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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
9,24
Bottomline Technologies, Inc.
1272465
1350203
234938
5,42
BreitBurn Energy Partners, L.P.
247129
199160
38996
6,34
Bridge Capital Holdings
3278
13203
10121
0,32
Bridgford Foods Corporation
34575
32979
5476
6,31
Brigham Exploration Company
2594629
2291563
523813
4,95
Bright Horizons Family Solutions Inc.
1443919
1267625
125167
11,54
Brightpoint, Inc.
3687349
3503265
1303077
2,83
Britton & Koontz Capital Corporation
865
594
912
0,95
Broadcom Corporation - Class A
17107510
23531348
16149366
1,06
Broadway Financial Corporation
490
281
796
0,62
Brocade Communications Systems, Inc.
15854998
23271349
10387403
1,53
Bronco Drilling Company, Inc.
2154886
1343551
758237
2,84
Brooke Corporation
26174
28750
15360
1,70
Brookline Bancorp, Inc.
4932763
4431034
261810
18,84
Brooklyn Federal Bancorp, Inc.
2475
2375
14415
0,17
Brooks Automation, Inc.
3923709
3357923
828474
4,74
Bruker BioSciences Corporation
1782798
1481226
389018
4,58
Bryn Mawr Bank Corporation
36490
37726
3338
10,93
BSML, Inc.
502013
503998
27509
18,25
BSQUARE Corporation
17627
34925
84358
0,21
BTU International, Inc.
754486
981938
48679
15,50
BUCA, Inc.
908607
897254
21845
41,59
Bucyrus International, Inc. - Class A
2806818
2575096
523532
5,36
Buffalo Wild Wings, Inc.
1731948
1566765
376980
4,59
Builders FirstSource, Inc.
1662005
1395660
130877
12,70
Business Objects S.A. - American Depositary Shares
2764495
3063636
2074317
1,33
 
 
C&F Financial Corporation
4459
842
5582
0,80
C.H. Robinson Worldwide, Inc.
9180603
8302619
1992330
4,61
Cabot Microelectronics Corporation
3459828
3246966
262618
13,17
Cache, Inc.
1208683
1042497
276323
4,37
Cadence Design Systems, Inc.
14711841
14585552
4346174
3,39
Cadence Financial Corporation
342949
289931
27311
12,56
Cadence Pharmaceuticals, Inc.
247142
209862
61434
4,02
Cadiz, Inc.
8782
21326
13936
0,63
Cadmus Communications Corporation
41157
38488
49858
0,83
Calamos Asset Management, Inc. - Class A
1273987
1045949
271128
4,70
CalAmp Corp.
1038448
735402
179153
5,80
Calavo Growers, Inc.
127182
49455
34676
3,67
California Coastal Communities Inc
744474
653614
37460
19,87
California First National Bancorp
237
562
1321
0,18
California Micro Devices Corporation
166776
103532
92629
1,80
California Pizza Kitchen, Inc.
2533224
2223153
206957
12,24
Caliper Life Sciences Inc
601419
474764
127427
4,72
Caliper Life Sciences Inc - Warrant, par value $0.001, 5 year expiration and exercise price of $6.79.
3240
4255
4429
0,73
Callidus Software, Inc.
226828
177483
143971
1,58
CallWave, Inc.
220713
308423
93118
2,37
Cal-Maine Foods, Inc.
396376
202724
291483
1,36
Calumet Specialty Products Partners, L.P.
14194
9483
28793
0,49
CAM Commerce Solutions, Inc.
5457
3131
8759
0,62
Cambridge Display Technology, Inc.
293282
326135
28949
10,13
Camco Financial Corporation
4162
3034
13641
0,31
Camtek Ltd. - Ordinary Shares
14859
29664
46270
0,32
Canadian Solar Inc. - common shares
151976
234599
355393
0,43
Candela Corporation
1461056
839275
491276
2,97
Cape Fear Bank Corporation
516
2706
1084
0,48
Capella Education Company
127124
102120
47465
2,68
Capital Bank Corporation
8957
9435
7032
1,27
Capital City Bank Group
792416
711473
23720
33,41
Capital Corp of the West
363509
304318
38726
9,39
Capital Crossing Bank
0
60968
0
Capital Crossing Preferred Corporation - Series A Non-Cumulative Exchangeable Preferred Stock
0
1438
1084
0,00
Capital Crossing Preferred Corporation - Series C Non-Cumulative Exchangeable Preferred Stock
1204
2481
1696
0,71
Capital Crossing Preferred Corporation - Series D Non-Cumulative Exchangeable Preferred Stock
1494
1781
664
2,25
Capital One Financial Corporation - Costal Capital Trust I - 9.00%Cumulative Trust Preferred Securities
2591
4418
2610
0,99
Capital Southwest Corporation
97743
83749
11034
8,86
CapitalSouth Bancorp
738
949
5472
0,13
Capitol Federal Financial
1400312
1470593
60882
23,00
Capstone Turbine Corporation
15204227
14614750
4682324
3,25
Captaris Inc.
731417
325822
259162
2,82
Caraustar Industries, Inc.
1391906
1322793
111964
12,43
Cardiac Science Corporation
86015
32120
49687
1,73
Cardica, Inc.
195148
306683
64890
3,01
Cardinal Financial Corporation
1207332
1027355
93070
12,97
Cardinal State Bank
252
252
1994
0,13
CardioDynamics International Corporation
165931
185335
155754
1,07
Cardiome Pharma Corporation - Ordinary Shares (Canada)
2541819
2494376
273290
9,30
Career Education Corporation
5770351
6055756
1755523
3,29
Caribou Coffee Company, Inc.
265889
215904
43673
6,09
Carmike Cinemas, Inc.
2479528
2449295
121575
20,40
Carolina Bank Holdings Inc.
1217
803
865
1,41
Carolina National Corporation
293
203
2291
0,13
Carolina Trust Bank
240
189
161
1,49
Carreker Corporation
102216
100425
157242
0,65
Carrier Access Corporation
987120
1131794
149739
6,59
Carrington Laboratories, Inc.
62078
73082
39641
1,57
Carrizo Oil & Gas, Inc.
3211866
2607382
320748
10,01
Carrollton Bancorp
1199
499
1092
1,10
Carrols Restaurant Group, Inc.
67955
48323
74203
0,92
CAS Medical Systems, Inc.
1388
1547
17229
0,08
Cascade Bancorp
3863143
4053863
185239
20,85
Cascade Financial Corp.
18255
50796
11866
1,54
Cascade Microtech, Inc.
23917
53667
31400
0,76
Casella Waste Systems, Inc. - Class A
1554797
1465249
72374
21,48
Casey's General Stores, Inc.
3678817
3268067
195883
18,78
Cash Systems Inc
802952
630817
90411
8,88
Cass Information Systems, Inc
171871
134874
7425
23,15
Castelle
536
775
9191
0,06
Casual Male Retail Group, Inc.
3991519
5579307
701721
5,69
Catalyst Pharmaceutical Partners, Inc.
1715
7470
83122
0,02
Catalyst Semiconductor, Inc.
34705
25941
32511
1,07
Catalytica Energy Systems, Inc.
60320
66605
33653
1,79
Catapult Communicatons Corporation
302377
304948
44735
6,76
Cathay General Bancorp
2817129
2705713
179906
15,66
Catuity Inc.
45909
56099
97862
0,47
Cavco Industries, Inc.
417440
417226
32998
12,65
Cbeyond, Inc.
1818829
1427997
389698
4,67
CBRL Group Inc.
2644079
3260550
569465
4,64
CCF Holding Company
459
610
968
0,47
C-COR Incorporated
3694744
2731633
935746
3,95
CDC Corporation - Class A Common Shares
1388323
1308577
3492934
0,40
CDW Corporation
3114366
3677652
1079871
2,88
CECO Environmental Corp.
61837
55767
158102
0,39
Celadon Group, Inc.
1182878
947617
383341
3,09
Celebrate Express, Inc.
42637
46654
71409
0,60
Celgene Corporation
21767493
23519712
3107845
7,00
Cell Genesys, Inc.
6467123
6736130
907254
7,13
Cell Therapeutics, Inc.
5592217
7853424
785066
7,12
Centennial Bank Holdings, Inc.
1958819
1611814
245581
7,98
Centennial Communications Corporation - Class A
1850141
1778001
174363
10,61
Center Bancorp, Inc.
13381
12379
9741
1,37
Center Financial Corporation
522391
404519
44082
11,85
Centerstate Banks of Florida, Inc.
283800
262276
16923
16,77
Centillium Communications, Inc.
125380
124897
140722
0,89
Central Bancorp, Inc
373
1870
510
0,73
Central European Distribution Corporation
2504432
2416047
281889
8,88
Central European Media Enterprises Ltd. - Class A
1078688
845055
200793
5,37
Central Federal Corporation
2683
1918
12530
0,21
Central Garden & Pet Company
2651060
2392934
1259319
2,11
Central Garden & Pet Company - Class A
5589197
0
662859
8,43
Central Jersey Bancorp
4397
4529
3870
1,14
Central Valley Community Bancorp
978
1037
3940
0,25
Central Virginia Bankshares, Inc.
370
280
947
0,39
Centrue Financial Corporation
935
1328
7123
0,13
Century Aluminum Company
4359716
4229071
715250
6,10
Century Bancorp, Inc. - Class A
13785
14028
1671
8,25
Century Casinos, Inc.
1480296
1174170
102384
14,46
Cephalon, Inc.
10117465
11482869
1587126
6,37
CEPHEID
5278499
4839318
201655
26,18
Ceradyne, Inc.
4578195
5202891
574874
7,96
Ceragon Networks Ltd. - Ordinary Shares
100712
22236
206674
0,49
Cerner Corporation
12574171
10568086
1041225
12,08
Cerus Corporation
2344375
2308621
287628
8,15
CEVA, Inc.
48435
31208
58884
0,82
CFS Bancorp, Inc.
18008
14254
10952
1,64
Champion Industries, Inc.
8565
9197
30520
0,28
Champps Entertainment, Inc
325511
321299
10768
30,23
Channell Commercial Corporation
8221
7541
7251
1,13
Chaparral Steel Company
2243260
2059591
561075
4,00
Charles & Colvard Ltd
1333321
1344108
117179
11,38
Charles Schwab Corporation (The)
14532313
15498959
8256323
1,76
Charlotte Russe Holding, Inc.
1639327
1701105
741052
2,21
Charming Shoppes, Inc.
12034920
12364794
1225280
9,82
Chart Industries, Inc.
466596
346065
92197
5,06
Charter Communications, Inc. - Class A
83341342
84118527
12227298
6,82
Chartered Semiconductor Manufacturing Ltd. - American Depositary Shares
312845
149523
261807
1,19
Chattem, Inc.
2806806
2967043
313712
8,95
Check Point Software Technologies Ltd. - Ordinary Shares
7601772
6767914
2349805
3,24
CheckFree Corporation
8953355
8376953
1354160
6,61
Cheesecake Factory Incorporated (The)
6678060
7119828
1548252
4,31
Chelsea Therapeutics International, Ltd.
8297
6815
161844
0,05
Chemgenex Pharmaceuticals Ltd - Sponsored American Depositary Receipt (Australia)
954
131
1050
0,91
Chemical Financial Corporation
1102315
1034947
107347
10,27
Cherokee Inc.
256279
244021
35812
7,16
Cherokee International Corporation
144148
134362
36658
3,93
Cheviot Financial Corp
3013
2146
4495
0,67
Chicopee Bancorp, Inc.
52770
3557
5861
9,00
Children's Place Retail Stores, Inc. (The)
2273130
2605583
833659
2,73
China Automotive Systems, Inc.
869241
829713
142695
6,09
China BAK Battery, Inc.
2085291
1613825
658054
3,17
China Finance Online Co. Limited - American Depositary Shares representing 5 ordinary shares
95874
58176
144763
0,66
China Grentech Corporation Limited - american depositary shares
105756
115590
167975
0,63
China Medical Technologies, Inc. - ADS
2103567
2007244
412305
5,10
China Natural Resources, Inc.
194236
187744
18600
10,44
China Precision Steel, Inc.
424617
370464
244494
1,74
China TechFaith Wireless Communication Technology Limited - American Depository Shares
2896479
2522090
181303
15,98
China Technology Development Group Corporation
340591
386212
261817
1,30
Chindex International, Inc.
297027
251762
295187
1,01
ChipMOS TECHNOLOGIES (Bermuda) LTD.
1165573
1138431
1422113
0,82
Cholestech Corporation
117703
101177
117484
1,00
Chordiant Software, Inc.
2875678
2559800
409588
7,02
CHS Inc - 8% Cumulative Redeemable Preferred Stock
9397
11888
4440
2,12
Churchill Downs, Incorporated
390003
271556
52074
7,49
Ciena Corporation
6258962
6222696
3219891
1,94
Cimatron, Limited - Ordinary Shares
6325
6625
1643
3,85
Cincinnati Financial Corporation
1608872
1306458
495064
3,25
Cintas Corporation
3843121
3019505
821397
4,68
Ciphergen Biosystems, Inc.
74866
72172
203834
0,37
Ciprico Inc.
6441
4435
9795
0,66
Cirrus Logic, Inc.
4540572
4698951
1402492
3,24
Cisco Systems, Inc.
42509610
64319369
65575440
0,65
Citi Trends, Inc.
2354894
2192368
168013
14,02
Citigroup Inc. - Principal-Protected Equity Linked Notes Based Upon the Nasdaq-100 Index
0
0
0
Citigroup Inc. - Stock Market Upturn Notes Based Upon the Nasdaq-100 Index
884
0
1213
0,73
Citizens & Northern Corp
30589
32528
3903
7,84
Citizens Banking Corporation
3552984
4440705
356777
9,96
Citizens Banking Corporation - Capital Trust I - 8.60% Cumulative Trust Preferred Securities
0
0
1940
0,00
Citizens Community Bancorp, Inc.
1042
646
29086
0,04
Citizens Financial Corporation
1
137
78
0,01
Citizens First Bancorp, Inc.
295218
237774
14726
20,05
Citizens First Corporation
2340
2248
581
4,03
Citizens Holding Company
1255
524
1268
0,99
Citizens South Banking Corporation
16374
9204
5390
3,04
Citrix Systems, Inc.
5616773
5285570
3569122
1,57
City Bank
838626
694320
46094
18,19
City Holding Company
620770
476627
41456
14,97
City Telecom (H.K.) Limited - American Depositary Shares
70353
2178
106419
0,66
Civitas BankGroup, Inc. (TN)
5773
3613
97517
0,06
CKX, Inc.
3684741
2889048
304764
12,09
Clarient, Inc.
101868
120442
106187
0,96
Claymont Steel Holdings, Inc.
387851
341302
84860
4,57
Clayton Holdings, Inc.
436899
394145
79254
5,51
Clayton Williams Energy, Inc.
268007
217938
28059
9,55
Clean Harbors, Inc.
1484319
2374070
271496
5,47
ClearPoint Business Resources, Inc.
50766
0
60732
0,84
ClearPoint Business Resources, Inc. - Units 4/19/2009
100377
0
1652
60,76
ClearPoint Business Resources, Inc. - Warrants 4/19/2005
2000
0
55071
0,04
Cleveland BioLabs, Inc.
19258
4752
219666
0,09
ClickSoftware Technologies Ltd. - Ordinary Shares
105822
97633
338132
0,31
Clifton Savings Bancorp, Inc.
408499
337588
38230
10,69
Clinical Data, Inc.
50611
61331
16494
3,07
CMGI, Inc.
17323050
15151184
4114889
4,21
CNB Financial Corporation
3418
2135
1608
2,13
CNET Networks, Inc.
12849963
12439991
3126320
4,11
CoActive Marketing Group Inc
26
5219
10770
0,00
Coast Financial Holdings, Inc.
1283482
109067
374554
3,43
Coastal Financial Corporation
583798
528971
129213
4,52
CoBiz, Inc.
666949
586139
114787
5,81
Cobra Electronics Corporation
12085
12900
6408
1,89
Coca-Cola Bottling Co. Consolidated
175544
148116
15564
11,28
Codorus Valley Bancorp, Inc
1449
595
1970
0,74
Cogent Communications Group, Inc. - Cogent
3262342
2224723
442722
7,37
Cogent, Inc.
6986007
6886961
678143
10,30
Cognex Corporation
2656552
2737064
366505
7,25
Cognizant Technology Solutions Corporation - Class A
4049042
4004487
1620599
2,50
Cognos Incorporated
1130812
2151431
1596598
0,71
Coherent, Inc.
2439524
1880605
258518
9,44
Cohesant Technologies Inc.
599
254
2031
0,29
Cohu, Inc.
1479907
1108893
156940
9,43
Coinstar, Inc.
2051902
1557104
209408
9,80
Coldwater Creek, Inc.
10789922
9801861
3933927
2,74
Coley Pharmaceutical Group, Inc.
3811993
3273503
131768
28,93
CollaGenex Pharmaceuticals, Inc.
1994799
1817025
206309
9,67
Collectors Universe, Inc.
183289
176282
24105
7,60
Colonial Bankshares, Inc.
514
5068
757
0,68
Colony Bankcorp, Inc.
88772
92087
3785
23,45
Color Kinetics Incorporated
2076380
1626783
514089
4,04
Columbia Bancorp
294578
235322
17582
16,75
Columbia Banking System, Inc.
622175
555880
53733
11,58
Columbia Laboratories, Inc.
2673744
2204293
1676544
1,59
Columbia Sportswear Company
1727012
1596165
379383
4,55
Columbus McKinnon Corporation
1063135
994799
135741
7,83
COMARCO, Inc.
21001
21237
6193
3,39
CombinatoRx, Incorporated
963686
746680
131114
7,35
Comcast Corporation - Class A
48510932
54011931
12351850
3,93
Comcast Corporation - Class A Special
10754158
12593934
5064006
2,12
Comm Bancorp, Inc.
1110
1455
576
1,93
Commerce Bancshares, Inc.
1548010
1476040
169932
9,11
COMMERCEFIRST BANCORP INC
2527
2653
608
4,16
Commercial Bankshares, Inc.
18060
11087
58370
0,31
Commercial National Financial Corporation
2544
2508
158
16,10
Commercial Vehicle Group, Inc.
773035
681364
126109
6,13
Commonwealth Bankshares, Inc.
1963
1694
4323
0,45
Commonwealth Biotechnologies, Inc.
15596
13748
21060
0,74
Commonwealth Telephone Enterprises, Inc.
1005090
846780
251093
4,00
Commtouch Software Ltd. - Ordinary Shares
269443
287278
465453
0,58
Community Bancorp
478362
372344
89747
5,33
Community Bank Shares of Indiana, Inc.
668
470
1063
0,63
Community Banks, Inc.
789957
651512
37607
21,01
Community Capital Bancshares, Inc.
267
400
1627
0,16
Community Capital Corporation
2051
1882
1822
1,13
Community Central Bank Corp.
435
569
1591
0,27
Community Financial Corp.
964
1295
1588
0,61
Community National Bank of the Lakeway Area
3640
3235
993
3,67
Community Partners Bancorp
2010
993
1673
1,20
Community Shores Bank Corp.
467
207
808
0,58
Community Trust Bancorp, Inc.
747341
661010
59771
12,50
Community Trust Bancorp, Inc. - CTBI Preferred Capital Trust - 9.0% Cumulative Trust Preferred Securities
1033
788
1591
0,65
Community Valley Bancorp
947
1044
972
0,97
Community West Bancshares
659
654
2780
0,24
CommVault Systems, Inc.
522540
476513
215965
2,42
Compass Bancshares, Inc.
3145883
3077645
895927
3,51
Compass Diversified Trust - Shares of Beneficial Interest
451933
354478
44107
10,25
CompuCredit Corporation
6710793
8721426
820699
8,18
CompuDyne Corporation
58521
58628
57772
1,01
Compugen Ltd. - Ordinary Shares
29315
29340
168778
0,17
Computer Horizons Corp.
38625
69715
114801
0,34
Computer Programs and Systems, Inc.
1083308
933473
117787
9,20
Computer Task Group, Incorporated
22371
21585
25769
0,87
Compuware Corporation
3548902
2792897
2640921
1,34
Comstock Homebuilding Companies, Inc. - Class A
1592065
1771251
118399
13,45
COMSYS IT Partners, Inc. - common stock
584753
548826
140940
4,15
Comtech Group, Inc.
3667368
4158196
558726
6,56
Comtech Telecommunications Corp.
2121846
2182751
147106
14,42
Conceptus, Inc.
2714760
2293036
277471
9,78
Concord Camera Corp.
14032
15583
23430
0,60
Concur Technologies, Inc.
5358556
5123112
377694
14,19
Concurrent Computer Corporation
694482
1106409
1617958
0,43
Conexant Systems, Inc.
26276253
21758709
11491498
2,29
CONMED Corporation
2023851
1579335
249346
8,12
Connecticut Bank and Trust Company (The)
927
6284
6084
0,15
Connecticut Water Service, Inc.
22352
19140
12620
1,77
Conn's, Inc.
4378383
4225369
194426
22,52
Conolog Corporation
215534
63017
667842
0,32
Consolidated Communications Holdings, Inc.
842347
659952
79008
10,66
Consolidated Mercantile Inc
530
365
3248
0,16
Consolidated Water Co. Ltd. - Ordinary Shares
340893
323142
38372
8,88
Constar International Inc.
355206
267815
48225
7,37
Consulier Engineering, Inc.
17357
19006
24897
0,70
Consumer Portfolio Services, Inc.
441437
325388
57780
7,64
Convera Corporation - Class A
5881479
6201630
108915
54,00
Converted Organics Inc. - Units consisting of one share of common, one Class A warrant and one-non redeemable Class B warrant
0
0
0
Cooperative Bankshares, Inc.
82390
83743
8628
9,55
Copano Energy, L.L.C.
162246
115100
74850
2,17
Copart, Inc.
811960
1560977
293325
2,77
Corautus Genetics, Inc.
13250
11400
623281
0,02
Corcept Therapeutics Incorporated
82962
176511
43315
1,92
Corel Corporation
9451
112849
27540
0,34
Core-Mark Holding Company, Inc.
490365
377912
31748
15,45
Corgi International Limited - American Depositary Shares
2299
1406
14563
0,16
Corillian Corporation
722100
812978
1621275
0,45
Corinthian Colleges, Inc.
8637958
8697795
860149
10,04
Corporate Executive Board Company (The)
2762936
2074550
732728
3,77
CORUS Bankshares, Inc.
19379096
18249124
981694
19,74
CorVel Corp.
803872
794802
216659
3,71
Cosi, Inc.
5948627
4608866
619331
9,60
Cost Plus, Inc.
6243839
6938675
339242
18,41
CoStar Group, Inc.
1642409
1622209
105706
15,54
Costco Wholesale Corporation
8226067
8628402
2871513
2,86
Cost-U-Less, Inc.
2155
8369
15892
0,14
Courier Corporation
373837
287476
24154
15,48
Covansys Corporation
1140638
895551
214230
5,32
Covenant Transport, Inc. - Class A
200577
218800
24854
8,07
Cowen Group, Inc. - common stock
759826
602638
207783
3,66
Cowlitz Bancorporation
3900
5934
10291
0,38
CPAC, Inc.
1379
1276
23064
0,06
CPI International, Inc.
206208
166873
23933
8,62
CRA International,Inc.
1039368
962636
98616
10,54
Craftmade International, Inc.
39044
57778
13086
2,98
Cray Inc
1299163
1019951
352391
3,69
Creative Technology Ltd. - Ordinary Shares
193448
181436
47194
4,10
Credence Systems Corporation
4804586
4109714
2191752
2,19
Credit Acceptance Corporation
824196
778371
34131
24,15
Credo Petroleum Corporation
25038
41244
9094
2,75
Cree, Inc.
8722703
12219869
1908275
4,57
Crescent Banking Company
442
1075
2600
0,17
Crescent Financial Corporation
6242
3817
9622
0,65
Cresud S.A.C.I.F. y A. - American Depositary Shares
546967
496294
128208
4,27
Critical Therapeutics, Inc.
146038
157680
168930
0,86
CRM Holdings, Ltd.
6358
8321
68305
0,09
Crocs, Inc.
11532637
11925234
1880275
6,13
Cronos Group (The)
2880
224
6840
0,42
Cross Country Healthcare, Inc.
1455944
1138280
174808
8,33
Crosstex Energy, Inc.
3091698
3012142
183025
16,89
Crosstex Energy, L.P.
35347
46809
56220
0,63
Crown Media Holdings, Inc. - Class A
3249025
2631431
135266
24,02
Crucell NV - American Depositary Shares
1063823
1069212
103493
10,28
CryoCor, Inc.
3978
6486
8322
0,48
Cryptologic, Inc.
1004533
1263510
242121
4,15
CSG Systems International, Inc.
2842773
2478860
686521
4,14
CSP Inc.
2207
4272
3091
0,71
CT Communications, Inc.
2291134
2213849
125261
18,29
CTC Media, Inc.
1035521
350936
412559
2,51
CTI Industries Corporation
28914
24561
27422
1,05
Ctrip.com International, Ltd. - American Depositary Shares
1101737
1619635
637099
1,73
Cubist Pharmaceuticals, Inc.
6765287
5902312
1113925
6,07
Cumulus Media Inc.
7030716
6321123
304484
23,09
CuraGen Corporation
2173126
2591490
169585
12,81
Curis, Inc.
744779
731838
129233
5,76
Cutera, Inc.
739090
865985
311190
2,38
Cutter & Buck Inc.
54026
55516
19774
2,73
CV Therapeutics, Inc.
16256941
16343727
1438927
11,30
CVB Financial Corporation
4988012
3930188
279628
17,84
Cyanotech Corporation
3852
1510
30679
0,13
Cyberonics, Inc.
4853002
3949014
577236
8,41
CyberOptics Corporation
116973
138264
42144
2,78
CyberSource Corporation
1743350
1622504
218732
7,97
Cybex International, Inc.
304685
796733
44062
6,91
Cyclacel Pharmaceuticals, Inc.
3015
2763
20584
0,15
Cyclacel Pharmaceuticals, Inc. - 6% Convertible Preferred Stock
1578
4033
402
3,93
Cygne Designs, Inc
1293
2170
5965
0,22
Cymer, Inc.
3359263
2887168
1117658
3,01
Cynosure, Inc. - Class A
252330
218761
183882
1,37
Cypress Bioscience, Inc.
3139584
4188333
267009
11,76
Cytogen Corporation
512403
449823
91355
5,61
Cytokinetics, Incorporated
1913013
1478067
115857
16,51
Cytori Therapeutics Inc
4374
12690
61147
0,07
CytRx Corporation
2948878
1504077
2240732
1,32
Cytyc Corporation
1312579
1462095
758334
1,73
 
 
D&E Communications, Inc.
46975
46045
19166
2,45
Dade Behring Holdings, Inc
935027
1066886
664729
1,41
DAG Media, Inc.
6289
4161
7087
0,89
Dai'ei, Inc. - American Depositary Shares exempt pursuant to 12g3-2(b)
60
60
105
0,57
Daily Journal Corp. (S.C.)
1840
900
108
17,04
Daktronics, Inc.
3883813
3415926
1152250
3,37
Danka Business Systems PLC - American Depositary Shares
2014023
1968587
133938
15,04
Dassault Systemes, S.A. - American Depositary Shares
53228
32539
27738
1,92
Data I/O Corporation
1222
44
10595
0,12
Datalink Corporation
98766
316352
142452
0,69
Dataram Corporation
4224
3382
16379
0,26
Datascope Corp.
675766
620248
55747
12,12
DataTrak International, Inc.
310515
326918
38863
7,99
Datawatch Corporation
3549
1344
12130
0,29
Dawson Geophysical Company
550276
517992
143455
3,84
DayStar Technologies, Inc.
1320298
1002972
772993
1,71
DayStar Technologies, Inc. - Warrant
8134
2671
75122
0,11
Dayton Superior Corporation
27378
550
41493
0,66
DCAP Group Inc
18
400
3129
0,01
DDi Corp.
418180
419688
37562
11,13
DealerTrack Holdings, Inc.
1233497
1013580
244317
5,05
Dearborn Bancorp, Inc.
25342
28892
20931
1,21
Deb Shops, Inc.
202300
147543
14325
14,12
Deckers Outdoor Corporation
1690905
1714584
248888
6,79
deCODE genetics, Inc.
5133814
4588314
475349
10,80
Dectron International, Inc.
614
1443
4401
0,14
Delcath Systems, Inc.
643383
641044
95181
6,76
dELIA*s Inc.
1662010
1537146
159469
10,42
Dell Inc.
29802745
34071025
24530801
1,21
DelphaxTechnologies Inc.
14373
17229
6444
2,23
Delta Galil Industries Ltd. - American Depositary Shares
85
182
1175
0,07
Delta Natural Gas Company, Inc.
2728
2736
2725
1,00
Delta Petroleum Corporation
6204086
6088541
1005231
6,17
deltathree Inc - Class A
130529
172014
63731
2,05
Dendreon Corporation
20306278
16799777
1537648
13,21
Dendrite International, Inc.
1590301
1401775
182103
8,73
Denny's Corporation
5872304
3766543
1134257
5,18
DENTSPLY International Inc.
2550047
1731428
1027464
2,48
Depomed, Inc.
3395452
3004161
334954
10,14
Descartes Systems Group Inc. (The)
241066
231407
48806
4,94
Desert Community Bank
5256
1858
12203
0,43
Design Within Reach, Inc.
281258
285432
11620
24,20
Deswell Industries, Inc.
24779
29038
17745
1,40
Devcon International Corp.
27996
4871
13696
2,04
DexCom, Inc.
5310675
5449982
401226
13,24
DG FastChannel, Inc.
65612
57507
82053
0,80
DGSE Companies, Inc.
22
397
8576
0,00
Dialysis Corporation of America
144268
166659
15408
9,36
Diamond Foods, Inc.
805734
712007
56009
14,39
Diamond Hill Investment Group, Inc. - Class A
5765
4354
6557
0,88
Diamond Management & Technology Consultants, Inc.
1211412
1355054
315992
3,83
Diedrich Coffee
17156
22961
6580
2,61
Digene Corporation
2769309
2669882
502315
5,51
Digi International Inc.
1247711
900588
136638
9,13
Digimarc Corporation
115695
25960
193771
0,60
Digirad Corporation
27336
36957
28420
0,96
Digital Music Group, Inc.
103055
66802
81156
1,27
Digital Recorders, Inc.
24360
17194
43501
0,56
Digital River, Inc.
4629560
5644636
1884782
2,46
Dime Community Bancshares, Inc.
1555847
1290306
102452
15,19
Diodes Incorporated
2228124
2068238
504332
4,42
Dionex Corporation
1156257
1146778
100952
11,45
Direct General Corporation
773310
754172
104068
7,43
Directed Electronics, Inc.
665579
397100
145761
4,57
Discovery Holding Co - Class A
10206662
10129702
1068446
9,55
Discovery Holding Co - Series B common stock
248
160
859
0,29
Discovery Laboratories, Inc.
3124383
3273306
618300
5,05
Distributed Energy Systems Corporation
3424550
4511300
419192
8,17
Ditech Networks, Inc.
1470337
1139088
173534
8,47
Diversa Corporation
5562094
4654932
429532
12,95
DivX, Inc. - common stock
2169053
1718904
655090
3,31
Dixie Group, Inc. (The)
194557
207880
29052
6,70
Dobson Communications Corporation - Class A
23591804
20428549
3223235
7,32
DocuCorp International, Inc.
75772
74221
158360
0,48
Document Sciences Corporation
1070
756
3264
0,33
Dollar Financial Corp.
597298
469350
275406
2,17
Dollar Tree Stores, Inc.
6386636
6744159
1129571
5,65
Dominion Homes Inc.
1375513
941007
50205
27,40
Donegal Group, Inc. - Class A
417743
330130
26770
15,60
Donegal Group, Inc. - Class B
11051
9354
466
23,71
Dorchester Minerals, L.P.
25858
32539
38658
0,67
Dorel Industries, Inc. - Class B Subordinate Voting Shares
484467
481168
4124
117,48
Dorman Products, Inc.
88160
97356
9858
8,94
Dot Hill Systems Corporation
2198740
1913141
132631
16,58
Double Eagle Petroleum Company
52612
64941
48267
1,09
Double-Take Software, Inc.
342014
131642
204405
1,67
Dover Saddlery, Inc.
45054
45374
4495
10,02
Draxis Health Inc.
52618
38329
164922
0,32
DRDGOLD Limited - American Depositary Shares
2264496
836475
2602146
0,87
Dress Barn, Inc. (The)
4681315
4846442
926427
5,05
drugstore.com, inc.
4226384
3360084
469051
9,01
DryShips Inc.
2827918
3510400
234408
12,06
DSP Group, Inc.
1410674
1179124
215727
6,54
DTS, Inc. - COMMON STOCK
1665065
1554632
102599
16,23
Duckwall-Alco Stores, Inc.
47734
131747
14249
3,35
Durect Corporation
5659266
5336025
374481
15,11
DUSA Pharmaceuticals, Inc.
1314726
1346821
29522
44,53
DXP Enterprises, Inc.
622004
649873
72605
8,57
Dyax Corp.
1271273
1258268
252045
5,04
Dynacq Healthcare, Inc.
143730
145033
5223
27,52
Dynamex, Inc.
357335
293147
20154
17,73
Dynamic Materials Corporation
1592463
1436011
268104
5,94
Dynamics Research Corporation
17734
8846
39646
0,45
Dynatronics Corporation
4327
1252
21020
0,21
Dynavax Technologies Corporation
1339181
1604842
248811
5,38
 
 
E Com Ventures, Inc.
190126
224474
55714
3,41
E*TRADE Financial Corporation
9790634
11166282
3893077
2,51
E*TRADE Financial Corporation - E*Trade Financial Corporation Equity Units
416625
328556
105881
3,93
Eagle Bancorp, Inc.
4146
5232
7353
0,56
Eagle Bulk Shipping Inc. - common stock
2279745
2148635
384980
5,92
Eagle Rock Energy Partners, L.P.
58444
34384
173459
0,34
Eagle Test Systems, Inc.
1465736
1095542
174567
8,40
EarthLink, Inc.
17874745
16940425
3321271
5,38
East Penn Financial Corporation
1210
1085
1561
0,78
East West Bancorp, Inc.
2097517
1903075
438823
4,78
Eastern Insurance Holdings, Inc. - common stock, no par value
15289
16029
11805
1,30
Eastern Virginia Bankshares, Inc.
3991
2169
5444
0,73
EasyLink Services Corporation - Class A
3608
18963
70008
0,05
eBay Inc.
32848508
34523163
22994861
1,43
Ebix Inc
6045
824
5809
1,04
ECB Bancorp Inc
2258
2314
2120
1,07
Echelon Corporation
3175935
2693038
220784
14,38
EchoStar Communications Corporation - Class A
6592540
7035201
1879810
3,51
ECI Telecom Ltd. - Ordinary Shares
1107019
1187085
502554
2,20
Eclipsys Corporation
4295782
4347236
366077
11,73
eCollege.com
3321021
3773449
230735
14,39
ECtel Ltd. - Ordinary Shares
44767
14363
121404
0,37
EDAP TMS S.A. - American Depositary Shares
72814
72911
24066
3,03
Eddie Bauer Holdings, Inc.
239503
61545
829099
0,29
EDEN Bioscience Corporation
9600
11989
40815
0,24
EDGAR Online, Inc.
980255
1021734
166464
5,89
Edge Petroleum Corporation
2901360
1222771
1308663
2,22
Edge Petroleum Corporation - Ser. A Cumulative Convertible Perpetual Preferred Stock
3347
0
115548
0,03
Edgewater Technology, Inc.
27229
27991
33031
0,82
eDiets.com, Inc.
795880
1136068
100085
7,95
Educate, Inc.
1211995
979700
303392
3,99
Educational Development Corporation
4631
1797
1700
2,72
EFJ Inc
1804497
1754870
96833
18,64
e-Future Information Technology Inc. - Ordinary Shares
243174
226021
318229
0,76
EGL, Inc.
2227462
1796464
1249680
1,78
eHealth, Inc.
630572
494119
82108
7,68
Elbit Medical Imaging Ltd. - Ordinary Shares
15050
16792
14668
1,03
Elbit Systems Ltd. - Ordinary Shares
4561
4036
7170
0,64
Electro Energy Inc.
17427
16526
35662
0,49
Electro Rent Corporation
673487
544297
36686
18,36
Electro Scientific Industries, Inc.
2597092
1898014
265278
9,79
Electroglas, Inc.
172220
188771
64169
2,68
Electronic Arts Inc.
8193773
8853205
4403704
1,86
Electronic Clearing House, Inc.
47796
48432
36480
1,31
Electronics for Imaging, Inc.
2857629
2481572
820435
3,48
Electro-Optical Sciences, Inc
16085
14662
40407
0,40
Electro-Sensors, Inc.
504
9871
14984
0,03
Elizabeth Arden, Inc.
1280487
1122736
312627
4,10
Elmira Savings Bank, FSB (The)
1259
1712
913
1,38
eLong, Inc. - American Depositary Shares representing 2 Ordinary Shares
12417
10968
83346
0,15
eLoyalty Corporation
253550
274727
17272
14,68
Elron Electronic Industries Ltd. - Ordinary Shares
3365
4100
4917
0,68
Eltek Ltd. - Ordinary Shares
7237
13725
18118
0,40
Emageon Inc.
2749569
2491625
421021
6,53
EMAK Worldwide, Inc.
5183
5681
2597
2,00
Embarcadero Technologies, Inc.
105808
50873
70455
1,50
EMC Insurance Group, Inc.
749503
689331
37639
19,91
EMCORE Corporation
6406620
7552498
951181
6,74
Emdeon Corporation
16583408
19860691
4375831
3,79
eMerge Interactive, Inc. - Class A
22415
24468
51918
0,43
Emisphere Technologies, Inc.
5918476
5407736
221570
26,71
Emmis Communications Corporation - 6.25% Series A Cumulative Convertible Preferred Stock
1830
1040
3350
0,55
Emmis Communications Corporation - Class A
5998558
4092025
428799
13,99
Empire Resorts, Inc.
1025393
1304171
395626
2,59
EMS Technologies, Inc.
617661
546891
64055
9,64
EMVELCO Corp.
6765
7265
4980
1,36
En Pointe Technologies, Inc.
60550
56314
245071
0,25
Encore Capital Group Inc
440841
534193
80308
5,49
Encore Wire Corporation
5669119
6002297
494550
11,46
Encorium Group, Inc.
56480
20938
157493
0,36
Encysive Pharmaceuticals Inc
9193076
9783766
1634519
5,62
Endo Pharmaceuticals Holdings Inc.
3068339
2740939
1015632
3,02
Endologix Inc
1036423
984360
76097
13,62
Endwave Corporation
339920
443416
55477
6,13
Energy Conversion Devices, Inc.
10007169
6984642
1920682
5,21
Energy West, Inc.
799
122
4540
0,18
EnergySouth, Inc.
245049
203930
21009
11,66
Enpath Medical, Inc.
2181
3833
8743
0,25
Enstar Group Limited - Ordinary Shares
223948
0
5491
40,78
Entegris, Inc.
14314581
13970836
1349465
10,61
Enterprise Bancorp Inc
650
749
2203
0,30
Enterprise Financial Services Corporation
302492
243613
16399
18,45
EntreMed, Inc.
1430832
1607909
166525
8,59
Entrust, Inc.
250243
170494
274356
0,91
Envoy Communications Group, Inc.
52810
44913
249255
0,21
Enzon Pharmaceuticals, Inc.
6193941
6848700
842160
7,35
eOn Communications Corporation
8910
11677
34717
0,26
EP MedSystems, Inc.
46769
42441
35145
1,33
Epic Bancorp
5846
1709
4639
1,26
EpiCept Corporation - common stock
356570
472352
142542
2,50
Epicor Software Corporation
3048827
2792524
330606
9,22
EPIQ Systems, Inc.
1596441
1420438
89306
17,88
EPIX Pharmaceuticals, Inc.
960752
983699
143929
6,68
ePlus Inc.
7400
9596
14083
0,53
Epoch Holding Corporation
96863
94867
12592
7,69
Equinix, Inc.
4590830
4409379
510515
8,99
eResearch Technology Inc.
5462460
5289091
369242
14,79
Erie Indemnity Company - Class A
607977
582481
40768
14,91
ESB Financial Corporation
16388
24182
5523
2,97
Escalade, Incorporated
30628
39378
7001
4,37
Escalon Medical Corp.
227809
278493
19675
11,58
Eschelon Telecom, Inc.
434799
312383
93673
4,64
eSpeed, Inc. - Class A
1212772
1033977
132154
9,18
ESS Technology, Inc
365794
303814
312546
1,17
etrials Worldwide, Inc.
62462
48141
36556
1,71
etrials Worldwide, Inc. - Units
801
101
430
1,86
etrials Worldwide, Inc. - Warrants
20300
21465
94536
0,21
Euro Tech Holdings Company Limited
62142
107063
228731
0,27
EuroBancshares, Inc.
75311
91326
8704
8,65
Euronet Worldwide, Inc.
5339964
5243777
392403
13,61
Euroseas Ltd.
32222
0
79429
0,41
EuroTrust A/S - American Depositary Shares
4974
10241
25979
0,19
EV Energy Partners, L.P. - common units representing limited partnership interest
176051
48069
67811
2,60
ev3 Inc. - common stock
3459768
2519602
320894
10,78
Evans & Sutherland Computer Corporation
2089
1625
18011
0,12
Evans Bancorp, Inc.
2150
2867
902
2,38
EVCI Career Colleges Holding Corp.
132594
24032
50572
2,62
Evergreen Solar, Inc.
18430959
16631604
3106226
5,93
Everlast Worldwide Inc.
266094
265256
18668
14,25
Evolving Systems, Inc.
36868
27502
143965
0,26
EXACT Sciences Corporation
513302
516427
57881
8,87
Exactech, Inc.
31870
54668
26820
1,19
Exar Corporation
1679808
1713927
369753
4,54
Excel Technology, Inc.
425310
334927
80602
5,28
Exchange National Bancshares, Inc.
1795
2272
2482
0,72
Exelixis, Inc.
6854745
5712393
792183
8,65
EXFO Electro-Optical Engineering - Subordinate Voting Shares
183069
212275
185121
0,99
Exide Technologies
4580424
3587952
1154613
3,97
Exide Technologies - Warrant
1699
2931
18358
0,09
ExlService Holdings, Inc.
417021
285765
65735
6,34
Expedia, Inc.
12191791
13550684
2177210
5,60
Expedia, Inc. - Warrant to purchase .969375 shares of
4905
4907
18042
0,27
Expedia, Inc. - warrant to purchase one half of one share of Expedia common stock
8150
13817
1670
4,88
Expeditors International of Washington, Inc.
6247551
6944351
2612401
2,39
Exponent, Inc.
500882
424694
34689
14,44
Express Scripts, Inc. - Class A
9294040
4052204
3213695
2,89
Extreme Networks, Inc.
5307000
4601860
2175177
2,44
EZCORP, Inc. - Class A Non-Voting
2931192
3563190
1113367
2,63
E-Z-EM, Inc.
17598
17838
23733
0,74
 
 
F5 Networks, Inc.
2039461
1859011
1260553
1,62
Factory Card & Party Outlet Corporation - When-Issued
529
591
4906
0,11
FalconStor Software, Inc.
4548592
3975167
542645
8,38
Famous Dave's of America, Inc.
98481
73039
31693
3,11
Farmer Brothers Company
252108
210760
12077
20,88
Farmers Capital Bank Corporation
203640
166862
8085
25,19
FARO Technologies, Inc.
515313
465702
95099
5,42
Fastenal Company
9598901
8317942
1260499
7,62
Fauquier Bankshares, Inc.
1497
1832
1151
1,30
Favrille, Inc.
360584
271797
56342
6,40
FedFirst Financial Corporation
762
1837
2127
0,36
FEI Company
3142720
3167788
719538
4,37
FFD Financial Corporation
189
1315
610
0,31
Fibernet Telecom Group, Inc.
89532
54394
142378
0,63
Fiberstars, Inc.
556212
559328
41894
13,28
FiberTower Corporation
12245866
11277430
622023
19,69
Fidelity Bancorp, Inc.
1379
1580
2155
0,64
Fidelity Nasdaq Composite Index Tracking Stock - Fidelity Nasdaq Composite Index Tracking Stock
2942789
2812215
35183
83,64
Fidelity Southern Corporation
3303
2303
4202
0,79
Fieldstone Investment Corporation
4548047
3250065
587143
7,75
Fifth Third Bancorp
13585068
11199231
2355416
5,77
Financial Institutions, Inc.
80633
81250
10258
7,86
Finisar Corporation
21974498
23411997
11082664
1,98
Finish Line, Inc. (The) - Class A
5433550
4556201
706907
7,69
Finlay Enterprises, Inc.
156856
145063
14409
10,89
First Advantage Corporation - Class A
437707
444277
107008
4,09
First Albany Companies, Inc.
51919
57160
48726
1,07
First Aviation Services, Inc.
961
141
4017
0,24
First Bancorp
393955
300660
56891
6,92
First Bancorp of Indiana, Inc.
726
431
688
1,06
First Bancshares, Inc.
681
941
662
1,03
First Bancshares, Inc. (The) (MS)
289
329
213
1,36
First BancTrust Corporation
270
1189
661
0,41
First Busey Corporation
628881
565114
33584
18,73
First Business Financial Services, Inc.
283
73
738
0,38
First Capital, Inc.
433
318
261
1,66
First Cash Financial Services, Inc.
1224566
1530085
311367
3,93
First Charter Corporation
1311861
1022888
78013
16,82
First Citizens Banc Corp.
5318
3126
1656
3,21
First Citizens BancShares, Inc. - Class A
11770
12655
5502
2,14
First Clover Leaf Financial Corp.
4528
3509
5166
0,88
First Community Bancorp
1566400
1277567
141071
11,10
First Community Bancshares, Inc.
368160
269529
20314
18,12
First Community Bank Corporation of America
1553
1726
1796
0,86
First Community Corporation
1180
280
2078
0,57
First Consulting Group, Inc.
1124401
1298370
171270
6,57
First Defiance Financial Corp.
11957
12356
4507
2,65
First Federal Bancshares of Arkansas, Inc.
4016
3722
4007
1,00
First Federal Bancshares, Inc.
231
234
1896
0,12
First Federal Bankshares, Inc.
7172
710
3193
2,25
First Federal of Northern Michigan Bancorp, Inc.
1548
830
2118
0,73
First Financial Bancorp.
1987619
1578954
114389
17,38
First Financial Bankshares, Inc.
815428
681124
36127
22,57
First Financial Corporation Indiana
631819
529750
15413
40,99
First Financial Holdings, Inc.
499621
387541
35265
14,17
First Financial Service Corporation
2172
1306
3048
0,71
First Franklin Corporation
1810
699
1044
1,73
First Indiana Corporation
566369
486163
63460
8,92
First Keystone Financial, Inc.
2611
2255
794
3,29
First M & F Corporation
1554
3416
3112
0,50
First Mariner Bancorp
9772
7685
7051
1,39
First Merchants Corporation
609675
520927
33846
18,01
First Merchants Corporation - First Merchants Capital Trust I - 8.75% Cumulative Trust Preferred Securities
380
0
646
0,59
First Midwest Bancorp, Inc.
3023392
2550275
197926
15,28
First Mutual Bancshares, Inc.
4298
2022
10537
0,41
First National Bancshares Inc (SC)
427
3071
1506
0,28
First National Lincoln Corporation
1580
1788
3086
0,51
First Niagara Financial Group Inc.
6381870
5244547
787941
8,10
First of Long Island Corporation (The)
1552
1970
1615
0,96
First PacTrust Bancorp, Inc.
1162
868
3111
0,37
First Place Financial Corp.
530850
453028
38691
13,72
First Regional Bancorp
394635
359599
26016
15,17
First Republic Preferred Capital Corporation - Preferred Stock
2978
6814
1911
1,56
First Republic Preferred Capital Corporation - Preferred Stock
351
127
2175
0,16
First Security Group, Inc.
8474
9153
14517
0,58
First Solar, Inc.
1137702
916602
739141
1,54
First South Bancorp Inc
428054
396328
8088
52,92
First State Bancorporation
801649
555501
191640
4,18
First State Financial Corporation
1992
1565
4751
0,42
First Trust Exchange-Traded Fund - First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund
0
0
0
First Trust Exchange-Traded Fund - First Trust NASDAQ-100 Equal Weighted Index Fund
4890
14376
28597
0,17
First Trust Exchange-Traded Fund - First Trust NASDAQ-100 Ex-Technology Sector Index Fund
0
0
0
First Trust Exchange-Traded Fund - First Trust NASDAQ-100- Technology Index Fund
47883
44572
11395
4,20
First United Corporation
5133
1931
4258
1,21
Firstbank Corporation
3565
3873
4421
0,81
FirstCity Financial Corporation
40506
41841
14041
2,88
FirstMerit Corporation
4208249
4248915
379696
11,08
FirstService Corporation - Subordinate Voting Shares
9182
33903
27149
0,34
Firstwave Technologies Inc.
124
1254
15401
0,01
Fiserv, Inc.
2320210
3137229
1061380
2,19
Fisher Communications, Inc.
259491
216228
11979
21,66
Flamel Technologies S.A. - American Depositary Shares
2283262
2298395
460013
4,96
Flanders Corporation
2725132
2558527
102505
26,59
Flexsteel Industries, Inc.
4901
5355
5645
0,87
Flextronics International Ltd. - Ordinary Shares
10373093
14486434
6646056
1,56
FLIR Systems, Inc.
4623337
5017291
629143
7,35
Flow International Corporation
2392191
2682455
461622
5,18
Flushing Financial Corporation
847358
690958
79812
10,62
FMS Financial Corporation
8679
8715
3417
2,54
FNB Corporation
222444
183671
8700
25,57
FNB Financial Services Corporation
4616
2330
3599
1,28
FNB United Corp.
3788
5836
12136
0,31
FOCUS Enhancements, Inc.
1347324
1080300
314217
4,29
Focus Media Holding Limited - Sponsored American Depositary Receipt (Cayman Islands)
1883360
1563929
1455496
1,29
Fonar Corporation
50670
42606
382433
0,13
Food Technology Service, Inc.
15429
2000
16147
0,96
Forbes Medi-Tech Inc.
96133
105226
245925
0,39
Force Protection, Inc.
7506973
0
1856056
4,04
Forgent Networks Inc
231752
308731
827563
0,28
FormFactor, Inc.
3877606
3409200
886315
4,37
Formula Systems (1985) Ltd. - American Depositary Shares
7408
7646
769
9,63
Forrester Research, Inc.
581532
534079
63634
9,14
FortuNet, Inc.
706733
771181
93484
7,56
Forward Air Corporation
2263105
1753309
366529
6,17
Forward Industries, Inc.
1169777
1252652
176670
6,62
Fossil, Inc.
5406515
4776613
326557
16,56
Foster Wheeler Ltd.
1381088
1383271
878313
1,57
Foster Wheeler Ltd. - Class A Warrants Exp. 9/24/2009 (Bermuda)
77
599
412
0,19
Foster Wheeler Ltd. - Warrants B 9/24/2007
77594
77594
32389
2,40
Foundry Networks, Inc.
6720416
5993375
3390344
1,98
Fox Chase Bancorp, Inc.
7927
4855
14452
0,55
FoxHollow Technologies, Inc.
2486432
2326124
371628
6,69
FPB Bancorp, Inc.
670
391
685
0,98
FPIC Insurance Group, Inc.
1015911
822734
60061
16,91
Franklin Bank Corp.
1923103
1469594
143535
13,40
Franklin Credit Management Corp
178363
138828
10420
17,12
Franklin Electric Co., Inc.
1819151
1594007
103307
17,61
Fred's, Inc.
4177888
2915985
392422
10,65
FreeSeas Inc.
4060
23094
18330
0,22
FreeSeas Inc. - Freeseas Inc Warrant Z
25
2000
14697
0,00
FreeSeas Inc. - Freeseas Warrant W
0
0
0
FreightCar America, Inc.
2369441
1987230
302584
7,83
Frequency Electronics, Inc.
23333
24221
11109
2,10
Frontier Airlines Holdings, Inc.
5398083
5868957
464624
11,62
Frontier Financial Corporation
2419288
2133808
165167
14,65
Frozen Food Express Industries, Inc.
398868
344482
95569
4,17
FSI International, Inc.
141047
221109
102679
1,37
Fuel Systems Solutions, Inc.
1323828
1187936
118649
11,16
Fuel Tech, Inc.
460759
466524
379905
1,21
FuelCell Energy, Inc.
8535736
7624868
1057937
8,07
FUJIFILM Holdings Corporation - American Depositary Shares exempt pursuant to 12g3-2(b)
392679
166609
75389
5,21
Fulton Financial Corporation
3049043
2972982
422897
7,21
Fundtech Ltd. - Ordinary Shares
30376
30477
62781
0,48
Futuremedia Public Limited Company - American Depositary Shares
28994
39206
311821
0,09
Fuwei Films (Holdings) Co., Ltd. - ORDINARY SHARES
6437
38233
549043
0,01
FX Energy, Inc.
1823454
1843146
192425
9,48
 
 
G&K Services, Inc. - Class A
1068012
852820
81974
13,03
G. Willi-Food International, Ltd. - Ordinary Shares
2866
3141
32485
0,09
Gaiam, Inc. - Class A
1999055
2215358
167294
11,95
Gallery of History, Inc.
24607
24132
5463
4,50
GameTech International, Inc.
29106
31688
35628
0,82
Gaming Partners International Corporation
90567
95172
16376
5,53
Gander Mountain Company
1068337
1225746
65310
16,36
Garmin Ltd.
12521502
13130621
2830031
4,42
Gateway Financial Holdings, Inc.
40616
42450
16712
2,43
GB&T Bancshares
530669
414056
41394
12,82
Gehl Company
1131984
1019976
68418
16,55
Gemstar-TV Guide International Inc.
9219723
8514013
4098535
2,25
Genaera Corporation
175202
70563
1504001
0,12
Genco Shipping & Trading Limited - common stock
1608098
1814735
242531
6,63
Gene Logic Inc.
1127444
1119206
128800
8,75
Genelabs Technologies, Inc.
117926
65761
49776
2,37
General Communication, Inc. - Class A
2387167
2383254
192427
12,41
Generex Biotechnology Corporation
4045160
4007858
1281835
3,16
Genesis HealthCare Corporation
1704057
1340617
558840
3,05
Genesis Microchip Inc.
4707276
4153195
1782981
2,64
Genesys S.A. - American Depositary Shares
1558
8050
2857
0,55
Genetic Technologies Ltd - American Depositary Shares representing 30 ordinary shares
0
398
137
0,00
Genitope Corporation
5522167
5061878
217247
25,42
Genlyte Group Incorporated (The)
1330198
1168452
263964
5,04
Genomic Health, Inc.
1578075
1262608
378856
4,17
Gen-Probe Incorporated
1322419
1357124
359437
3,68
Genta Incorporated
12247089
11807709
2525194
4,85
GenTek, Inc.
1225479
1080550
37113
33,02
Gentex Corporation
9433803
10403392
1317468
7,16
Gentium SpA - Gentium SpA American Depositary Shares (ADSs)
60209
56190
29054
2,07
Gentiva Health Services, Inc.
1766820
1525486
166137
10,63
GenVec, Inc.
790729
537555
900225
0,88
Genzyme Corporation - Genzyme Corporation
6714663
5953876
2084352
3,22
GeoEye, Inc.
142079
135604
14497
9,80
GeoMet, Inc.
1333722
726858
365695
3,65
GeoPharma, Inc.
73899
69246
32019
2,31
GeoResources, Inc.
24524
41476
33168
0,74
German American Bancorp, Inc.
7344
4544
9654
0,76
Geron Corporation
5042415
4826377
737595
6,84
Gevity HR, Inc.
2213189
1710699
357573
6,19
GFI Group Inc.
1585974
1407540
183651
8,64
Gibraltar Industries, Inc.
1754345
1920363
195678
8,97
Gigabeam Corporation
291378
294128
141979
2,05
Gigabeam Corporation - Class Z Warrant 1/28/2011
1991
1000
3561
0,56
Gigabeam Corporation - Warrant 10/14/2009
4131
616
6700
0,62
GigaMedia Limited - Ordinary Shares
3159404
2943017
1145434
2,76
Giga-tronics Incorporated
22572
35119
92818
0,24
G-III Apparel Group, LTD.
474082
259778
101777
4,66
Gilat Satellite Networks Ltd. - Ordinary Shares
206931
197753
142678
1,45
Gilead Sciences, Inc.
11697430
10409979
4983125
2,35
Given Imaging Ltd. - Ordinary shares
2126459
2045993
99276
21,42
Glacier Bancorp, Inc.
3214588
2740284
193314
16,63
Gladstone Capital Corporation - Closed End Fund
533840
438485
36958
14,44
Gladstone Commercial Corporation
95951
60438
16915
5,67
Gladstone Commercial Corporation - 7.50% Series B Cumulative Redeemable Preferred Stock
1612
1504
1471
1,10
Gladstone Commercial Corporation - 7.75% Series A Cumulative Convertible Preferred Stock
50
551
529
0,09
Gladstone Investment Corporation - Closed End Fund
484680
451029
66748
7,26
Glen Burnie Bancorp
404
461
377
1,07
Glenayre Technologies, Inc.
633939
571488
159982
3,96
Global Crossing Ltd.
3609255
4102499
315032
11,46
Global Imaging Systems, Inc.
2120577
1567418
346219
6,12
Global Industries, Ltd.
1705860
1537654
982891
1,74
Global Payment Technologies, Inc.
13213
3409
10856
1,22
Global Sources Ltd.
92528
170239
209127
0,44
Global Traffic Network, Inc.
5317
7665
13541
0,39
Globalstar, Inc.
2542662
1437133
969015
2,62
Globecomm Systems Inc.
212340
89325
132390
1,60
Gmarket Inc. - American Depositary Shares
423814
389214
829018
0,51
GMX Resources, Inc.
1689519
1749236
234057
7,22
GMX Resources, Inc. - 9.25% Series B Cumulative Preferred Stock
653
161
2466
0,26
GoAmerica, Inc.
310106
224819
221328
1,40
Golar LNG Limited - common shares
482736
547068
68210
7,08
Golden Enterprises, Inc.
1145
53
1941
0,59
Golden Telecom, Inc.
1158839
925890
211586
5,48
Goldleaf Financial Solutions, Inc.
21045
7153
45588
0,46
Golfsmith International Holdings, Inc.
30656
38606
15854
1,93
Good Times Restaurants Inc.
25
3165
2211
0,01
Google Inc. - Class A
5052525
5810440
6172358
0,82
Gpc Biotech Ag - American Depositary Shares
35922
8141
10617
3,38
Grand Toys International, Inc. - American Depositary Share
20586
35690
19052
1,08
Granite City Food & Brewery Ltd.
99143
69256
42702
2,32
GRAVITY Co., Ltd. - American Depository Shares
16265
9626
33753
0,48
Great Lakes Dredge & Dock Corporation
270800
263990
118892
2,28
Great Lakes Dredge & Dock Corporation - Warrants
5446
91170
52573
0,10
Great Pee Dee Bancorp, Inc.
760
337
496
1,53
Great Southern Bancorp, Inc.
423758
356903
15694
27,00
Great Wolf Resorts, Inc.
1273578
1061336
123180
10,34
Greater Atlantic Financial Corporation
6041
5926
3048
1,98
Greater Bay Bancorp
3382508
2852184
372409
9,08
Greater Community Bancorp
2474
4049
2532
0,98
Greater Community Bancorp - GCB Capital Trust II - 8.45% Trust Preferred Securities
21
0
508
0,04
Green Mountain Coffee Roasters, Inc.
729070
577561
104442
6,98
Green Plains Renewable Energy, Inc.
44013
43968
9915
4,44
Greene County Bancorp, Inc.
1330
1415
428
3,11
Greene County Bancshares, Inc.
331013
275233
28597
11,58
Greenfield Online, Inc.
318962
355140
117906
2,71
Greenville First Bancshares Inc.
1085
10043
1702
0,64
Griffin Land & Nurseries, Inc.
3267
2108
521
6,27
Grill Concepts Inc.
10872
2114
21142
0,51
Grupo Aeroportuario del Centro Norte S.A.B. de C.V. - ADS
764111
451013
216935
3,52
Grupo Financiero Galicia S.A. - American Depositary Shares representing Class B shares
548346
678491
159336
3,44
GS Financial Corp.
2248
2308
2025
1,11
GSI Commerce, Inc.
3461811
3186064
392714
8,82
GSI Group, Inc.
175328
21252
217964
0,80
GTC Biotherapeutics Inc
413291
365974
436523
0,95
GTSI Corp.
58196
36943
14588
3,99
GTx, Inc.
1530915
1165959
115888
13,21
Guaranty Federal Bancshares, Inc.
2001
1385
2678
0,75
Guidance Software, Inc.
35347
144798
93209
0,38
Guitar Center, Inc.
5545944
4847983
431098
12,86
Gulf Island Fabrication, Inc.
631985
594075
137486
4,60
GulfMark Offshore, Inc.
1172901
998675
128968
9,09
Gulfport Energy Corporation
689562
676519
140269
4,92
Gymboree Corporation (The)
3620877
4781489
824305
4,39
Gyrodyne Company of America, Inc.
1024
1024
1428
0,72
 
 
H&E Equipment Services, Inc.
1865192
1653693
203442
9,17
Habersham Bancorp
2214
1133
223
9,93
Hain Celestial Group, Inc. (The)
2717555
2532776
257346
10,56
Hallmark Financial Services, Inc.
3137
3660
21265
0,15
Hampden Bancorp, Inc. - common stock
5975
0
150998
0,04
Hampton Roads Bankshares Inc
34
33
7836
0,00
Hana Biosciences, Inc.
1953273
1278653
159130
12,27
hanarotelecom incorporated - American Depositary Shares
543
1421
1821
0,30
Hancock Holding Company
1425790
1339144
146944
9,70
Handheld Entertainment, Inc.
814456
993226
749463
1,09
Handheld Entertainment, Inc. - Warrants exercisable for common stock at $6.06 per share expiring 8/13/2011
7000
60
21493
0,33
Hanmi Financial Corporation
2470325
1895108
213323
11,58
Hansen Medical, Inc.
936210
867504
145425
6,44
Hansen Natural Corporation
11968660
13202067
2583607
4,63
Harbin Electric, Inc.
1581
0
109521
0,01
Hardinge, Inc.
19107
13995
15378
1,24
Harleysville Group Inc.
599759
477513
57653
10,40
Harleysville National Corporation
1032498
861583
57194
18,05
Harleysville Savings Bank
838
2834
3611
0,23
Harmonic Inc.
3832296
3191371
1208685
3,17
Harrington West Financial Group, Inc.
10001
3318
4950
2,02
Harris & Harris Group, Inc.
2707505
2378622
152499
17,75
Harris Interactive, Inc.
2308342
1650664
376016
6,14
Harris Stratex Networks, Inc. - Class A
1387876
0
119313
11,63
Harvard Bioscience, Inc.
344442
350961
47061
7,32
Harvey Electronics, Inc.
2259
62
10541
0,21
Hastings Entertainment, Inc.
27407
10632
13231
2,07
Hauppauge Digital, Inc.
106884
80170
131746
0,81
Hawkins, Inc.
2652
667
7759
0,34
Hayes Lemmerz International, Inc.
2052658
2598879
350243
5,86
Health Grades, Inc.
153753
96099
115295
1,33
HealthAxis Inc.
1956
348
6769
0,29
Healthcare Services Group, Inc.
1854648
1548019
138883
13,35
Healthcare Technologies Ltd. - Ordinary Shares
2245
5084
38802
0,06
HealthExtras, Inc.
2504513
2253570
538921
4,65
HealthStream, Inc.
32009
39855
20352
1,57
HealthTronics, Inc.
1318364
1167371
106485
12,38
Healthways, Inc.
6727738
5761185
364153
18,48
Heartland Express, Inc.
5546768
5190789
524544
10,57
Heartland Financial USA, Inc.
446197
357832
13679
32,62
Heelys, Inc.
2445825
886773
379307
6,45
HEI, Inc.
87568
105612
20273
4,32
Heidrick & Struggles International, Inc.
784622
751204
132910
5,90
Helen of Troy Limited
1622623
1283266
170233
9,53
Helios & Matheson North America Inc.
901
1643
2678
0,34
Henry Schein, Inc.
2929146
2163619
576189
5,08
Hercules Offshore, Inc.
1461610
1235519
618228
2,36
Hercules Technology Growth Capital, Inc. - Closed End Fund
956867
934446
95199
10,05
Heritage Commerce Corp
414041
316645
21981
18,84
Heritage Financial Corporation
3068
2171
3355
0,91
Heritage Financial Group
12444
31778
1398
8,90
Heritage Oaks Bancorp
1942
2766
13776
0,14
Herley Industries, Inc.
647583
632562
53008
12,22
Herman Miller, Inc.
3515740
2556138
441272
7,97
Herzfeld Caribbean Basin Fund, Inc. (The) - Closed End FUnd
99708
50539
44246
2,25
Heska Corporation
6213
7934
49478
0,13
HF Financial Corp.
1720
2085
3727
0,46
hi/fn, inc.
64690
48434
28181
2,30
Hibbett Sports, Inc.
2688699
2453032
386424
6,96
Hickory Tech Corporation
58164
42827
12969
4,48
Highveld Steel and Vanadium Corporation Limited - American Depositary Shares exempt pursuant to 12g3-2(b)
12625
348176
13014
0,97
Highway Holdings Limited
15344
24396
255786
0,06
Hiland Holdings GP, LP
73210
44291
44594
1,64
Hiland Partners, LP
7361
5960
7413
0,99
Hill International, Inc.
1762746
1149186
152196
11,58
Hill International, Inc. - Unit
80
80
1178
0,07
Hill International, Inc. - Warrant
1671
21471
91250
0,02
Himax Technologies, Inc. - american depositary shares
76446
158479
989507
0,08
Hines Horticulture, Inc.
187716
175392
11574
16,22
Hingham Institution for Savings
1724
2504
473
3,64
Hirsch International Corp. - Class A
2341
9428
19660
0,12
Hi-Tech Pharmacal Co., Inc.
783032
751720
120983
6,47
Hittite Microwave Corporation - common stock
1618145
1739965
253519
6,38
HMN Financial, Inc.
17560
16111
3239
5,42
HMS Holdings Corp
1685954
1403239
231825
7,27
Hoku Scientific, Inc.
1012396
456400
4706976
0,22
Hollis-Eden Pharmaceuticals, Inc.
2542262
2436249
301375
8,44
Hollywood Media Corp.
219128
222670
37096
5,91
Hologic, Inc.
8244801
7580315
1516719
5,44
Home BancShares, Inc. - common stock
353783
274239
52493
6,74
Home Diagnostics, Inc.
22451
20564
57601
0,39
Home Federal Bancorp
4875
3462
3340
1,46
Home Federal Bancorp, Inc.
243039
209208
8272
29,38
Home Inns & Hotels Management Inc. - American Depository Shares
767670
364976
697628
1,10
Home Solutions of America, Inc.
13532317
12915742
1095885
12,35
Hooker Furniture Corporation
456477
456538
74980
6,09
HopFed Bancorp, Inc.
436
830
2527
0,17
Horizon Bancorp (IN)
389
386
4664
0,08
Horizon Financial Corp.
497596
426064
22932
21,70
Horizon Health Corporation
1042022
1331054
131689
7,91
Horizon Offshore, Inc.
789821
565701
245154
3,22
Hot Topic, Inc.
3797777
5137236
1094844
3,47
House of Taylor Jewelry, Inc.
29210
12360
94443
0,31
HouseValues, Inc.
3813186
3714539
102621
37,16
Houston Wire & Cable Company
5098452
4911806
278171
18,33
Hovnanian Enterprises Inc - Depositary Share representing 1/1000th of 7.625% Series A Preferred Stock
4074
5783
10276
0,40
Hub Group, Inc. - Class A
2177281
2054235
472246
4,61
Hudson City Bancorp, Inc.
16461193
15871606
11111256
1,48
Hudson Highland Group, Inc.
2004711
1449369
223570
8,97
Hudson Technologies, Inc.
13843
20724
27551
0,50
Hughes Communications Inc
34826
28967
7713
4,52
Human Genome Sciences, Inc.
20213362
20054898
2065830
9,78
Huntington Bancshares Incorporated
12738523
10494568
2417119
5,27
Huntington Preferred Capital, Inc. - Class C Preferred Stock
14276
8819
1643
8,69
Hurco Companies, Inc.
557914
567255
50862
10,97
Huron Consulting Group Inc.
1141879
1148427
151946
7,52
Hurray! Holding Co., Ltd. - American depositary shares
73708
63860
137412
0,54
Hutchinson Technology Incorporated
3806366
4022739
435433
8,74
Hydril
1525538
2222302
913179
1,67
Hydrogenics Corporation
1682356
1876973
892013
1,89
Hyperion Solutions Corporation
2446579
2038305
1273639
1,92
Hythiam, Inc.
6321530
5402113
412195
15,34
 
 
I.D. Systems, Inc.
2408817
2198931
106553
22,61
i2 Technologies, Inc.
2363630
2179140
351973
6,72
IAC/InterActiveCorp
14441363
13784269
2330892
6,20
IAC/InterActiveCorp - warrant to purchase 1.93875 common shares
6580
6943
5559
1,18
IAC/InterActiveCorp - Warrants 2/4/2009
11635
11595
1763
6,60
iBasis, Inc.
232670
227365
69065
3,37
IBERIABANK Corporation
396041
378387
26170
15,13
Ibis Technology Corporation
698917
663299
56439
12,38
i-CABLE Communications Limited - American Depositary Shares
3016
1191
1769
1,70
icad inc.
231126
98765
394094
0,59
Icagen, Inc.
42745
29930
229303
0,19
ICF International, Inc.
28581
35344
78408
0,36
ICO Global Communications Holdings Limited DE - Class A
60022
49621
158079
0,38
ICO, Inc.
50973
37452
229920
0,22
ICO, Inc. - Depository Shares
72
72
19
3,79
ICON plc - American Depositary Shares
191764
104817
122395
1,57
Iconix Brand Group, Inc.
5079747
4661119
685980
7,41
ICOP Digital, Inc.
147252
130185
37815
3,89
ICOP Digital, Inc. - Warrant
150
9952
10679
0,01
ICT Group, Inc.
352090
472578
89475
3,94
ICU Medical, Inc.
1774057
1754705
226878
7,82
Idenix Pharmaceuticals, Inc.
3828087
3784935
262050
14,61
IDEXX Laboratories, Inc.
565046
545556
187447
3,01
IDM Pharma, Inc. - common stock
1889
576
18198
0,10
I-Flow Corporation
2353537
2342655
146692
16,04
iGATE Corporation
703097
574303
48677
14,44
II-VI Incorporated
2041502
2300706
207524
9,84
Ikanos Communications, Inc.
1739332
1575041
376777
4,62
Ikonics Corporation
304
0
1690
0,18
Illumina, Inc.
5272389
5235230
2382870
2,21
ILOG S.A. - American Depositary Shares
95
11395
2401
0,04
Image Entertainment, Inc.
58099
66481
36083
1,61
Image Sensing Systems, Inc.
2627
4197
6681
0,39
I-many, Inc.
184251
188167
35369
5,21
Imax Corporation
4917139
4770492
306101
16,06
ImClone Systems Incorporated
12015162
11909801
1750221
6,86
Immersion Corporation
1340486
1170221
102861
13,03
ImmuCell Corporation
398
5575
2356
0,17
Immucor, Inc.
4454626
3597925
845091
5,27
Immunicon Corporation
691560
1291448
139932
4,94
ImmunoGen, Inc.
1183101
1203672
153582
7,70
Immunomedics, Inc.
5318085
3670306
701453
7,58
Imperial Industries, Inc.
141178
141537
18562
7,61
Imperial Sugar Company
4809611
4118015
339544
14,16
Imperial Sugar Company - Warrants
1413
4620
12835
0,11
IncrediMail Ltd. - ordinary shares
45103
30836
42869
1,05
Incyte Corporation
6099657
5824693
776831
7,85
Independence Federal Savings Bank
5651
3247
426
13,27
Independent Bank Corp.
575216
424634
87900
6,54
Independent Bank Corp. - Independent Capital Trust IV - 8.375% Cumulative Trust Preferred Securities
183
1030
572
0,32
Independent Bank Corporation
1121965
877888
116223
9,65
Independent Bank Corporation - IBC Capital Finance II - % Cumulative Trust Preferred Securities
4065
216
2015
2,02
Indevus Pharmaceuticals Inc.
6341113
5345405
489121
12,96
Industrial Distribution Group, Inc.
54157
25430
27613
1,96
Industrial Services of America, Inc.
66984
76673
11282
5,94
Inergy Holdings, L.P.
19558
35209
26834
0,73
Inergy, L.P.
342219
263881
114158
3,00
Infinity Energy Resources, Inc.
1409004
1413805
114154
12,34
Infinity Pharmaceuticals, Inc.
265844
336135
28235
9,42
Infinity Property and Casualty Corporation
1229402
1027836
109259
11,25
Infocrossing, Inc.
3371336
3077156
109834
30,69
InFocus Corporation
272443
303025
216793
1,26
Informatica Corporation
5417314
5052144
1909599
2,84
Inforte Corp.
18318
15490
15585
1,18
InfoSonics Corp
1109501
864051
217909
5,09
InfoSpace, Inc.
2636179
2393761
472964
5,57
Infosys Technologies Limited - American Depositary Shares
3389351
3395502
1335755
2,54
infoUSA, Inc.
1572132
1414334
297259
5,29
InfoVista S.A. - American Depositary Shares
1
0
1275
0,00
Ingles Markets, Incorporated - Class A
742293
637209
117183
6,33
Inhibitex, Inc.
258659
248037
98347
2,63
InnerWorkings, Inc.
5176029
1475658
868985
5,96
Innodata Isogen Inc
24123
7927
36727
0,66
Innophos Holdings, Inc.
259478
210705
47712
5,44
Innospec Inc.
457486
359972
114344
4,00
Innotrac Corporation
7588
7161
7049
1,08
Innovative Solutions and Support, Inc.
4845380
4360106
180079
26,91
Innovex, Inc.
77466
41332
89064
0,87
Innovo Group, Inc.
130301
241401
411087
0,32
InPhonic, Inc.
6550419
6365157
671071
9,76
InPlay Technologies, Inc.
12187
22785
68837
0,18
Insight Enterprises, Inc.
2554012
2351248
334771
7,63
Insightful Corporation
6865
9512
83532
0,08
Insignia Systems, Inc.
35935
31861
34379
1,05
Insituform Technologies, Inc. - Class A
5099538
4782681
179149
28,47
Insmed, Inc.
2917904
2072313
2086510
1,40
Inspire Pharmaceuticals, Inc.
2384756
2249962
225983
10,55
Insteel Industries, Inc.
2784958
2433837
201817
13,80
Insure.com, Inc.
314
1393
4703
0,07
InsWeb Corporation
12170
14698
9188
1,32
INTAC International
310433
182802
33723
9,21
Integra Bank Corporation
813905
709266
82610
9,85
Integra LifeSciences Holdings Corporation
2263594
2016523
164073
13,80
Integral Systems, Inc.
471269
358816
36648
12,86
IntegraMed America, Inc.
46221
40804
18598
2,49
Integrated Alarm Services Group, Inc.
2810810
3336744
111772
25,15
Integrated BioPharma, Inc.
99344
0
7870
12,62
Integrated Device Technology, Inc.
6086521
5724167
4322691
1,41
Integrated Electrical Services, Inc.
740349
932989
114762
6,45
Integrated Silicon Solution, Inc.
460460
519779
132940
3,46
Integrity Bancshares, Inc.
3512
2849
15383
0,23
Intel Corporation
63526198
66776874
71112079
0,89
Inter Parfums, Inc.
816467
674262
53438
15,28
Interactive Intelligence, Inc.
612956
446466
342586
1,79
Interactive Systems Worldwide Inc.
384947
392034
69775
5,52
InterDigital Communications Corp.
3823797
3803155
541810
7,06
Interface, Inc. - Class A
2505256
2770933
295319
8,48
Intergroup Corporation (The)
117
360
105
1,11
InterMune, Inc.
5329392
5821770
621622
8,57
Internap Network Services Corporation
4558315
4228098
559314
8,15
International Assets Holding Corporation
285087
255723
265140
1,08
International Bancshares Corporation
1479377
1194360
92784
15,94
International Speedway Corporation - Class A
231664
302175
104129
2,22
Internet Capital Group, Inc.
4482584
3639584
330386
13,57
Internet Commerce Corp. - Class A
59615
75496
39866
1,50
Internet Gold Golden Lines Ltd. - Ordinary Shares
431487
103474
223858
1,93
Internet Initiative Japan, Inc. - American Depositary Shares
604493
527036
171864
3,52
Interphase Corporation
51955
44855
46803
1,11
Intersections, Inc.
112320
114290
30004
3,74
Intersil Corporation - Class A
3882421
3832348
3196293
1,21
Inter-Tel, Incorporated - Series A
906708
726686
108022
8,39
Intervest Bancshares Corp. - Class A
274749
221844
56011
4,91
InterVoice Inc.
2650743
1829179
295471
8,97
Interwoven, Inc.
2385764
3278371
499218
4,78
inTest Corporation
18630
31728
8362
2,23
Intevac, Inc.
3914272
2527662
738382
5,30
IntraLase Corp.
1263987
1508601
832534
1,52
Intraware, Inc.
7780
11723
8002
0,97
Introgen Therapeutics, Inc.
5491984
5039838
430654
12,75
Intuit Inc.
6769112
6217931
3268322
2,07
Intuitive Surgical, Inc.
3790654
2803808
1056023
3,59
inVentiv Health, Inc.
2034164
2030995
205105
9,92
Inventure Group, Inc. (The)
44414
31592
40049
1,11
INVESTools Inc.
3473086
3517784
356548
9,74
Investors Bancorp, Inc.
2686982
2676947
269466
9,97
Investors Financial Services Corp.
2035644
4706826
2682065
0,76
Investors Real Estate Trust - Series A Cumulative Redeemable Preferred Shares of Beneficial Interest
1662
571
304
5,47
Investors Real Estate Trust - Shares of Beneficial Interest
1562955
1147380
100671
15,53
Investors Title Company
5050
5413
863
5,85
Invitrogen Corporation
3281508
2733916
839147
3,91
INX Inc.
84829
49533
27311
3,11
INX Inc. - Warrants
5372
3572
2930
1,83
Iomai Corporation
29411
17314
288982
0,10
IONA Technologies PLC - American Depositary Shares
122461
619055
144680
0,85
Ionatron, Inc.
9334104
8448289
832139
11,22
iPass Inc.
4996538
4658956
469824
10,63
IPC Holdings, Limited
1783879
1701122
492171
3,62
iPCS, Inc.
624355
519348
33565
18,60
IPG Photonics Corporation - common stock
212604
185049
111520
1,91
IRIDEX Corporation
27341
24119
70370
0,39
IRIS International, Inc.
1523782
1751526
178360
8,54
iRobot Corporation
3213051
1751987
285848
11,24
Irvine Sensors Corporation
210133
235456
113908
1,84
Isilon Systems, Inc.
513941
183163
355751
1,44
Isis Pharmaceuticals, Inc.
6059391
6254350
1617789
3,75
Isle of Capri Casinos, Inc.
2782922
2528924
369192
7,54
Isonics Corporation
122473
677491
371130
0,33
IsoTis, Inc. - common stock
258
0
3971
0,06
Isramco, Inc.
27541
21057
2393
11,51
ISTA Pharmaceuticals, Inc.
929279
970264
200157
4,64
Itron, Inc.
4256232
3997906
326586
13,03
Ituran Location and Control Ltd. - Ordinary Shares
20450
16549
65179
0,31
Ivanhoe Energy, Inc.
3498230
3260926
2315643
1,51
Ixia
2715937
2588943
250757
10,83
IXYS Corporation
1307725
1187470
177324
7,37
 
 
J & J Snack Foods Corp.
566391
453090
46352
12,22
J. W. Mays, Inc.
394
262
103
3,83
J.B. Hunt Transport Services, Inc.
9504149
10478071
2362455
4,02
j2 Global Communications Inc
6397019
6256064
641057
9,98
JA Solar Holdings, Co., Ltd. - ADS
100661
0
768330
0,13
Jacada Ltd. - Ordinary Shares
4705
9079
29753
0,16
Jack Henry & Associates, Inc.
4761575
4042507
524206
9,08
Jacksonville Bancorp Inc.
1268
1565
191
6,64
Jacksonville Bancorp, Inc.
868
210
1374
0,63
Jaco Electronics, Inc.
6444
3375
79099
0,08
JAKKS Pacific, Inc.
3397710
3182423
261687
12,98
Jamba, Inc.
4560015
3154035
428084
10,65
Jamba, Inc. - Units
109
1383
60
1,82
Jamba, Inc. - Warrants
3960
21062
65571
0,06
James River Coal Company
5892070
5676152
809511
7,28
James River Group, Inc. - common stock
440627
319297
25271
17,44
JDA Software Group, Inc.
2196622
1907216
208826
10,52
JDS Uniphase Corporation
14531662
13953432
6948796
2,09
Jefferson Bancshares, Inc.
3486
1490
4120
0,85
Jeffersonville Bancorp
1999
2588
727
2,75
JetBlue Airways Corporation
37681028
37684739
5653220
6,67
Jewett-Cameron Trading Company
1573
2613
6310
0,25
John B. Sanfilippo & Son, Inc.
567810
721432
40879
13,89
John Hancock Financial Trends Fund, Inc. - Closed End Fund
2179
3538
6485
0,34
Johnson Outdoors Inc. - Class A
8706
49
14258
0,61
Jones Soda Co.
4042966
4024933
565419
7,15
Jos. A. Bank Clothiers, Inc.
6666437
7591941
356820
18,68
Joy Global Inc.
3890387
3872050
1616894
2,41
Juniper Networks, Inc.
25058211
22450607
10492557
2,39
Jupitermedia Corporation
4559128
5619670
533095
8,55
 
 
Kaiser Aluminum Corporation
210037
1136858
403945
0,52
Kaman Corporation
1064380
824673
78749
13,52
Kansas City Life Insurance Company
118540
94578
8539
13,88
Kearny Financial
949589
774600
47647
19,93
Kelly Services, Inc. - Class A
2021389
1422482
209704
9,64
Kelly Services, Inc. - Class B
550
1261
22
25,00
Kendle International Inc.
717388
456231
212920
3,37
Kenexa Corporation
1859110
1453359
416449
4,46
Kensey Nash Corporation
2362899
2428596
111931
21,11
Kent Financial Services, Inc.
139
131
5540
0,03
Kentucky First Federal Bancorp
1046
738
2127
0,49
Keryx Biopharmaceuticals, Inc.
6507697
5343759
408769
15,92
Kewaunee Scientific Corporation
3553
7176
2184
1,63
Key Technology, Inc.
14336
12648
19783
0,72
Key Tronic Corporation
25835
22160
66042
0,39
Keynote Systems, Inc.
175732
218020
79957
2,20
Keystone Automotive Industries, Inc.
823885
827581
167799
4,91
K-Fed Bancorp
7263
5079
8502
0,85
Kforce, Inc.
1366310
1168766
219501
6,22
KHD Humboldt Wedag International Ltd.
5538
5098
13956
0,40
Kimball International, Inc. - Class B
1748451
1145275
158463
11,03
Kintera Inc.
148437
159253
80131
1,85
Kirkland's, Inc. - COMMONSTOCK
273923
261991
10038
27,29
KLA-Tencor Corporation
8404637
9498461
4944616
1,70
KMG Chemicals, Inc.
3897
1127
9961
0,39
KNBT Bancorp, Inc.
900393
894972
54816
16,43
Knight Capital Group, Inc. - Class A
6821373
8129095
2253992
3,03
Knightsbridge Tankers, Limited
536828
561923
101203
5,30
Knology, Inc.
276722
143892
193185
1,43
Knot, Inc. (The)
2884592
2410382
973989
2,96
Kohlberg Capital Corporation - common stock
408306
361570
113807
3,59
Komag, Inc.
6779930
5637442
1098275
6,17
Kona Grill, Inc.
67115
42298
34956
1,92
KongZhong Corporation - American Depositary Shares
204362
326777
386939
0,53
Kopin Corporation
4264804
3525179
336800
12,66
Kosan Biosciences Incorporated
509535
441720
195414
2,61
Koss Corporation
1020
2369
753
1,35
Kreisler Manufacturing Corporation
74
2243
62422
0,00
Kronos Incorporated
3040835
2810002
405312
7,50
K-Swiss Inc. - Class A
2767237
2658893
276344
10,01
K-Tron International, Inc.
1882
2639
3463
0,54
Kulicke and Soffa Industries, Inc.
4249709
3604571
1152882
3,69
KVH Industries, Inc.
777792
782909
87737
8,87
Kyphon Inc.
5241856
4196763
981149
5,34
 
 
L.B. Foster Company
598485
543448
62103
9,64
La Jolla Pharmaceutical Company
314097
262831
27104
11,59
Labopharm Inc. - Ordinary Shares
669131
739288
220239
3,04
LaCrosse Footwear, Inc.
6421
6004
8551
0,75
Ladish Co., Inc.
1606126
1550903
312201
5,14
Lake Shore Bancorp, Inc.
849
799
1015
0,84
Lakeland Bancorp, Inc.
1006666
877227
40368
24,94
Lakeland Financial Corporation
374955
304970
22500
16,66
Lakeland Industries, Inc.
50994
53344
28712
1,78
Lakes Entertainment, Inc.
3307224
3078641
239010
13,84
Lam Research Corporation
9706616
9327386
4873992
1,99
Lamar Advertising Company - Class A
6437055
6862791
944984
6,81
Lancaster Colony Corporation
1072508
941227
90996
11,79
Lance, Inc.
2030967
1482851
147285
13,79
Landec Corporation
497919
297595
234441
2,12
Landmark Bancorp Inc.
266
3088
1215
0,22
Landstar System, Inc.
2673930
2971718
701763
3,81
Langer Inc.
2136
6125
36766
0,06
LanOptics Ltd. - Ordinary Shares
166997
190263
59730
2,80
Lantronix, Inc.
97444
79066
99217
0,98
LaserCard Corporation
1067326
865294
148899
7,17
Lattice Semiconductor Corporation
4589475
4154006
988572
4,64
Laureate Education, Inc.
1252826
2027923
753077
1,66
Lawson Products, Inc.
148670
123007
7774
19,12
Lawson Software, Inc.
18809229
8538489
3836562
4,90
Layne Christensen Company
711599
714314
160006
4,45
LCA-Vision Inc.
5636099
5503892
617806
9,12
LCC International, Inc. - Class A
110774
106669
30036
3,69
Leading Brands Inc
85917
178573
158708
0,54
Leadis Technology, Inc.
161399
384952
250771
0,64
Leap Wireless International, Inc.
1617844
1474792
440021
3,68
Learning Tree International, Inc.
759208
777229
26732
28,40
LECG Corporation
1199059
909778
463854
2,58
LeCroy Corporation
676660
634269
118894
5,69
Leesport Financial Corporation
1125
1476
1932
0,58
Legacy Bancorp, Inc.
13646
8991
39634
0,34
Legacy Reserves LP - Units Representing Limited Partner Interests
125012
0
119813
1,04
LeMaitre Vascular, Inc.
6478
6004
16374
0,40
LESCO, Inc.
17995
24733
40061
0,45
Level 3 Communications, Inc.
109938297
108814590
42162439
2,61
Lexicon Genetics Incorporated
3938007
3453888
369584
10,66
LHC Group - common stock
734508
666318
99389
7,39
Liberty Bancorp, Inc. - common stock
12576
6118
6634
1,90
Liberty Bell Bank (NJ)
405
2020
1049
0,39
Liberty Global, Inc. - Class A
6237624
6650467
979943
6,37
Liberty Global, Inc. - Class B
2521
2344
265
9,51
Liberty Global, Inc. - Series C
3029014
3453227
363869
8,32
Liberty Media Corporation - Capital Common Series A
1652083
1233950
379312
4,36
Liberty Media Corporation - Capital Common Series B
68
340
776
0,09
Liberty Media Corporation - Interactive Common Series A
8783150
6879097
2095154
4,19
Liberty Media Corporation - Interactive Common Series B
1532
213
1025
1,49
Life Partners Holdings Inc
68321
62263
45396
1,51
LifeCell Corporation
7242107
6936599
481432
15,04
Lifecore Biomedical, Inc.
71444
85036
68055
1,05
LifePoint Hospitals, Inc.
3655984
3448369
470423
7,77
Lifetime Brands, Inc.
1559496
1322522
110645
14,09
Lifeway Foods, Inc.
724422
717788
23672
30,60
Ligand Pharmaceuticals Incorporated
5054997
5189003
1508423
3,35
Lightbridge, Inc.
1088586
853921
237616
4,58
LightPath Technologies, Inc. - Class A
155199
152405
22524
6,89
Lihir Gold, Limited - American Depositary Shares
468766
356479
97326
4,82
Lincare Holdings Inc.
2159433
2482782
808010
2,67
Lincoln Bancorp
3346
1870
2412
1,39
Lincoln Educational Services Corporation
164558
129622
48174
3,42
Lincoln Electric Holdings, Inc.
633573
599884
105257
6,02
Linear Technology Corporation
11241713
10078164
5100467
2,20
Linktone Ltd. - American Depository Shares
260587
192643
144384
1,80
Linn Energy, LLC
281009
244240
69501
4,04
Lionbridge Technologies, Inc.
4827154
4489227
355946
13,56
Lipid Sciences Incorporated
205160
254448
96176
2,13
Liquidity Services, Inc.
983103
440932
398649
2,47
Littelfuse, Inc.
975240
872614
172552
5,65
LivePerson, Inc.
412849
226161
234081
1,76
LJ International, Inc.
692766
232319
802966
0,86
LKQ Corporation - LKQ Corporation
5625624
3930328
501743
11,21
LM Ericsson Telephone Company - American Depositary Shares
3947268
4326243
2497282
1,58
LMI Aerospace, Inc.
264482
324166
90552
2,92
LML Payment Systems, Inc.
876866
879749
14418
60,82
LNB Bancorp, Inc.
8430
7883
7087
1,19
Local.com Corporation
953430
831494
159042
5,99
LodgeNet Entertainment Corporation
893819
686250
158044
5,66
Logic Devices Incorporated
14671
18743
14721
1,00
LogicVision, Inc.
51270
67056
54705
0,94
Logility, Inc.
5462
4128
12609
0,43
Logitech International S.A. - Registered Shares
2440313
697791
1355679
1,80
LoJack Corporation
1558282
1434086
146239
10,66
LookSmart, Ltd.
208441
280635
76847
2,71
LoopNet, Inc.
1000173
1273377
427220
2,34
Loral Space and Communications, Inc.
689333
600961
118342
5,82
LOUD Technologies Inc.
1329
3254
953
1,39
LSB Bancshares, Inc.
1646
3283
4732
0,35
LSB Corporation
9073
9749
5364
1,69
LSB Financial Corp.
4142
3387
527
7,86
LSI Industries Inc.
1487815
947623
188833
7,88
LTX Corporation
5153715
4651048
666678
7,73
Lufkin Industries, Inc.
783291
760628
141109
5,55
Lumera Corporation
3408518
3373207
964477
3,53
Luminex Corporation
1830066
1584775
225949
8,10
Luna Innovations Incorporated
1360
5132
18526
0,07
 
 
M B T Financial Corp
462707
386702
19738
23,44
Macatawa Bank Corporation
492914
398188
41577
11,86
MACC Private Equities Inc.
2328
1843
4494
0,52
Mace Security International, Inc.
23572
23671
72142
0,33
Mackinac Financial Corporation
0
520
538
0,00
Macronix International Co. Ltd - American Depositary Shares
28125
61460
10916
2,58
Macrovision Corporation
4613071
5995148
611869
7,54
MAF Bancorp, Inc.
2036914
1705784
131595
15,48
Magal Security Systems Ltd. - Ordinary Shares
297807
287865
25787
11,55
Magellan Health Services, Inc.
2362829
2213016
340461
6,94
Magellan Petroleum Corporation
27189
4113
204328
0,13
Magic Software Enterprises Ltd. - Ordinary Shares
31561
40693
64249
0,49
Magma Design Automation, Inc.
1663082
2129353
275145
6,04
Magna Entertainment Corporation - Class A Subordinate Voting Stock
2528891
2967880
274325
9,22
Magyar Bancorp, Inc.
13027
13685
4885
2,67
MainSource Financial Group, Inc.
695578
536232
49716
13,99
MAIR Holdings, Inc.
43416
184128
37427
1,16
Majesco Entertainment Company
172424
213234
195442
0,88
MakeMusic, Inc.
1652
6253
16945
0,10
Makita Corp. - American Depositary Shares
11272
8794
9991
1,13
Mamma.com Inc
2421681
2496732
2376220
1,02
Management Network Group, Inc. (The)
62426
66222
16944
3,68
Manatron, Inc.
939
2766
7633
0,12
Manhattan Associates, Inc.
1402774
1305140
358588
3,91
Mannatech, Incorporated
4270964
4249157
166541
25,65
MannKind Corporation
7114244
7046258
511175
13,92
ManTech International Corporation
1097511
1109045
177165
6,19
MapInfo Corporation
864063
635118
91078
9,49
Marchex, Inc. - Class B
6186065
5522677
326549
18,94
Marchex, Inc. - Convertible Exchangeable Preferred Stock
100
100
8
12,50
Marine Petroleum Trust - Units of Beneficial Interest
1177
872
1617
0,73
MarketAxess Holdings, Inc. - common stock
1709437
1541147
249817
6,84
Marlin Business Services Corp.
636571
609178
41324
15,40
Marshall Edwards, Inc.
171149
112829
29797
5,74
Martek Biosciences Corporation
5111978
4847571
339690
15,05
Marten Transport, Ltd.
859595
896904
192039
4,48
Martin Midstream Partners L.P.
33675
49604
20291
1,66
Marvell Technology Group, Ltd.
18173799
19648780
14231393
1,28
MASSBANK Corp.
3060
2454
2118
1,44
MathStar, Inc.
148311
157944
61404
2,42
Matria Healthcare, Inc.
2955408
3214573
229934
12,85
Matrix Service Company
1309496
1084453
231344
5,66
Matrixx Initiatives Inc.
1150891
1033275
111082
10,36
Matthews International Corporation - Class A
1443752
1276035
117829
12,25
Mattson Technology, Inc.
2714521
2096734
359397
7,55
Max & Erma's Restaurants, Inc.
2340
1948
534
4,38
Max Re Capital Ltd.
370611
453186
201250
1,84
Maxco, Inc.
10
2610
4222
0,00
Maxim Integrated Products, Inc.
9545910
10228870
5424679
1,76
Maxus Realty Trust Inc
2744
3874
220
12,47
Maxwell Technologies, Inc.
3173145
3190045
204067
15,55
Maxygen, Inc.
1636574
1132572