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 |