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The Short Interest Site
NASDAQ Short Interest February 2007        
         
Company Short Interest Prev. Month Avg. Daily Vol. SI Ratio
 
1-800 Contacts, Inc.
341082
349653
10128
33,68
1-800 FLOWERS.COM, Inc.
1634377
1467898
337365
4,84
1st Constitution Bancorp (NJ)
911
2899
1726
0,53
1st Independence Financial Group, Inc.
349
381
602
0,58
1st Source Corporation
491312
421593
22923
21,43
1st Source Corporation - 1st Source Capital Trust II - Floating Rate Cumulative Trust Preferred Securities
350
985
193
1,81
21st Century Holding Company
536055
236173
136058
3,94
21st Century Holding Company - Redeemable Warrants
1529
1171
1305
1,17
24/7 Real Media, Inc.
5975033
5598961
742751
8,04
3Com Corporation
16432643
16494081
5368148
3,06
3D Systems Corporation
3807089
3601284
89178
42,69
3SBio Inc. - American Depositary Shares
101276
0
430351
0,24
51job, Inc. - American Depositary Shares
259673
179565
100903
2,57
8x8 Inc
5355666
5436083
1168884
4,58
 
 
At Road, Inc.
3092945
3173843
1437893
2,15
A. Schulman, Inc.
990173
835006
131252
7,54
A.C. Moore Arts & Crafts, Inc.
1723487
1906211
190058
9,07
A.D.A.M. Inc.
41243
81141
49637
0,83
A.S.V., Inc.
5783115
6192083
124800
46,34
AAON, Inc.
409400
332592
26453
15,48
Aastrom Biosciences, Inc.
3540906
3514238
1344423
2,63
AB Volvo - Class B American Depositary Shares
342140
163007
86024
3,98
Abatix Corp.
11066
6178
6951
1,59
ABAXIS, Inc.
2935445
2563733
319511
9,19
Aber Diamond Corporation
94415
81443
31717
2,98
Abigail Adams National Bancorp, Inc.
697
767
3631
0,19
Abington Community Bancorp, Inc.
221395
185224
14428
15,34
ABIOMED, Inc.
2317168
2297710
138685
16,71
Abraxis BioScience, Inc.
4536359
4657091
230630
19,67
ABX Air, Inc.
2310234
2003820
226958
10,18
Acacia Research Corporation
1068102
848049
204596
5,22
Acacia Research Corporation
241738
287502
1040669
0,23
ACADIA Pharmaceuticals Inc.
2662099
2338009
167014
15,94
Accelrys, Inc.
390036
327387
70732
5,51
Accentia Biopharmaceuticals, Inc.
229562
268610
122226
1,88
Access Integrated Technologies, Inc. - Class A
4934535
4119823
258126
19,12
Access National Corporation
18397
3664
21725
0,85
Access Plans USA, Inc.
46895
46117
13048
3,59
Accredited Home Lenders Holding Co.
9802750
5733429
1692357
5,79
Accuray Incorporated
847590
0
1150379
0,74
ACE*COMM Corporation
30594
12990
71106
0,43
Acergy S.A. - American Depositary Shares
297962
212317
343701
0,87
Aceto Corporation
54254
26452
113344
0,48
Achillion Pharmaceuticals, Inc.
91899
15117
51482
1,79
ACME Communications, Inc.
22833
25840
11291
2,02
Acme Packet, Inc.
1790650
933681
505967
3,54
Acorda Therapeutics, Inc.
1541831
1308455
250815
6,15
ACS Motion Control Ltd. - Ordinary Shares
344
1355
5445
0,06
Actel Corporation
1009391
1013015
182049
5,54
Action Products International, Inc.
25694
34418
7093
3,62
Actions Semiconductor Co., Ltd. - american depositary shares
2858221
2616842
531987
5,37
Active Power, Inc.
1691715
1671647
210993
8,02
ActivIdentity Corporation
501432
478414
229852
2,18
Activision, Inc.
19383681
23098884
5719068
3,39
Actuate Corporation
3069846
2382628
440384
6,97
Acusphere, Inc.
1787585
1747026
233362
7,66
Acxiom Corporation
1803413
1623769
526057
3,43
ADA-ES, Inc.
64006
63819
10867
5,89
Adams Respiratory Therapeutics, Inc. - commom stock
3550584
2514322
771946
4,60
Adaptec, Inc.
6439030
5824471
1468793
4,38
ADC Telecommunications, Inc.
7227718
6425373
2641526
2,74
Adept Technology, Inc.
5067
10352
33537
0,15
Adeza Biomedical Corporation
895874
768958
483713
1,85
Adobe Systems Incorporated
13043510
14186798
5403335
2,41
Adolor Corporation
4625963
4950225
1156239
4,00
AdStar, Inc.
183756
165882
150777
1,22
ADTRAN, Inc.
6106793
7768322
1334131
4,58
Advanced Analogic Technologies, Inc.
1776790
1332260
376497
4,72
Advanced Energy Industries, Inc.
2833137
3527430
654454
4,33
Advanced Environmental Recycling Technologies, Inc. - Class A
262666
202603
75226
3,49
Advanced Life Sciences Holdings, Inc.
141224
95852
49139
2,87
Advanced Magnetics, Inc.
2062130
2089904
215542
9,57
Advancis Pharmaceutical Corporation
1090063
602324
291851
3,73
ADVANTA Corp. - Class A
14428
26665
14074
1,03
ADVANTA Corp. - Class B Common Non Voting
1257625
1140568
122341
10,28
Advent Software, Inc.
2583029
2403080
164798
15,67
Advisory Board Company (The)
1745584
1484059
127568
13,68
Advocat, Inc.
3819
4430
27871
0,14
Aehr Test Systems
16170
20654
16764
0,96
AEP Industries Inc.
305165
273399
54696
5,58
Aeroflex Incorporated
2740152
2223222
543306
5,04
AeroVironment, Inc.
24032
0
494814
0,05
AEterna Zentaris, Inc.
158510
144496
43443
3,65
Aetrium Incorporated
4804
14716
59050
0,08
AFC Enterprises, Inc.
1995855
1794473
205457
9,71
Affirmative Insurance Holdings, Inc.
295634
260519
34498
8,57
Affymax, Inc.
14476
12758
50833
0,28
Affymetrix, Inc.
16793326
15267340
1352489
12,42
Aftermarket Technology Corp.
790655
655918
100234
7,89
Agile Software Corporation
2201557
1988781
226346
9,73
Agilysys, Inc.
1124952
991883
307359
3,66
Agnico-Eagle Mines Limited - Warrant
22455
28951
17160
1,31
AHPC Holdings, Inc.
818
1379
10642
0,08
Air Methods Corporation
909679
961383
73182
12,43
Air T, Inc.
2595
7360
26723
0,10
Airspan Networks Inc.
1180973
1138797
488297
2,42
Aixtron Aktiengesellschaft - American Depository Shares
1342
740
44470
0,03
Akamai Technologies, Inc.
9199042
8225619
4152972
2,22
Akorn, Inc.
3287532
0
29289
112,24
Aktieselskabet Dampskibsselskabet Torm - American Depositary Shares
101
2277
4629
0,02
Akzo Nobel N.V. - American Depositary Shares
131354
76597
76898
1,71
Alabama National BanCorporation
742135
660434
63599
11,67
Aladdin Knowledge Systems Limited - Ordinary Shares
272378
262370
120190
2,27
Alanco Technologies Inc.
158952
147214
98068
1,62
Alaska Communications Systems Group, Inc.
3302480
2747168
250753
13,17
Albany Molecular Research, Inc.
1503827
1475820
83347
18,04
Aldila, Inc.
142135
115100
60489
2,35
Alexander & Baldwin, Inc.
3301777
2867815
221080
14,93
Alexion Pharmaceuticals, Inc.
4788293
4513575
458512
10,44
Alexza Pharmaceuticals, Inc.
43890
13946
46814
0,94
Alfa Corporation
1489673
1306688
59553
25,01
Alfacell Corporation
430715
376763
155717
2,77
Alico, Inc.
188068
155510
14584
12,90
Align Technology, Inc.
8442482
7436349
1126040
7,50
Alkermes, Inc.
9445995
8363424
1722670
5,48
All American Semiconductor, Inc.
9459
3390
10501
0,90
Allegiant Travel Company
86286
48871
122530
0,70
Alliance Bancorp, Inc. of Pennsylvania
18301
0
12728
1,44
Alliance Bankshares Corporation
4709
1907
5479
0,86
Alliance Fiber Optic Products, Inc.
94033
110816
198437
0,47
Alliance Financial Corporation
759
1226
5185
0,15
Alliance Holdings GP, L.P.
54737
51684
151199
0,36
Alliance Resource Partners, L.P.
438628
268574
117927
3,72
Allied HealthCare International Inc.
649694
660939
76975
8,44
Allied Healthcare Products, Inc.
375
60
11901
0,03
Allied Motion Technologies, Inc.
584
5396
12306
0,05
Allion Healthcare, Inc.
953103
1123827
92071
10,35
Allos Therapeutics, Inc.
2933996
1715458
499292
5,88
Allot Communications Ltd. - Ordinary Shares
330629
293041
170295
1,94
Alloy, Inc.
111313
116304
33361
3,34
Allscripts Healthcare Solutions Inc
8939496
8427655
965853
9,26
Almost Family Inc
22249
23754
27162
0,82
Alnylam Pharmaceuticals, Inc.
3852191
3824421
250157
15,40
Alphatec Holdings, Inc.
2780
807
59530
0,05
Altair Nanotechnologies Inc.
4613543
4732639
802616
5,75
Altera Corporation
14758995
13056666
6537438
2,26
AltiGen Communications, Inc.
9789
200
9292
1,05
Altiris, Inc.
981862
1253806
1239986
0,79
Alto Palermo S.A. - American Depositary Shares
216
773
1692
0,13
Altra Holdings, Inc.
25467
8986
120705
0,21
Altus Pharmaceuticals Inc.
755242
1011881
97721
7,73
Alvarion Ltd. - Ordinary Shares
1155428
1033471
893822
1,29
Amarin Corporation PLC - American Depositary Shares
2439349
605161
224023
10,89
Amazon.com, Inc.
46123344
44914028
8020673
5,75
Ambassadors Group, Inc.
852348
729277
125366
6,80
Ambassadors International, Inc.
448414
390734
47503
9,44
AmCOMP Incorporated - common stock
7455
6605
20094
0,37
Amcor Limited - American Depositary Shares
18758
9732
22186
0,85
Amcore Financial, Inc.
854025
694433
79499
10,74
Amedisys Inc
4496586
4616105
386346
11,64
AMEN Properties Inc.
8247
219
2385
3,46
Amerco
553692
552483
124189
4,46
Ameriana Bancorp
567
1689
4628
0,12
America First Apartment Investors, Inc.
13373
7923
9739
1,37
America First Tax Exempt Investors, L.P. - Beneficial Unit Certificates (BUCs) representing Limited Partnership Interests
1304
3072
6288
0,21
America Movil, S.A.B. de C.V. - Class A American Depositary Shares
4669
6762
5788
0,81
America Service Group Inc.
99262
121227
44198
2,25
American Access Technologies, Inc.
26428
7551
57086
0,46
American Bancorp of New Jersey, Inc.
25146
25475
14907
1,69
American Bank Inc
1958
1532
1738
1,13
American Bio Medica Corp.
11855
317
154011
0,08
American Capital Strategies, Ltd.
5928605
6003914
1391517
4,26
American Claims Evaluation, Inc.
298
0
1474
0,20
American Commercial Lines Inc
3567341
3390164
343913
10,37
American Community Bancshares
4338
4276
10687
0,41
American Dental Partners, Inc.
36998
55203
54874
0,67
American Eagle Outfitters, Inc.
14948130
18114246
3699308
4,04
American Ecology Corporation
913157
750470
130613
6,99
American Independence Corp.
3751
3781
5182
0,72
American Medical Alert Corp.
7322
4261
12797
0,57
American Medical Systems Holdings, Inc.
8822932
8405250
795710
11,09
American Mold Guard, Inc. - Class A Warrant
100
0
6924
0,01
American Mold Guard, Inc. - Class B Warrant
400
0
12758
0,03
American Mold Guard, Inc. - common stock
28864
20744
14704
1,96
American National Bankshares, Inc.
1986
1603
2962
0,67
American National Insurance Company
20761
11243
4790
4,33
American Pacific Corporation
159390
141693
19705
8,09
American Physicians Capital, Inc.
458190
385101
44939
10,20
American Physicians Service Group, Inc.
510
371
3905
0,13
American Power Conversion Corporation
0
5843358
0
American Railcar Industries, Inc.
413870
403452
137132
3,02
American River Bankshares
2456
3229
22222
0,11
American Science and Engineering, Inc.
1764392
2139717
142284
12,40
American Software, Inc. - Class A
27513
35692
54849
0,50
American Superconductor Corporation
5265423
4709197
179582
29,32
American Technology Corporation
2531465
2317065
117123
21,61
American Woodmark Corporation
4211059
4548967
122165
34,47
AmericanWest Bancorporation
429125
370068
29534
14,53
America's Car-Mart, Inc.
1402781
1389904
95328
14,72
AmericasBank Corp.
437
300
83
5,27
Amerigon Incorporated
441366
402026
106740
4,13
Ameris Bancorp
491793
415843
33874
14,52
AMERISAFE, Inc.
49987
76730
289132
0,17
AmeriServ Financial Inc.
154043
149379
14366
10,72
AmeriServ Financial Inc. - AmeriServ Financial Trust I - 8.45% Beneficial Unsecured Securities, Series A
0
0
0
Ameristar Casinos, Inc.
1118366
1105874
299976
3,73
Ameritrans Capital Corporation
1307
200
711
1,84
Ameritrans Capital Corporation - 9.375% participating Preferred Stock
624
362
3849
0,16
Ameritrans Capital Corporation - Warrants
13799
13799
4353
3,17
Amerityre Corporation
507794
519389
36940
13,75
Ames National Corporation
64943
72705
2442
26,59
Amgen Inc.
27464575
30116861
10543580
2,60
AMICAS, Inc.
537062
529293
139112
3,86
AMIS Holdings, Inc. - common stock
2086897
2015963
307543
6,79
Amkor Technology, Inc.
12591342
12192519
3387264
3,72
Ampal-American Israel Corporation
23277
43628
23385
1,00
Ampex Corporation - Class A
24006
20456
11292
2,13
Amsurg Corp.
1534633
1544999
136485
11,24
Amtech Systems, Inc.
6753
651
116261
0,06
AmTrust Financial Services, Inc.
920176
527220
141495
6,50
Amylin Pharmaceuticals, Inc.
18075132
16777710
2001600
9,03
ANADIGICS, Inc.
10162875
7379505
2910644
3,49
Anadys Pharmaceuticals, Inc.
1667141
1576487
140101
11,90
Analogic Corporation
717593
680382
81150
8,84
Analysts International Corporation
8348
17353
24683
0,34
Analytical Surveys, Inc.
16001
24989
10625
1,51
Anaren, Inc.
741609
739072
169540
4,37
Anchor BanCorp Wisconsin Inc.
821814
668909
61482
13,37
Andersons, Inc. (The)
1345047
1017533
526525
2,55
Andrew Corporation
8655825
6679217
2855216
3,03
Anesiva, Inc.
25152
17696
69302
0,36
Angeion Corporation
88229
89551
122676
0,72
AngioDynamics, Inc.
1491741
1382632
416996
3,58
Angiotech Pharmaceuticals, Inc.
4137989
3797858
864864
4,78
Anglo American plc - American Depositary Shares exempt pursuant to 12g3-2(b)
686999
897877
1219808
0,56
Anika Therapeutics Inc.
39978
36851
37785
1,06
Animal Health International, Inc.
62405
0
543270
0,11
Annapolis Bancorp Inc.
1463
815
1129
1,30
Ansoft Corporation
1645451
1799817
176835
9,31
Answers Corporation
630143
607752
75736
8,32
Answerthink, Inc.
359042
402465
77406
4,64
ANSYS, Inc.
2675927
1667659
344778
7,76
Antigenics Inc.
3630807
3713162
83914
43,27
AP Pharma, Inc.
1699
6572
44362
0,04
APA Enterprises, Inc.
11237
11968
10562
1,06
APAC Customer Services, Inc.
208148
184170
195890
1,06
APCO Argentina Inc. - Ordinary Shares
4878
2080
1369
3,56
Apogee Enterprises, Inc.
1135994
1017797
186191
6,10
Apollo Group, Inc. - Class A
6972084
7209164
2252885
3,09
Apollo Investment Corporation - Closed End Fund
3249938
3596780
1183886
2,75
Appalachian Bancshares, Inc. (GA)
2818
1027
8125
0,35
Apple Inc.
18968900
25680493
34190611
0,55
Applebee's International, Inc.
6968866
6022776
1704671
4,09
Appliance Recycling Centers of America, Inc.
1
1119
4729
0,00
Applied Digital Solutions, Inc.
1677668
1653479
642180
2,61
Applied Innovation Inc.
8139
449
13452
0,61
Applied Materials, Inc.
40650085
55443465
31473761
1,29
Applied Micro Circuits Corporation
11028290
10762483
6338697
1,74
Applied Signal Technology, Inc.
604684
653712
53957
11,21
Applix, Inc.
48765
39660
103183
0,47
Aptimus Inc
46754
33876
30004
1,56
aQuantive, Inc.
6881284
7258911
1397136
4,93
Arbinet-thexchange, Inc.
99312
108769
143054
0,69
Arcadis NV - New York Registry Shares
657
420
3313
0,20
Arch Capital Group Ltd.
97770
111442
256410
0,38
Arctic Cat Inc.
2547120
2318857
102473
24,86
Arden Group, Inc. - Class A
45403
37015
1159
39,17
Arena Pharmaceuticals, Inc.
7293420
6196420
825167
8,84
Ares Capital Corporation - Closed End Fund
3606977
3327677
423408
8,52
ARGON ST, Inc. - common stock
1532521
1580041
94953
16,14
Argonaut Group, Inc.
1343417
1096420
157300
8,54
ARIAD Pharmaceuticals, Inc.
5539139
5376672
656732
8,43
Ariba, Inc.
6591013
4949471
1315567
5,01
Aries Maritime Transport Limited
527059
505239
47904
11,00
Ark Restaurants Corp.
4267
2811
10629
0,40
Arkansas Best Corporation
4941424
3976514
590911
8,36
ARM Holdings, plc - American Depositary Shares
1383648
1269327
618072
2,24
Arotech Corporation
244005
309766
233438
1,05
ArQule, Inc.
1050937
1187499
241532
4,35
Array BioPharma Inc.
2693773
2294127
361326
7,46
Arris Group Inc
12035205
11362189
2993508
4,02
Arrow Financial Corporation
383220
322916
19096
20,07
Arrow International, Inc.
1470800
1562357
113155
13,00
Arrowhead Research Corporation
300885
273440
60003
5,01
Art Technology Group, Inc.
4948250
3609574
1764421
2,80
Artes Medical, Inc.
396027
140198
231596
1,71
Artesian Resources Corporation - Class A
670
2598
6511
0,10
ArthroCare Corporation
3950447
4726897
375916
10,51
Art's-Way Manufacturing Co., Inc.
5073
3582
8198
0,62
ASAT Holdings Limited - American Depositary Shares
5342
8533
33218
0,16
Ascent Solar Technologies, Inc.
1800
1500
35848
0,05
Ascent Solar Technologies, Inc. - Class A Warrants
0
0
9452
0,00
Ascent Solar Technologies, Inc. - Class B Warrants
5936
0
13841
0,43
ASE Test, Limited - Ordinary Shares
286362
302527
202044
1,42
Ashworth, Inc.
308784
374928
93144
3,32
AsiaInfo Holdings, Inc.
546203
628365
472945
1,15
ASM International N.V. - New York Registry Shares
603719
552234
142530
4,24
ASML Holding N.V. - New York Registry Shares
4083481
3462555
4178365
0,98
Aspect Medical Systems, Inc.
1803455
1574602
213217
8,46
Aspen Technology, Inc.
3746250
6860298
1009660
3,71
Aspreva Pharmaceuticals Corporation
1002521
955764
254362
3,94
Asset Acceptance Capital Corp. - COMMON STOCK
963219
918627
89264
10,79
Associated Banc-Corp
4219962
2822453
446976
9,44
Asta Funding, Inc.
5109320
4601938
179188
28,51
Astea International, Inc.
26036
17161
49093
0,53
Astec Industries, Inc.
1251201
1088516
123691
10,12
Astro-Med, Inc.
5469
2222
8191
0,67
Astronics Corporation
12972
14589
18504
0,70
Asyst Technologies, Inc.
2169650
1775576
382340
5,67
Atari, Inc.
113410
35148
41867
2,71
AtheroGenics, Inc.
20368244
18671190
1461154
13,94
Atheros Communications, Inc.
7385884
7290346
2493953
2,96
Atlantic American Corporation
6781
17557
5355
1,27
Atlantic BancGroup Inc
2109
848
609
3,46
Atlantic Coast Federal Corporation
52418
62593
4814
10,89
Atlantic Tele-Network, Inc.
236870
233594
88971
2,66
Atlantis Plastics, Inc. - Class A
259361
261435
11027
23,52
Atlas Air Worldwide Holdings
1098452
972798
154198
7,12
Atlas America, Inc.
871686
873288
68506
12,72
Atlas South Sea Pearl Limited - American Depositary Shares
0
580
1356
0,00
Atmel Corporation
8235088
9034487
7657618
1,08
ATMI Inc.
4712762
3945962
483682
9,74
ATP Oil & Gas Corporation
1747696
1850343
330023
5,30
AtriCure, Inc.
92421
88158
46432
1,99
ATRION Corporation
4676
4477
2355
1,99
ATS Medical, Inc.
109851
87239
76764
1,43
Attunity Ltd. - Ordinary Shares
800
4874
34459
0,02
Auburn National Bancorporation, Inc.
497
741
280
1,78
Audible, Inc.
2371304
2069397
121924
19,45
AudioCodes Ltd. - Ordinary Shares
988129
867798
324282
3,05
Audiovox Corporation - Class A
1024469
854978
77426
13,23
Authentidate Holding Corp.
743260
703295
161222
4,61
Autobytel Inc.
1540841
1568794
167375
9,21
Autodesk, Inc.
5313682
6108119
2453729
2,17
Auxilium Pharmaceuticals, Inc.
1881141
2275228
187303
10,04
Avalon Pharmaceuticals, Inc.
1474
3178
16298
0,09
Avanex Corporation
14942380
11537511
5914775
2,53
Avanir Pharmaceuticals - Class A
7049851
8924192
933345
7,55
Avant Immunotherapeutics, Inc.
122725
191528
114872
1,07
Avatar Holdings Inc.
650047
536931
50776
12,80
AVI BioPharma, Inc.
5477236
5479751
583274
9,39
Avici Systems Inc.
2558937
2528336
566674
4,52
Avid Technology, Inc.
5164735
4966111
689882
7,49
Avigen, Inc.
158370
208257
84214
1,88
Avistar Communications Corporation
7766
1815
59238
0,13
Aviza Technology, Inc. - common stock
28479
8901
126693
0,22
Avocent Corporation
3161632
2271088
755746
4,18
Aware, Inc.
87820
86510
29889
2,94
Axcan Pharma Inc.
2047381
1791760
242153
8,45
Axcelis Technologies, Inc.
4781097
4046110
2136845
2,24
Axsys Technologies, Inc.
85368
150388
16397
5,21
AXT Inc
402671
306168
97408
4,13
 
 
B.O.S. Better Online Solutions - Ordinary shares
102
135
11446
0,01
BabyUniverse, Inc.
162223
64809
67303
2,41
Back Yard Burgers, Inc.
1960
7136
3425
0,57
Baidu.com, Inc. - ADS
2607606
2840285
2609028
1,00
Bakers Footwear Group, Inc.
422631
402950
47994
8,81
Balchem Corporation
580664
485093
28101
20,66
Baldwin & Lyons, Inc. - Class A
2519
197
196
12,85
Baldwin & Lyons, Inc. - Class B
252113
220665
9719
25,94
Ballard Power Systems, Inc.
4478584
4469770
527088
8,50
BancFirst Corporation
324889
287301
24237
13,40
BancFirst Corporation - 7.2% Cumulative Trust Preferred Securities
60
1518
416
0,14
Bancorp Rhode Island, Inc.
21570
45298
4712
4,58
BancTrust Financial Group, Inc.
319341
250447
39963
7,99
Bank McKenney
491
1659
597
0,82
Bank Mutual Corporation
2680126
2120484
309206
8,67
Bank of Commerce Holdings (CA)
1554
4588
755
2,06
Bank of Florida Corporation
155889
148161
14993
10,40
Bank of Granite Corporation
520013
421048
24048
21,62
Bank of Marin
6422
2706
27277
0,24
Bank of Oak Ridge
333
1210
699
0,48
Bank of South Carolina Corp.
1630
2348
904
1,80
Bank of the Carolinas Corporation
2372
692
1307
1,81
Bank of the Ozarks
1731018
1639402
52703
32,84
Bank Of Virginia
2198
3299
1066
2,06
BankAtlantic Bancorp, Inc. - BankAtlantic Bancorp, Inc - BBC Capital Trust II 8.50% Trust Preferred Securities
0
0
1649
0,00
BankFinancial Corporation
919117
757312
47424
19,38
Bankrate Inc
4548168
3750026
344517
13,20
BankUnited Financial Corporation - Class A
8768198
7878033
852155
10,29
Banner Corporation
461842
348459
59962
7,70
Bare Escentuals, Inc.
809729
279786
231458
3,50
Barrett Business Services, Inc.
348526
288037
39954
8,72
Barrier Therapeutics, Inc.
451301
482111
121025
3,73
Basin Water, Inc.
3258436
3175158
132268
24,64
Bassett Furniture Industries, Incorporated
428600
346751
21934
19,54
Bay National Corporation (Maryland)
393
496
363
1,08
BB&T Corporation - Mason-Dixon Capital Trust - $2.5175 Preferred Securities
614
166
363
1,69
BCB Bancorp, Inc. (NJ)
568
1927
1654
0,34
BCSB Bankcorp, Inc.
1929
1430
3144
0,61
BE Aerospace, Inc.
5131712
4406134
895044
5,73
BEA Systems, Inc.
8373813
6364670
9348885
0,90
Beach First National Bancshares Inc
7060
4219
8902
0,79
Beacon Power Corporation
807291
1363149
1098479
0,73
Beacon Roofing Supply, Inc.
8316271
8684544
1025519
8,11
Beasley Broadcast Group, Inc. - Class A
47113
84886
11459
4,11
bebe stores, inc.
4776180
4056271
1031351
4,63
Bed Bath & Beyond Inc.
10417544
9160659
2167696
4,81
Beijing Med-Pharm Corporation
449873
290929
194344
2,31
Bel Fuse Inc. - Class A
6622
6074
7388
0,90
Bel Fuse Inc. - Class B
751082
450754
45213
16,61
Bell Microproducts Inc.
1098637
1031215
332265
3,31
Benihana Inc.
7127
15464
1756
4,06
Benihana Inc. - Class A
31960
52470
41478
0,77
Benjamin Franklin Bancorp, Inc.
3211
11987
6406
0,50
Berkshire Bancorp, Inc.
4135
1178
7641
0,54
Berkshire Hills Bancorp, Inc.
322553
272808
17506
18,43
Beverly Hills Bancorp Inc.
75528
53986
58682
1,29
Big 5 Sporting Goods Corporation - common stock
853101
836306
54922
15,53
Big Dog Holding, Inc.
443834
428680
6792
65,35
Bioanalytical Systems, Inc.
7029
3805
8654
0,81
BioCryst Pharmaceuticals, Inc.
2985935
2959094
417827
7,15
BioDelivery Sciences International, Inc.
2498
2369
27646
0,09
BioDelivery Sciences International, Inc. - Class A Warrant
2952
10830
6908
0,43
Bioenvision, Inc.
3638211
3397951
249687
14,57
Biogen Idec Inc
7260954
8594528
3267990
2,22
Bio-Imaging Technologies, Inc.
288862
282845
80020
3,61
Bioject Medical Technologies Inc.
3114
11952
25059
0,12
BioLase Technology, Inc.
5157240
5194602
118142
43,65
BioMarin Pharmaceutical Inc.
10218529
9270822
1166432
8,76
Biomet, Inc.
4166837
5067112
2891087
1,44
BioMimetic Therapeutics, Inc.
394848
249943
229236
1,72
Biomira Inc.
235096
318444
408427
0,58
BioProgress plc - American Depositary Shares representing 10 Ordinary Shares
5530
7785
998
5,54
Biopure Corporation - Class A
766919
573728
771155
0,99
Bio-Reference Laboratories, Inc.
1177498
803195
147623
7,98
BioScrip, Inc.
1152145
1074610
197709
5,83
Biosite, Inc.
3153108
4025570
265870
11,86
BioSphere Medical, Inc.
576851
570123
46435
12,42
BioVeris Corporation
478008
407758
53590
8,92
Birner Dental Management Services, Inc.
600
1804
743
0,81
Bitstream Inc.
86504
103606
93619
0,92
BJ's Restaurants, Inc.
1951756
1891146
98434
19,83
Black Box Corporation
1307202
1155403
117191
11,15
Blackbaud, Inc.
2300533
1607160
551497
4,17
Blackboard Inc.
3430592
3276386
337929
10,15
BlackRock S&P 500 Protected Equity Fund, Inc. (The) - Closed End Fund
14701
15183
7846
1,87
BLDRS Index Funds Trust - BLDRS Asia 50 ADR Index Fund
31919
14420
39160
0,82
BLDRS Index Funds Trust - BLDRS Developed Markets 100 ADR Index Fund
21961
43766
17660
1,24
BLDRS Index Funds Trust - BLDRS Emerging Markets 50 ADR Index Fund
275851
396025
248249
1,11
BLDRS Index Funds Trust - BLDRS Europe 100 ADR Index Fund
1944
19826
15626
0,12
Blue Coat Systems Inc
1064807
1097085
268278
3,97
Blue Dolphin Energy Company
456671
462016
153893
2,97
Blue Holdings, Inc.
50785
70612
261085
0,19
Blue Nile, Inc.
4100878
4143513
190689
21,51
Blue River Bancshares, Inc.
418
396
1882
0,22
Bluefly, Inc.
198118
114853
154219
1,28
BluePhoenix Solutions, Ltd. - Ordinary Shares
89502
94416
32162
2,78
BNC Bancorp
1355
1648
2438
0,56
Bnccorp, Inc.
1427
1542
4528
0,32
Boardwalk Bancorp, Inc.
1095
4818
3945
0,28
Bob Evans Farms, Inc.
2143959
2022389
252624
8,49
BOE Financial Services of Virginia Inc.
883
136
1883
0,47
BofI Holding, Inc.
19825
18233
11981
1,65
BOK Financial Corporation
187747
224793
30151
6,23
Bonso Electronics International, Inc.
13725
15048
20466
0,67
Bon-Ton Stores, Inc. (The)
1962119
2045615
186069
10,55
Bookham, Inc.
4753857
4280951
1883196
2,52
Books-A-Million, Inc.
1479687
1692304
102459
14,44
Borland Software Corporation
11252692
4466274
2053154
5,48
Boston Communications Group, Inc.
470399
464653
140187
3,36
Boston Life Sciences, Inc.
5591
3577
5277
1,06
Boston Private Financial Holdings, Inc.
2950743
2755956
319308