SI
SI
discoversearch

We've detected that you're using an ad content blocking browser plug-in or feature. Ads provide a critical source of revenue to the continued operation of Silicon Investor.  We ask that you disable ad blocking while on Silicon Investor in the best interests of our community.  If you are not using an ad blocker but are still receiving this message, make sure your browser's tracking protection is set to the 'standard' level.
Strategies & Market Trends : Technical analysis for shorts & longs -- Ignore unavailable to you. Want to Upgrade?


To: Johnny Canuck who wrote (51206)1/14/2015 12:47:06 PM
From: Johnny Canuck  Respond to of 68180
 
175 Candidates

No. Ticker Company Sector Industry Country Market Cap P/E Price Change Volume
1 AAON AAON Inc. Industrial Goods General Building Materials USA 1.19B 29.45 21.76 -0.14% 23,209
2 AAPL Apple Inc. Consumer Goods Electronic Equipment USA 646.42B 17.14 109.29 -0.84% 20,503,012
3 ACN Accenture plc Technology Information Technology Services Ireland 59.69B 20.14 88.76 -1.19% 808,016
4 ADP Automatic Data Processing, Inc. Technology Business Software & Services USA 40.48B 26.41 83.76 -0.26% 667,354
5 ADX The Adams Express Company Financial Closed-End Fund - Equity USA 1.26B 4.29 13.34 -0.89% 65,250
6 AET Aetna Inc. Healthcare Health Care Plans USA 31.77B 15.03 89.94 -0.43% 1,062,321
7 AFSI AmTrust Financial Services, Inc. Financial Property & Casualty Insurance USA 4.07B 9.34 49.66 -1.39% 319,259
8 ALGN Align Technology Inc. Healthcare Medical Appliances & Equipment USA 5.03B 34.81 61.47 -1.88% 319,402
9 ALXN Alexion Pharmaceuticals, Inc. Healthcare Biotechnology USA 35.54B 74.67 177.35 -1.04% 650,058
10 AMBA Ambarella, Inc. Technology Semiconductor Equipment & Materials USA 1.83B 50.65 57.07 -5.31% 1,445,691
11 AMTD TD Ameritrade Holding Corporation Financial Investment Brokerage - National USA 18.64B 24.16 33.40 -2.65% 1,558,979
12 ANIP ANI Pharmaceuticals, Inc. Healthcare Biotechnology USA 615.92M 52.83 55.72 2.41% 120,631
13 ARKR Ark Restaurants Corp. Services Restaurants USA 83.66M 17.31 24.30 -1.82% 500
14 AXS AXIS Capital Holdings Limited Financial Property & Casualty Insurance Bermuda 5.01B 6.71 48.19 -1.61% 241,430
15 AYI Acuity Brands, Inc. Technology Diversified Electronics USA 6.63B 36.59 150.91 -1.34% 142,930
16 BCC Boise Cascade Company Industrial Goods Lumber, Wood Production USA 1.52B 20.53 39.79 3.08% 211,878
17 BFR BBVA Banco Frances SA Financial Foreign Regional Banks Argentina 3.32B 6.94 13.55 -1.38% 29,658
18 BIDU Baidu, Inc. Technology Internet Information Providers China 77.02B 37.73 218.61 -0.45% 1,303,337
19 BIIB Biogen Idec Inc. Healthcare Biotechnology USA 83.30B 33.37 351.33 -0.40% 579,550
20 BITA Bitauto Holdings Limited Technology Internet Information Providers China 3.03B 42.12 64.80 -2.63% 1,208,724

21 BMA Banco Macro S.A. Financial Foreign Regional Banks Argentina 3.51B 5.66 42.06 -2.12% 33,191
22 BOFI BofI Holding, Inc. Financial Savings & Loans USA 1.18B 19.05 79.55 -0.56% 57,265
23 BRLI Bio-Reference Laboratories Inc. Healthcare Medical Laboratories & Research USA 886.81M 19.04 32.29 0.98% 80,026
24 BSF Bear State Financial, Inc. Financial Savings & Loans USA 365.07M 18.88 10.68 -2.47% 12,960
25 BSTC BioSpecifics Technologies Corp. Healthcare Biotechnology USA 252.14M 60.61 38.93 0.36% 12,238
26 BWLD Buffalo Wild Wings Inc. Services Restaurants USA 3.57B 37.83 183.79 -2.45% 158,477
27 CATO The Cato Corporation Services Apparel Stores USA 1.21B 22.18 43.42 -0.10% 54,608
28 CBOE CBOE Holdings, Inc. Financial Diversified Investments USA 5.52B 30.26 64.93 -0.67% 174,263
29 CBPO China Biologic Products, Inc. Healthcare Biotechnology China 1.63B 26.07 66.77 0.85% 37,034
30 CHA China Telecom Corp. Ltd. Technology Telecom Services - Foreign China 47.57B 6.53 57.95 -1.34% 13,152
31 CHE Chemed Corp. Healthcare Home Health Care USA 1.76B 20.10 103.41 -0.30% 46,991
32 CHKP Check Point Software Technologies Ltd. Technology Security Software & Services Israel 15.16B 23.37 79.39 -0.09% 286,362
33 CMG Chipotle Mexican Grill, Inc. Services Restaurants USA 22.14B 55.70 710.04 -0.56% 129,899
34 CNC Centene Corp. Healthcare Health Care Plans USA 6.26B 30.06 106.74 0.02% 175,898
35 COST Costco Wholesale Corporation Services Discount, Variety Stores USA 62.15B 29.33 138.65 -1.73% 911,044
36 COV Covidien plc Healthcare Medical Instruments & Supplies Ireland 47.01B 28.44 102.64 -1.14% 1,148,712
37 CPSI Computer Programs & Systems Inc. Technology Healthcare Information Services USA 699.28M 19.25 62.01 -0.59% 27,680
38 CSTE CaesarStone Sdot-Yam Ltd. Industrial Goods General Building Materials Israel 2.06B 27.72 57.38 -2.37% 45,977
39 CTSH Cognizant Technology Solutions Corporation Technology Business Software & Services USA 32.97B 23.65 53.51 -1.18% 1,029,403
40 CUDA Barracuda Networks, Inc. Technology Communication Equipment USA 1.98B 475.62 37.08 -2.55% 121,029

41 CVGW Calavo Growers Inc. Consumer Goods Farm Products USA 755.53M 22.83 47.85 -0.19% 20,611
42 DECK Deckers Outdoor Corp. Consumer Goods Textile - Apparel Footwear & Accessories USA 3.24B 23.07 89.19 -4.53% 304,379
43 DG Dollar General Corporation Services Discount, Variety Stores USA 20.57B 20.36 66.82 -1.44% 2,149,959
44 DHIL Diamond Hill Investment Group Inc. Financial Asset Management USA 432.80M 16.46 129.50 -0.66% 200
45 DIS The Walt Disney Company Services Entertainment - Diversified USA 161.41B 22.35 93.99 -1.26% 2,715,413
46 DLHC DLH Holdings Corp. Services Staffing & Outsourcing Services USA 21.47M 4.29 2.11 -5.38% 2,214
47 DLTR Dollar Tree, Inc. Services Discount, Variety Stores USA 13.98B 23.29 66.52 -2.18% 2,499,322
48 DTSI DTS Inc. Technology Application Software USA 488.88M 15.13 29.05 2.14% 55,365
49 EA Electronic Arts Inc. Technology Multimedia & Graphics Software USA 14.43B 41.45 46.31 -0.24% 968,709
50 ECF Ellsworth Fund Ltd. Financial Asset Management USA 112.24M 8.77 8.45 0.36% 8,258
51 EPAM EPAM Systems, Inc. Technology Information Technology Services USA 2.29B 33.71 46.46 -2.95% 169,591
52 EVI EnviroStar, Inc. Services Consumer Services USA 18.94M 11.21 2.69 0.00% 0
53 EW Edwards Lifesciences Corp. Healthcare Medical Appliances & Equipment USA 14.29B 18.56 131.85 -1.32% 265,150
54 EXPD Expeditors International of Washington Inc. Services Air Delivery & Freight Services USA 8.44B 24.17 43.12 -1.42% 197,860
55 FB Facebook, Inc. Technology Internet Information Providers USA 213.13B 72.81 76.06 -0.51% 13,574,460
56 FDS FactSet Research Systems Inc. Technology Information & Delivery Services USA 5.84B 27.78 139.70 -0.41% 78,171
57 FFIV F5 Networks, Inc. Technology Business Software & Services USA 9.49B 31.38 124.35 -3.36% 747,798
58 FL Foot Locker, Inc. Consumer Goods Textile - Apparel Footwear & Accessories USA 7.90B 16.56 52.64 -5.38% 2,924,157
59 FNHC Federated National Holding Company Financial Property & Casualty Insurance USA 366.36M 9.51 26.35 0.76% 32,311
60 FSI Flexible Solutions International Inc. Basic Materials Specialty Chemicals Canada 14.53M 5.24 1.09 -0.91% 13,586

61 GGAL Grupo Financiero Galicia S.A. Financial Foreign Regional Banks Argentina 2.12B 2.09 16.06 -1.29% 124,759
62 GIII G-III Apparel Group, Ltd. Consumer Goods Textile - Apparel Clothing USA 2.22B 21.98 97.41 -1.52% 47,848
63 GMED Globus Medical, Inc. Healthcare Medical Appliances & Equipment USA 2.28B 26.84 23.90 -1.08% 49,207
64 GNTX Gentex Corp. Consumer Goods Auto Parts USA 5.09B 17.72 17.05 -1.84% 472,948
65 GOF Guggenheim Strategic Opportunit Financial Closed-End Fund - Debt USA 328.43M 13.35 21.11 -0.59% 27,821
66 GPC Genuine Parts Company Services Specialty Retail, Other USA 14.84B 21.57 94.80 -2.35% 626,610
67 HIFS Hingham Institution for Savings Financial Savings & Loans USA 182.91M 8.67 86.28 0.00% 4
68 HNI HNI Corp. Consumer Goods Business Equipment USA 2.21B 29.46 49.79 0.02% 58,813
69 HOLI HollySys Automation Technologies, Ltd. Industrial Goods Industrial Electrical Equipment China 1.49B 19.70 25.30 -1.98% 273,162
70 HRL Hormel Foods Corporation Consumer Goods Meat Products USA 13.37B 22.74 50.42 -0.55% 275,680
71 HSIC Henry Schein, Inc. Services Medical Equipment Wholesale USA 11.75B 26.28 138.08 -1.05% 94,552
72 HTLD Heartland Express, Inc. Services Trucking USA 2.35B 29.72 26.72 -0.11% 114,012
73 HXL Hexcel Corp. Industrial Goods Aerospace/Defense Products & Services USA 4.02B 20.63 41.85 -0.57% 505,138
74 ICLR ICON Public Limited Company Healthcare Medical Laboratories & Research Ireland 3.45B 25.59 55.47 -1.03% 174,491
75 INFY Infosys Ltd. Technology Technical & System Software India 38.36B 19.92 33.91 0.15% 779,861
76 INTC Intel Corporation Technology Semiconductor - Broad Line USA 176.48B 17.46 36.17 -0.90% 14,591,500
77 IPGP IPG Photonics Corporation Technology Semiconductor Equipment & Materials USA 3.71B 20.75 70.56 -0.87% 158,863
78 IQNT Inteliquent, Inc. Technology Wireless Communications USA 635.90M 16.13 19.04 -0.83% 155,728
79 JKHY Jack Henry & Associates Inc. Technology Business Software & Services USA 5.19B 26.24 62.75 -1.20% 37,041
80 JLL Jones Lang LaSalle Incorporated Financial Property Management USA 6.77B 20.15 149.32 -1.19% 104,692

81 JNJ Johnson & Johnson Healthcare Drug Manufacturers - Major USA 293.23B 17.34 103.58 -1.13% 3,587,034
82 JRN Journal Communications Inc. Services Broadcasting - TV USA 546.77M 15.57 10.37 -3.45% 96,242
83 KFRC Kforce Inc. Services Staffing & Outsourcing Services USA 724.37M 60.72 23.37 -1.31% 22,644
84 KNX Knight Transportation Inc. Services Trucking USA 2.74B 30.71 33.01 -2.28% 278,191
85 KWR Quaker Chemical Corporation Basic Materials Specialty Chemicals USA 1.11B 19.15 83.07 -0.75% 10,448
86 LCI Lannett Company, Inc. Healthcare Drugs - Generic USA 1.57B 16.28 44.26 0.68% 190,532
87 LEA Lear Corp. Consumer Goods Auto Parts USA 7.64B 16.37 93.32 -3.22% 567,660
88 LFC China Life Insurance Co. Ltd. Financial Life Insurance China 143.52B 25.38 58.21 -0.72% 163,460
89 LLTC Linear Technology Corporation Technology Semiconductor - Specialized USA 10.77B 22.81 45.88 1.57% 3,173,818
90 LMNS Lumenis Ltd. Healthcare Medical Appliances & Equipment Israel 357.52M 35.86 9.95 -0.90% 48,266
91 LUNA Luna Innovations Incorporated Technology Scientific & Technical Instruments USA 25.60M 5.00 1.69 -0.59% 54,953
92 LUV Southwest Airlines Co. Services Regional Airlines USA 27.48B 24.24 39.84 -1.58% 3,596,064
93 LXFT Luxoft Holding, Inc. Technology Application Software Switzerland 1.27B 23.23 39.00 0.52% 123,370
94 MA MasterCard Incorporated Financial Credit Services USA 96.32B 28.61 82.39 -1.39% 2,072,352
95 MAG Magnetek Inc. Industrial Goods Industrial Electrical Equipment USA 139.61M 18.06 40.10 1.39% 6,922
96 MANH Manhattan Associates, Inc. Technology Application Software USA 3.25B 42.22 43.27 -0.51% 95,875
97 MIDD Middleby Corp. Industrial Goods Diversified Machinery USA 5.46B 28.30 95.52 0.16% 88,071
98 MITT AG Mortgage Investment Trust, Inc. Financial REIT - Diversified USA 525.78M 5.35 18.26 -1.40% 80,563
99 MMC Marsh & McLennan Companies, Inc. Financial Insurance Brokers USA 30.40B 21.13 55.77 -0.78% 552,774
100 MMI Marcus & Millichap, Inc. Financial Real Estate Development USA 1.25B 50.28 34.58 1.14% 20,348

81 JNJ Johnson & Johnson Healthcare Drug Manufacturers - Major USA 293.23B 17.34 103.58 -1.13% 3,587,034
82 JRN Journal Communications Inc. Services Broadcasting - TV USA 546.77M 15.57 10.37 -3.45% 96,242
83 KFRC Kforce Inc. Services Staffing & Outsourcing Services USA 724.37M 60.72 23.37 -1.31% 22,644
84 KNX Knight Transportation Inc. Services Trucking USA 2.74B 30.71 33.01 -2.28% 278,191
85 KWR Quaker Chemical Corporation Basic Materials Specialty Chemicals USA 1.11B 19.15 83.07 -0.75% 10,448
86 LCI Lannett Company, Inc. Healthcare Drugs - Generic USA 1.57B 16.28 44.26 0.68% 190,532
87 LEA Lear Corp. Consumer Goods Auto Parts USA 7.64B 16.37 93.32 -3.22% 567,660
88 LFC China Life Insurance Co. Ltd. Financial Life Insurance China 143.52B 25.38 58.21 -0.72% 163,460
89 LLTC Linear Technology Corporation Technology Semiconductor - Specialized USA 10.77B 22.81 45.88 1.57% 3,173,818
90 LMNS Lumenis Ltd. Healthcare Medical Appliances & Equipment Israel 357.52M 35.86 9.95 -0.90% 48,266
91 LUNA Luna Innovations Incorporated Technology Scientific & Technical Instruments USA 25.60M 5.00 1.69 -0.59% 54,953
92 LUV Southwest Airlines Co. Services Regional Airlines USA 27.48B 24.24 39.84 -1.58% 3,596,064
93 LXFT Luxoft Holding, Inc. Technology Application Software Switzerland 1.27B 23.23 39.00 0.52% 123,370
94 MA MasterCard Incorporated Financial Credit Services USA 96.32B 28.61 82.39 -1.39% 2,072,352
95 MAG Magnetek Inc. Industrial Goods Industrial Electrical Equipment USA 139.61M 18.06 40.10 1.39% 6,922
96 MANH Manhattan Associates, Inc. Technology Application Software USA 3.25B 42.22 43.27 -0.51% 95,875
97 MIDD Middleby Corp. Industrial Goods Diversified Machinery USA 5.46B 28.30 95.52 0.16% 88,071
98 MITT AG Mortgage Investment Trust, Inc. Financial REIT - Diversified USA 525.78M 5.35 18.26 -1.40% 80,563
99 MMC Marsh & McLennan Companies, Inc. Financial Insurance Brokers USA 30.40B 21.13 55.77 -0.78% 552,774
100 MMI Marcus & Millichap, Inc. Financial Real Estate Development USA 1.25B 50.28 34.58 1.14% 20,348

101 MNDO MIND C.T.I., Ltd. Technology Information Technology Services Israel 68.94M 15.17 3.56 -2.31% 45,057
102 MNST Monster Beverage Corporation Consumer Goods Beverages - Soft Drinks USA 18.97B 45.24 117.39 3.78% 716,897
103 MSCI MSCI Inc. Technology Application Software USA 6.06B 31.42 53.58 -0.87% 224,835
104 MSON Misonix, Inc. Healthcare Medical Appliances & Equipment USA 97.26M 42.43 12.58 -1.18% 4,653
105 MTD Mettler-Toledo International Inc. Healthcare Medical Instruments & Supplies USA 8.47B 27.14 295.45 -0.40% 39,491
106 MTEX Mannatech, Incorporated Consumer Goods Personal Products USA 76.07M 10.63 27.95 -1.91% 771
107 MWIV MWI Veterinary Supply, Inc. Services Medical Equipment Wholesale USA 2.45B 33.62 189.60 -0.19% 471,034
108 MWV MeadWestvaco Corporation Consumer Goods Packaging & Containers USA 7.48B 21.15 44.48 -0.80% 206,125
109 NATH Nathan's Famous Inc. Services Restaurants USA 366.96M 36.73 80.70 -1.48% 5,065
110 NKE Nike, Inc. Consumer Goods Textile - Apparel Footwear & Accessories USA 82.08B 28.28 93.20 -1.91% 1,176,236
111 NLS Nautilus Inc. Consumer Goods Sporting Goods USA 483.43M 26.62 15.29 -0.97% 79,900
112 NOAH Noah Holdings Limited Financial Asset Management China 1.06B 15.49 18.72 1.57% 233,390
113 NTES NetEase, Inc. Technology Internet Software & Services China 13.71B 18.02 104.67 -0.20% 178,978
114 NTRI Nutrisystem, Inc. Services Consumer Services USA 525.92M 35.15 18.49 1.15% 117,920
115 ODFL Old Dominion Freight Line Inc. Services Trucking USA 6.32B 25.82 72.88 -0.61% 235,838
116 OFLX OmegaFlex, Inc. Industrial Goods Industrial Equipment & Components USA 338.62M 27.51 32.19 -4.08% 1,361
117 PAYX Paychex, Inc. Services Staffing & Outsourcing Services USA 17.10B 26.45 46.88 -0.42% 749,159
118 PGR Progressive Corp. Financial Property & Casualty Insurance USA 15.58B 13.05 26.15 -1.32% 2,238,648
119 PLT Plantronics, Inc. Technology Processing Systems & Products USA 2.19B 18.41 50.66 -0.67% 48,847
120 PMT PennyMac Mortgage Investment Trust Financial REIT - Diversified USA 1.63B 8.19 21.92 -0.18% 202,980

121 PPC Pilgrim's Pride Corporation Consumer Goods Food - Major Diversified USA 8.21B 11.96 30.96 -2.30% 508,915
122 RE Everest Re Group Ltd. Financial Property & Casualty Insurance Bermuda 7.65B 6.63 167.07 -1.18% 82,537
123 REIS Reis, Inc. Services Business Services USA 269.48M 14.31 24.13 -0.25% 10,163
124 RHI Robert Half International Inc. Services Staffing & Outsourcing Services USA 7.81B 27.09 56.61 -1.43% 126,943
125 ROL Rollins Inc. Services Business Services USA 4.76B 35.16 32.61 -0.27% 26,107
126 ROST Ross Stores Inc. Services Apparel Stores USA 19.78B 22.37 92.23 -2.77% 910,196
127 RVSB Riverview Bancorp Inc. Financial Savings & Loans USA 98.91M 5.12 4.38 -0.45% 12,387
128 SAM Boston Beer Co. Inc. Consumer Goods Beverages - Brewers USA 3.81B 43.84 287.32 -1.44% 13,340
129 SANM Sanmina Corporation Technology Diversified Electronics USA 1.94B 10.39 23.05 -2.25% 128,943
130 SAVE Spirit Airlines, Inc. Services Major Airlines USA 5.17B 24.48 70.81 -0.25% 368,585
131 SBUX Starbucks Corporation Services Specialty Eateries USA 60.52B 29.73 79.98 -1.10% 1,849,600
132 SCSS Select Comfort Corporation Consumer Goods Home Furnishings & Fixtures USA 1.50B 27.59 27.95 -0.68% 152,150
133 SEIC SEI Investments Co. Financial Asset Management USA 6.67B 22.52 39.20 -1.66% 230,907
134 SFBS ServisFirst Bancshares, Inc. Financial Foreign Money Center Banks USA 755.60M 15.01 30.18 -0.98% 3,738
135 SFM Sprouts Farmers Market, Inc. Services Grocery Stores USA 5.21B 53.86 34.15 -0.93% 295,156
136 SIMO Silicon Motion Technology Corp. Technology Diversified Electronics Taiwan 807.69M 6.19 24.65 2.88% 167,814
137 SMCI Super Micro Computer, Inc. Technology Networking & Communication Devices USA 1.57B 24.61 33.32 -2.60% 110,928
138 SNA Snap-on Incorporated Industrial Goods Small Tools & Accessories USA 7.78B 19.74 133.18 -0.52% 125,320
139 SPIL Siliconware Precision Industries Co. Ltd. Technology Semiconductor Equipment & Materials Taiwan 4.74B 13.69 7.58 0.66% 311,217
140 STMP Stamps.com Inc. Technology Application Software USA 736.79M 16.31 46.68 0.80% 42,035

141 STRP Straight Path Communications Inc. Technology Diversified Communication Services USA 200.64M 67.16 16.80 0.06% 5,493
142 SWKS Skyworks Solutions Inc. Technology Semiconductor - Integrated Circuits USA 13.89B 30.61 71.46 -1.89% 1,441,403
143 SYRG Synergy Resources Corporation Basic Materials Oil & Gas Equipment & Services USA 1.07B 22.85 12.75 1.43% 760,199
144 TASR TASER International Inc. Industrial Goods Aerospace/Defense Products & Services USA 1.35B 69.51 25.76 0.16% 854,745
145 TFM The Fresh Market, Inc. Services Grocery Stores USA 1.75B 38.88 37.01 2.35% 618,320
146 TREC Trecora Resources Basic Materials Chemicals - Major Diversified USA 357.11M 21.97 14.48 -1.64% 12,385
147 TREX Trex Co. Inc. Industrial Goods General Building Materials USA 1.30B 25.95 40.25 -1.20% 27,741
148 TROW T. Rowe Price Group, Inc. Financial Asset Management USA 21.54B 18.75 81.57 -1.79% 572,610
149 TSCO Tractor Supply Company Services Specialty Retail, Other USA 10.68B 31.06 77.24 -1.69% 288,152
150 TSRA Tessera Technologies Inc. Technology Semiconductor Equipment & Materials USA 1.78B 19.98 34.28 1.54% 157,697
151 TXN Texas Instruments Inc. Technology Semiconductor - Broad Line USA 55.76B 23.26 52.56 -0.44% 2,638,831
152 TY Tri-Continental Corporation Financial Closed-End Fund - Equity USA 1.30B 4.61 20.87 -0.76% 19,461
153 TYL Tyler Technologies, Inc. Technology Technical & System Software USA 3.59B 71.08 108.43 -0.29% 55,606
154 UA Under Armour, Inc. Consumer Goods Textile - Apparel Clothing USA 14.23B 78.35 65.27 -2.00% 699,181
155 UEPS Net 1 Ueps Technologies Inc. Services Business Services South Africa 564.27M 7.02 12.19 0.44% 89,660
156 UIHC United Insurance Holdings Corp. Financial Property & Casualty Insurance USA 459.38M 11.10 22.31 1.50% 63,913
157 ULTA ULTA Salon, Cosmetics & Fragrance, Inc. Services Specialty Retail, Other USA 8.29B 34.63 127.75 -0.82% 143,670
158 ULTI The Ultimate Software Group, Inc. Technology Internet Software & Services USA 4.12B 99.52 143.22 -1.43% 66,890
159 UNH UnitedHealth Group Incorporated Healthcare Health Care Plans USA 98.93B 18.41 102.27 -0.78% 1,417,591
160 UNP Union Pacific Corporation Services Railroads USA 99.43B 20.63 111.35 -0.43% 2,848,413

161 USNA USANA Health Sciences Inc. Healthcare Drug Related Products USA 1.26B 19.05 100.88 -1.40% 39,056
162 UTMD Utah Medical Products Inc. Healthcare Medical Instruments & Supplies USA 221.93M 18.96 57.84 -2.53% 8,226
163 UVE Universal Insurance Holdings Inc. Financial Property & Casualty Insurance USA 727.68M 11.12 21.07 -0.80% 133,636
164 VFC V.F. Corporation Consumer Goods Textile - Apparel Clothing USA 32.42B 26.07 73.95 -1.51% 651,228
165 VOD Vodafone Group Public Limited Company Technology Wireless Communications United Kingdom 91.22B 65.08 34.26 -0.67% 1,681,605
166 VVI Viad Corp Services Business Services USA 567.18M 14.27 28.00 -0.92% 16,081
167 WAB Westinghouse Air Brake Technologies Corporation Services Railroads USA 8.03B 25.37 82.47 -1.19% 285,203
168 WAL Western Alliance Bancorporation Financial Regional - Pacific Banks USA 2.24B 15.92 24.95 -2.04% 148,729
169 WHG Westwood Holdings Group Inc. Financial Asset Management USA 508.18M 17.56 61.31 0.02% 899
170 WLDN Willdan Group, Inc. Services Technical Services USA 91.33M 11.51 12.46 4.09% 83,051
171 WNS WNS (Holdings) Limited Services Business Services India 1.04B 20.19 19.90 -1.44% 22,876
172 WPPGY WPP plc Services Advertising Agencies United Kingdom 28.11B 18.32 104.73 -0.56% 26,291
173 WPT World Point Terminals, LP Basic Materials Oil & Gas Pipelines USA 662.20M 18.75 19.94 0.30% 3,691
174 WSM Williams-Sonoma Inc. Services Home Furnishing Stores USA 6.99B 24.79 75.60 -0.36% 455,532
175 ZUMZ Zumiez, Inc. Services Specialty Retail, Other USA 1.16B 22.42 39.11 -1.46% 82,052