Technical up trend: above 20, 50 and 200 SMA Low debt to equity rato < 0.1 q-q EPS growth
Note that this screen has shown to have wrong data. Check with a secondary source
No. Ticker Company Sector Industry Country Market Cap P/E Price Change Volume 1 ABCO Advisory Board Co. Services Research Services USA 604.26M 53.51 39.06 0.15% 78,769 2 ADGF Adams Golf Inc. Consumer Goods Sporting Goods USA 29.19M - 4.14 1.97% 10,225 3 ARO Aeropostale, Inc. Services Apparel Stores USA 2.85B 12.43 30.45 1.77% 3,184,198 4 BFR BBVA Banco Frances S.A. Financial Foreign Regional Banks Argentina 1.11B 9.25 6.20 4.38% 131,877 5 BKT BlackRock Income Trust, Inc. Financial Closed-End Fund - Debt USA 426.48M 6.81 6.67 0.60% 126,014 6 CATO Cato Corp. Services Apparel Stores USA 717.89M 13.31 24.36 1.92% 88,143 7 CBNJ Cape Bancorp, Inc. Financial Regional - Northeast Banks USA 99.69M - 7.49 2.04% 23,892 8 CEF Central Fund of Canada Limited Financial Closed-End Fund - Equity Canada 3.19B 4.18 14.96 0.55% 659,415 9 CHL China Mobile Limited Technology Wireless Communications Hong Kong 200.66B 12.05 50.01 0.18% 885,528 10 CNU Continucare Corp. Healthcare Specialized Health Services USA 238.52M 11.34 3.97 -3.64% 231,414 11 COH Coach Inc. Consumer Goods Textile - Apparel Footwear & Accessories USA 13.06B 20.00 42.81 1.54% 4,219,080 12 DECK Deckers Outdoor Corp. Consumer Goods Textile - Apparel Footwear & Accessories USA 2.05B 16.94 159.21 4.16% 973,296 13 DFZ RG Barry Corp. Consumer Goods Textile - Apparel Footwear & Accessories USA 130.23M 12.34 11.97 1.44% 22,146 14 DHY Credit Suisse High Yield Bond Fund Financial Closed-End Fund - Debt USA 163.93M 3.08 2.93 1.03% 232,452 15 DINE Rewards Network Inc. Services Business Services USA 122.60M 17.82 13.90 0.36% 19,478 16 DJCO Daily Journal Corp. Services Publishing - Newspapers USA 103.24M 11.79 71.20 0.28% 0 17 EML Eastern Co. Industrial Goods Small Tools & Accessories USA 86.50M 28.50 14.25 1.35% 9,537 18 ENI Enersis S.A. Utilities Foreign Utilities Chile 12.98B 9.11 19.87 0.56% 653,214 19 EXPO Exponent Inc. Services Management Services USA 412.82M 19.73 29.78 0.80% 91,353 20 FLL Full House Resorts Inc. Services Resorts & Casinos USA 57.42M 9.11 3.19 1.59% 29,538
21 FOSL Fossil, Inc. Consumer Goods Recreational Goods, Other USA 2.62B 16.71 38.93 1.01% 960,543 22 GLG GLG Partners, Inc. Financial Asset Management USA 728.84M 9.89 4.35 0.00% 2,947,114 23 GLOI GlobalOptions Group, Inc. Services Management Services USA 31.33M - 2.18 2.35% 6,518 24 GSB GlobalScape Inc. Technology Internet Service Providers USA 37.15M 19.09 2.10 -6.67% 70,901 25 IACI IAC/InterActiveCorp. Services Catalog & Mail Order Houses USA 2.58B - 23.24 2.15% 1,405,535 26 JOSB Jos. A Bank Clothiers Inc. Services Apparel Stores USA 1.11B 14.80 60.24 1.93% 346,471 27 LDL Lydall Inc. Basic Materials Synthetics USA 140.75M - 8.25 5.63% 34,422 28 LEO Dreyfus Strategic Municipals Inc. Financial Closed-End Fund - Debt USA 518.53M 5.39 8.52 0.24% 61,584 29 LMAT LeMaitre Vascular, Inc. Healthcare Medical Instruments & Supplies USA 87.98M 20.14 5.64 -1.40% 1,700 30 LOAN Manhattan Bridge Capital, Inc. Financial Credit Services USA 4.45M 14.89 1.34 1.52% 1,800 31 MANH Manhattan Associates, Inc. Technology Technical & System Software USA 660.18M 27.69 29.07 1.93% 112,455 32 MATK Martek Biosciences Corp. Healthcare Biotechnology USA 736.12M 17.46 22.00 0.41% 308,190 33 MEDW Mediware Information Systems Inc. Technology Healthcare Information Services USA 73.93M 26.03 9.37 2.40% 0 34 MFNC Mackinac Financial Corp. Financial Regional - Southwest Banks USA 22.23M 4.17 6.50 -3.70% 411 35 MLR Miller Industries Inc. Consumer Goods Auto Parts USA 173.35M 25.22 14.88 1.50% 48,234 36 NABI Nabi Biopharmaceuticals Healthcare Biotechnology USA 252.00M - 5.63 0.90% 186,201 37 NCA Nuveen California Municipal Value Fund Inc. Financial Closed-End Fund - Debt USA 232.05M 8.21 9.19 -0.65% 36,705 38 NMI Nuveen Municipal Income Fund Inc. Financial Closed-End Fund - Debt USA 93.66M 7.07 11.45 -0.87% 11,441 39 OYOG OYO Geospace Corp. Technology Scientific & Technical Instruments USA 294.20M 99.57 48.79 2.91% 10,400 40 PIM Putnam Master Intermediate Income Trust Financial Closed-End Fund - Debt USA 400.73M 2.45 6.15 0.49% 125,685
41 PKO Pimco Income Opportunity Fund C Financial Closed-End Fund - Debt USA 343.03M 4.28 23.77 -0.12% 39,684 42 PLCE The Children's Place Retail Stores, Inc. Services Apparel Stores USA 1.35B 14.51 48.74 -0.55% 426,038 43 PMIC Penn Millers Holding Corporation Financial Property & Casualty Insurance USA 77.14M 25.00 14.75 1.03% 16,650 44 QLTI QLT Inc. Healthcare Biotechnology Canada 332.13M - 6.20 0.32% 142,270 45 QSFT Quest Software Inc. Technology Business Software & Services USA 1.73B 23.89 19.35 0.94% 913,347 46 RBI Sport Supply Group, Inc Services Catalog & Mail Order Houses USA 168.59M 15.19 13.52 0.82% 490,986 47 SAFT Safety Insurance Group Inc. Financial Property & Casualty Insurance USA 561.59M 10.28 37.02 0.60% 39,131 48 SCIL Scientific Learning Corp. Technology Application Software USA 96.05M 17.40 5.22 0.19% 29,406 49 SEB Seaboard Corp. Consumer Goods Meat Products USA 1.91B 13.76 1551.00 -0.96% 575 50 SGC Superior Uniform Group Inc. Consumer Goods Textile - Apparel Clothing USA 59.65M 20.22 10.11 2.02% 1,004 51 SKX Skechers USA Inc. Consumer Goods Textile - Apparel Footwear & Accessories USA 1.93B 19.20 40.71 2.54% 1,681,763 52 SPEC Spectrum Control Inc. Technology Diversified Electronics USA 175.03M 19.94 13.76 5.04% 40,309 53 TACT TransAct Technologies Incorporated Technology Computer Peripherals USA 70.80M 26.93 7.54 -1.69% 4,400 54 TIII Tii Network Technologies, Inc Industrial Goods Industrial Electrical Equipment USA 21.88M 25.66 1.54 -0.03% 82,010 55 TOF Tofutti Brands Inc. Consumer Goods Dairy Products USA 14.71M 23.67 2.84 7.17% 7,125 56 ULTA Ulta Salon, Cosmetics & Fragrance, Inc. Services Personal Services USA 1.45B 30.85 24.68 10.18% 5,336,102 57 VCLK ValueClick, Inc. Services Advertising Agencies USA 934.48M 15.53 11.49 1.86% 1,265,367 58 WSTL Westell Technologies Inc. Technology Communication Equipment USA 104.00M 10.27 1.54 0.00% 89,604
|