Inc. COM 60 13 43 -1.5 $24.81 1.89 13.11 16.9 15.9 13.8 2.86 2.37 16.9% 0.06 14.59 1.20 0.00% 5.6% 10.45 $33,200,566 1.47% RMD
BBG Bill Barrett Corporation COM -31.5% 11.7% 46.0% 19.3% 4.7 3.3 10.3 9.3 2.1 7 -31 -21 -33 -5.3 -9.6 0.1 -16.7 68% -0.262 N0 N0 N0 X0 N0 -121% 99% 108% -60% 55% -53% BBG Bill Barrett Corporation COM 10 28 50 -3.3 $35.71 7.28 4.90 25.1 19.8 28.6 2.34 1.36 9.3% 0.35 5.08 0.00 0.00% 12.0% 8.34 $32,828,537 -2.87% BBG
CRR Carbo Ceramics  Inc. COM -31.5% 38.8% 46.1% -45.6% 5.3 3.7 20.0 15.7 2.5 -1 -23 23 -33 -8.0 -2.7 10.4 -10.3 11% 0.117 N0 N1 N1 N0 N0 103% 114% 105% -57% 50% -43% CRR Carbo Ceramics  Inc. COM 84 89 44 1.0 $125.50 6.54 19.19 24.7 21.5 16.6 4.94 4.87 20.0% 0.00 21.39 0.00 0.64% 18.0% 10.11 $72,269,646 -10.83% CRR
HBI Hanesbrands Inc COM -32.6% 3.4% 48.3% 10.1% 3.6 2.5 10.3 9.6 1.7 2 -42 -41 -58 -6.1 -8.2 0.4 -11.5 45% -0.366 N0 N0 N0 N0 N0 -76% 68% 116% -59% 59% -63% HBI Hanesbrands Inc COM 58 26 46 -0.1 $22.49 3.52 6.40 8.8 8.0 7.2 0.47 2.91 5.4% 3.54 39.38 0.00 0.00% 8.4% 6.81 $33,876,313 -1.02% HBI
RFMD RF Micro Devices  Inc. COM -33.5% 13.9% 50.4% 314.9% 5.0 3.3 11.8 9.3 2.8 7 -33 -30 -8 -9.0 -15.0 0.0 -23.3 61% -0.593 N1 N1 N0 N1 N0 104% -90% 55% -36% 29% -41% RFMD RF Micro Devices  Inc. COM 22 13 49 4.2 $5.64 0.57 9.87 19.1 13.4 9.9 1.65 2.26 8.7% 0.26 12.96 -10.31 0.00% 9.8% 5.67 $45,291,905 -13.77% RFMD
ISIL Intersil Corporation COM -34.2% 5.0% 51.9% 270.4% 3.8 2.9 10.9 8.4 2.3 -1 -5 -15 -146 -5.3 -6.0 0.0 -11.2 53% -0.332 X0 X- N0 N0 N0 225% -92% -149% -79% 30% -48% ISIL Intersil Corporation COM 51 15 46 5.5 $10.29 0.89 11.53 12.6 25.7 22.4 1.29 1.22 10.2% 0.26 6.61 1.90 4.66% 3.0% 3.76 $13,588,081 1.24% ISIL
LRCX Lam Research Corporation COM -36.8% 7.4% 58.1% 52.7% 3.6 2.0 12.2 9.0 1.5 4 -7 -14 -147 -7.4 -10.9 0.0 -15.7 53% -0.251 N0 N0 N0 N0 N0 114% -90% -87% -53% 45% -58% LRCX Lam Research Corporation COM 27 18 45 4.7 $37.37 5.45 6.86 7.5 18.6 9.4 1.44 1.91 19.1% 0.30 28.15 1.10 0.00% 3.6% 1.29 $124,565,260 15.44% LRCX
PAY VeriFone Systems  Inc. COM -37.2% 22.3% 59.2% 2.2% 4.2 3.8 13.0 9.8 2.2 3 -16 -13 -117 -8.7 -12.2 0.1 -15.5 44% -0.155 N1 N1 N1 N0 N0 150% 72% 122% -63% 70% -57% PAY VeriFone Systems  Inc. COM 90 49 45 2.0 $36.99 3.46 10.68 19.4 14.3 11.6 3.01 3.27 15.5% 0.18 40.34 0.00 0.00% 3.9% 2.73 $72,394,490 11.55% PAY
FOSL Fossil  Inc. COM -39.7% 23.3% 65.7% -60.3% 5.0 4.0 11.5 9.7 2.9 -4 -7 -14 -39 -8.1 -8.8 0.0 -13.0 38% -0.366 N0 N1 N1 N1 N0 161% -159% -118% -77% -70% -63% FOSL Fossil  Inc. COM 55 77 45 8.6 $81.44 5.13 15.87 19.3 18.1 14.8 2.09 4.85 10.8% 0.00 25.80 0.83 0.00% 8.1% 3.90 $107,146,267 -5.32% FOSL
RSH RadioShack Corp COM -46.8% 6.9% 88.0% 270.6% 4.3 3.4 17.3 11.3 2.2 2 -35 -31 -290 -13.0 -13.4 0.0 -20.8 37% -0.691 N1 N1 N1 N0 N0 85% 80% -62% 62% 70% -66% RSH RadioShack Corp COM 14 7 41 2.8 $9.78 1.77 5.52 7.4 8.3 7.1 0.22 1.22 3.0% 0.39 12.67 0.72 2.56% 11.3% 4.76 $31,504,865 -3.32% RSH
ROVI Rovi Corp COM -64.2% 7.3% 179.2% 0.7% 4.1 3.9 64.4 26.4 2.5 4 -41 -40 -41 -20.1 -31.4 0.7 -38.2 47% -1.567 N1 N0 N0 N0 N0 38% -30% -40% 34% 32% -29% ROVI Rovi Corp COM 69 2 39 5.6 $24.89 1.82 13.65 10.4 10.1 9.3 3.78 1.56 36.3% 0.22 4.45 0.00 0.00% 2.6% 1.98 $73,132,156 -3.71% ROVI
TIN Temple-Inland  Inc. COM -0.5% 66.8% 0.5% 50.9% 0.2 0.2 1.1 0.8 0.1 2 -24 70 90 0.0 3.9 10.7 -0.4 3% 0.008 N0 N+ N0 N+ N+ 116% 59% -62% 49% -68% 37% TIN Temple-Inland  Inc. COM 5 85 55 2.8 $31.75 2.37 13.41 46.7 34.9 23.5 0.88 3.61 1.9% 3.08 7.18 3.57 1.64% 4.0% 3.76 $47,870,507 -14.74% TIN
HANS Hansen Natural Corporation COM -4.6% 81.7% 4.8% -43.8% 3.3 2.5 11.8 9.7 1.5 -3 -3 1 523 2.1 2.1 2.4 -0.6 89% 0.042 N0 N0 N0 N0 N+ 75% 43% 84% -45% 57% -67% HANS Hansen Natural Corporation COM 71 94 51 3.5 $93.86 3.06 30.64 32.4 30.6 25.4 5.07 8.80 15.7% 0.00 31.96 0.00 0.00% 1.5% 2.08 $85,199,292 -3.26% HANS
SUG Southern Union Co COM -5.1% 72.1% 5.4% -29.8% 1.1 0.8 3.3 2.3 0.6 2 13 23 293 1.2 1.1 2.1 0.0 57% 0.021 N+ N+ N+ N+ N+ 199% 106% -80% -76% -133% -74% SUG Southern Union Co COM 38 93 57 0.2 $42.38 3.89 10.91 22.7 21.5 20.2 1.98 2.02 8.8% 1.39 9.87 7.47 1.42% 1.2% 0.97 $54,525,061 9.66% SUG
PNM PNM Resources Inc COM -6.1% 41.3% 6.4% 78.1% 2.4 2.4 5.1 4.8 1.3 8 -6 -3 72 -0.7 -2.0 2.1 -3.8 52% -0.006 Y0 R0 R0 N0 N+ 70% -84% -100% -45% 42% -57% PNM PNM Resources Inc COM 40 85 51 6.0 $18.01 1.39 12.99 22.0 18.0 14.2 0.90 0.97 4.1% 0.95 -2.69 0.74 2.78% 4.5% 7.32 $15,971,490 -8.83% PNM
                                                                                                               
                                                                                                               
                                                                                                               
                                                                                                               
                                                                                                               
                                                                                                               
                                                                                                               
Averages -21.1% 33.1% 34.0% 78.4% 6 3 17 -50 2.2 51% 104% 90% 96% 58% 53% 56% Averages 52 59 55 1 $39.31 3.43 10.90 2.10 2.96 9.49% 1.20 13.75 1.54% 6.42% 7.49 $30,132,482 -4.37%  
288 220 234 122 Rising 278 148 296 102 377 10 Up
105 173 159 271 Falling 116 246 98 292 17 384 Down
Absolute Conditions 272 RSI Rising
  More Bullish 116 RSI Falling
  Bullish
  Bearish
  Mildly Bearish
  Bear Turning Bullish *OR* Bounce Condition
  Bull Turning Bearish *OR* Overbought Condition
Note about "Relative Conditions" - Orange (Top) values may be high
Relative Conditions or low values depending on the data category. Example, high relative
  Top 15% Relative Of All Considered volatility values are orange whereas low PE values are orange. I tend to
  Top 15 to 30% Relative Of All Considered place relative favorable/value conditions as orange (like fundamentals).
  Bottom 20% Of All Considered A quick glance at the column will indicate which way I am going with
  Not Considered - Not Rated top relative values. x x x