Core Financial Semantics Analysis, List of Filings

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# Entity Form CIK (Click to go to filing) SIC Concepts Added As Of Date Assets Net Cash Flow (YTD) Equity Net Cash Flow Net Income
1 1ST CONSTITUTION BANCORP 10-Q 0001141807 6035 4 2011-06-30 729,430,556 72,347,075 52,433,152 72,347,075 1,618,784
2 1st Financial Services CORP 10-Q 0001434743 6022 22 2011-06-30 723,918,000 2,244,000 38,462,000 2,244,000 94,000
3 1st Franklin Financial Corporation 10-Q 0000038723 6141 14 2011-06-30 441,329,664 2,300,483 142,316,573 2,300,483 14,428,848
4 1ST SOURCE CORP 10-Q 0000034782 6022 33 2011-06-30 4,354,951,000 -37,523,000 505,594,000 -37,523,000 25,473,000
5 1st United Bancorp, Inc. 10-Q 0001415277 6022 29 2011-06-30 1,260,265,000 55,994,000 212,198,000 55,994,000 1,419,000
6 21ST CENTURY HOLDING CO 10-Q 0001069996 6331 4 2011-06-30 189,185,000 5,936,000 56,024,000 5,936,000 -2,812,000
7 24HOLDINGS INC 10-Q 0001025315 6770 1 2011-06-30 18,156 4,756 -875 4,756 -14,534
8 3D SYSTEMS CORP 10-Q 0000910638 7372 3 2011-06-30 304,591,000 41,660,000 223,552,000 41,660,000 20,195,000
9 3DICON CORP 10-Q 0001375195 3669 16 2011-06-30 640,744 572,176 -427,799 572,176 -15,046,323
10 3M CO 10-Q 0000066740 3841 99 2011-06-30 32,282,000,000 -1,000,000 17,742,000,000 -1,000,000 2,280,000,000
11 3PEA INTERNATIONAL, INC. 10-Q 0001496443 7389 0 2011-06-30 3,620,502 54,484 -3,053,130 54,484 66,017
12 4 KIDS ENTERTAINMENT INC 10-Q 0000058592 6794 8 2011-06-30 20,144,000 2,006,000 2,734,000 2,006,000 -8,272,000
13 57th Street General Acquisition Corp 10-Q 0001476719 2050 10 2011-06-30 28,696,670 10,859,464 22,010,406 10,859,464 -438,653
14 5Barz International, Inc. 10-Q 0001454124 3080 6 2011-06-30 2,460,298 64,248 756,059 64,248 -485,936
15 8X8 INC /DE/ 10-Q 0001023731 4813 1 2011-06-30 29,269,000 460,000 18,217,000 460,000 1,947,000
16 99 Cents Only Stores 10-Q 0001011290 5331 49 2011-07-02 844,116,000 5,056,000 701,876,000 5,056,000 17,683,000
17 A. H. Belo CORP 10-Q 0001413898 2711 10 2011-06-30 352,850,000 -36,234,000 186,216,000 -36,234,000 -13,548,000
18 A.C. Moore Arts & Crafts, Inc. 10-Q 0001042809 5945 7 2011-07-02 213,741,000 -23,787,000 117,060,000 -23,787,000 -15,308,000
19 A123 SYSTEMS, INC. 10-Q 0001167178 3690 79 2011-06-30 729,492,000 78,033,000 412,664,000 78,033,000 -109,063,000
20 AAON INC 10-Q 0000824142 3585 1 2011-06-30 186,360,000 -302,000 120,029,000 -302,000 7,489,000
21 AAR CORP 10-K 0000001750 3720 19 2011-05-31 1,703,727,000 -21,937,000 835,289,000 -21,937,000 69,826,000
22 AARON'S INC 10-Q 0000706688 7359 30 2011-06-30 1,555,593,000 104,357,000 1,001,133,000 104,357,000 55,188,000
23 AASTROM BIOSCIENCES INC 10-Q 0000887359 2836 4 2011-06-30 20,304,000 18,521,000 -10,158,000 18,521,000 -236,157,000
24 ABAXIS INC 10-Q 0000881890 3829 8 2011-06-30 190,872,000 1,602,000 170,867,000 1,602,000 2,214,000
25 ABBOTT LABORATORIES 10-Q 0000001800 2834 46 2011-06-30 62,004,241,000 428,647,000 26,469,703,000 428,647,000 2,806,600,000
26 ABERCROMBIE & FITCH CO /DE/ 10-Q 0001018840 5651 8 2011-04-30 2,892,994,000 -84,530,000 1,908,562,000 -84,530,000 25,141,000
27 ABINGTON BANCORP, INC./PA 10-Q 0001397533 6036 12 2011-06-30 1,176,738,821 -4,108,198 216,317,612 -4,108,198 3,692,670
28 ABIOMED INC 10-Q 0000815094 3841 3 2011-06-30 131,137,000 -1,680,000 111,183,000 -1,680,000 -4,594,000
29 ABM INDUSTRIES INC /DE/ 10-Q 0000771497 7340 9 2011-04-30 1,916,991,000 -16,156,000 760,257,000 -16,156,000 22,581,000
30 ABOVENET INC 10-Q 0001043533 4899 89 2011-06-30 863,500,000 34,800,000 598,000,000 34,800,000 30,600,000
31 ABRAXAS PETROLEUM CORP 10-Q 0000867665 1311 4 2010-12-31 182,909,000 4,052,000 -14,976,000 4,052,000 -1,082,000
32 ABTECH HOLDINGS, INC. 10-Q 0001405858 1090 5 2011-06-30 888,135 68,979 -3,393,858 68,979 -3,326,479
33 ACACIA RESEARCH CORP 10-Q 0000934549 6794 9 2011-06-30 340,175,000 196,900,000 309,210,000 196,900,000 15,395,000
34 ACADIA PHARMACEUTICALS INC 10-Q 0001070494 2834 2 2011-06-30 41,309,000 1,171,000 32,821,000 1,171,000 -12,389,000
35 ACADIA REALTY TRUST 10-Q 0000899629 6798 17 2011-06-30 1,612,867,000 28,267,000 654,298,000 28,267,000 34,693,000
36 ACCELERATED ACQUISITION XII 10-Q 0001497918 6770 4 2011-06-30 200 200 -1,600 200 -3,600
37 ACCELERATED ACQUISITION XIII 10-Q 0001497919 6770 2 2011-06-30 200 200 -1,600 200 -3,600
38 ACCELERATED ACQUISITION XIV 10-Q 0001497920 6770 2 2011-06-30 200 200 -1,600 200 -3,600
39 ACCELERATED ACQUISITIONS IV INC 10-Q 0001444144 6770 6 2011-06-30 116 116 -9,434 116 -31,489
40 ACCELERIZE NEW MEDIA INC 10-Q 0001352952 7389 9 2011-06-30 573,405 68,388 -652,297 68,388 -752,810
41 ACCELLENT INC 10-Q 0001342505 3841 2 2011-06-30 1,100,973,000 -19,832,000 277,140,000 -19,832,000 -7,160,000
42 ACCELRYS, INC. 10-Q 0001002388 7372 11 2011-06-30 369,788,000 -34,208,000 236,019,000 -34,208,000 -10,234,000
43 ACCENTIA BIOPHARMACEUTICALS INC 10-Q 0001310094 2834 42 2011-06-30 6,814,647 809,953 -86,003,382 809,953 -12,223,200
44 Accenture plc 10-Q 0001467373 7389 28 2011-05-31 14,903,969,000 418,392,000 4,176,432,000 418,392,000 1,665,744,000
45 Access Pharmaceuticals Inc 10-Q 0000318306 2834 9 2011-06-30 5,065,000 -2,687,000 -23,939,000 -2,687,000 -3,163,000
46 Access Plans Inc 10-Q 0001087216 7331 10 2011-06-30 26,335,065 6,550,485 19,248,788 6,550,485 4,908,112
47 ACCO BRANDS CORP 10-Q 0000712034 2780 4 2011-06-30 1,135,800,000 9,500,000 -28,300,000 9,500,000 35,600,000
48 Accredited Members Holding Corp 10-Q 0001388132 6552 11 2011-06-30 4,203,565 -119,230 2,001,352 -119,230 -993,427
49 Accretive Health, Inc. 10-Q 0001472595 8741 9 2011-06-30 313,191,000 -5,276,000 191,764,000 -5,276,000 8,713,000
50 ACCURIDE CORP 10-Q 0000817979 3714 4 2011-06-30 905,022,000 -43,403,000 295,127,000 -43,403,000 -3,884,000
51 ACE Consulting Management, Inc. 10-Q 0001265848 8742 7 2011-06-30 24,358 24,358 23,083 24,358 -1,466,667
52 ACE LTD 10-Q 0000896159 6331 172 2011-06-30 89,254,000,000 61,000,000 24,113,000,000 61,000,000 866,000,000
53 ACE MARKETING & PROMOTIONS INC 10-Q 0001084267 7310 0 2011-06-30 2,278,176 -37,978 1,788,001 -37,978 -899,325
54 ACELRX PHARMACEUTICALS INC 10-Q 0001427925 2834 11 2011-06-30 40,987,000 18,760,000 28,415,000 18,760,000 -76,530,000
55 ACHILLION PHARMACEUTICALS INC 10-Q 0001070336 2834 3 2011-06-30 102,834,000 56,552,000 92,004,000 56,552,000 -21,383,000
56 ACI WORLDWIDE, INC. 10-Q 0000935036 7372 22 2011-06-30 613,647,000 -503,000 279,540,000 -503,000 11,422,000
57 ACME PACKET INC 10-Q 0001130258 3576 3 2011-03-31 421,696,000 27,255,000 361,035,000 27,255,000 13,709,000
58 ACME UNITED CORP 10-Q 0000002098 3420 1 2011-06-30 61,064,000 -2,367,000 27,525,000 -2,367,000 1,863,000
59 ACNB CORP 10-Q 0000715579 6022 4 2011-06-30 998,337,000 17,719,000 97,333,000 17,719,000 4,566,000
60 ACORDA THERAPEUTICS INC 10-Q 0001008848 2836 36 2011-06-30 336,095,000 13,994,000 162,752,000 13,994,000 -957,000
61 ACORN ENERGY, INC. 10-Q 0000880984 8711 19 2011-06-30 58,322,000 -2,601,000 37,883,000 -2,601,000 -4,988,000
62 ACTIVE NETWORK INC 10-Q 0001163932 7372 8 2011-06-30 544,958,000 126,066,000 331,961,000 126,066,000 -5,413,000
63 ACTIVE POWER INC 10-Q 0001044435 4911 1 2011-06-30 44,352,000 -4,463,000 19,937,000 -4,463,000 -2,460,000
64 ACTIVECARE, INC. 10-Q 0001429896 3669 11 2011-06-30 1,215,677 -1,395,480 -112,095 -1,395,480 -6,245,208
65 Activision Blizzard, Inc. 10-Q 0000718877 7372 68 2011-06-30 11,972,000,000 -478,000,000 10,465,000,000 -478,000,000 838,000,000
66 ACTUANT CORP 10-Q 0000006955 3590 6 2011-05-31 1,929,215,000 28,077,000 877,863,000 28,077,000 70,177,000
67 ACTUATE CORP 10-Q 0001062478 7372 1 2011-06-30 164,650,000 12,511,000 104,801,000 12,511,000 2,260,000
68 ACUITY BRANDS INC 10-Q 0001144215 3640 1 2011-05-31 1,591,000,000 -30,200,000 779,000,000 -30,200,000 71,300,000
69 ACURA PHARMACEUTICALS, INC 10-Q 0000786947 2834 12 2011-06-30 41,096,000 15,457,000 39,864,000 15,457,000 14,172,000
70 ACXIOM CORP 10-Q 0000733269 7374 61 2011-06-30 1,285,225,000 -15,929,000 606,448,000 -15,929,000 10,015,000
71 ADA-ES INC 10-Q 0001223112 2890 7 2011-06-30 91,122,000 31,327,000 2,759,000 31,327,000 -24,958,000
72 Adama Technologies Corp 10-Q 0001422222 4899 50 2011-06-30 276,218 280 222,339 280 -6,333,436
73 ADAMIS PHARMACEUTICALS CORPORATION 10-Q 0000887247 2834 9 2011-06-30 687,556 -1,047,675 -1,225,522 -1,047,675 -1,240,352
74 ADAMS GOLF INC 10-Q 0001059763 3949 0 2011-06-30 74,802,000 -2,853,000 54,771,000 -2,853,000 6,963,000
75 ADAMS RESOURCES & ENERGY, INC. 10-Q 0000002178 5172 2 2011-06-30 359,388,000 -1,093,000 99,327,000 -1,093,000 9,172,000
76 ADCARE HEALTH SYSTEMS INC 10-Q 0001004724 8051 8 2011-06-30 115,938,349 1,749,657 10,354,387 1,749,657 -5,504,009
77 Addus HomeCare Corp 10-Q 0001468328 8082 5 2011-06-30 170,050,000 23,289,000 90,422,000 23,289,000 2,186,000
78 ADDVANTAGE TECHNOLOGIES GROUP INC 10-Q 0000874292 5000 2 2011-06-30 52,913,010 3,292,489 35,236,289 3,292,489 1,806,918
79 ADEONA PHARMACEUTICALS, INC. 10-Q 0000894158 2834 11 2011-06-30 9,520,817 5,737,080 9,120,604 5,737,080 -3,866,356
80 ADHEREX TECHNOLOGIES INC 10-Q 0001211583 2836 14 2011-06-30 6,830,000 882,000 -684,000 882,000 -104,335,000
81 ADINO ENERGY CORP 10-Q 0000700815 5171 18 2011-06-30 3,536,105 -143,226 -2,857,607 -143,226 -450,281
82 ADM TRONICS UNLIMITED INC/DE 10-Q 0000849401 2891 2 2011-06-30 1,064,777 -57,114 593,577 -57,114 -50,445
83 ADOBE SYSTEMS INC 10-Q 0000796343 7372 53 2011-06-03 8,339,716,000 77,584,000 5,389,415,000 77,584,000 464,027,000
84 ADOLOR CORP 10-Q 0001076167 2834 6 2011-06-30 57,458,747 3,547,909 11,535,632 3,547,909 -9,092,748
85 ADPT Corporation 10-Q 0000709804 3576 0 2011-07-01 366,990,000 -34,382,000 351,545,000 -34,382,000 7,097,000
86 ADTRAN INC 10-Q 0000926282 3661 37 2011-06-30 808,379,000 -8,346,000 673,683,000 -8,346,000 71,201,000
87 Advance America, Cash Advance Centers, Inc. 10-Q 0001299704 6141 9 2011-06-30 412,946,000 -7,280,000 254,687,000 -7,280,000 26,561,000
88 Advance Auto Parts Inc 10-Q 0001158449 5531 5 2011-04-23 3,573,383,000 -5,542,000 883,884,000 -5,542,000 109,583,000
89 ADVANCED ANALOGIC TECHNOLOGIES INC 10-Q 0001104042 3674 4 2011-06-30 139,289,000 -11,589,000 119,557,000 -11,589,000 -10,746,000
90 ADVANCED BATTERY TECHNOLOGIES, INC. 10-Q 0000745651 3690 6 2011-06-30 249,659,469 -37,083,376 237,956,000 -37,083,376 27,241,411
91 Advanced BioEnergy, LLC 10-Q 0001325740 2860 5 2011-06-30 236,907,000 -2,736,000 65,964,000 -2,736,000 2,139,000
92 ADVANCED CELL TECHNOLOGY, INC. 10-Q 0001140098 2834 16 2011-06-30 18,780,660 224,915 -6,199,170 224,915 -8,162,186
93 ADVANCED ENERGY INDUSTRIES INC 10-Q 0000927003 3679 8 2011-06-30 542,004,000 4,650,000 415,653,000 4,650,000 32,492,000
94 ADVANCED MEDICAL ISOTOPE Corp 10-Q 0001449349 2810 14 2011-06-30 1,472,067 -584,258 -3,907,766 -584,258 -1,384,791
95 ADVANCED MICRO DEVICES INC 10-Q 0000002488 3674 27 2011-07-02 5,224,000,000 -52,000,000 1,641,000,000 -52,000,000 571,000,000
96 ADVANCED PHOTONIX INC 10-Q 0000869986 3674 3 2011-07-01 28,177,000 -1,389,000 20,272,000 -1,389,000 18,000
97 ADVANCED VENTURES CORP 10-Q 0001500122 3841 1 2011-06-30 77,738 77,738 2,224 77,738 -53,076
98 Advanced Voice Recognition Systems, Inc. 10-Q 0001342936 1311 0 2011-06-30 399,268 175,613 -39,411 175,613 -7,179,906
99 ADVANT E CORP 10-Q 0000925043 7372 4 2011-06-30 6,794,938 385,124 4,620,046 385,124 777,547
100 ADVENT SOFTWARE INC /DE/ 10-Q 0001002225 7371 13 2011-06-30 527,541,000 -40,491,000 298,623,000 -40,491,000 16,774,000
101 ADVENTRX Pharmaceuticals Inc 10-Q 0001160308 2834 24 2011-06-30 50,161,643 41,955,977 46,397,550 41,955,977 -165,680,536
102 ADVISORY BOARD CO 10-Q 0001157377 8741 6 2011-06-30 526,883,000 4,816,000 159,008,000 4,816,000 3,871,000
103 ADVOCAT INC 10-Q 0000919956 8051 13 2011-06-30 115,565,000 -76,000 26,288,000 -76,000 3,375,000
104 AECOM TECHNOLOGY CORP 10-Q 0000868857 8711 67 2011-06-30 5,886,631,000 -231,390,000 2,536,226,000 -231,390,000 195,674,000
105 Aegerion Pharmaceuticals, Inc. 10-Q 0001338042 2834 3 2011-06-30 90,952,168 87,540,286 75,637,911 87,540,286 -94,691,013
106 AEI INCOME & GROWTH FUND 24 LLC 10-Q 0001130758 6500 4 2011-06-30 18,436,431 46,110 18,050,844 46,110 403,167
107 AEI INCOME & GROWTH FUND 25 LLC 10-Q 0001185198 6500 6 2011-06-30 31,651,902 382,992 30,990,674 382,992 740,232
108 AEI INCOME & GROWTH FUND 26 LLC 10-Q 0001326321 6500 6 2011-06-30 14,136,444 33,298 13,828,709 33,298 283,728
109 AEI INCOME & GROWTH FUND XXI LTD PARTNERSHIP 10-Q 0000931755 6500 3 2011-06-30 16,715,919 918,462 16,340,859 918,462 688,321
110 AEI INCOME & GROWTH FUND XXII LTD PARTNERSHIP 10-Q 0001023458 6500 3 2011-06-30 10,923,827 818,522 10,674,859 818,522 256,931
111 AEI NET LEASE INCOME & GROWTH FUND XIX LIMITED PARTNERSHIP 10-Q 0000868740 6500 3 2011-06-30 4,615,449 -1,007,975 4,478,235 -1,007,975 105,537
112 AEI NET LEASE INCOME & GROWTH FUND XX LIMITED PARTNERSHIP 10-Q 0000894245 6500 3 2011-06-30 15,846,680 1,577,108 15,333,760 1,577,108 1,170,150
113 AEROCENTURY CORP 10-Q 0001036848 7359 7 2011-06-30 129,161,700 -484,600 39,712,500 -484,600 -2,428,100
114 AEROPOSTALE INC 10-Q 0001168213 5600 4 2011-04-30 653,882,000 -126,450,000 352,866,000 -126,450,000 16,367,000
115 AES CORP 10-Q 0000874761 4991 163 2011-06-30 42,635,000,000 1,072,000,000 10,837,000,000 1,072,000,000 910,000,000
116 AETNA INC /PA/ 10-Q 0001122304 6324 184 2011-06-30 38,218,200,000 -957,100,000 10,423,500,000 -957,100,000 1,122,700,000
117 AETRIUM INC 10-Q 0000908598 3825 1 2011-06-30 17,601,000 -2,237,000 15,746,000 -2,237,000 -1,329,000
118 AFC ENTERPRISES INC 10-Q 0001041379 5812 9 2011-07-10 112,800,000 -9,600,000 900,000 -9,600,000 12,700,000
119 AFFILIATED MANAGERS GROUP INC 10-Q 0001004434 6282 86 2011-06-30 5,325,000,000 -2,100,000 2,460,600,000 -2,100,000 190,400,000
120 Affinia Group Intermediate Holdings Inc. 10-Q 0001328655 3714 3 2011-06-30 1,744,000,000 -1,000,000 474,000,000 -1,000,000 13,000,000
121 Affinion Group Holdings, Inc. 10-Q 0001404624 7389 10 2011-06-30 1,762,500,000 -48,500,000 -1,212,500,000 -48,500,000 -94,300,000
122 Affinion Group, Inc. 10-Q 0001361394 7389 11 2011-06-30 1,717,200,000 -44,300,000 -962,100,000 -44,300,000 -67,300,000
123 Affinity Gaming, LLC 10-Q 0001499268 7011 13 2011-06-30 599,065,000 11,110,000 203,474,000 11,110,000 4,601,000
124 AFFIRMATIVE INSURANCE HOLDINGS INC 10-Q 0001282543 6331 13 2011-06-30 662,987,000 -6,534,000 82,760,000 -6,534,000 -10,462,000
125 AFFYMAX INC 10-Q 0001158223 2834 8 2011-06-30 141,394,000 10,092,000 110,564,000 10,092,000 -22,110,000
126 AFFYMETRIX INC 10-Q 0000913077 3826 0 2011-06-30 454,191,000 -8,088,000 295,194,000 -8,088,000 -3,633,000
127 AFLAC INC 10-Q 0000004977 6321 107 2011-06-30 106,232,000,000 -830,000,000 11,981,000,000 -830,000,000 674,000,000
128 Aftermarket Enterprises, Inc. 10-Q 0001389217 5531 2 2011-06-30 3,154 -348 -19,726 -348 -5,375
129 AGCO CORP /DE 10-Q 0000880266 3523 85 2011-06-30 6,209,000,000 -146,800,000 3,089,600,000 -146,800,000 215,500,000
130 AGENUS INC 10-Q 0001098972 2836 9 2011-06-30 22,231,125 -7,765,840 -17,152,293 -7,765,840 -11,721,349
131 AGILENT TECHNOLOGIES INC 10-Q 0001090872 3825 106 2011-04-30 8,649,000,000 326,000,000 3,961,000,000 326,000,000 393,000,000
132 AGILYSYS INC 10-Q 0000078749 5065 5 2011-06-30 301,103,000 -22,679,000 145,079,000 -22,679,000 -4,789,000
133 AGL RESOURCES INC. 10-Q 0001004155 4924 62 2011-06-30 7,217,000,000 -3,000,000 1,914,000,000 -3,000,000 153,000,000
134 AGREE REALTY CORP 10-Q 0000917251 6798 8 2011-06-30 281,362,943 258,576 168,220,786 258,576 8,523,393
135 AGY HOLDING CORP. 10-Q 0001431824 3220 2 2011-06-30 298,576,000 -527,000 7,273,000 -527,000 -13,229,000
136 AIMCO PROPERTIES LP 10-Q 0000926660 6513 31 2011-06-30 7,181,937,000 -26,001,000 1,258,301,000 -26,001,000 -53,812,000
137 AIR LEASE CORP 10-Q 0001487712 7359 4 2011-06-30 3,753,499,000 116,217,000 2,126,348,000 116,217,000 10,199,000
138 AIR METHODS CORP 10-Q 0000816159 4522 10 2011-06-30 496,868,000 -17,513,000 265,882,000 -17,513,000 16,069,000
139 AIR PRODUCTS & CHEMICALS INC /DE/ 10-Q 0000002969 2810 46 2011-06-30 14,451,500,000 55,800,000 6,397,000,000 55,800,000 922,400,000
140 AIR T INC 10-Q 0000353184 4513 6 2011-06-30 31,440,313 145,906 25,923,011 145,906 168,149
141 Air Transport Services Group, Inc. 10-Q 0000894081 4513 1 2011-06-30 964,720,000 -8,648,000 319,556,000 -8,648,000 15,063,000
142 Aircastle LTD 10-Q 0001362988 7359 20 2011-06-30 4,846,696,000 -55,940,000 1,365,425,000 -55,940,000 65,986,000
143 AIRGAS INC 10-Q 0000804212 5084 48 2011-06-30 5,084,348,000 3,317,000 1,514,623,000 3,317,000 74,845,000
144 AirTouch Communications, Inc. 10-Q 0001403720 3661 11 2011-06-30 1,198,433 -132,533 317,872 -132,533 -4,320,916
145 AIRTRAN HOLDINGS INC 10-Q 0000948846 4512 13 2011-03-31 2,315,900,000 43,740,000 534,718,000 43,740,000 -8,811,000
146 AK STEEL HOLDING CORP 10-Q 0000918160 3312 52 2011-06-30 4,582,800,000 -171,200,000 644,700,000 -171,200,000 40,900,000
147 AKAMAI TECHNOLOGIES INC 10-Q 0001086222 7389 24 2011-06-30 2,404,149,000 -26,237,000 2,228,315,000 -26,237,000 98,538,000
148 AKORN INC 10-Q 0000003116 2834 7 2011-06-30 255,324,000 92,860,000 135,797,000 92,860,000 23,756,000
149 ALAMO GROUP INC 10-Q 0000897077 3523 2 2011-06-30 434,527,000 -4,098,000 273,071,000 -4,098,000 14,581,000
150 Alarion Financial Services Inc 10-Q 0001353174 6199 7 2011-06-30 305,360,000 19,476,000 25,587,000 19,476,000 -1,530,000
151 ALASKA AIR GROUP INC 10-Q 0000766421 4512 52 2011-06-30 5,233,800,000 -22,500,000 1,206,500,000 -22,500,000 103,000,000
152 ALASKA COMMUNICATIONS SYSTEMS GROUP INC 10-Q 0001089511 4813 11 2011-06-30 615,631,000 4,903,000 -37,663,000 4,903,000 -956,000
153 ALASKA PACIFIC BANCSHARES INC 10-Q 0001081860 6035 11 2011-06-30 172,598,000 -9,126,000 20,018,000 -9,126,000 342,000
154 ALBANY INTERNATIONAL CORP /DE/ 10-Q 0000819793 2221 5 2011-06-30 1,348,060,000 34,745,000 486,168,000 34,745,000 25,495,000
155 ALBANY MOLECULAR RESEARCH INC 10-Q 0001065087 8731 8 2011-06-30 311,288,000 -2,241,000 246,237,000 -2,241,000 -2,035,000
156 ALBEMARLE CORP 10-Q 0000915913 2821 24 2011-06-30 3,292,347,000 -38,935,000 1,802,119,000 -38,935,000 237,461,000
157 Alberto-Culver CO 10-Q 0001368457 2844 8 2011-03-31 2,049,919,000 160,277,000 1,521,119,000 160,277,000 84,133,000
158 ALCO, INC. 10-Q 0000734543 6331 6 2011-06-30 12,214,295 84,688 10,345,959 84,688 950,427
159 ALCOA INC 10-Q 0000004281 3350 116 2011-06-30 41,466,000,000 -283,000,000 19,369,000,000 -283,000,000 630,000,000
160 ALERE INC. 10-Q 0001145460 2835 78 2011-06-30 6,605,451,000 155,356,000 2,549,009,000 155,356,000 -9,165,000
161 ALEXANDER & BALDWIN INC 10-Q 0000003453 4400 36 2011-06-30 2,556,000,000 1,000,000 1,133,000,000 1,000,000 23,900,000
162 ALEXANDERS INC 10-Q 0000003499 6798 13 2011-06-30 1,771,975,000 93,730,000 350,847,000 93,730,000 38,007,000
163 ALEXANDERS J CORP 10-Q 0000103884 5812 3 2011-07-03 90,046,000 943,000 49,900,000 943,000 1,119,000
164 ALEXANDRIA REAL ESTATE EQUITIES INC 10-Q 0001035443 6798 18 2011-03-31 5,983,343,000 -13,036,000 2,983,777,000 -13,036,000 32,625,000
165 ALEXION PHARMACEUTICALS INC 10-Q 0000899866 2834 28 2011-06-30 1,179,575,000 80,723,000 953,502,000 80,723,000 61,575,000
166 Alexza Pharmaceuticals Inc. 10-Q 0001344413 2834 16 2011-06-30 62,376,000 15,872,000 11,852,000 15,872,000 -328,614,000
167 ALICO INC 10-Q 0000003545 100 5 2011-06-30 189,828,000 -7,852,000 113,082,000 -7,852,000 8,590,000
168 ALIGN TECHNOLOGY INC 10-Q 0001097149 3842 20 2011-06-30 547,049,000 -126,057,000 429,782,000 -126,057,000 27,003,000
169 ALIMERA SCIENCES INC 10-Q 0001267602 2834 11 2011-06-30 45,874,000 15,418,000 36,650,000 15,418,000 -9,905,000
170 ALKERMES INC 10-Q 0000874663 2834 24 2011-06-30 451,236,000 -2,447,000 393,889,000 -2,447,000 -13,238,000
171 ALLBRITTON COMMUNICATIONS CO 10-Q 0000889156 4833 20 2011-06-30 120,861,000 -711,000 -379,320,000 -711,000 15,741,000
172 ALLEGHANY CORP /DE 10-Q 0000775368 6331 12 2011-06-30 6,615,867,000 8,743,000 3,029,449,000 8,743,000 86,422,000
173 ALLEGHENY TECHNOLOGIES INCORPORATED 10-Q 0001018963 3317 21 2011-06-30 6,049,000,000 -64,500,000 2,780,000,000 -64,500,000 124,700,000
174 Allegiant Travel CO 10-Q 0001362468 4512 14 2011-06-30 701,978,000 58,911,000 328,335,000 58,911,000 29,102,000
175 ALLERGAN INC 10-Q 0000850693 2834 82 2011-06-30 7,879,600,000 -134,700,000 4,988,700,000 -134,700,000 407,400,000
176 ALLETE INC 10-Q 0000066756 4931 92 2011-06-30 2,645,500,000 34,500,000 1,037,800,000 34,500,000 54,000,000
177 Alliance Bancorp, Inc. of Pennsylvania 10-Q 0001500711 6036 24 2011-06-30 466,991,000 13,858,000 85,916,000 13,858,000 1,319,000
178 ALLIANCE BANKSHARES CORP 10-Q 0001181001 6021 16 2011-06-30 535,988,000 38,358,000 35,779,000 38,358,000 759,000
179 ALLIANCE DATA SYSTEMS CORP 10-Q 0001101215 7389 109 2011-06-30 8,548,447,000 93,707,000 87,131,000 93,707,000 155,399,000
180 ALLIANCE FIBER OPTIC PRODUCTS INC 10-Q 0001122342 3674 2 2011-06-30 69,531,000 2,284,000 61,546,000 2,284,000 2,270,000
181 ALLIANCE FINANCIAL CORP /NY/ 10-Q 0000796317 6021 10 2011-06-30 1,475,425,000 -8,789,000 140,134,000 -8,789,000 6,785,000
182 Alliance HealthCare Services, Inc 10-Q 0000817135 8071 9 2011-06-30 885,408,000 -32,991,000 53,035,000 -32,991,000 -3,860,000
183 Alliance Holdings GP, L.P. 10-Q 0001344980 1221 6 2011-06-30 1,628,496,000 7,375,000 557,027,000 7,375,000 191,727,000
184 ALLIANCE RESOURCE PARTNERS LP 10-Q 0001086600 1221 36 2011-06-30 1,626,010,000 7,549,000 555,180,000 7,549,000 193,558,000
185 ALLIANCEBERNSTEIN HOLDING L.P. 10-Q 0000825313 6282 1 2011-03-31 1,796,619,000 0 1,788,779,000 0 43,680,000
186 ALLIANCEBERNSTEIN L.P. 10-Q 0001109448 6282 12 2011-03-31 7,621,029,000 -237,629,000 4,459,435,000 -237,629,000 128,426,000
187 ALLIANT ENERGY CORP 10-Q 0000052485 4931 127 2011-06-30 9,301,200,000 -82,200,000 3,074,300,000 -82,200,000 135,000,000
188 ALLIANT TECHSYSTEMS INC 10-Q 0000866121 3760 49 2011-07-03 4,291,444,000 -296,289,000 1,193,209,000 -296,289,000 71,694,000
189 ALLIED HEALTHCARE INTERNATIONAL INC 10-Q 0000890634 8082 7 2011-06-30 199,466,000 1,059,000 161,553,000 1,059,000 6,449,000
190 ALLIED MOTION TECHNOLOGIES INC 10-Q 0000046129 3825 1 2011-06-30 55,945,000 307,000 34,015,000 307,000 2,694,000
191 Allied Nevada Gold Corp. 10-Q 0001376610 1040 30 2011-06-30 592,679,000 -32,566,000 529,444,000 -32,566,000 3,817,000
192 Allied World Assurance Co Holdings, AG 10-Q 0001163348 6331 105 2011-06-30 10,857,099,000 -16,191,000 3,044,417,000 -16,191,000 102,420,000
193 Alliqua, Inc. 10-Q 0001054274 3841 2 2011-06-30 24,766,612 127,647 24,479,425 127,647 -2,818,579
194 ALLOS THERAPEUTICS INC 10-Q 0001097264 2834 7 2011-06-30 134,119,000 20,734,000 91,777,000 20,734,000 -13,043,000
195 ALLSCRIPTS HEALTHCARE SOLUTIONS, INC. 10-Q 0001124804 7373 44 2011-06-30 2,445,607,000 -13,732,000 1,407,607,000 -13,732,000 28,489,000
196 Ally Financial Inc. 10-Q 0000040729 6172 34 2011-06-30 178,889,000,000 3,260,000,000 20,423,000,000 3,260,000,000 259,000,000
197 ALMOST FAMILY INC 10-Q 0000799231 8300 3 2011-06-30 233,209,000 8,235,000 195,493,000 8,235,000 10,654,000
198 ALNYLAM PHARMACEUTICALS, INC. 10-Q 0001178670 2834 3 2011-06-30 340,828,000 -7,489,000 136,551,000 -7,489,000 -30,109,000
199 Alon Refining Krotz Springs, Inc. 10-Q 0001479142 2911 0 2011-06-30 404,394,000 -277,000 -63,966,000 -277,000 -59,833,000
200 Alon USA Energy, Inc. 10-Q 0001325955 2911 0 2011-06-30 2,415,206,000 45,455,000 388,359,000 45,455,000 26,799,000
201 Alpha Natural Resources, Inc. 10-Q 0001301063 1221 5 2011-03-31 5,345,837,000 -13,912,000 2,728,553,000 -13,912,000 49,848,000
202 ALPHA PRO TECH LTD 10-Q 0000884269 3842 0 2011-06-30 37,465,000 1,115,000 35,737,000 1,115,000 192,000
203 ALPHARX INC 10-Q 0001114936 2834 10 2011-06-30 32,718 -4,994 -1,518,642 -4,994 -400,977
204 Alphatec Holdings, Inc. 10-Q 0001350653 3841 4 2011-06-30 384,446,000 -1,407,000 275,324,000 -1,407,000 -4,911,000
205 Alpine Alpha 1, Ltd. 10-Q 0001444090 6770 0 2011-06-30 6,985 3,985 -203,615 3,985 -515,226
206 Alpine Management LTD 10-Q 0001418243 6770 1 2011-06-30 446 90 -438,863 90 -452,473
207 ALR Technologies Inc. 10-Q 0001087022 3669 3 2011-06-30 309,230 4,943 -9,577,119 4,943 -35,583,125
208 ALSERES PHARMACEUTICALS INC /DE 10-Q 0000094784 2834 14 2011-06-30 343,893 73,662 -43,798,345 73,662 -195,774,001
209 Alta Mesa Holdings, LP 10-Q 0001518403 1311 10 2011-06-30 646,974,000 687,000 38,052,000 687,000 13,394,000
210 ALTAIR NANOTECHNOLOGIES INC 10-Q 0001016546 2890 2 2011-06-30 20,483,000 -2,118,000 12,520,000 -2,118,000 -8,936,000
211 ALTERA CORP 10-Q 0000768251 3674 54 2011-07-01 4,207,749,000 502,174,000 2,857,091,000 502,174,000 438,696,000
212 ALTERNET SYSTEMS INC 10-Q 0001126003 7372 151 2011-06-30 1,280,169 193,106 -502,832 193,106 -1,543,098
213 ALTERRA CAPITAL HOLDINGS Ltd 10-Q 0001141719 6331 94 2011-06-30 10,497,364,000 81,451,000 2,793,081,000 81,451,000 -14,052,000
214 ALTEX INDUSTRIES INC 10-Q 0000775057 1311 0 2011-06-30 3,368,000 -230,000 3,319,000 -230,000 -241,000
215 Altisource Portfolio Solutions S.A. 10-Q 0001462418 7380 5 2011-06-30 203,049,000 12,898,000 167,876,000 12,898,000 30,814,000
216 Altra Holdings, Inc. 10-Q 0001374535 3569 8 2011-07-02 643,498,000 17,764,000 205,900,000 17,764,000 19,640,000
217 ALTRIA GROUP, INC. 10-Q 0000764180 2111 159 2011-06-30 36,832,000,000 -250,000,000 4,635,000,000 -250,000,000 1,382,000,000
218 AMAG PHARMACEUTICALS INC. 10-Q 0000792977 2834 38 2011-06-30 301,239,000 -32,690,000 212,018,000 -32,690,000 -41,857,000
219 AMARIN CORP PLC\UK 10-Q 0000897448 2834 7 2011-06-30 135,520,000 100,004,000 -154,715,000 100,004,000 -183,809,000
220 AMARU INC 10-Q 0001139822 7389 1 2011-06-30 2,996,033 11,706 -487,224 11,706 -908,211
221 AMAZON COM INC 10-Q 0001018724 5961 36 2011-06-30 17,941,000,000 418,000,000 7,765,000,000 418,000,000 1,038,000,000
222 AMBASE Corp 10-Q 0000020639 6512 0 2011-06-30 10,834,000 -441,000 10,690,000 -441,000 -850,000
223 AMBASSADORS GROUP INC 10-Q 0001162315 8200 6 2011-06-30 157,716,000 -1,221,000 83,719,000 -1,221,000 4,702,000
224 AMBIENT CORP /NY 10-Q 0001047919 4813 2 2011-06-30 16,798 5,558 11,109 5,558 3,533
225 AMC ENTERTAINMENT INC 10-Q 0000722077 7830 11 2011-06-30 3,772,298,000 13,467,000 355,191,000 13,467,000 285,000
226 AMCOL INTERNATIONAL CORP 10-Q 0000813621 1400 2 2011-06-30 838,641,000 -9,334,000 414,390,000 -9,334,000 25,994,000
227 AMCON DISTRIBUTING CO 10-Q 0000928465 5141 7 2011-06-30 130,820,443 973,739 39,059,739 973,739 5,244,493
228 AMEDISYS INC 10-Q 0000896262 8082 49 2011-06-30 1,340,647,000 -92,163,000 929,980,000 -92,163,000 37,035,000
229 Amerco /NV/ 10-Q 0000004457 7510 5 2011-06-30 4,174,456,000 -131,743,000 919,740,000 -131,743,000 78,223,000
230 AMEREN CORP 10-Q 0000018654 4931 90 2011-06-30 23,391,000,000 -167,000,000 7,943,000,000 -167,000,000 213,000,000
231 Ameresco, Inc. 10-Q 0001488139 1700 4 2011-06-30 660,579,017 15,091,172 219,344,219 15,091,172 14,120,413
232 AMERIANA BANCORP 10-Q 0000855574 6035 11 2011-06-30 440,061,000 15,995,000 33,475,000 15,995,000 391,000
233 AMERICA FIRST TAX EXEMPT INVESTORS LP 10-Q 0001059142 6199 23 2011-06-30 293,871,126 -11,378,650 138,995,275 -11,378,650 1,250,423
234 AMERICAN AFFORDABLE HOUSING II LIMITED PARTNERSHIP 10-Q 0000815024 6513 6 2011-06-30 92,970 -611 -6,368,436 -611 -13,922
235 AMERICAN AIRLINES INC 10-Q 0000004515 4512 64 2011-06-30 23,037,000,000 148,000,000 -6,891,000,000 148,000,000 -715,000,000
236 American Assets Trust, Inc. 10-Q 0001500217 6798 21 2011-06-30 1,722,765,000 50,582,000 697,255,000 50,582,000 14,051,000
237 AMERICAN AXLE & MANUFACTURING HOLDINGS INC 10-Q 0001062231 3714 7 2011-06-30 2,195,400,000 5,700,000 -357,900,000 5,700,000 84,500,000
238 American Biltrite Inc 10-Q 0000004611 3089 5 2011-06-30 129,427,000 -312,000 51,731,000 -312,000 -34,000
239 AMERICAN BIO MEDICA CORP 10-Q 0000896747 2834 4 2011-06-30 5,889,000 -15,000 2,381,000 -15,000 -301,000
240 AMERICAN CAMPUS COMMUNITIES INC 10-Q 0001283630 6798 49 2011-06-30 2,621,090,000 -65,244,000 1,289,766,000 -65,244,000 40,061,000
241 American Capital Agency Corp 10-Q 0001423689 6798 110 2011-06-30 43,636,570,000 452,592,000 4,776,646,000 452,592,000 311,365,000
242 American Caresource Holdings, Inc. 10-Q 0001316645 8090 6 2011-06-30 25,831,000 -3,159,000 20,348,000 -3,159,000 -867,000
243 American Church Mortgage Company 10-Q 0000934543 6500 30 2011-06-30 42,573,363 646,848 16,248,684 646,848 141,126
244 AMERICAN DENTAL PARTNERS INC 10-Q 0001028087 8090 7 2011-06-30 372,259,000 -141,000 203,101,000 -141,000 6,481,000
245 AMERICAN DG ENERGY INC 10-Q 0001378706 4900 9 2011-06-30 30,021,670 9,486,292 16,216,349 9,486,292 -840,353
246 AMERICAN EAGLE OUTFITTERS INC 10-Q 0000919012 5651 10 2011-04-30 1,832,338,000 -192,925,000 1,366,464,000 -192,925,000 28,325,000
247 AMERICAN ELECTRIC POWER CO INC 10-Q 0000004904 4911 227 2011-06-30 50,752,000,000 123,000,000 13,939,000,000 123,000,000 708,000,000
248 American Electric Technologies Inc 10-Q 0001043186 3620 4 2011-06-30 34,782,000 1,192,000 22,157,000 1,192,000 -1,049,000
249 AMERICAN EQUITY INVESTMENT LIFE HOLDING CO 10-Q 0001039828 6311 8 2011-06-30 28,566,771,000 351,718,000 1,039,532,000 351,718,000 49,617,000
250 American Exploration Corporation 10-Q 0001388486 1389 8 2011-06-30 3,789,195 16,854 3,261,803 16,854 -3,029,969
251 AMERICAN EXPRESS CO 10-Q 0000004962 6199 105 2011-06-30 147,796,000,000 6,726,000,000 18,205,000,000 6,726,000,000 2,508,000,000
252 AMERICAN EXPRESS CREDIT CORP 10-Q 0000004969 6153 12 2011-06-30 29,544,000,000 -909,000,000 3,733,000,000 -909,000,000 176,000,000
253 AMERICAN FINANCIAL GROUP INC 10-Q 0001042046 6331 137 2011-06-30 34,053,000,000 530,000,000 4,625,000,000 530,000,000 86,000,000
254 AMERICAN GREETINGS CORP 10-Q 0000005133 2771 7 2011-05-27 1,554,266,000 -4,699,000 784,162,000 -4,699,000 32,593,000
255 American Independence Corp. 10-Q 0000097196 6321 2 2011-06-30 139,896,000 -1,274,000 93,980,000 -1,274,000 1,481,000
256 AMERICAN INTERNATIONAL GROUP INC 10-Q 0000005272 6331 313 2011-06-30 616,798,000,000 599,000,000 93,629,000,000 599,000,000 2,530,000,000
257 AMERICAN INTERNATIONAL INDUSTRIES INC 10-Q 0001073146 6799 17 2011-06-30 24,403,987 -989,844 13,827,133 -989,844 -1,947,402
258 AMERICAN LEARNING Corp 10-Q 0000774517 8300 3 2011-06-30 4,899,107 697,158 4,398,140 697,158 -142,543
259 AMERICAN LOCKER GROUP INC 10-Q 0000008855 2540 4 2011-06-30 9,765,279 -60,627 4,271,600 -60,627 -69,860
260 American Lorain CORP 10-Q 0001117057 2030 6 2011-06-30 181,928,763 -6,280,842 138,745,908 -6,280,842 6,037,826
261 AMERICAN MEDICAL ALERT CORP 10-Q 0000700721 7380 3 2011-06-30 37,938,138 3,102,804 30,640,830 3,102,804 868,948
262 AMERICAN MEDICAL SYSTEMS HOLDINGS INC 10-Q 0001114200 3842 1 2011-04-02 1,088,399,000 10,514,000 699,479,000 10,514,000 21,561,000
263 American Nano Silicon Technologies, Inc. 10-Q 0001415917 2821 4 2011-06-30 23,363,015 -3,695 12,820,796 -3,695 2,947,047
264 AMERICAN NATIONAL BANKSHARES INC 10-Q 0000741516 6021 2 2011-06-30 846,016,000 20,669,000 111,190,000 20,669,000 2,790,000
265 AMERICAN NATIONAL INSURANCE CO /TX/ 10-Q 0000904163 6311 5 2011-06-30 22,446,948,000 -23,335,000 3,703,984,000 -23,335,000 78,899,000
266 American Natural Energy Corp 10-Q 0000870732 1311 9 2011-06-30 16,981,465 6,238 7,689,414 6,238 -642,720
267 AMERICAN ORIENTAL BIOENGINEERING INC 10-Q 0001090514 2834 11 2011-06-30 630,826,209 -19,537,994 447,636,452 -19,537,994 4,491,491
268 AMERICAN PACIFIC CORP 10-Q 0000350832 2810 5 2011-06-30 279,699,000 -212,000 53,215,000 -212,000 -10,996,000
269 AMERICAN PETRO-HUNTER INC 10-Q 0001040482 1389 31 2011-06-30 1,727,926 50,546 -2,000,492 50,546 -9,215,944
270 American Petroleum Tankers Parent LLC 10-Q 0001507571 4400 4 2011-06-30 722,074,000 -5,001,000 72,680,000 -5,001,000 -16,971,000
271 AMERICAN PUBLIC EDUCATION INC 10-Q 0001201792 8200 5 2011-06-30 158,546,000 13,151,000 110,195,000 13,151,000 16,833,000
272 American Railcar Industries, Inc. 10-Q 0001344596 3743 7 2011-06-30 662,362,000 -17,707,000 303,863,000 -17,707,000 -4,760,000
273 AMERICAN REALTY CAPITAL HEALTHCARE TRUST INC 10-Q 0001499875 6798 3 2011-06-30 6,737,000 519,000 2,396,000 519,000 -313,000
274 AMERICAN REALTY CAPITAL NEW YORK RECOVERY REIT INC 10-Q 0001474464 6798 8 2011-06-30 83,095,000 2,376,000 31,701,000 2,376,000 -1,048,000
275 AMERICAN REALTY CAPITAL PROPERTIES, INC. 10-Q 0001507385 6798 2 2011-06-30 1,950,411 10 -16,000 10 -16,010
276 AMERICAN REALTY CAPITAL TRUST, INC. 10-Q 0001410997 6500 7 2011-06-30 1,921,474,000 244,999,000 1,241,118,000 244,999,000 -13,492,000
277 AMERICAN RENAL HOLDINGS INC. 10-Q 0001504735 8090 18 2011-06-30 708,578,000 1,159,000 339,722,000 1,159,000 21,352,000
278 American Reprographics CO 10-Q 0001305168 7330 2 2011-06-30 508,993,000 -4,386,000 179,852,000 -4,386,000 -88,424,000
279 AMERICAN RESTAURANT CONCEPTS INC 10-Q 0001452872 6794 7 2011-06-26 36,463 12,572 -499,532 12,572 -94,786
280 AMERICAN RIVER BANKSHARES 10-Q 0001108236 6022 3 2011-06-30 569,725,000 3,177,000 91,187,000 3,177,000 427,000
281 AMERICAN SAFETY INSURANCE HOLDINGS LTD 10-Q 0000783603 6411 1 2011-06-30 1,265,324,000 -9,728,000 324,240,000 -9,728,000 12,476,000
282 AMERICAN SCIENCE & ENGINEERING, INC. 10-Q 0000005768 3844 3 2011-06-30 346,675,000 -11,220,000 272,673,000 -11,220,000 5,693,000
283 AMERICAN SHARED HOSPITAL SERVICES 10-Q 0000744825 8071 7 2011-06-30 68,109,000 -620,000 23,954,000 -620,000 490,000
284 AMERICAN SPECTRUM REALTY INC 10-Q 0001121783 6798 32 2011-06-30 587,485,000 6,141,000 118,901,000 6,141,000 10,796,000
285 AMERICAN STATES WATER CO 10-Q 0001056903 4941 24 2011-06-30 1,197,879,000 7,065,000 392,809,000 7,065,000 23,551,000
286 AMERICAN TAX CREDIT PROPERTIES II L P 10-Q 0000842314 6513 15 2011-06-29 4,446,487 31,909 4,128,535 31,909 145,155
287 AMERICAN TAX CREDIT PROPERTIES III LP 10-Q 0000856135 6513 14 2011-06-29 1,481,976 -58,293 -2,381,318 -58,293 -67,156
288 AMERICAN TAX CREDIT PROPERTIES LP 10-Q 0000830159 6513 15 2011-06-29 2,006,943 98,230 1,774,238 98,230 291,362
289 AMERICAN TAX CREDIT TRUST SERIES I 10-Q 0000897315 6513 11 2011-06-29 3,447,063 24,264 2,582,307 24,264 25,620
290 AMERICAN TIRE DISTRIBUTORS HOLDINGS, INC. 10-Q 0001323891 5013 5 2011-07-02 2,400,895,000 7,277,000 650,998,000 7,277,000 -2,066,000
291 AMERICAN TOWER CORP /MA/ 10-Q 0001053507 4899 61 2011-06-30 10,973,784,000 -551,421,000 3,599,788,000 -551,421,000 205,132,000
292 AMERICAN VANGUARD CORP 10-Q 0000005981 2870 5 2011-06-30 332,190,000 8,458,000 177,699,000 8,458,000 11,019,000
293 American Water Works Company, Inc. 10-Q 0001410636 4941 45 2011-06-30 14,347,216,000 354,000 4,162,467,000 354,000 131,898,000
294 AMERIGAS PARTNERS LP 10-Q 0000932628 5990 39 2011-06-30 1,769,677,000 -1,507,000 448,295,000 -1,507,000 186,229,000
295 Amerilithium Corp. 10-Q 0001448763 1040 13 2011-06-30 7,622,250 467,964 7,102,972 467,964 -1,708,279
296 AMERINST INSURANCE GROUP LTD 10-Q 0001065201 6399 2 2011-06-30 27,406,088 -16,286 24,894,751 -16,286 -594,090
297 AMERIPRISE CERTIFICATE CO 10-Q 0000052428 32 2011-06-30 3,128,634,000 -81,894,000 144,146,000 -81,894,000 20,326,000
298 AMERIPRISE FINANCIAL INC 10-Q 0000820027 6282 192 2011-06-30 135,138,000,000 -308,000,000 11,228,000,000 -308,000,000 504,000,000
299 Ameris Bancorp 10-Q 0000351569 6022 8 2011-06-30 2,857,237,000 -5,774,000 277,158,000 -5,774,000 3,492,000
300 AMERISAFE INC 10-Q 0001018979 6331 8 2011-06-30 1,152,548,000 1,078,000 337,213,000 1,078,000 11,196,000
301 AMERISERV FINANCIAL INC /PA/ 10-Q 0000707605 6021 1 2011-06-30 954,893,000 3,390,000 111,410,000 3,390,000 3,201,000
302 AMERISOURCEBERGEN CORP 10-Q 0001140859 5122 36 2011-06-30 14,855,729,000 342,271,000 3,203,080,000 342,271,000 559,300,000
303 AMERISTAR CASINOS INC 10-Q 0000912145 7011 10 2011-06-30 2,067,113,000 12,368,000 -121,929,000 12,368,000 -19,467,000
304 AMERON INTERNATIONAL CORPORATION 10-Q 0000790730 3270 5 2011-05-29 739,173,000 -67,275,000 495,759,000 -67,275,000 -3,340,000
305 Ames National Corporation 10-Q 0001132651 6021 10 2011-06-30 1,000,556,396 1,931,577 130,277,392 1,931,577 6,715,893
306 AMETEK INC/ 10-Q 0001037868 3621 51 2011-06-30 4,154,774,000 33,385,000 1,985,643,000 33,385,000 184,579,000
307 AMEXDRUG CORP 10-Q 0000045621 5122 7 2011-06-30 1,520,190 -292,544 485,020 -292,544 235,664
308 AMGEN INC 10-Q 0000318154 2836 28 2011-06-30 46,936,000,000 2,711,000,000 25,614,000,000 2,711,000,000 2,295,000,000
309 AMHN, Inc. 10-Q 0000025743 1311 4 2011-06-30 5,453 2,211 -351,178 2,211 556,373
310 AMICUS THERAPEUTICS INC 10-Q 0001178879 2834 15 2011-06-30 90,288,000 25,789,000 44,607,000 25,789,000 -251,683,000
311 AMKOR TECHNOLOGY INC 10-Q 0001047127 3674 53 2011-06-30 2,817,695,000 70,473,000 781,384,000 70,473,000 40,211,000
312 AMN HEALTHCARE SERVICES INC 10-Q 0001142750 8090 5 2011-06-30 567,280,000 6,041,000 157,951,000 6,041,000 3,069,000
313 AMP Holding Inc. 10-Q 0001425287 3711 25 2011-06-30 1,934,468 1,673,247 1,155,130 1,673,247 -12,666,806
314 AMPAL-AMERICAN ISRAEL CORP 10-Q 0000731859 6799 10 2011-06-30 1,035,279,000 55,191,000 146,343,000 55,191,000 -33,553,000
315 AMPCO PITTSBURGH CORP 10-Q 0000006176 3561 3 2011-06-30 539,777,410 5,340,909 213,497,055 5,340,909 16,799,324
316 AMPHENOL CORP /DE/ 10-Q 0000820313 3678 56 2011-06-30 4,322,735,000 85,320,000 2,309,404,000 85,320,000 277,779,000
317 Ampio Pharmaceuticals, Inc. 10-Q 0001411906 2834 33 2011-06-30 16,637,555 8,374,604 14,259,261 8,374,604 -21,163,970
318 AMR CORP 10-Q 0000006201 4512 57 2011-06-30 25,787,000,000 150,000,000 -4,509,000,000 150,000,000 -722,000,000
319 AmREIT Monthly Income & Growth Fund III Ltd 10-Q 0001330466 6798 18 2011-06-30 67,274,000 -629,000 28,743,000 -629,000 -294,000
320 AmREIT Monthly Income & Growth Fund IV LP 10-Q 0001382787 6798 10 2011-06-30 35,025,000 -980,000 26,641,000 -980,000 -1,379,000
321 AmREIT, Inc. 10-Q 0001397807 6798 21 2011-06-30 312,828,000 629,000 120,765,000 629,000 1,902,000
322 AMSURG CORP 10-Q 0000895930 8011 40 2011-06-30 1,235,468,000 -1,193,000 611,523,000 -1,193,000 91,005,000
323 AMTECH SYSTEMS INC 10-Q 0000720500 3559 3 2011-06-30 220,449,000 3,468,000 121,502,000 3,468,000 19,546,000
324 AMTRUST FINANCIAL SERVICES, INC. 10-Q 0001365555 6331 8 2011-06-30 5,135,597,000 54,497,000 873,143,000 54,497,000 107,965,000
325 AMYLIN PHARMACEUTICALS INC 10-Q 0000881464 2834 61 2011-06-30 1,483,456,000 -63,924,000 316,711,000 -63,924,000 -68,732,000
326 AMYRIS, INC. 10-Q 0001365916 2860 16 2011-06-30 324,661,000 9,109,000 250,536,000 9,109,000 -75,965,000
327 Anacor Pharmaceuticals Inc 10-Q 0001411158 2834 12 2011-06-30 68,456,000 -10,748,000 29,742,000 -10,748,000 -28,992,000
328 ANADARKO PETROLEUM CORP 10-Q 0000773910 1311 63 2011-06-30 52,617,000,000 -274,000,000 22,348,000,000 -274,000,000 799,000,000
329 ANADIGICS INC 10-Q 0000940332 3674 2 2011-07-02 207,102,000 -19,707,000 186,305,000 -19,707,000 -23,728,000
330 ANADYS PHARMACEUTICALS INC 10-Q 0001128495 2834 5 2011-06-30 27,344,000 -5,572,000 21,514,000 -5,572,000 -14,073,000
331 ANALOG DEVICES INC 10-Q 0000006281 3674 88 2011-07-30 5,251,381,000 287,821,000 3,715,717,000 287,821,000 683,867,000
332 ANALYSTS INTERNATIONAL CORP 10-Q 0000006292 7371 1 2011-07-02 23,980,000 -201,000 15,032,000 -201,000 239,000
333 ANAVEX LIFE SCIENCES CORP. 10-Q 0001314052 8731 102 2011-06-30 1,279,234 1,222,654 -973,453 1,222,654 -27,231,119
334 Ancestry.com Inc. 10-Q 0001469433 7374 5 2011-06-30 526,725,000 5,500,000 345,695,000 5,500,000 25,528,000
335 ANCHOR BANCORP WISCONSIN INC 10-Q 0000885322 6036 16 2011-06-30 3,240,867,000 21,731,000 -4,990,000 21,731,000 -4,755,000
336 Andatee China Marine Fuel Services Corp 10-Q 0001469606 5171 5 2011-06-30 95,069,858 -5,625,103 54,768,875 -5,625,103 3,641,465
337 ANDERSONS INC 10-Q 0000821026 5150 70 2011-06-30 1,543,849,000 -10,603,000 524,463,000 -10,603,000 63,423,000
338 ANDREA ELECTRONICS CORP 10-Q 0000006494 3663 5 2011-06-30 5,287,969 -171,005 4,876,690 -171,005 -313,506
339 ANIKA THERAPEUTICS INC 10-Q 0000898437 3841 1 2011-06-30 131,392,567 -1,372,903 91,133,919 -1,372,903 2,607,052
340 ANIXTER INTERNATIONAL INC 10-Q 0000052795 5063 23 2011-07-01 3,206,400,000 20,300,000 1,128,400,000 20,300,000 96,400,000
341 ANN INC. 10-Q 0000874214 5621 10 2011-04-30 849,357,000 -122,349,000 362,146,000 -122,349,000 27,314,000
342 ANNALY CAPITAL MANAGEMENT INC 10-Q 0001043219 6798 138 2011-06-30 100,557,007,000 119,218,000 13,929,362,000 119,218,000 820,712,000
343 ANNAPOLIS BANCORP INC 10-Q 0001041429 6021 4 2011-06-30 433,965,000 -5,130,000 35,765,000 -5,130,000 835,000
344 ANNEC GREEN REFRACTORIES CORP 10-Q 0001501162 1700 2 2011-06-30 105,380,462 -474,796 27,936,220 -474,796 2,789,927
345 ANSYS INC 10-Q 0001013462 7372 23 2011-06-30 2,237,975,000 157,233,000 1,640,294,000 157,233,000 87,672,000
346 ANTARES PHARMA, INC. 10-Q 0001016169 3841 1 2011-06-30 38,880,049 23,479,435 31,334,232 23,479,435 -2,934,730
347 Ante5, Inc. 10-Q 0001490161 7812 6 2011-06-30 27,629,513 -6,341,596 20,776,689 -6,341,596 -466,237
348 Anthera Pharmaceuticals Inc 10-Q 0001316175 2834 11 2011-06-30 116,937,000 108,123,000 71,289,000 108,123,000 -147,380,000
349 ANTIVIRAL TECHNOLOGIES, INC. 10-Q 0001445226 6770 3 2011-06-30 397,185 21,311 -1,709,157 21,311 -1,716,627
350 ANV SECURITY GROUP INC. 10-Q 0000353681 3669 0 2011-06-30 24,252,649 -2,475,307 16,275,177 -2,475,307 -696,895
351 ANWORTH MORTGAGE ASSET CORP 10-Q 0001047884 6798 117 2011-06-30 8,552,455,000 1,147,000 964,813,000 1,147,000 63,938,000
352 AOL Inc. 10-Q 0001468516 7374 39 2011-06-30 2,979,100,000 -343,100,000 2,323,500,000 -343,100,000 -7,100,000
353 AON CORP 10-Q 0000315293 6411 119 2011-06-30 30,496,000,000 -46,000,000 8,465,000,000 -46,000,000 522,000,000
354 AP PHARMA INC /DE/ 10-Q 0000818033 2834 4 2011-06-30 22,121,000 19,222,000 18,892,000 19,222,000 -3,351,000
355 APAC CUSTOMER SERVICES, INC 10-Q 0000949297 7389 3 2011-07-03 171,399,000 8,342,000 127,225,000 8,342,000 12,468,000
356 APACHE CORP 10-Q 0000006769 1311 47 2011-06-30 46,529,000,000 973,000,000 26,667,000,000 973,000,000 2,393,000,000
357 APACHE OFFSHORE INVESTMENT PARTNERSHIP 10-Q 0000727538 1311 1 2011-06-30 10,808,842 -1,607,997 8,020,011 -1,607,997 622,737
358 APARTMENT INVESTMENT & MANAGEMENT CO 10-Q 0000922864 6798 147 2011-06-30 7,164,972,000 -26,001,000 1,241,336,000 -26,001,000 -54,248,000
359 Apartment Trust of America, Inc. 10-Q 0001347523 6798 30 2011-06-30 362,180,000 -2,339,000 99,146,000 -2,339,000 -4,848,000
360 APCO OIL & GAS INTERNATIONAL INC 10-Q 0000311471 1311 10 2011-06-30 264,957,000 -422,000 244,144,000 -422,000 15,878,000
361 APD ANTIQUITIES, INC. 10-Q 0001289046 5900 2 2011-06-30 96,446 150 -55,492 150 -35,205
362 Apollo Commercial Real Estate Finance, Inc. 10-Q 0001467760 6798 9 2011-06-30 895,533,000 -13,413,000 292,538,000 -13,413,000 11,700,000
363 Apollo Global Management LLC 10-Q 0001411494 6282 59 2011-06-30 7,389,727,000 454,817,000 3,705,044,000 454,817,000 146,460,000
364 Apollo Group Inc 10-Q 0000929887 8200 49 2011-05-31 3,151,852,000 141,577,000 1,393,358,000 141,577,000 351,860,000
365 APOLLO SOLAR ENERGY, INC. 10-Q 0000726435 1040 3 2011-06-30 30,951,476 -76,988 21,849,031 -76,988 -351,791
366 APPLE INC 10-Q 0000320193 3571 50 2011-06-25 106,758,000,000 830,000,000 69,343,000,000 830,000,000 19,299,000,000
367 Apple REIT Eight, Inc. 10-Q 0001387361 6798 10 2011-06-30 952,976,000 80,000 699,997,000 80,000 2,665,000
368 Apple REIT Nine, Inc. 10-Q 0001418121 6798 8 2011-06-30 1,749,092,000 -156,417,000 1,611,868,000 -156,417,000 35,345,000
369 Apple REIT Seven, Inc. 10-Q 0001329011 6798 9 2011-06-30 883,391,000 0 707,328,000 0 12,934,000
370 APPLE REIT SIX INC 10-Q 0001277151 6798 10 2011-06-30 775,715,000 0 707,612,000 0 22,350,000
371 Apple REIT Ten, Inc. 10-Q 0001498864 6798 6 2011-06-30 335,385,000 142,714,000 333,801,000 142,714,000 -3,569,000
372 APPLIANCE RECYCLING CENTERS OF AMERICA INC /MN 10-Q 0000862861 5700 5 2011-07-02 47,598,000 1,412,000 15,294,000 1,412,000 2,813,000
373 APPLIED DNA SCIENCES INC 10-Q 0000744452 2860 9 2011-06-30 893,586 -5,154 -3,974,468 -5,154 -6,097,760
374 APPLIED ENERGETICS, INC. 10-Q 0000879911 3812 1 2011-06-30 10,569,282 -2,032,830 9,563,860 -2,032,830 -2,956,957
375 APPLIED INDUSTRIAL TECHNOLOGIES INC 10-K 0000109563 5080 76 2011-06-30 914,931,000 -84,685,000 633,563,000 -84,685,000 96,759,000
376 APPLIED MATERIALS INC /DE 10-Q 0000006951 3674 104 2011-05-01 11,957,000,000 700,000,000 8,182,000,000 700,000,000 995,000,000
377 APPLIED MICRO CIRCUITS CORP 10-Q 0000711065 3674 6 2011-06-30 292,822,000 -43,008,000 244,382,000 -43,008,000 -6,877,000
378 Applied Minerals, Inc. 10-Q 0000008328 1040 24 2011-06-30 6,085,884 2,606,932 1,836,953 2,606,932 -15,204,081
379 Applied Nanotech Holdings, Inc 10-Q 0000891417 3669 0 2011-06-30 5,803,770 1,464,789 3,070,350 1,464,789 -1,046,916
380 Approach Resources Inc 10-Q 0001405073 1311 15 2011-06-30 530,564,000 -22,636,000 344,802,000 -22,636,000 9,453,000
381 Apps Genius Corp 10-Q 0001489588 7374 2 2011-06-30 34,871 -92,633 -8,688 -92,633 -154,133
382 APRIA HEALTHCARE GROUP INC 10-Q 0000882289 8082 10 2011-06-30 2,181,698,000 -81,993,000 635,434,000 -81,993,000 -30,461,000
383 APRICUS BIOSCIENCES, INC. 10-Q 0001017491 2834 14 2011-06-30 14,080,283 -5,458 5,567,260 -5,458 -11,205,098
384 Aptalis Pharma Inc 10-Q 0001444570 2834 17 2011-06-30 1,302,838,000 -46,724,000 33,132,000 -46,724,000 -151,013,000
385 APTARGROUP INC 10-Q 0000896622 3089 26 2011-06-30 2,245,682,000 -35,103,000 1,445,442,000 -35,103,000 95,755,000
386 AQUA AMERICA INC 10-Q 0000078128 4941 30 2011-06-30 4,193,182,000 983,000 1,212,137,000 983,000 67,950,000
387 AQUENTIUM INC 10-Q 0000918997 1540 16 2011-06-30 2,480 2,480 -1,958,174 2,480 -3,142,931
388 ARABIAN AMERICAN DEVELOPMENT CO 10-Q 0000007039 2911 10 2011-06-30 98,116,035 -862,304 57,737,365 -862,304 416,426
389 ARADIGM CORP S-1 0001013238 3845 10 2011-06-30 11,915,000 3,186,000 162,000 3,186,000 -5,341,000
390 ARAMARK CORP 10-Q 0000007032 5812 7 2011-07-01 10,533,317,000 -65,988,000 1,455,373,000 -65,988,000 58,644,000
391 ARBITRON INC 10-Q 0000109758 8700 9 2011-06-30 211,185,000 -10,710,000 102,543,000 -10,710,000 23,831,000
392 ARBOR REALTY TRUST INC 10-Q 0001253986 6798 20 2011-06-30 1,763,634,233 -58,728,538 207,059,649 -58,728,538 -9,980,012
393 ARC WIRELESS SOLUTIONS INC 10-Q 0000826326 4899 1 2011-06-30 12,470,000 -578,000 12,051,000 -578,000 -247,000
394 ARCA biopharma, Inc. 10-Q 0000907654 2835 18 2011-06-30 8,581,000 7,463,000 7,545,000 7,463,000 -60,222,000
395 ARCADIA RESOURCES, INC 10-Q 0001071941 7200 4 2011-06-30 25,850,000 -509,000 -22,727,000 -509,000 -2,792,000
396 ARCH CAPITAL GROUP LTD. 10-Q 0000947484 6331 55 2011-06-30 17,213,806,000 48,261,000 4,441,269,000 48,261,000 124,098,000
397 ARCH CHEMICALS INC 10-Q 0001072343 2800 105 2011-06-30 1,284,700,000 -78,300,000 497,000,000 -78,300,000 49,800,000
398 ARCH COAL INC 10-Q 0001037676 1221 13 2011-03-31 4,899,978,000 -24,373,000 2,291,595,000 -24,373,000 55,874,000
399 ARCHER DANIELS MIDLAND CO 10-Q 0000007084 2070 88 2011-03-31 43,763,000,000 -188,000,000 16,680,000,000 -188,000,000 1,639,000,000
400 Archipelago Learning, Inc. 10-Q 0001470699 8200 3 2011-06-30 270,624,000 3,909,000 112,811,000 3,909,000 2,789,000
401 ARCTIC CAT INC 10-Q 0000719866 3790 3 2011-06-30 282,850,000 20,304,000 180,494,000 20,304,000 -2,322,000
402 Ardea Biosciences, Inc./DE 10-Q 0001103390 2834 2 2011-06-30 147,579,000 6,720,000 128,867,000 6,720,000 -33,332,000
403 ARDEN GROUP INC 10-Q 0000225051 5411 7 2011-07-02 128,358,000 -24,438,000 85,592,000 -24,438,000 9,313,000
404 ARENA PHARMACEUTICALS INC 10-Q 0001080709 2834 6 2011-06-30 210,198,000 -53,075,000 60,158,000 -53,075,000 -62,806,000
405 Argo Group International Holdings, Ltd. 10-Q 0001091748 6361 83 2011-06-30 6,513,700,000 -34,500,000 1,548,600,000 -34,500,000 -71,700,000
406 ARIAD PHARMACEUTICALS INC 10-Q 0000884731 2836 5 2011-06-30 96,847,000 -22,781,000 7,962,000 -22,781,000 -85,711,000
407 ARIBA INC 10-Q 0001084755 7372 26 2011-06-30 903,645,000 5,829,000 627,210,000 5,829,000 30,166,000
408 Arista Power, Inc. 10-Q 0001424640 3510 5 2011-06-30 1,157,202 -478,300 -51,699 -478,300 -1,685,290
409 ARK RESTAURANTS CORP 10-Q 0000779544 5812 31 2011-07-02 55,475,000 2,791,000 39,051,000 2,791,000 1,821,000
410 ARKANOVA ENERGY CORP. 10-Q 0001191359 1381 3 2011-06-30 2,489,064 -539,617 -11,106,084 -539,617 -1,776,513
411 ARKANSAS BEST CORP /DE/ 10-Q 0000894405 4213 46 2011-06-30 887,515,000 12,256,000 476,467,000 12,256,000 -7,336,000
412 Arlington Asset Investment Corp. 10-Q 0001209028 6799 9 2011-06-30 918,379,000 8,665,000 210,117,000 8,665,000 19,876,000
413 ARMOUR Residential REIT, Inc. 10-Q 0001428205 6798 6 2011-06-30 5,530,026,383 152,889,959 534,030,257 152,889,959 1,323,618
414 ARMSTRONG WORLD INDUSTRIES INC 10-Q 0000007431 3089 4 2011-06-30 3,071,100,000 -11,200,000 1,172,200,000 -11,200,000 51,400,000
415 ARNO THERAPEUTICS, INC 10-Q 0001195116 2834 14 2011-06-30 10,582,883 10,359,852 4,619,311 10,359,852 -31,656,038
416 AROTECH CORPORATION 10-Q 0000916529 3690 2 2011-06-30 82,387,778 -5,171,296 48,593,451 -5,171,296 -4,714,584
417 ARQULE INC 10-Q 0001019695 2834 8 2011-06-30 137,512,000 7,387,000 26,102,000 7,387,000 -12,270,000
418 Arrhythmia Research Technology Inc /DE/ 10-Q 0000819689 3845 6 2011-06-30 19,150,609 -400,873 17,115,346 -400,873 -227,411
419 ARRIS GROUP INC 10-Q 0001141107 3663 30 2011-06-30 1,410,434,000 7,160,000 1,003,421,000 7,160,000 28,254,000
420 Arrow Electronics Inc 10-Q 0000007536 5065 46 2011-07-02 10,070,034,000 -395,297,000 3,634,043,000 -395,297,000 292,808,000
421 Arrow Financial Corporation 10-Q 0000717538 6021 1 2011-06-30 1,901,774,000 26,241,000 163,589,000 26,241,000 11,130,000
422 ARROWHEAD RESEARCH CORP 10-Q 0000879407 8731 19 2011-06-30 13,289,834 4,316,308 10,569,252 4,316,308 -128,595,344
423 Art Design, Inc. 10-Q 0001368637 5020 4 2011-06-30 26,026 -22,131 -12,426 -22,131 -11,341
424 ART DIMENSIONS, INC. 10-Q 0001445918 5990 4 2011-06-30 228 228 -29,669 228 -45,534
425 ARTESIAN RESOURCES CORP 10-Q 0000863110 4941 7 2011-06-30 371,813,000 9,000 95,705,000 9,000 2,762,000
426 ARTHROCARE CORP 10-Q 0001005010 3845 21 2011-06-30 472,624,000 52,364,000 329,479,000 52,364,000 25,070,000
427 ARTIFICIAL LIFE INC 10-Q 0001070361 7372 16 2011-06-30 73,320,772 -1,907,224 61,958,420 -1,907,224 511,419
428 ARTIO GLOBAL INVESTORS INC. 10-Q 0001419178 6282 12 2011-06-30 419,657,000 -11,235,000 163,317,000 -11,235,000 44,730,000
429 ARUBA NETWORKS, INC. 10-Q 0001173752 3577 7 2011-04-30 380,689,000 45,991,000 257,606,000 45,991,000 2,503,000
430 ASAP Expo, Inc. 10-Q 0001419275 7389 0 2011-06-30 238,796 160 -2,071,965 160 -107,465
431 ASBURY AUTOMOTIVE GROUP INC 10-Q 0001144980 5500 15 2011-06-30 1,338,200,000 1,900,000 311,200,000 1,900,000 34,100,000
432 ASCENA RETAIL GROUP, INC. 10-Q 0001498301 5600 4 2011-04-30 1,812,400,000 73,600,000 1,142,100,000 73,600,000 142,300,000
433 Ascend Acquisition Corp. 10-Q 0001350773 3674 16 2011-06-30 4,535 2,553 -40,782 2,553 770,539
434 Ascent Capital Group, Inc. 10-Q 0001437106 4841 2 2011-06-30 1,644,290,000 82,429,000 584,874,000 82,429,000 36,905,000
435 Ascent Solar Technologies, Inc. 10-Q 0001350102 3674 37 2011-06-30 69,095,793 9,963,178 52,910,058 9,963,178 -172,086,598
436 ASHFORD HOSPITALITY TRUST INC 10-Q 0001232582 6798 20 2011-06-30 3,624,834,000 -63,469,000 891,128,000 -63,469,000 36,620,000
437 ASHLAND INC. 10-Q 0001305014 5160 80 2011-06-30 9,482,000,000 628,000,000 4,567,000,000 628,000,000 527,000,000
438 Asia Carbon Industries, Inc. 10-Q 0001491479 2890 2 2011-06-30 29,779,683 1,877,005 23,673,999 1,877,005 4,086,913
439 ASIA GLOBAL HOLDINGS CORP. 10-Q 0001171689 5960 5 2011-06-30 983 -50,319 -198,322 -50,319 -85,623
440 Asia Green Agriculture Corp 10-Q 0001440476 6770 14 2011-06-30 90,985,138 -1,205,386 72,976,494 -1,205,386 10,824,682
441 ASIA SELECT ACQUISITION II CORP. 10-Q 0001469488 6770 2 2011-06-30 8,507 7,007 -76,106 7,007 -86,106
442 ASIA SELECT ACQUISITION III CORP 10-Q 0001463176 6770 3 2011-06-30 11,397 9,897 -95,663 9,897 -105,663
443 ASIAINFO-LINKAGE, INC 10-Q 0001100969 7372 9 2011-03-31 1,303,033,000 11,385,000 956,801,000 11,385,000 17,509,000
444 Aspect Software Group Holdings Ltd. 10-Q 0001506546 3576 5 2011-06-30 1,006,991,000 63,298,000 -79,886,000 63,298,000 15,061,000
445 ASPEN INSURANCE HOLDINGS LTD 10-Q 0001267395 6331 88 2011-06-30 9,516,900,000 -105,000,000 3,104,600,000 -105,000,000 -141,500,000
446 AspenBio Pharma, Inc. 10-Q 0001167419 2835 1 2011-06-30 12,025,856 -2,799,963 6,329,316 -2,799,963 -5,593,126
447 ASSET ACCEPTANCE CAPITAL CORP 10-Q 0001264707 6153 4 2011-06-30 380,183,831 1,666,085 130,024,941 1,666,085 4,744,405
448 ASSISTED LIVING CONCEPTS INC 10-Q 0000929994 8050 4 2011-06-30 467,975,000 -10,531,000 298,475,000 -10,531,000 11,287,000
449 ASSOCIATED BANC-CORP 10-Q 0000007789 6022 101 2011-06-30 22,048,475,000 226,595,000 2,999,148,000 226,595,000 57,235,000
450 ASSOCIATED ESTATES REALTY CORP 10-Q 0000911635 6798 6 2011-06-30 930,271,000 -3,631,000 300,453,000 -3,631,000 -4,629,000
451 ASSURANCEAMERICA CORP 10-Q 0000008497 6331 7 2011-06-30 127,108,639 -6,464,259 11,725,517 -6,464,259 -3,828,564
452 ASSURANT INC 10-Q 0001267238 6321 79 2011-06-30 26,779,755,000 -15,417,000 4,875,976,000 -15,417,000 307,601,000
453 ASSURED GUARANTY LTD 10-Q 0001273813 6351 516 2011-06-30 19,238,864,000 51,991,000 3,949,985,000 51,991,000 67,740,000
454 ASTA FUNDING INC 10-Q 0001001258 6153 10 2011-06-30 252,106,000 19,594,000 171,716,000 19,594,000 8,865,000
455 Astea International Inc. 10-Q 0000945989 7372 4 2011-06-30 14,471,000 -115,000 4,735,000 -115,000 -131,000
456 ASTEC INDUSTRIES INC 10-Q 0000792987 3531 39 2011-06-30 691,207,000 -21,107,000 518,495,000 -21,107,000 24,263,000
457 ASTORIA FINANCIAL CORP 10-Q 0000910322 6035 29 2011-06-30 17,120,335,000 -11,036,000 1,278,531,000 -11,036,000 44,229,000
458 ASTRO MED INC /NEW/ 10-Q 0000008146 3577 2 2011-04-30 65,553,331 445,031 54,576,604 445,031 431,439
459 ASTRONICS CORP 10-Q 0000008063 3728 7 2011-07-02 157,159,000 -6,634,000 88,480,000 -6,634,000 9,757,000
460 ASURE SOFTWARE INC 10-Q 0000884144 7373 3 2011-06-30 6,063,000 956,000 2,728,000 956,000 -33,000
461 AT&T INC. 10-Q 0000732717 4813 40 2011-06-30 272,014,000,000 2,394,000,000 114,109,000,000 2,394,000,000 6,999,000,000
462 Athenahealth Inc 10-Q 0001131096 7389 10 2011-06-30 279,972,000 11,426,000 198,038,000 11,426,000 8,437,000
463 Athens Bancshares Corp 10-Q 0001472093 6035 9 2011-06-30 283,389,666 3,033,394 50,221,246 3,033,394 731,001
464 AtheroNova Inc. 10-Q 0001377053 2834 0 2011-06-30 161,647 140,721 -6,829,094 140,721 -9,594,743
465 ATHEROS COMMUNICATIONS INC 10-Q 0001140486 3674 6 2011-03-31 1,192,653,000 22,740,000 950,199,000 22,740,000 21,054,000
466 ATHERSYS, INC / NEW 10-Q 0001368148 2834 2 2011-06-30 23,088,000 2,614,000 12,843,000 2,614,000 -7,153,000
467 ATLANTIC AMERICAN CORP 10-Q 0000008177 6311 5 2011-06-30 274,886,000 -3,673,000 84,188,000 -3,673,000 661,000
468 Atlantic Broadband Finance, LLC 10-Q 0001289785 4841 1 2011-06-30 777,992,000 -4,389,000 67,585,000 -4,389,000 27,125,000
469 Atlantic Coast Financial CORP 10-Q 0001404296 6035 18 2011-06-30 801,774,000 19,274,000 54,081,000 19,274,000 -4,939,000
470 ATLANTIC POWER CORP 10-Q 0001419242 4900 15 2011-06-30 1,008,980,000 1,054,000 431,479,000 1,054,000 19,051,000
471 ATLANTIC TELE NETWORK INC /DE 10-Q 0000879585 4813 11 2011-06-30 863,843,000 9,447,000 346,137,000 9,447,000 5,297,000
472 ATLANTICA INC 10-Q 0001062506 6770 0 2011-06-30 0 0 -715,654 0 415,344
473 ATLAS AIR WORLDWIDE HOLDINGS INC 10-Q 0001135185 4522 39 2011-06-30 1,945,929,000 -126,841,000 1,089,440,000 -126,841,000 34,934,000
474 ATLAS AMERICA PUBLIC NO 10 LTD 10-Q 0001157516 1381 4 2011-06-30 7,592,500 6,500 6,138,400 6,500 25,700
475 Atlas America Public #14-2004 L.P. 10-Q 0001294476 1311 4 2011-06-30 10,521,400 -134,200 7,019,000 -134,200 -240,900
476 Atlas America Public #14-2005 (A) LP 10-Q 0001336339 1311 4 2011-06-30 12,851,600 -195,000 8,247,800 -195,000 -242,800
477 Atlas America Public #15-2005 (A) Program 10-Q 0001335236 1311 5 2011-06-30 7,696,900 -41,100 4,964,800 -41,100 -160,000
478 Atlas America Public #15-2006 (B) L.P. 10-Q 0001357361 1311 6 2011-06-30 41,348,500 -132,000 34,058,900 -132,000 43,800
479 ATLAS AMERICA PUBLIC 11-2002 LTD 10-Q 0001175028 1311 4 2011-06-30 8,835,400 -91,700 6,480,300 -91,700 -166,600
480 ATLAS AMERICA PUBLIC 12 2003 PROGRAM 10-Q 0001238289 1311 4 2011-06-30 6,933,100 -22,800 3,721,900 -22,800 -159,100
481 ATLAS AMERICA PUBLIC NO 9 LTD 10-Q 0001121745 1382 4 2011-06-30 6,007,300 -4,900 4,910,100 -4,900 -60,300
482 ATLAS AMERICA SERIES 25-2004 A L P 10-Q 0001283810 1311 6 2011-06-30 8,493,000 -44,300 6,540,200 -44,300 -228,400
483 ATLAS AMERICA SERIES 25-2004 B LP 10-Q 0001294208 1311 5 2011-06-30 6,778,300 -5,200 4,445,800 -5,200 -211,600
484 Atlas America Series 26-2005 L.P. 10-Q 0001342514 1311 5 2011-06-30 10,440,200 -37,500 8,485,300 -37,500 -85,600
485 Atlas America Series 27-2006 LP 10-Q 0001379763 1311 5 2011-06-30 12,300,400 -102,400 9,194,800 -102,400 71,700
486 Atlas Energy, L.P. 10-Q 0001347218 4922 18 2011-06-30 2,492,720,000 108,445,000 1,741,172,000 108,445,000 261,356,000
487 ATLAS PIPELINE PARTNERS LP 10-Q 0001092914 4922 18 2011-06-30 1,779,265,000 2,000 1,244,319,000 2,000 250,393,000
488 Atlas Resources Public #16-2007 (A) L.P. 10-Q 0001374985 1311 6 2011-06-30 51,366,900 -120,200 42,358,400 -120,200 797,600
489 Atlas Resources Public #17-2007 (A) L.P. 10-Q 0001399542 1311 7 2011-06-30 43,187,300 -16,900 38,249,200 -16,900 967,100
490 Atlas Resources Public #17-2008 (B) L.P. 10-Q 0001399541 1311 6 2011-06-30 48,893,200 -145,600 41,856,400 -145,600 1,914,900
491 Atlas Resources Public #18-2008 (A) L.P. 10-Q 0001432987 1311 8 2011-06-30 53,427,900 -173,700 50,584,300 -173,700 1,645,900
492 Atlas Resources Public #18-2009 (B) L.P. 10-Q 0001432985 1311 8 2011-06-30 101,585,100 -308,000 100,643,800 -308,000 2,965,300
493 Atlas Resources Public #18-2009 (C) L.P. 10-Q 0001433833 1311 9 2011-06-30 207,117,500 -922,900 205,320,200 -922,900 5,341,100
494 Atlas Resources Series 28-2010 L.P. 10-Q 0001487561 1311 13 2011-06-30 173,345,900 450,600 171,628,100 450,600 865,600
495 ATLAS THERAPEUTICS CORP 10-Q 0001402479 5900 27 2011-06-30 5,944,441 529,184 -672,212 529,184 -5,781,852
496 ATMEL CORP 10-Q 0000872448 3674 55 2011-06-30 1,688,416,000 -57,593,000 1,123,652,000 -57,593,000 165,423,000
497 ATMI INC 10-Q 0001041577 2810 2 2011-06-30 560,831,000 5,531,000 486,592,000 5,531,000 19,141,000
498 Atmos Energy Corporation 10-Q 0000731802 4924 127 2011-06-30 6,993,470,000 -14,523,000 2,335,824,000 -14,523,000 205,640,000
499 ATP OIL & GAS CORP 10-Q 0001123647 1311 11 2011-06-30 3,299,692,000 31,165,000 141,102,000 31,165,000 -163,730,000
500 AtriCure, Inc. 10-Q 0001323885 3841 2 2011-06-30 36,136,844 -118,788 16,921,244 -118,788 -2,219,699
501 ATRION CORP 10-Q 0000701288 3841 2 2011-06-30 151,758,000 -926,000 129,277,000 -926,000 13,877,000
502 ATS CORP 10-Q 0001325460 8742 5 2011-06-30 82,401,520 521,146 60,777,820 521,146 1,736,848
503 ATWOOD OCEANICS INC 10-Q 0000008411 1381 16 2011-06-30 2,126,696,000 -67,448,000 1,578,684,000 -67,448,000 198,747,000
504 Auburn National Bancorporation, Inc 10-Q 0000750574 6022 15 2011-06-30 779,725,000 36,156,000 61,100,000 36,156,000 3,006,000
505 AURI INC 10-Q 0001092802 3140 0 2011-06-30 983,346 -173,379 462,509 -173,379 -837,723
506 Aurios Inc. 10-Q 0001434768 3651 3 2011-06-30 8,032 -19,360 -193,620 -19,360 -58,443
507 Austin Acquisitions, Inc 10-Q 0001507858 6770 1 2011-06-30 1,023 1,023 -17,767 1,023 -17,867
508 AUSTRALIAN OIL & GAS CORPORATION 10-Q 0001080634 1311 2 2011-06-30 3,276,000 1,660,000 668,000 1,660,000 -2,623,000
509 AUTHENTEC INC 10-Q 0001138830 3674 0 2011-07-01 68,815,000 -6,315,000 50,072,000 -6,315,000 -10,446,000
510 AUTOBYTEL INC 10-Q 0001023364 7370 5 2011-06-30 37,944,000 -252,000 23,553,000 -252,000 -371,000
511 AUTODESK INC 10-Q 0000769397 7372 39 2011-04-30 2,902,200,000 16,300,000 1,751,200,000 16,300,000 69,300,000
512 AUTOINFO INC 10-Q 0000351017 4210 0 2011-06-30 68,011,000 59,000 22,754,000 59,000 1,565,000
513 AUTOLIV INC 10-Q 0001034670 3714 38 2011-06-30 6,084,700,000 -28,000,000 3,260,800,000 -28,000,000 328,200,000
514 AUTOMATIC DATA PROCESSING INC 10-Q 0000008670 7374 84 2011-03-31 41,596,400,000 -42,400,000 6,194,500,000 -42,400,000 1,012,400,000
515 AUTONATION, INC. 10-Q 0000350698 5500 8 2011-03-31 5,889,400,000 -10,800,000 2,138,600,000 -10,800,000 69,400,000
516 AUTOZONE INC 10-Q 0000866787 5531 19 2011-05-07 5,884,878,000 2,087,000 -1,119,541,000 2,087,000 547,505,000
517 AUXILIUM PHARMACEUTICALS INC 10-Q 0001182129 2834 22 2011-06-30 284,223,000 -38,500,000 88,891,000 -38,500,000 -16,995,000
518 Avago Technologies LTD 10-Q 0001441634 3674 4 2011-05-01 2,177,000,000 35,000,000 1,791,000,000 35,000,000 254,000,000
519 AVALON HOLDINGS CORP 10-Q 0001061069 4953 0 2011-06-30 47,766,000 600,000 38,807,000 600,000 -263,000
520 AVALON OIL & GAS, INC. 10-Q 0000918573 1311 13 2011-06-30 2,692,472 -170,686 978,354 -170,686 -89,176
521 AVALONBAY COMMUNITIES INC 10-Q 0000915912 6798 81 2011-06-30 7,942,742,000 -16,322,000 3,479,163,000 -16,322,000 73,728,000
522 AVANIR PHARMACEUTICALS, INC. 10-Q 0000858803 2834 14 2011-06-30 100,417,830 52,525,550 85,023,402 52,525,550 -42,643,067
523 AVATAR HOLDINGS INC 10-Q 0000039677 1531 9 2011-06-30 559,876,000 30,534,000 404,304,000 30,534,000 -26,878,000
524 AVAYA INC 10-Q 0001116521 3661 2 2011-06-30 8,703,000,000 -211,000,000 -2,166,000,000 -211,000,000 -764,000,000
525 AVENTINE RENEWABLE ENERGY HOLDINGS INC 10-Q 0001285043 2860 14 2011-06-30 416,146,000 -9,910,000 163,090,000 -9,910,000 -43,143,000
526 AVEO PHARMACEUTICALS INC 10-Q 0001325879 2834 8 2011-06-30 340,791,000 35,222,000 267,960,000 35,222,000 79,635,000
527 AVERY DENNISON CORPORATION 10-Q 0000008818 2670 25 2011-07-02 5,360,000,000 -2,100,000 1,804,600,000 -2,100,000 118,100,000
528 AVI BIOPHARMA INC 10-Q 0000873303 2834 18 2011-06-30 74,933,000 54,188,000 35,149,000 54,188,000 -304,534,000
529 AVID TECHNOLOGY, INC. 10-Q 0000896841 3861 1 2011-06-30 632,596,000 -5,225,000 427,247,000 -5,225,000 -16,979,000
530 AVIS BUDGET GROUP, INC. 10-Q 0000723612 7510 109 2011-06-30 12,441,000,000 -266,000,000 532,000,000 -266,000,000 59,000,000
531 AVISTA CORP 10-Q 0000104918 4931 48 2011-06-30 3,842,896,000 503,000 1,168,135,000 503,000 65,931,000
532 AVISTAR COMMUNICATIONS CORP 10-Q 0001111632 3576 4 2011-06-30 2,313,000 -805,000 -11,718,000 -805,000 -4,610,000
533 AVIV REIT, INC. 10-Q 0001499686 6798 17 2011-06-30 810,222,148 11,709,352 239,755,010 11,709,352 7,635,942
534 AVNET INC 10-Q 0000008858 5065 2 2011-04-02 9,839,977,000 -310,353,000 3,734,474,000 -310,353,000 430,239,000
535 AVON PRODUCTS INC 10-Q 0000008868 2844 46 2011-06-30 8,116,800,000 -168,900,000 2,038,300,000 -168,900,000 352,300,000
536 AVX Corp 10-Q 0000859163 3670 2 2011-06-30 2,395,649,000 -50,470,000 2,104,732,000 -50,470,000 67,599,000
537 AWARE INC /MA/ 10-Q 0001015739 3674 4 2011-06-30 56,187,000 3,283,000 52,621,000 3,283,000 323,000
538 AXCELIS TECHNOLOGIES INC 10-Q 0001113232 3559 3 2011-06-30 287,412,000 -7,886,000 217,186,000 -7,886,000 6,039,000
539 AXESSTEL INC 10-Q 0001092492 3669 1 2011-06-30 8,933,500 783,703 -14,006,246 783,703 -1,226,017
540 AXION INTERNATIONAL HOLDINGS, INC. 10-Q 0000753048 3086 8 2011-06-30 6,647,371 3,304,400 -2,040,874 3,304,400 -4,875,778
541 Axion Power International, Inc. 10-Q 0001028153 3690 5 2011-06-30 21,371,207 7,145,116 15,117,130 7,145,116 -53,686,782
542 AXIS CAPITAL HOLDINGS LTD 10-Q 0001214816 6331 54 2011-06-30 18,196,848,000 -58,393,000 5,332,939,000 -58,393,000 -264,254,000
543 AXT INC 10-Q 0001051627 3674 3 2011-06-30 150,662,000 -2,646,000 134,368,000 -2,646,000 14,355,000
544 AYERS EXPLORATION INC. 10-Q 0001438660 1400 2 2011-06-30 29,825 25,325 23,075 25,325 -227,425
545 AZTECA ACQUISITION CORP 10-Q 0001518749 6770 3 2011-06-30 4,173,094 65,946 19,270 65,946 -5,730
546 AZZURRA HOLDING CORPORATION 10-Q 0000935493 3663 4 2011-06-30 16,000 -14,000 -12,000 -14,000 -13,000
547 B Green Innovations, Inc. 10-Q 0001307969 7373 3 2011-06-30 1,174,656 -1,062,598 -123,522 -1,062,598 -182,971
548 B&G Foods, Inc. 10-Q 0001278027 2000 3 2011-07-02 881,230,000 2,793,000 237,647,000 2,793,000 25,904,000
549 Babcock & Wilcox Co 10-Q 0001486957 3510 3 2011-06-30 2,578,415,000 -132,771,000 831,765,000 -132,771,000 60,008,000
550 BACTERIN INTERNATIONAL HOLDINGS, INC. 10-Q 0001453593 2836 2 2011-06-30 19,754,738 1,074,926 8,966,830 1,074,926 4,511,549
551 BADGER METER INC 10-Q 0000009092 3824 2 2011-06-30 223,105,000 1,184,000 178,250,000 1,184,000 11,094,000
552 BAETA CORP 10-Q 0001439636 3841 2 2011-06-30 382,560 24,707 -994,679 24,707 -3,387,599
553 BAKER HUGHES INC 10-Q 0000808362 3533 21 2011-06-30 23,554,000,000 -519,000,000 15,190,000,000 -519,000,000 719,000,000
554 BAKKEN RESOURCES INC 10-Q 0001450390 5045 5 2011-06-30 3,289,671 432,881 1,771,015 432,881 -389,193
555 BALCHEM CORP 10-Q 0000009326 2800 0 2011-06-30 249,962,000 12,489,000 212,479,000 12,489,000 18,484,000
556 BALDWIN & LYONS INC 10-Q 0000009346 6331 1 2011-06-30 883,601,000 19,621,000 345,291,000 19,621,000 -20,702,000
557 BALL CORP 10-Q 0000009389 3411 64 2011-07-03 7,850,400,000 -7,200,000 1,734,800,000 -7,200,000 243,300,000
558 BALLANTYNE STRONG, INC. 10-Q 0000946454 3861 1 2011-06-30 86,608,000 -1,451,000 57,473,000 -1,451,000 3,993,000
559 BALLY TECHNOLOGIES, INC. 10-Q 0000002491 7372 25 2011-03-31 901,447,000 -67,217,000 556,112,000 -67,217,000 72,296,000
560 BALQON CORP. 10-Q 0001169440 3537 1 2011-06-30 4,586,618 -4,054,197 -730,989 -4,054,197 -3,672,112
561 Baltic Trading Ltd 10-Q 0001474042 4412 11 2011-06-30 387,918,322 -1,942,034 283,745,469 -1,942,034 -2,045,955
562 BANCFIRST CORP /OK/ 10-Q 0000760498 6021 4 2011-06-30 5,267,445,000 367,020,000 470,397,000 367,020,000 21,470,000
563 Bancorp of New Jersey, Inc. 10-Q 0001390312 6022 2 2011-06-30 403,299,000 -8,727,000 51,975,000 -8,727,000 1,450,000
564 Bancorp, Inc. 10-Q 0001295401 6021 6 2011-06-30 2,465,839,000 -103,496,000 262,237,000 -103,496,000 3,348,000
565 BANCORPSOUTH INC 10-Q 0000701853 6022 76 2011-06-30 13,367,050,000 199,019,000 1,246,703,000 199,019,000 12,332,000
566 BANCTRUST FINANCIAL GROUP INC 10-Q 0000783739 6021 14 2011-06-30 2,157,819,000 11,968,000 168,886,000 11,968,000 1,826,000
567 BANK JOS A CLOTHIERS INC /DE/ 10-Q 0000920033 5600 0 2011-04-30 684,947,000 2,486,000 501,172,000 2,486,000 17,810,000
568 BANK MUTUAL CORP 10-Q 0001123270 6035 15 2011-06-30 2,523,114,000 -100,491,000 269,161,000 -100,491,000 -50,363,000
569 Bank of Commerce Holdings 10-Q 0000702513 6022 11 2011-06-30 868,522,000 -14,940,000 108,194,000 -14,940,000 3,132,000
570 Bank of Granite Corporation 10-Q 0000810689 6022 7 2011-06-30 807,060,000 12,547,000 19,303,000 12,547,000 -5,211,000
571 BANK OF HAWAII CORP 10-Q 0000046195 6022 65 2011-06-30 13,161,204,000 49,617,000 1,003,450,000 49,617,000 77,508,000
572 BANK OF KENTUCKY FINANCIAL CORP 10-Q 0000934547 6035 2 2011-06-30 1,601,719,000 -111,566,000 166,393,000 -111,566,000 7,306,000
573 Bank of Marin Bancorp 10-Q 0001403475 6022 13 2011-06-30 1,337,393,000 24,927,000 129,058,000 24,927,000 7,948,000
574 Bank of New York Mellon CORP 10-Q 0001390777 6022 167 2011-06-30 304,706,000,000 1,885,000,000 34,606,000,000 1,885,000,000 1,427,000,000
575 Bank of South Carolina Corporation 10-Q 0001007273 6022 4 2011-06-30 299,120,313 3,079,166 30,223,725 3,079,166 1,417,394
576 Bank of the Carolinas CORP 10-Q 0001365997 6021 6 2011-06-30 521,043,000 3,863,000 29,145,000 3,863,000 -12,838,000
577 BANK OF THE JAMES FINANCIAL GROUP INC 10-Q 0001275101 6022 8 2011-06-30 429,625,000 6,026,000 26,973,000 6,026,000 754,000
578 BANK OF THE OZARKS INC 10-Q 0001038205 6022 18 2011-06-30 4,026,841,000 32,285,000 389,106,000 32,285,000 64,831,000
579 BANKATLANTIC BANCORP INC 10-Q 0000921768 6035 28 2011-06-30 3,863,864,000 -103,298,000 26,235,000 -103,298,000 514,000
580 BankFinancial CORP 10-Q 0001303942 6035 17 2011-06-30 1,662,888,000 -106,328,000 250,378,000 -106,328,000 249,000
581 Bankrate, Inc. 10-Q 0001518222 7389 8 2011-06-30 1,108,177,000 -54,345,000 762,383,000 -54,345,000 -34,599,000
582 Banks.com, Inc. 10-Q 0001341470 7370 4 2011-06-30 12,223,000 40,000 10,557,000 40,000 -223,000
583 BankUnited, Inc. 10-Q 0001504008 6035 29 2011-06-30 10,846,659,000 -221,015,000 1,476,673,000 -221,015,000 -23,665,000
584 Banner Corporation 10-Q 0000946673 6022 31 2011-06-30 4,206,067,000 -145,208,000 511,026,000 -145,208,000 -5,643,000
585 Baoshinn Corp 10-Q 0001365357 4700 5 2011-06-30 5,309,197 45,571 924,382 45,571 95,674
586 BARD C R INC /NJ/ 10-Q 0000009892 3841 38 2011-06-30 3,503,200,000 270,500,000 1,874,500,000 270,500,000 84,100,000
587 BARNES & NOBLE INC 10-K 0000890491 5940 12 2011-04-30 3,596,466,000 -1,536,000 819,910,000 -1,536,000 -73,957,000
588 BARNES GROUP INC 10-Q 0000009984 3490 24 2011-06-30 1,485,704,000 3,127,000 812,195,000 3,127,000 41,404,000
589 BARNWELL INDUSTRIES INC 10-Q 0000010048 1311 16 2011-06-30 97,871,000 6,095,000 41,671,000 6,095,000 980,000
590 BARRETT BUSINESS SERVICES INC 10-Q 0000902791 7363 10 2011-06-30 219,485,000 -5,452,000 101,845,000 -5,452,000 8,995,000
591 BASIC ENERGY SERVICES INC 10-Q 0001109189 1389 13 2011-06-30 1,329,107,000 172,992,000 308,363,000 172,992,000 -1,943,000
592 BAXTER INTERNATIONAL INC 10-Q 0000010456 3841 44 2011-06-30 17,741,000,000 -667,000,000 7,244,000,000 -667,000,000 1,206,000,000
593 BAY BANKS OF VIRGINIA INC 10-Q 0001034594 6022 7 2011-06-30 328,717,923 894,309 27,820,136 894,309 215,372
594 BAYNON INTERNATIONAL CORP 10-Q 0001089598 6770 2 2011-06-30 4,597 -3,293 -62,424 -3,293 -9,133
595 BAYOU CITY EXPLORATION, INC. 10-Q 0001050957 1311 0 2011-06-30 1,202,220 411,864 -91,536 411,864 -451,630
596 BAZI INTERNATIONAL, INC. 10-Q 0001134765 2833 12 2011-06-30 570,686 134,006 -940,564 134,006 -2,932,741
597 BB&T CORP 10-Q 0000092230 6021 141 2011-06-30 159,310,000,000 401,000,000 17,049,000,000 401,000,000 561,000,000
598 BCB BANCORP INC 10-Q 0001228454 6035 7 2011-06-30 1,100,345,000 -46,987,000 99,512,000 -46,987,000 3,873,000
599 BCSB BANCORP INC. 10-Q 0001391137 6035 12 2011-06-30 629,564,000 -10,533,000 51,455,000 -10,533,000 577,000
600 BE AEROSPACE INC 10-Q 0000861361 2531 15 2011-06-30 3,681,500,000 114,500,000 1,771,700,000 114,500,000 105,100,000
601 BE Resources Inc. 10-Q 0001438884 1090 17 2011-06-30 628,080 479,901 254,719 479,901 -14,420,442
602 BEACON ENTERPRISE SOLUTIONS GROUP INC 10-Q 0001122063 4813 3 2011-06-30 11,360,000 448,000 4,162,000 448,000 4,026,000
603 Beacon Federal Bancorp, Inc. 10-Q 0001401573 6035 7 2011-06-30 1,041,255,000 -2,341,000 113,448,000 -2,341,000 3,255,000
604 BEACON POWER CORP 10-Q 0001103345 4911 15 2011-06-30 80,653,484 -5,488,976 29,012,086 -5,488,976 -17,018,451
605 BEACON ROOFING SUPPLY INC 10-Q 0001124941 5030 24 2011-06-30 1,222,069,000 -9,154,000 510,143,000 -9,154,000 27,963,000
606 BEASLEY BROADCAST GROUP INC 10-Q 0001099160 4832 1 2011-06-30 254,665,813 1,247,215 67,432,280 1,247,215 4,362,215
607 BEAZER HOMES USA INC 10-Q 0000915840 1531 8 2011-06-30 2,005,069,000 -262,476,000 241,008,000 -262,476,000 -161,683,000
608 BECKMAN COULTER INC 10-Q 0000840467 3826 16 2011-03-31 4,957,200,000 208,600,000 2,189,100,000 208,600,000 10,300,000
609 BECTON DICKINSON & CO 10-Q 0000010795 3841 24 2011-06-30 10,620,819,000 -57,952,000 5,298,400,000 -57,952,000 971,015,000
610 BED BATH & BEYOND INC 10-Q 0000886158 5700 19 2011-05-28 5,817,533,000 45,386,000 3,935,777,000 45,386,000 180,578,000
611 BEHRINGER HARVARD MULTIFAMILY REIT I INC 10-Q 0001384710 6798 10 2011-06-30 1,295,518,000 213,667,000 1,070,718,000 213,667,000 677,000
612 BEHRINGER HARVARD OPPORTUNITY REIT I, INC. 10-Q 0001308711 6798 9 2011-06-30 608,032,000 5,091,000 263,386,000 5,091,000 -62,920,000
613 Behringer Harvard Opportunity REIT II, Inc. 10-Q 0001387061 6798 17 2011-06-30 404,698,000 5,233,000 190,207,000 5,233,000 -7,173,000
614 BEHRINGER HARVARD REIT I INC 10-Q 0001176373 6798 18 2011-06-30 3,856,857,000 -30,858,000 1,083,086,000 -30,858,000 -72,060,000
615 BEHRINGER HARVARD SHORT TERM OPPORTUNITY FUND I LP 10-Q 0001179351 6512 11 2011-06-30 164,297,000 -2,000 8,389,000 -2,000 -20,063,000
616 BEL FUSE INC /NJ 10-Q 0000729580 3677 4 2011-06-30 284,423,000 9,684,000 222,971,000 9,684,000 2,670,000
617 BELDEN INC. 10-Q 0000913142 3357 13 2011-07-03 1,824,226,000 -29,341,000 730,467,000 -29,341,000 56,615,000
618 BELO CORP 10-Q 0000356080 4833 1 2011-06-30 1,573,751,000 7,752,000 266,905,000 7,752,000 13,773,000
619 BEMIS CO INC 10-Q 0000011199 2670 35 2011-06-30 4,503,290,000 12,329,000 1,939,461,000 12,329,000 108,356,000
620 BENCHMARK ELECTRONICS INC 10-Q 0000863436 3672 39 2011-06-30 1,481,954,000 -39,837,000 1,134,701,000 -39,837,000 29,214,000
621 Beneficial Mutual Bancorp Inc 10-Q 0001378020 6035 23 2011-06-30 4,712,481,000 256,863,000 624,014,000 256,863,000 1,081,000
622 Bergio International, Inc. 10-Q 0001431074 3910 11 2011-06-30 2,205,282 -4,262 1,024,454 -4,262 -252,221
623 BERING EXPLORATION, INC. 10-Q 0001229089 2834 10 2011-06-30 749,077 391,154 -375,281 391,154 -3,965,124
624 BERKLEY W R CORP 10-Q 0000011544 6331 89 2011-06-30 18,195,124,000 151,929,000 3,920,072,000 151,929,000 199,510,000
625 BERKSHIRE BANCORP INC /DE/ 10-Q 0000759718 6022 5 2011-06-30 890,977,000 34,893,000 118,488,000 34,893,000 44,209,000
626 BERKSHIRE HATHAWAY INC. 10-Q 0001067983 6331 98 2011-06-30 382,696,000,000 9,664,000,000 166,784,000,000 9,664,000,000 5,145,000,000
627 BERKSHIRE HILLS BANCORP INC 10-Q 0001108134 6036 10 2011-06-30 3,225,554,000 -2,223,000 444,970,000 -2,223,000 4,712,000
628 BERKSHIRE INCOME REALTY INC 10-Q 0001178862 6500 14 2011-06-30 509,572,034 -2,578,787 -51,697,377 -2,578,787 -11,555,151
629 BERRY PETROLEUM CO 10-Q 0000778438 1311 77 2011-06-30 3,160,307,000 -30,000 1,099,174,000 -30,000 52,669,000
630 BERRY PLASTICS CORP 10-Q 0000919465 3089 6 2011-07-02 5,611,000,000 23,000,000 205,000,000 23,000,000 -59,000,000
631 BEST BUY CO INC 10-Q 0000764478 5731 91 2011-05-28 18,673,000,000 1,105,000,000 7,053,000,000 1,105,000,000 163,000,000
632 Beta Music Group, Inc. 10-Q 0001452164 3652 12 2011-06-30 5,898 5,898 -48,373 5,898 -373,517
633 BFC FINANCIAL CORP 10-Q 0000315858 6035 38 2011-06-30 5,026,164,000 -111,048,000 200,282,000 -111,048,000 -15,309,000
634 BG Medicine, Inc. 10-Q 0001407038 8071 15 2011-06-30 34,040,000 15,973,000 28,905,000 15,973,000 -7,967,000
635 BGC Partners, Inc. 10-Q 0001094831 6200 43 2011-06-30 1,829,408,000 -77,865,000 357,185,000 -77,865,000 34,587,000
636 Bidz.com, Inc. 10-Q 0001324105 7389 4 2011-06-30 44,099,000 -5,998,000 24,381,000 -5,998,000 -5,687,000
637 BIG 5 SPORTING GOODS CORP 10-Q 0001156388 5940 3 2011-07-03 412,070,000 -162,000 154,205,000 -162,000 5,865,000
638 BIG LOTS INC 10-Q 0000768835 5331 2 2011-04-30 1,757,822,000 106,356,000 1,006,816,000 106,356,000 52,471,000
639 BigBand Networks, Inc. 10-Q 0001381325 3663 1 2011-06-30 167,218,000 -1,539,000 118,815,000 -1,539,000 -20,996,000
640 BIGELOW INCOME PROPERTIES, LLC 10-Q 0001487239 6500 9 2011-06-30 12,446 6,511 -68,078 6,511 -27,844
641 BigString CORP 10-Q 0001335282 7389 7 2011-06-30 528,215 497,336 -83,839 497,336 969,146
642 BILL BARRETT CORP 10-Q 0001172139 1311 114 2011-06-30 2,283,456,000 -18,834,000 1,190,311,000 -18,834,000 47,851,000
643 Billet Finder Inc. 10-Q 0001514149 7374 0 2011-06-30 25,209 25,209 24,177 25,209 -26,073
644 Bimini Capital Management, Inc. 10-Q 0001275477 6798 31 2011-06-30 136,089,767 3,452,403 9,884,841 3,452,403 1,697,932
645 BINGHAM CANYON CORP 10-Q 0001119897 6770 3 2011-06-30 2,399 2,399 -77,115 2,399 -127,115
646 BIO KEY INTERNATIONAL INC 10-Q 0001019034 3576 0 2011-06-30 2,155,570 -972,067 251,510 -972,067 -354,154
647 BIO RAD LABORATORIES INC 10-Q 0000012208 3826 12 2011-06-30 3,044,245,000 -236,250,000 1,725,915,000 -236,250,000 72,960,000
648 Bio-AMD Inc. 10-Q 0001370030 1000 9 2011-06-30 3,495,010 3,378,397 3,760,135 3,378,397 -39,367,956
649 BIOANALYTICAL SYSTEMS INC 10-Q 0000720154 8731 4 2011-06-30 34,310,000 3,210,000 16,253,000 3,210,000 1,211,000
650 Bio-Carbon Systems International Inc. 10-Q 0001475430 6770 0 2011-06-30 241,186 3,428 -70,505 3,428 -533,495
651 BIOCLINICA INC 10-Q 0000822418 8734 7 2011-06-30 84,576,000 1,077,000 56,487,000 1,077,000 1,275,000
652 BIOCORAL INC 10-Q 0000919605 6510 8 2011-06-30 1,473,358 -40,183 -5,189,563 -40,183 -462,125
653 BIOCRYST PHARMACEUTICALS INC 10-Q 0000882796 2836 10 2011-06-30 108,412,000 3,386,000 39,266,000 3,386,000 -29,298,000
654 BIOCUREX INC 10-Q 0001092562 3841 6 2011-06-30 1,354,033 539,732 -192,685 539,732 -25,095,553
655 Biodel Inc 10-Q 0001322505 2834 32 2011-06-30 45,142,000 41,999,000 31,880,000 41,999,000 -174,419,000
656 BIODELIVERY SCIENCES INTERNATIONAL INC 10-Q 0001103021 2834 4 2011-06-30 35,521,188 2,979,441 12,549,816 2,979,441 -14,117,662
657 BioFuel Energy Corp. 10-Q 0001373670 2860 16 2011-06-30 311,746,000 604,000 92,148,000 604,000 -17,365,000
658 BIOGEN IDEC INC. 10-Q 0000875045 2836 92 2011-06-30 8,621,979,000 -68,266,000 6,056,194,000 -68,266,000 612,814,000
659 BIOHEART, INC. 10-Q 0001388319 8731 25 2011-06-30 371,389 34,185 -12,692,350 34,185 -108,832,394
660 BIOJECT MEDICAL TECHNOLOGIES INC 10-Q 0000810084 3841 1 2011-06-30 4,882,233 714,164 611,876 714,164 117,957
661 BIOLARGO, INC. 10-Q 0000880242 2800 2 2011-06-30 325,390 -181,308 -1,984,147 -181,308 -2,332,320
662 BIOLASE TECHNOLOGY INC 10-Q 0000811240 3843 9 2011-06-30 29,917,000 8,440,000 14,911,000 8,440,000 -1,503,000
663 BIOLIFE SOLUTIONS INC 10-Q 0000834365 3845 12 2011-06-30 1,471,981 32,934 -10,483,843 32,934 -1,066,801
664 Biolog, Inc. 10-Q 0001462566 4899 8 2011-06-30 4,731 355 -76,986 355 -115,303
665 BIOMARIN PHARMACEUTICAL INC 10-Q 0001048477 2834 53 2011-06-30 1,280,392,000 24,877,000 732,305,000 24,877,000 -9,448,000
666 Bio-Matrix Scientific Group, Inc. 10-Q 0001079282 7389 11 2011-06-30 41,898,291 5,082 40,527,916 5,082 28,684,047
667 BIOMIMETIC THERAPEUTICS, INC. 10-Q 0001138400 3841 5 2011-06-30 91,063,929 4,881,018 68,999,291 4,881,018 -16,194,351
668 BIONOVO INC 10-Q 0001203957 2834 3 2011-06-30 29,391,000 7,036,000 15,254,000 7,036,000 -83,128,000
669 BIOSANTE PHARMACEUTICALS INC 10-Q 0001023024 2836 2 2011-06-30 42,763,850 -1,029,245 11,530,516 -1,029,245 -32,225,907
670 BioScrip, Inc. 10-Q 0001014739 5912 8 2011-06-30 644,641,000 0 203,468,000 0 615,000
671 BioSolar Inc 10-Q 0001371128 3081 4 2011-06-30 305,732 83,262 295,183 83,262 -4,172,824
672 BIOSPECIFICS TECHNOLOGIES CORP 10-Q 0000875622 2834 3 2011-06-30 16,115,707 2,549,695 13,438,735 2,549,695 6,260,464
673 BIOTIME INC 10-Q 0000876343 2836 21 2011-06-30 53,457,744 -5,942,983 48,869,479 -5,942,983 -8,944,601
674 BIOVEST INTERNATIONAL INC 10-Q 0000704384 2834 18 2011-06-30 6,674,000 459,000 -31,249,000 459,000 -13,422,000
675 BIRCH BRANCH INC 10-Q 0000857872 6532 7 2011-06-30 517,909,928 1,278,685 49,823,540 1,278,685 -633,496
676 Birmingham Bloomfield Bancshares 10-Q 0001335792 6022 12 2011-06-30 118,603,949 7,885,270 11,696,463 7,885,270 772,036
677 BIRNER DENTAL MANAGEMENT SERVICES INC 10-Q 0000948072 8000 4 2011-06-30 22,318,088 199,812 8,146,745 199,812 751,551
678 Bitstream Inc. 10-Q 0000818813 7371 2 2011-06-30 20,900,000 736,000 14,324,000 736,000 -2,285,000
679 BJs RESTAURANTS INC 10-Q 0001013488 5812 5 2011-06-28 458,210,000 392,000 310,995,000 392,000 15,363,000
680 BJS WHOLESALE CLUB INC 10-Q 0001037461 5331 12 2011-04-30 2,429,809,000 105,336,000 1,191,090,000 105,336,000 33,666,000
681 BLACK BOX CORP 10-Q 0000849547 3576 1 2011-07-02 1,178,912,000 979,000 779,614,000 979,000 9,623,000
682 Black Diamond, Inc. 10-Q 0000913277 3949 4 2011-06-30 218,223,000 -1,112,000 166,003,000 -1,112,000 357,000
683 Black Elk Energy Offshore Operations, LLC 10-Q 0001518909 1311 10 2011-06-30 520,220,000 1,000 5,604,000 1,000 3,927,000
684 BLACK HILLS CORP /SD/ 10-Q 0001130464 4911 59 2011-06-30 3,810,764,000 55,635,000 1,108,069,000 55,635,000 34,662,000
685 BLACK HILLS POWER INC 10-Q 0000012400 4911 3 2011-06-30 833,181,000 2,267,000 319,060,000 2,267,000 9,622,000
686 Black Raven Energy, Inc. 10-Q 0001299966 1382 6 2011-06-30 13,477,000 -250,000 -10,579,000 -250,000 -1,964,000
687 BLACKBAUD INC 10-Q 0001280058 7372 62 2011-06-30 349,599,000 5,423,000 137,496,000 5,423,000 16,512,000
688 BLACKBOARD INC. 10-Q 0001106942 7372 36 2011-06-30 939,280,000 14,362,000 422,565,000 14,362,000 -7,416,000
689 BlackRock Inc. 10-Q 0001364742 6211 134 2011-06-30 185,048,000,000 -571,000,000 24,666,000,000 -571,000,000 1,186,000,000
690 Blackstone Group L.P. 10-Q 0001393818 6282 195 2011-06-30 22,331,131,000 -153,818,000 8,506,047,000 -153,818,000 262,961,000
691 Blackwater Midstream Corp. 10-Q 0001292518 4220 0 2011-06-30 13,849,503 6,871 3,500,983 6,871 1,762,991
692 BLONDER TONGUE LABORATORIES INC 10-Q 0001000683 3663 1 2011-06-30 27,294,000 -253,000 21,948,000 -253,000 -211,000
693 BLOUNT INTERNATIONAL INC 10-Q 0001001606 3420 6 2011-06-30 623,243,000 -181,000 81,194,000 -181,000 29,374,000
694 Blue Bridge Capital, Inc. 10-Q 0001429684 3669 21 2011-06-30 39,698,343 7,971,767 33,259,498 7,971,767 12,503,719
695 BLUE COAT SYSTEMS INC 10-K 0001095600 3572 5 2011-04-30 819,408,000 139,592,000 474,348,000 139,592,000 47,024,000
696 BLUE DOLPHIN ENERGY CO 10-Q 0000793306 1311 2 2011-06-30 5,056,451 -595,583 1,777,477 -595,583 -846,022
697 Blue Earth, Inc. 10-Q 0001422109 3531 6 2011-06-30 7,101,659 -1,644,810 4,794,776 -1,644,810 -1,302,765
698 Blue Moose Media Inc 10-Q 0001307579 6770 3 2011-06-30 252 252 -23,318 252 -147,318
699 BLUE NILE INC 10-Q 0001091171 5944 8 2011-07-03 116,260,000 -39,098,000 51,890,000 -39,098,000 5,260,000
700 BLUE SPHERE CORP. 10-Q 0001419582 7370 3 2011-06-30 47,000 27,000 -153,000 27,000 -16,458,000
701 Blue Sun Media, Inc. 10-Q 0001510976 7372 3 2011-06-30 14,513 14,513 13,913 14,513 -7,087
702 BLUE VALLEY BAN CORP 10-Q 0000901842 6022 7 2011-06-30 691,580,000 -14,665,000 54,310,000 -14,665,000 -2,576,000
703 BLUEDATA CORP 10-Q 0001511863 6770 3 2011-06-30 404 404 -70,223 404 -71,223
704 BLUEFIRE RENEWABLES, INC. 10-Q 0001370489 2860 14 2011-06-30 1,614,631 121,459 -108,734 121,459 -29,949,304
705 BLUEGATE CORP 10-Q 0000768216 7389 6 2011-06-30 23,646 -2,504 -1,730,635 -2,504 -246,404
706 BLUEGREEN CORP 10-Q 0000778946 6531 11 2011-06-30 1,144,715 -4,964 295,912 -4,964 -21,427
707 Blueknight Energy Partners, L.P. 10-Q 0001392091 4610 21 2011-06-30 327,448,000 866,000 -45,524,000 866,000 -2,712,000
708 BlueLinx Holdings Inc. 10-Q 0001301787 5031 14 2011-07-02 635,268,000 -8,188,000 -19,392,000 -8,188,000 -22,107,000
709 Bluerock Enhanced Multifamily Trust, Inc. 10-Q 0001442626 6798 3 2011-06-30 6,001,961 108,046 -1,035,133 108,046 -3,115,411
710 BLUESKY SYSTEMS CORP 10-Q 0001310893 6531 7 2011-06-30 94,630 -297 -270,659 -297 -117,711
711 Blugrass Energy, Inc. 10-Q 0001365748 7812 13 2011-06-30 8,775,454 17,381 4,104,872 17,381 -3,501,879
712 BLYTH INC 10-Q 0000921503 3990 3 2011-04-30 498,680,000 -13,840,000 244,782,000 -13,840,000 -2,853,000
713 BMB MUNAI INC 10-Q 0000924805 1311 7 2011-06-30 326,890,851 2,245,748 222,938,091 2,245,748 4,325,232
714 BMC SOFTWARE INC 10-Q 0000835729 7372 43 2011-06-30 4,437,700,000 -78,000,000 1,633,700,000 -78,000,000 95,700,000
715 BNC BANCORP 10-Q 0001210227 6021 14 2011-06-30 2,146,745,000 456,000 157,569,000 456,000 3,111,000
716 BNH INC 10-Q 0001432139 5190 6 2011-06-30 30 30 -154,793 30 -227,293
717 BNL Financial Corporation 10-Q 0000757641 6311 2 2011-06-30 28,216,647 -745,665 18,510,208 -745,665 874,599
718 Boardwalk Pipeline Partners, LP 10-Q 0001336047 4922 86 2011-06-30 6,794,200,000 -1,100,000 3,307,300,000 -1,100,000 98,200,000
719 BODY CENTRAL CORP 10-Q 0001379246 5600 0 2011-07-02 111,261,000 13,027,000 72,684,000 13,027,000 10,733,000
720 BOEING CAPITAL CORP 10-Q 0000711513 6172 13 2011-06-30 4,953,000,000 -222,000,000 529,000,000 -222,000,000 70,000,000
721 BOEING CO 10-Q 0000012927 3721 83 2011-06-30 72,119,000,000 -309,000,000 4,824,000,000 -309,000,000 1,527,000,000
722 BOINGO WIRELESS INC 10-Q 0001169988 4899 10 2011-06-30 180,503,000 45,972,000 123,611,000 45,972,000 2,978,000
723 BOISE CASCADE HOLDINGS, L.L.C. 10-Q 0001317436 5030 9 2011-06-30 950,723,000 -61,778,000 381,914,000 -61,778,000 -28,862,000
724 BOISE INC. 10-Q 0001391390 2600 12 2011-06-30 2,247,410,000 69,430,000 914,832,000 69,430,000 30,591,000
725 BOK FINANCIAL CORP ET AL 10-Q 0000875357 6021 231 2011-06-30 24,238,182,000 -158,643,000 2,692,174,000 -158,643,000 136,461,000
726 BONANZA GOLD CORP. 10-Q 0001425289 2721 14 2011-06-30 18,000 0 -140,586 0 -217,491
727 Bond Laboratories, Inc. 10-Q 0001374328 2833 15 2011-06-30 5,211,165 -181,730 3,441,398 -181,730 491,717
728 Booz Allen Hamilton Holding Corp 10-Q 0001443646 8742 3 2011-06-30 3,027,569,000 35,882,000 974,162,000 35,882,000 51,136,000
729 Boreal Productions Inc. 10-Q 0001413909 7822 1 2011-06-30 10,760 1,210 -580 1,210 -54,580
730 BORGWARNER INC. 10-Q 0000908255 3714 76 2011-06-30 6,226,000,000 -77,500,000 2,498,500,000 -77,500,000 296,700,000
731 BOSTON BEER CO INC 10-Q 0000949870 2082 4 2011-06-25 285,257,000 17,346,000 181,993,000 17,346,000 31,978,000
732 BOSTON CAPITAL TAX CREDIT FUND II LTD PARTNERSHIP 10-Q 0000853566 6513 7 2011-06-30 2,318,029 696,588 -19,371,205 696,588 434,305
733 BOSTON CAPITAL TAX CREDIT FUND III L P 10-Q 0000879555 6513 6 2011-06-30 5,862,226 391,667 -19,464,167 391,667 -76,365
734 BOSTON CAPITAL TAX CREDIT FUND IV LP 10-Q 0000913778 6513 7 2011-06-30 60,317,641 1,335,504 5,868,474 1,335,504 -1,836,463
735 BOSTON CAPITAL TAX CREDIT FUND LTD PARTNERSHIP 10-Q 0000835095 6513 6 2011-06-30 3,012,441 -19,502 -2,465,049 -19,502 -36,120
736 BOSTON CAPITAL TAX CREDIT FUND V LP 10-Q 0001267425 6513 7 2011-06-30 52,012,912 28,993 48,644,096 28,993 -850,988
737 BOSTON PRIVATE FINANCIAL HOLDINGS INC 10-Q 0000821127 6022 3 2011-06-30 6,036,778,000 -21,884,000 538,970,000 -21,884,000 15,947,000
738 BOSTON PROPERTIES INC 10-Q 0001037540 6798 178 2011-06-30 13,884,212,000 301,636,000 5,336,543,000 301,636,000 117,932,000
739 BOSTON PROPERTIES LTD PARTNERSHIP 10-Q 0001043121 6798 189 2011-06-30 13,489,160,000 301,636,000 2,779,020,000 301,636,000 122,043,000
740 BOSTON SCIENTIFIC CORPORATION 10-Q 0000885725 3841 144 2011-06-30 21,559,000,000 -59,000,000 11,540,000,000 -59,000,000 192,000,000
741 BOTETOURT BANKSHARES INC 10-Q 0001172229 6021 6 2011-06-30 314,776,522 10,444,081 24,548,001 10,444,081 -1,447,578
742 BOTTOMLINE TECHNOLOGIES INC /DE/ 10-Q 0001073349 7372 13 2011-03-31 323,178,000 24,621,000 249,875,000 24,621,000 5,835,000
743 Bovie Medical Corporation 10-Q 0000719135 3841 3 2011-06-30 28,649,000 1,887,000 22,577,000 1,887,000 921,000
744 BOYD GAMING CORP 10-Q 0000906553 7011 38 2011-06-30 5,636,535,000 30,157,000 1,395,209,000 30,157,000 -11,954,000
745 BPZ RESOURCES, INC. 10-Q 0001023734 1311 12 2011-06-30 476,386,000 2,924,000 246,807,000 2,924,000 -7,801,000
746 BRADY CORP 10-Q 0000746598 3990 22 2011-04-30 1,860,646,000 59,138,000 1,132,155,000 59,138,000 79,069,000
747 BRANDYWINE REALTY TRUST 10-Q 0000790816 6798 216 2011-06-30 4,668,495,000 -15,832,000 1,936,044,000 -15,832,000 -6,724,000
748 Bravo Brio Restaurant Group, Inc. 10-Q 0001495479 5812 8 2011-06-26 230,157,000 4,618,000 75,480,000 4,618,000 67,945,000
749 BRAZIL FAST FOOD CORP 10-Q 0000914537 5812 14 2011-06-30 115,894,000 4,185,000 42,646,000 4,185,000 7,863,000
750 BRE PROPERTIES INC /MD/ 10-Q 0001011174 6798 30 2011-06-30 3,319,185,000 472,000 1,592,936,000 472,000 25,709,000
751 Breeze-Eastern Corp 10-Q 0000099359 3728 9 2011-06-30 79,439,000 4,069,000 41,213,000 4,069,000 598,000
752 BreitBurn Energy Partners L.P. 10-Q 0001357371 1311 1 2011-06-30 1,879,132,000 -883,000 1,232,065,000 -883,000 -37,190,000
753 Brekford Corp. 10-Q 0001357115 3669 2 2011-06-30 7,042,122 284,900 2,724,289 284,900 445,035
754 Brenham Oil & Gas Corp. 10-Q 0001501720 1311 2 2011-06-30 6,274 6,274 -63,978 6,274 -132,544
755 BRIDGE BANCORP INC 10-Q 0000846617 6021 10 2011-06-30 1,193,149,000 6,999,000 78,046,000 6,999,000 4,636,000
756 Bridge Capital Holdings 10-Q 0001304740 6021 2 2011-06-30 1,033,965,000 15,713,000 123,632,000 15,713,000 3,356,000
757 Bridgeline Digital, Inc. 10-Q 0001378590 7372 0 2011-06-30 30,012,000 -1,878,000 21,171,000 -1,878,000 -731,000
758 BRIDGEPOINT EDUCATION INC 10-Q 0001305323 8200 5 2011-06-30 561,500,000 21,977,000 307,342,000 21,977,000 106,068,000
759 BRIGGS & STRATTON CORP 10-Q 0000014195 3510 1 2011-03-27 1,821,689,000 -73,738,000 702,819,000 -73,738,000 42,154,000
760 BRIGHAM EXPLORATION CO 10-Q 0001034755 1311 45 2011-06-30 1,600,483,000 157,946,000 668,942,000 157,946,000 72,389,000
761 BRIGHTPOINT INC 10-Q 0000918946 5065 7 2011-06-30 1,258,445,000 -17,842,000 282,750,000 -17,842,000 19,970,000
762 BRINKER INTERNATIONAL INC 10-Q 0000703351 5812 10 2011-03-30 1,507,396,000 -237,675,000 465,690,000 -237,675,000 99,141,000
763 BRINKS CO 10-Q 0000078890 4731 16 2011-06-30 2,416,400,000 -27,100,000 662,300,000 -27,100,000 37,900,000
764 BRISTOL MYERS SQUIBB CO 10-Q 0000014272 2834 77 2011-06-30 31,833,000,000 -1,368,000,000 16,145,000,000 -1,368,000,000 2,674,000,000
765 Bristow Group Inc. 10-Q 0000073887 4522 98 2011-06-30 2,700,558,000 709,000 1,538,661,000 709,000 21,219,000
766 BRITTON & KOONTZ CAPITAL CORP 10-Q 0000707604 6021 5 2011-06-30 382,671,875 33,623,862 39,947,819 33,623,862 968,530
767 BROADCAST INTERNATIONAL INC 10-Q 0000740726 7389 3 2011-06-30 6,164,799 -3,954,943 -12,838,201 -3,954,943 -304,641
768 BROADCOM CORP 10-Q 0001054374 3674 134 2011-06-30 7,835,000,000 175,000,000 5,877,000,000 175,000,000 403,000,000
769 BROADRIDGE FINANCIAL SOLUTIONS, INC. 10-K 0001383312 7389 62 2011-06-30 1,904,000,000 -171,100,000 797,300,000 -171,100,000 169,600,000
770 BROADSOFT, INC. 10-Q 0001086909 7372 9 2011-06-30 268,540,000 110,730,000 116,529,000 110,730,000 19,486,000
771 BROADVIEW INSTITUTE INC 10-Q 0000073048 8200 1 2011-06-30 8,720,033 -511,140 7,275,983 -511,140 -383,534
772 BROADVIEW NETWORKS HOLDINGS INC 10-Q 0001104358 4813 4 2011-06-30 286,754,000 -4,101,000 -101,903,000 -4,101,000 -4,064,000
773 BROADVISION INC 10-Q 0000920448 7372 3 2011-06-30 64,761,000 2,310,000 53,052,000 2,310,000 -1,935,000
774 BROADWIND ENERGY, INC. 10-Q 0001120370 3360 2 2011-06-30 176,845,000 -5,127,000 117,399,000 -5,127,000 -9,638,000
775 BROCADE COMMUNICATIONS SYSTEMS INC 10-Q 0001009626 3577 16 2011-04-30 3,729,937,000 129,578,000 2,184,302,000 129,578,000 54,792,000
776 Brookdale Senior Living Inc. 10-Q 0001332349 8050 89 2011-06-30 4,405,764,000 -41,701,000 1,068,629,000 -41,701,000 -46,264,000
777 BROOKLINE BANCORP INC 10-Q 0001049782 6035 132 2011-06-30 3,114,582,000 51,365,000 503,716,000 51,365,000 14,876,000
778 BROOKLYN CHEESECAKE & DESERT COM 10-Q 0000949721 2050 2 2011-06-30 50,056 900 -4,311 900 -11,174
779 Brooklyn Federal Bancorp, Inc. 10-Q 0001310313 6035 10 2011-06-30 469,929,000 20,439,000 40,732,000 20,439,000 -5,670,000
780 BROOKS AUTOMATION INC 10-Q 0000933974 3559 6 2011-06-30 626,359,000 73,292,000 513,972,000 73,292,000 116,278,000
781 BROWN & BROWN INC 10-Q 0000079282 6411 40 2011-06-30 2,524,872,000 5,882,000 1,572,931,000 5,882,000 83,328,000
782 BROWN FORMAN CORP 10-K 0000014693 2080 79 2011-04-30 3,712,000,000 335,000,000 2,060,000,000 335,000,000 572,000,000
783 Brownie's Marine Group, Inc 10-Q 0001166708 3949 41 2011-06-30 2,157,878 124,344 -227,484 124,344 -2,733,067
784 BRT REALTY TRUST 10-Q 0000014846 6798 25 2011-06-30 188,260,000 -31,774,000 133,714,000 -31,774,000 3,358,000
785 BRUKER CORP 10-Q 0001109354 3826 30 2011-06-30 1,699,900,000 -60,600,000 630,800,000 -60,600,000 34,300,000
786 BRUNSWICK CORP 10-Q 0000014930 3510 98 2011-07-02 2,792,000,000 -24,400,000 210,400,000 -24,400,000 96,800,000
787 BRYN MAWR BANK CORP 10-Q 0000802681 6022 11 2011-06-30 1,740,727,000 -33,971,000 183,383,000 -33,971,000 9,521,000
788 BSQUARE CORP /WA 10-Q 0001054721 7389 2 2011-06-30 41,627,000 -2,304,000 26,505,000 -2,304,000 205,000
789 BTU INTERNATIONAL INC 10-Q 0000840883 3559 2 2011-07-03 65,722,000 -1,393,000 43,058,000 -1,393,000 1,815,000
790 Buckeye Partners, L.P. 10-Q 0000805022 4610 123 2011-06-30 5,566,621,000 4,507,000 2,639,884,000 4,507,000 161,405,000
791 BUCKLE INC 10-Q 0000885245 5651 5 2011-04-30 515,033,000 22,822,000 372,874,000 22,822,000 33,469,000
792 BUCYRUS INTERNATIONAL INC 10-Q 0000740761 3532 6 2011-03-31 5,246,541,000 10,630,000 2,153,029,000 10,630,000 56,334,000
793 BUFFALO WILD WINGS INC 10-Q 0001062449 5812 10 2011-06-26 428,281,000 22,527,000 288,685,000 22,527,000 25,534,000
794 BUILD A BEAR WORKSHOP INC 10-Q 0001113809 5945 2 2011-07-02 246,549,000 -24,013,000 147,560,000 -24,013,000 -8,927,000
795 Builders FirstSource, Inc. 10-Q 0001316835 5211 6 2011-06-30 396,793,000 -40,131,000 126,907,000 -40,131,000 -36,733,000
796 Bulova Technologies Group, Inc. 10-Q 0000317889 7372 1 2011-06-30 6,275,036 71,286 -9,351,145 71,286 -6,266,230
797 Bunge LTD 10-Q 0001144519 2070 138 2011-06-30 26,508,000,000 -108,000,000 13,751,000,000 -108,000,000 547,000,000
798 Bureau of Fugitive Recovery Inc 10-Q 0001487782 7380 0 2011-06-30 3,793 2,304 -13,397 2,304 1,704
799 BUREAU OF NATIONAL AFFAIRS INC 10-Q 0000015393 2711 3 2011-06-18 337,793,000 -7,870,000 58,251,000 -7,870,000 16,861,000
800 Burger King Holdings Inc 10-Q 0001352801 5812 4 2011-06-30 5,766,000,000 75,200,000 1,553,600,000 75,200,000 40,000,000
801 BWAY PARENT COMPANY, INC. 10-Q 0001487775 3411 3 2011-06-30 1,394,600,000 -92,900,000 132,300,000 -92,900,000 -12,800,000
802 C & F FINANCIAL CORP 10-Q 0000913341 6022 2 2011-06-30 906,571,000 5,440,000 99,108,000 5,440,000 6,052,000
803 C H ROBINSON WORLDWIDE INC 10-Q 0001043277 4731 15 2011-06-30 2,193,797,000 -82,710,000 1,288,426,000 -82,710,000 208,051,000
804 CA, INC. 10-Q 0000356028 7372 40 2011-06-30 11,852,000,000 -288,000,000 5,723,000,000 -288,000,000 241,000,000
805 CABELAS INC 10-Q 0001267130 5940 1 2011-07-02 5,027,769,000 248,908,000 1,086,980,000 248,908,000 39,485,000
806 CABOT CORP 10-Q 0000016040 2890 62 2011-06-30 3,102,000,000 -43,000,000 1,635,000,000 -43,000,000 203,000,000
807 CABOT MICROELECTRONICS CORP 10-Q 0001102934 3674 35 2011-06-30 628,828,000 38,775,000 569,835,000 38,775,000 42,373,000
808 CABOT OIL & GAS CORP 10-Q 0000858470 1311 70 2011-06-30 4,250,160,000 -16,635,000 1,966,199,000 -16,635,000 67,563,000
809 CACHE INC 10-Q 0000350199 5621 1 2011-07-02 82,926,000 4,097,000 50,608,000 4,097,000 2,027,000
810 CACI INTERNATIONAL INC /DE/ 10-Q 0000016058 7373 2 2011-03-31 2,270,413,000 -156,195,000 1,260,699,000 -156,195,000 98,317,000
811 Cactus Ventures, Inc. 10-Q 0001388320 6770 2 2011-06-30 150 0 -78,168 0 16,450
812 CADENCE DESIGN SYSTEMS INC 10-Q 0000813672 7372 97 2011-07-02 1,874,625,000 107,908,000 331,316,000 107,908,000 33,231,000
813 CADENCE PHARMACEUTICALS INC 10-Q 0001333248 2834 1 2011-06-30 131,305,000 -50,433,000 86,345,000 -50,433,000 -43,586,000
814 CADIZ INC 10-Q 0000727273 4941 0 2011-06-30 47,908,000 -2,931,000 -4,907,000 -2,931,000 -7,982,000
815 CADUS CORP 10-Q 0000911148 2836 2 2011-06-30 24,037,419 -223,883 24,031,046 -223,883 -247,318
816 CAESARS ENTERTAINMENT Corp 10-Q 0000858339 7011 10 2011-06-30 28,962,800,000 50,800,000 1,394,500,000 50,800,000 -297,900,000
817 CAGLES INC 10-Q 0000016104 2015 5 2011-07-02 92,025,000 -420,000 29,034,000 -420,000 -5,735,000
818 CAI International, Inc. 10-Q 0001388430 7359 9 2011-06-30 820,559,000 -3,329,000 223,930,000 -3,329,000 24,086,000
819 Cal Dive International, Inc. 10-Q 0001364100 1389 7 2011-06-30 751,388,000 -22,976,000 369,468,000 -22,976,000 -23,759,000
820 Calamos Asset Management, Inc. /DE/ 10-Q 0001299033 6211 9 2011-06-30 580,957,000 -19,466,000 437,383,000 -19,466,000 75,354,000
821 CALGON CARBON CORPORATION 10-Q 0000812701 2810 78 2011-06-30 520,927,000 -20,065,000 370,396,000 -20,065,000 19,768,000
822 CALIFORNIA WATER SERVICE GROUP 10-Q 0001035201 4941 7 2011-03-31 1,715,111,000 -1,408,000 432,135,000 -1,408,000 2,719,000
823 CALIPER LIFE SCIENCES INC 10-Q 0001014672 3826 2 2011-06-30 141,742,000 760,000 87,982,000 760,000 -5,834,000
824 CALIX, INC 10-Q 0001406666 4899 8 2011-06-25 367,992,000 -47,644,000 280,792,000 -47,644,000 -40,402,000
825 CALLAWAY GOLF CO 10-Q 0000837465 3949 6 2011-06-30 900,820,000 11,489,000 646,034,000 11,489,000 -50,746,000
826 CALLIDUS SOFTWARE INC 10-Q 0001035748 7371 9 2011-06-30 146,163,000 35,690,000 16,404,000 35,690,000 -7,171,000
827 CALLISTO PHARMACEUTICALS INC 10-Q 0001142380 2834 62 2011-06-30 1,912,006 598,104 -12,735,020 598,104 -136,211,871
828 CALLON PETROLEUM CO 10-Q 0000928022 1311 16 2011-06-30 288,794,000 34,582,000 118,000,000 34,582,000 24,041,000
829 Calpian, Inc. 10-Q 0001414628 7389 12 2011-06-30 5,328,108 -1,502,453 3,253,918 -1,502,453 -1,272,952
830 Calpine Corp. 10-Q 0000916457 4911 156 2011-06-30 16,898,000,000 -180,000,000 4,389,000,000 -180,000,000 -366,000,000
831 Calumet Specialty Products Partners, L.P. 10-Q 0001340122 2911 7 2011-06-30 1,196,224,000 18,000 358,432,000 18,000 -3,450,000
832 CAMAC Energy Inc. 10-Q 0001402281 1381 0 2011-06-30 245,965,000 -17,692,000 185,700,000 -17,692,000 -22,578,000
833 CAMBIUM LEARNING GROUP, INC. 10-Q 0001466815 2741 11 2011-06-30 387,523,000 747,000 113,754,000 747,000 -5,950,000
834 CAMBREX CORP 10-Q 0000820081 2834 6 2011-06-30 374,040,000 11,297,000 128,767,000 11,297,000 7,466,000
835 CAMBRIDGE HEART INC 10-Q 0000913443 3845 3 2011-06-30 3,227,978 -2,596,616 -10,746,158 -2,596,616 -2,730,281
836 CAMCO FINANCIAL CORP 10-Q 0000016614 6036 7 2011-06-30 767,526,000 13,268,000 46,095,000 13,268,000 789,000
837 CAMDEN NATIONAL CORP 10-Q 0000750686 6021 16 2011-06-30 2,331,014,000 -1,324,000 218,241,000 -1,324,000 13,409,000
838 CAMDEN PROPERTY TRUST 10-Q 0000906345 6798 98 2011-06-30 4,559,059,000 -107,427,000 1,758,388,000 -107,427,000 -4,454,000
839 CAMERON INTERNATIONAL CORP 10-Q 0000941548 3533 47 2011-06-30 8,927,000,000 210,600,000 4,741,500,000 210,600,000 257,600,000
840 CAMPBELL FUND TRUST 10-Q 0001043951 6221 47 2011-06-30 370,714,696 -10,358,761 354,451,615 -10,358,761 -19,891,702
841 Campbell Global Trend Fund, L.P. 10-Q 0001478220 6799 37 2011-06-30 16,688,412 -1,222,223 16,595,221 -1,222,223 -604,841
842 CAMPBELL SOUP CO 10-Q 0000016732 2000 29 2011-05-01 6,700,000,000 195,000,000 1,071,000,000 195,000,000 704,000,000
843 CAMPBELL STRATEGIC ALLOCATION FUND LP 10-Q 0000910467 6221 44 2011-06-30 1,362,124,785 -243,445,933 1,211,266,185 -243,445,933 -88,362,800
844 CANCER CAPITAL CORP 10-Q 0001130889 6770 0 2011-06-30 1,648 1,648 -50,827 1,648 -104,027
845 CANTERBURY PARK HOLDING CORP 10-Q 0000926761 7948 15 2011-06-30 36,564,739 2,853,831 26,766,558 2,853,831 -137,501
846 Cape Bancorp, Inc. 10-Q 0001411303 6022 18 2011-06-30 1,067,751,000 7,546,000 144,495,000 7,546,000 8,861,000
847 CAPELLA EDUCATION CO 10-Q 0001104349 8200 15 2011-06-30 243,817,000 -5,263,000 189,068,000 -5,263,000 29,879,000
848 CAPITAL CITY BANK GROUP INC 10-Q 0000726601 6022 5 2011-06-30 2,599,258,000 58,544,000 260,544,000 58,544,000 3,455,000
849 Capital Financial Holdings, Inc 10-Q 0000944696 6211 16 2011-06-30 8,008,577 -583,469 5,656,321 -583,469 244,342
850 CAPITAL ONE FINANCIAL CORP 10-Q 0000927628 6022 393 2011-06-30 199,753,000,000 1,394,000,000 28,681,000,000 1,394,000,000 1,927,000,000
851 CAPITAL PROPERTIES INC /RI/ 10-Q 0000202947 6519 9 2011-06-30 25,059,000 -419,000 14,074,000 -419,000 1,139,000
852 CAPITAL SENIOR LIVING CORP 10-Q 0001043000 8050 8 2011-06-30 401,337,000 20,699,000 167,704,000 20,699,000 2,169,000
853 Capital Trust Inc 10-Q 0001061630 6798 16 2011-06-30 2,365,400,000 3,981,000 -116,170,000 3,981,000 260,140,000
854 CAPITALSOURCE INC 10-Q 0001241199 6159 154 2011-06-30 9,314,944,000 760,816,000 2,110,350,000 760,816,000 19,753,000
855 Capitol Bancorp Ltd. 10-Q 0000840264 6021 11 2011-06-30 2,945,859,000 16,914,000 -58,949,000 16,914,000 -20,280,000
856 Capitol Federal Financial Inc 10-Q 0001490906 6035 24 2011-06-30 9,602,457,000 96,655,000 1,934,011,000 96,655,000 21,637,000
857 CAPLEASE, INC. 10-Q 0001057689 6798 14 2011-06-30 1,874,998,000 34,710,000 384,863,000 34,710,000 -4,754,000
858 CAPSTEAD MORTGAGE CORP 10-Q 0000766701 6798 23 2011-03-31 10,718,227,000 -196,654,000 1,094,486,000 -196,654,000 34,692,000
859 Capstone Therapeutics Corp. 10-Q 0000887151 2834 7 2011-06-30 19,992,000 -35,799,000 18,830,000 -35,799,000 -142,087,000
860 CAPSTONE TURBINE Corp 10-Q 0001009759 3510 5 2011-06-30 77,329,000 -11,351,000 33,583,000 -11,351,000 -2,896,000
861 CAR CHARGING GROUP, INC. 10-Q 0001429764 7200 17 2011-06-30 801,997 194,299 412,490 194,299 -10,870,003
862 CARBO CERAMICS INC. 10-Q 0001009672 3290 14 2011-06-30 662,578,000 6,594,000 580,108,000 6,594,000 60,108,000
863 Carbon Sciences, Inc. 10-Q 0001407878 4953 4 2011-06-30 297,482 165,886 220,678 165,886 -6,511,816
864 Card Activation Technologies Inc 10-Q 0001384522 6794 9 2011-06-30 72,462 72,462 -2,044,230 72,462 -1,414,469
865 CARDINAL BANKSHARES CORP 10-Q 0001022759 6022 1 2011-06-30 246,232,000 407,000 32,621,000 407,000 644,000
866 CARDINAL FINANCIAL CORP 10-Q 0001060523 6021 20 2011-06-30 2,164,947,000 -2,814,000 237,530,000 -2,814,000 11,126,000
867 CARDINAL HEALTH INC 10-Q 0000721371 5122 66 2011-03-31 23,196,800,000 -793,500,000 5,656,800,000 -793,500,000 756,300,000
868 CardioNet, Inc. 10-Q 0001113784 3841 4 2011-06-30 152,248,000 -2,345,000 133,031,000 -2,345,000 -4,558,000
869 Cardium Therapeutics, Inc. 10-Q 0000772320 2836 12 2011-06-30 5,866,601 3,182,919 4,057,822 3,182,919 -84,413,869
870 CAREADVANTAGE INC 10-Q 0000937252 8741 1 2011-06-30 407,000 -348,000 -261,000 -348,000 -222,000
871 CAREER EDUCATION CORP 10-Q 0001046568 8200 62 2011-06-30 1,488,676,000 -60,661,000 950,929,000 -60,661,000 128,388,000
872 CAREPAYMENT TECHNOLOGIES, INC. 10-Q 0001142406 6153 7 2011-06-30 10,420,323 -219,804 6,678,919 -219,804 -1,781,738
873 Carey Watermark Investors Incorporated 10-Q 0001430259 6500 9 2011-06-30 26,336,087 5,507,110 24,819,101 5,507,110 -1,454,324
874 Caribou Coffee Company, Inc. 10-Q 0001332602 5810 2 2011-07-03 128,803,000 9,369,000 92,837,000 9,369,000 28,706,000
875 CARLISLE COMPANIES INC 10-Q 0000790051 3060 35 2011-06-30 2,702,900,000 9,700,000 1,433,300,000 9,700,000 88,000,000
876 CARMAX INC 10-Q 0001170010 5500 17 2011-05-31 7,160,031,000 114,882,000 2,430,426,000 114,882,000 126,288,000
877 CARMIKE CINEMAS INC 10-Q 0000799088 7830 12 2011-06-30 422,750,000 8,168,000 -11,228,000 8,168,000 -12,515,000
878 CARNIVAL CORP 10-Q 0000815097 4400 19 2011-05-31 39,763,000,000 128,000,000 23,852,000,000 128,000,000 358,000,000
879 CAROLINA BANK HOLDINGS INC 10-Q 0001127160 6022 12 2011-06-30 660,272,000 8,008,000 44,991,000 8,008,000 554,000
880 CARPENTER TECHNOLOGY CORP 10-Q 0000017843 3312 5 2011-03-31 1,706,400,000 -81,300,000 661,500,000 -81,300,000 45,800,000
881 CARRIAGE SERVICES INC 10-Q 0001016281 7200 32 2011-06-30 677,740,000 3,905,000 126,092,000 3,905,000 5,886,000
882 CARRIZO OIL & GAS INC 10-Q 0001040593 1311 7 2011-06-30 1,250,625,000 19,974,000 472,865,000 19,974,000 8,477,000
883 CARROLLTON BANCORP 10-Q 0000859222 6022 5 2011-06-30 376,397,504 1,872,038 32,917,008 1,872,038 -526,063
884 CARROLS RESTAURANT GROUP, INC. 10-Q 0000017927 5812 9 2011-06-30 429,341,000 4,293,000 54,244,000 4,293,000 7,754,000
885 Carter Validus Mission Critical REIT, Inc. 10-Q 0001482974 6798 4 2011-06-30 6,229,765 3,962,765 5,571,832 3,962,765 -234,250
886 CARTERS INC 10-Q 0001060822 2300 52 2011-07-02 1,312,818,000 -160,657,000 732,882,000 -160,657,000 44,782,000
887 CARVER BANCORP INC 10-Q 0001016178 6035 1 2011-06-30 678,348,000 -9,935,000 21,888,000 -9,935,000 -6,131,000
888 CAS MEDICAL SYSTEMS INC 10-Q 0000764579 3841 13 2011-06-30 26,009,990 10,895,598 17,107,105 10,895,598 -2,545,937
889 CASCADE BANCORP 10-Q 0000865911 6022 7 2011-06-30 1,562,559,000 -52,202,000 212,614,000 -52,202,000 33,055,000
890 CASCADE MICROTECH INC 10-Q 0000864559 3825 5 2011-06-30 87,908,000 -8,468,000 66,303,000 -8,468,000 -1,918,000
891 CASCADE TECHNOLOGIES CORP 10-Q 0001324344 3674 1 2011-06-30 195,994 19,560 -807,501 19,560 -2,451,999
892 CASEYS GENERAL STORES INC 10-K 0000726958 5500 7 2011-04-30 1,610,955,000 -92,104,000 403,896,000 -92,104,000 94,623,000
893 CASH AMERICA INTERNATIONAL INC 10-Q 0000807884 5900 52 2011-06-30 1,504,237,000 10,051,000 858,397,000 10,051,000 63,032,000
894 CASS INFORMATION SYSTEMS INC 10-Q 0000708781 7389 11 2011-06-30 1,287,698,000 65,203,000 152,080,000 65,203,000 11,458,000
895 CASTLE A M & CO 10-Q 0000018172 5051 12 2011-06-30 600,094,000 -4,650,000 324,340,000 -4,650,000 6,400,000
896 CASTLE GROUP INC 10-Q 0000918543 7011 0 2011-06-30 14,216,247 283,747 -1,226,252 283,747 -501,208
897 CATALYST HEALTH SOLUTIONS, INC. 10-Q 0001090403 6411 60 2011-06-30 1,912,111,000 -116,306,000 805,542,000 -116,306,000 32,607,000
898 CATALYST PHARMACEUTICAL PARTNERS, INC. 10-Q 0001369568 2834 2 2011-06-30 5,610,089 3,306,091 4,953,953 3,306,091 -34,622,842
899 CATASYS, INC. 10-Q 0001136174 8090 0 2011-06-30 3,481,000 -3,973,000 -652,000 -3,973,000 1,005,000
900 CATERPILLAR FINANCIAL SERVICES CORP 10-Q 0000764764 6159 39 2011-06-30 29,937,000,000 -506,000,000 3,938,000,000 -506,000,000 190,000,000
901 CATERPILLAR INC 10-Q 0000018230 3531 201 2011-06-30 73,611,000,000 7,123,000,000 13,436,000,000 7,123,000,000 2,240,000,000
902 CATHAY GENERAL BANCORP 10-Q 0000861842 6022 141 2011-06-30 10,535,530,000 41,237,000 1,481,867,000 41,237,000 46,666,000
903 CAVCO INDUSTRIES INC 10-Q 0000278166 2451 12 2011-06-30 428,526,000 -42,976,000 160,835,000 -42,976,000 17,459,000
904 CAVIUM, INC. 10-Q 0001175609 3674 75 2011-06-30 359,847,000 -21,440,000 295,567,000 -21,440,000 3,414,000
905 CB RICHARD ELLIS GROUP INC 10-Q 0001138118 6500 91 2011-06-30 5,282,732,000 245,535,000 1,239,658,000 245,535,000 119,353,000
906 CB RICHARD ELLIS REALTY TRUST 10-Q 0001297587 6798 25 2011-06-30 2,168,912,000 64,209,000 1,392,377,000 64,209,000 -11,988,000
907 CBEYOND, INC. 10-Q 0001205727 4813 8 2011-06-30 248,094,000 -16,947,000 172,534,000 -16,947,000 -1,817,000
908 CBIZ, Inc. 10-Q 0000944148 7389 14 2011-06-30 781,778,000 -513,000 257,607,000 -513,000 24,456,000
909 CBL & ASSOCIATES PROPERTIES INC 10-Q 0000910612 6798 24 2011-03-31 7,457,341,000 -1,556,000 1,531,342,000 -1,556,000 63,908,000
910 CBOE Holdings, Inc. 10-Q 0001374310 6200 26 2011-06-30 319,422,000 52,756,000 227,294,000 52,756,000 66,272,000
911 CBS Corporation 10-Q 0000813828 4833 40 2011-06-30 26,229,000,000 866,000,000 9,948,000,000 866,000,000 597,000,000
912 CC Media Holdings Inc 10-Q 0001400891 4832 7 2011-06-30 16,882,051,000 -701,770,000 -7,270,025,000 -701,770,000 -169,338,000
913 CCFNB BANCORP INC 10-Q 0000731122 6022 11 2011-06-30 599,546,000 -3,686,000 70,414,000 -3,686,000 3,450,000
914 CDI CORP 10-Q 0000018396 7363 1 2011-06-30 404,326,000 -4,054,000 269,860,000 -4,054,000 12,756,000
915 CDSI HOLDINGS INC 10-Q 0001023994 6770 1 2011-06-30 13,430 7,844 -101,285 7,844 -56,365
916 CEC ENTERTAINMENT INC 10-Q 0000813920 5812 17 2011-07-03 759,243,000 -1,893,000 154,921,000 -1,893,000 40,584,000
917 CECIL BANCORP INC 10-Q 0000926865 6035 0 2011-06-30 471,261,000 -13,767,000 34,643,000 -13,767,000 -2,648,000
918 CECO ENVIRONMENTAL CORP 10-Q 0000003197 3564 3 2011-06-30 73,059,000 2,647,000 38,829,000 2,647,000 3,211,000
919 CEDAR SHOPPING CENTERS INC 10-Q 0000761648 6798 24 2011-06-30 1,625,415,000 -740,000 649,970,000 -740,000 -33,822,000
920 CEL SCI CORP 10-Q 0000725363 2836 19 2011-06-30 23,742,051 -15,992,165 9,183,659 -15,992,165 -23,394,811
921 CELANESE CORPORATION 10-Q 0001306830 2820 82 2011-06-30 8,919,000,000 1,000,000 1,373,000,000 1,000,000 345,000,000
922 CELGENE CORP /DE/ 10-Q 0000816284 2834 70 2011-06-30 10,051,611,000 296,916,000 5,994,687,000 296,916,000 534,294,000
923 CELL THERAPEUTICS INC 10-Q 0000891293 2834 10 2011-06-30 56,583,000 16,238,000 2,902,000 16,238,000 -36,731,000
924 Celldex Therapeutics, Inc. 10-Q 0000744218 2835 3 2011-06-30 118,476,000 -10,457,000 92,005,000 -10,457,000 -20,295,000
925 Cell-nique Corp 10-Q 0001470512 2086 0 2011-06-30 2,280,076 4,767 814,763 4,767 -24,376
926 Celsion CORP 10-Q 0000749647 2834 16 2011-06-30 6,888,861 4,241,152 489,412 4,241,152 -10,708,308
927 CENTENE CORP 10-Q 0001071739 6324 72 2011-06-30 2,010,444,000 40,284,000 870,304,000 40,284,000 50,886,000
928 CENTER BANCORP INC 10-Q 0000712771 6022 1 2011-06-30 1,307,438,000 71,970,000 130,104,000 71,970,000 6,602,000
929 CENTER FINANCIAL CORP 10-Q 0001174820 6022 24 2011-06-30 2,268,327,000 73,508,000 285,039,000 73,508,000 9,780,000
930 CENTERLINE HOLDING CO 10-Q 0001043325 6500 32 2011-06-30 4,759,120,000 -21,331,000 3,033,996,000 -21,331,000 -336,434,000
931 CENTERPOINT ENERGY HOUSTON ELECTRIC LLC 10-Q 0000048732 4911 12 2011-06-30 9,877,000,000 -22,000,000 2,152,000,000 -22,000,000 103,000,000
932 CENTERPOINT ENERGY INC 10-Q 0001130310 4911 169 2011-06-30 19,677,000,000 -9,000,000 3,313,000,000 -9,000,000 267,000,000
933 CENTERPOINT ENERGY RESOURCES CORP 10-Q 0001042773 4911 9 2011-06-30 10,095,000,000 4,000,000 3,956,000,000 4,000,000 180,000,000
934 CenterState Banks, Inc. 10-Q 0001102266 6021 42 2011-06-30 2,156,526,000 71,983,000 250,286,000 71,983,000 -4,181,000
935 CENTRAL BANCORP INC /MA/ 10-Q 0001076394 6022 7 2011-06-30 497,238,000 -15,704,000 47,156,000 -15,704,000 236,000
936 CENTRAL EUROPEAN DISTRIBUTION CORP 10-Q 0001046880 5180 68 2011-06-30 3,581,379,000 4,210,000 1,761,557,000 4,210,000 4,135,000
937 CENTRAL EUROPEAN MEDIA ENTERPRISES LTD 10-Q 0000925645 4833 109 2011-06-30 3,173,427,000 -46,545,000 1,366,541,000 -46,545,000 -20,183,000
938 CENTRAL FEDERAL CORP 10-Q 0001070680 6035 12 2011-06-30 277,790,000 26,161,000 12,282,000 26,161,000 -3,631,000
939 CENTRAL GARDEN & PET CO 10-Q 0000887733 5190 1 2011-06-25 1,155,732,000 -80,227,000 493,106,000 -80,227,000 39,908,000
940 CENTRAL PACIFIC FINANCIAL CORP 10-Q 0000701347 6022 17 2011-06-30 4,131,733,000 -337,276,000 433,774,000 -337,276,000 12,850,000
941 CENTRAL VALLEY COMMUNITY BANCORP 10-Q 0001127371 6022 17 2011-06-30 792,929,000 -7,130,000 103,842,000 -7,130,000 3,361,000
942 CENTRAL VERMONT PUBLIC SERVICE CORP 10-Q 0000018808 4911 26 2011-06-30 713,579,000 23,666,000 273,899,000 23,666,000 9,161,000
943 CENTRAL VIRGINIA BANKSHARES INC 10-Q 0000804561 6022 5 2011-06-30 402,597,000 13,448,000 14,085,000 13,448,000 351,000
944 CENTRUE FINANCIAL CORP 10-Q 0001019650 6021 16 2011-06-30 1,022,256,000 -37,082,000 37,561,000 -37,082,000 -5,882,000
945 CENTURY ALUMINUM CO 10-Q 0000949157 3334 9 2011-06-30 1,899,842,000 -71,895,000 1,177,822,000 -71,895,000 49,032,000
946 CENTURY BANCORP INC 10-Q 0000812348 6022 20 2011-06-30 2,597,929,000 -21,221,000 155,342,000 -21,221,000 7,922,000
947 CENTURY CASINOS INC /CO/ 10-Q 0000911147 7011 5 2011-06-30 135,558,000 -1,704,000 114,087,000 -1,704,000 1,008,000
948 CENTURY NEXT FINANCIAL Corp 10-Q 0001493006 6035 16 2011-06-30 101,009,000 -3,481,000 18,653,000 -3,481,000 288,000
949 CENTURYLINK, INC 10-Q 0000018926 4813 62 2011-06-30 54,842,000,000 2,373,000,000 21,641,000,000 2,373,000,000 313,000,000
950 CENVEO, INC 10-Q 0000920321 2750 1 2011-07-02 1,410,791,000 -38,120,000 -330,137,000 -38,120,000 3,158,000
951 CEPHALON INC 10-Q 0000873364 2834 108 2011-06-30 5,753,086,000 -162,763,000 3,381,338,000 -162,763,000 326,802,000
952 CEPHEID 10-Q 0001037760 3826 26 2011-06-30 250,787,000 18,714,000 182,035,000 18,714,000 2,354,000
953 CERADYNE INC 10-Q 0000018937 3990 2 2011-06-30 955,915,000 -8,973,000 712,613,000 -8,973,000 42,726,000
954 Cereplast Inc 10-Q 0001324759 2821 4 2011-06-30 37,523,000 10,745,000 14,849,000 10,745,000 -4,137,000
955 CERNER CORP /MO/ 10-Q 0000804753 7373 26 2011-07-02 2,720,807,000 -455,000 2,130,136,000 -455,000 136,600,000
956 CF Industries Holdings, Inc. 10-Q 0001324404 2870 99 2011-06-30 9,420,000,000 557,900,000 5,331,800,000 557,900,000 876,400,000
957 CFS Bancorp Inc 10-Q 0001058438 6035 9 2011-06-30 1,128,019,000 -14,256,000 116,166,000 -14,256,000 1,705,000
958 CH Energy Group Inc 10-Q 0000018647 4931 181 2011-06-30 1,704,312,000 12,773,000 524,886,000 12,773,000 23,387,000
959 CH2M HILL COMPANIES LTD 10-Q 0000777491 8711 21 2011-06-30 2,015,212,000 -43,893,000 628,841,000 -43,893,000 72,540,000
960 CHANCELLOR GROUP INC. 10-Q 0000894544 1311 7 2011-06-30 2,383,620 -163,921 2,188,647 -163,921 -430,156
961 Changda International Holdings, Inc. 10-Q 0001417624 2870 2 2011-06-30 71,076,000 6,201,000 40,988,000 6,201,000 4,485,000
962 Chang-On International, Inc. 10-Q 0000042136 2400 3 2011-06-30 10,153 5,076 -444,583 5,076 -4,019,050
963 Chanticleer Holdings, Inc. 10-Q 0001106838 8742 13 2011-06-30 1,555,781 -44,136 917,407 -44,136 -1,257
964 Chaparral Energy, Inc. 10-Q 0001346980 1311 2 2011-06-30 1,637,872,000 -879,000 379,086,000 -879,000 7,130,000
965 CHARLES & COLVARD LTD 10-Q 0001015155 3910 2 2011-06-30 51,339,541 -1,677,348 48,971,768 -1,677,348 -339,702
966 CHARLES RIVER LABORATORIES INTERNATIONAL INC 10-Q 0001100682 8731 71 2011-06-25 1,705,425,000 -33,329,000 590,627,000 -33,329,000 63,856,000
967 CHARMING SHOPPES INC 10-Q 0000019353 5621 7 2011-04-30 1,074,019,000 62,921,000 440,638,000 62,921,000 26,038,000
968 CHART INDUSTRIES INC 10-Q 0000892553 3443 5 2011-06-30 1,008,562,000 -19,252,000 540,917,000 -19,252,000 18,423,000
969 CHARTER COMMUNICATIONS, INC. /MO/ 10-Q 0001091667 4841 7 2010-12-31 15,707,000,000 162,000,000 1,478,000,000 162,000,000 -217,000,000
970 CHARTER FINANCIAL CORP/GA 10-Q 0001136796 6035 12 2011-06-30 955,842,376 -170,320,151 138,907,379 -170,320,151 2,076,133
971 CHDT CORPORATION 10-Q 0000814926 3640 17 2011-06-30 4,414,697 135,587 989,874 135,587 14,714
972 CHECKPOINT SYSTEMS INC 10-Q 0000215419 3669 34 2011-06-26 1,191,960,000 10,029,000 612,641,000 10,029,000 211,000
973 CHEESECAKE FACTORY INC 10-Q 0000887596 5812 32 2011-06-28 995,722,000 -22,686,000 556,662,000 -22,686,000 45,204,000
974 CHEETAH OIL & GAS LTD. 10-Q 0000908821 1311 5 2011-06-30 368,110 17,467 -23,735 17,467 -48,323
975 Chelsea Therapeutics International, Ltd. 10-Q 0001333763 2836 7 2011-06-30 68,249,771 10,966,999 55,567,280 10,966,999 -160,012,930
976 CHEMBIO DIAGNOSTICS, INC. 10-Q 0001092662 2834 7 2011-06-30 8,435,062,000 2,978,000 6,196,689,000 2,978,000 52,542,000
977 CHEMED CORP 10-Q 0000019584 8082 68 2011-06-30 850,613,000 1,024,000 489,334,000 1,024,000 38,387,000
978 CHEMICAL FINANCIAL CORP 10-Q 0000019612 6022 7 2011-06-30 5,204,058,000 -135,886,000 570,635,000 -135,886,000 20,221,000
979 Chemtura CORP 10-Q 0001091862 2820 5 2011-06-30 3,055,000,000 -58,000,000 1,116,000,000 -58,000,000 77,000,000
980 CHENIERE ENERGY INC, 10-Q 0000003570 1311 6 2011-06-30 2,619,807,000 88,400,000 -430,325,000 88,400,000 -88,937,000
981 Cheniere Energy Partners, L.P. 10-Q 0001383650 4924 18 2011-06-30 1,726,645,000 1,978,000 -558,958,000 1,978,000 -9,078,000
982 CHESAPEAKE ENERGY CORP 10-Q 0000895126 1311 153 2011-06-30 36,656,000,000 7,000,000 15,483,000,000 7,000,000 347,000,000
983 Chesapeake Lodging Trust 10-Q 0001473078 6798 0 2011-06-30 752,447,000 16,241,000 523,838,000 16,241,000 368,000
984 CHESAPEAKE MIDSTREAM PARTNERS LP 10-Q 0001483096 4922 5 2011-06-30 2,643,415,000 -15,825,000 2,176,710,000 -15,825,000 79,859,000
985 CHESAPEAKE UTILITIES CORP 10-Q 0000019745 4923 15 2011-06-30 660,489,000 185,000 238,000,000 185,000 17,267,000
986 CHEVIOT FINANCIAL CORP 10-Q 0001248124 6021 15 2011-06-30 597,128,000 15,851,000 71,340,000 15,851,000 1,455,000
987 CHEVRON CORP 10-Q 0000093410 2911 66 2011-06-30 201,717,000,000 -725,000,000 116,430,000,000 -725,000,000 13,999,000,000
988 CHICAGO BRIDGE & IRON CO N V 10-Q 0001027884 1700 29 2011-06-30 3,079,006,000 -105,860,000 1,165,784,000 -105,860,000 113,267,000
989 CHICAGO RIVET & MACHINE CO. 10-Q 0000019871 3540 0 2011-06-30 24,611,255 539,863 21,835,035 539,863 704,543
990 CHICOPEE BANCORP, INC. 10-Q 0001355786 6036 8 2011-06-30 580,028,000 -9,279,000 91,060,000 -9,279,000 350,000
991 CHICOS FAS INC 10-Q 0000897429 5621 5 2011-04-30 1,460,718,000 108,714,000 1,062,363,000 108,714,000 45,918,000
992 CHILDRENS PLACE RETAIL STORES INC 10-Q 0001041859 5651 6 2011-04-30 864,962,000 28,690,000 635,601,000 28,690,000 29,084,000
993 CHIMERA INVESTMENT CORP 10-Q 0001409493 6798 159 2011-06-30 10,089,109,000 8,907,000 3,438,539,000 8,907,000 281,205,000
994 China 3C Group 10-Q 0001076784 5731 9 2011-06-30 62,709,000 -8,919,000 55,549,000 -8,919,000 -10,193,000
995 China Armco Metals, Inc. 10-Q 0001410711 5050 4 2011-06-30 79,813,461 -1,272,661 41,876,793 -1,272,661 -735,053
996 China Auto Logistics Inc 10-Q 0001355042 5010 16 2011-06-30 132,520,837 -10,607,381 46,327,776 -10,607,381 4,417,875
997 CHINA AUTOMOTIVE SYSTEMS INC 10-Q 0001157762 3714 35 2011-06-30 434,852,479 6,000,283 190,253,573 6,000,283 27,844,430
998 China BCT Pharmacy Group, Inc. 10-Q 0001399356 5122 11 2011-06-30 195,782,975 42,943,458 99,316,701 42,943,458 14,852,426
999 China Bilingual Technology & Education Group Inc. 10-Q 0001470129 8200 10 2011-06-30 56,253,079 4,014,611 38,643,509 4,014,611 6,029,812
1000 China Biologic Products, Inc. 10-Q 0001369868 2836 16 2011-06-30 257,135,828 11,900,311 181,638,768 11,900,311 30,503,428
1001 China Carbon Graphite Group, Inc. 10-Q 0001284450 3620 8 2011-06-30 115,418,371 3,774,842 46,386,312 3,774,842 1,215,351
1002 China Chemical Corp. 10-Q 0001445941 2890 20 2011-06-30 318,451,335 -4,070,421 88,981,979 -4,070,421 6,411,064
1003 CHINA DAQING M&H PETROLEUM, INC. 10-Q 0001341780 5990 2 2011-06-30 29,626,795 835,155 21,699,419 835,155 7,732,262
1004 CHINA EDUCATION ALLIANCE INC. 10-Q 0001203900 8200 3 2011-06-30 102,592,444 1,537,602 99,723,627 1,537,602 1,501,270
1005 CHINA ENERGY RECOVERY, INC. 10-Q 0001208790 3569 8 2011-06-30 90,957,152 641,443 5,194,448 641,443 680,796
1006 China Forestry Inc 10-Q 0000805729 6770 3 2011-06-30 1,749,795 16,571 -899,987 16,571 67,824
1007 China Fruits Corporation 10-Q 0001029802 2080 17 2011-06-30 5,526,215 -159,091 2,407,658 -159,091 -228,775
1008 China Green Energy Industries, Inc. 10-Q 0001448776 3663 7 2011-06-30 50,907,396 1,662,524 5,643,552 1,662,524 -340,075
1009 China Green Material Technologies, Inc. 10-Q 0001082384 7389 20 2011-06-30 50,553,657 6,811,657 46,578,523 6,811,657 1,261,109
1010 CHINA GROWTH CORP 10-Q 0001381807 6770 6 2011-06-30 63,478,367 7,927,491 58,893,301 7,927,491 9,241,349
1011 China Health Resource, Inc. 10-Q 0001173784 2834 2 2011-06-30 9,282,752 294,209 6,618,756 294,209 2,563,558
1012 CHINA HGS REAL ESTATE INC. 10-Q 0001158420 6500 6 2011-06-30 110,450,274 -9,980,267 68,360,429 -9,980,267 18,081,383
1013 CHINA HOUSING & LAND DEVELOPMENT, INC. 10-Q 0001303330 1520 11 2011-06-30 417,000,563 24,270,216 117,574,152 24,270,216 3,043,983
1014 CHINA IVY SCHOOL, INC. 10-Q 0001130128 8200 20 2011-06-30 16,200,739 707,694 -319,337 707,694 -1,592,723
1015 CHINA JO-JO DRUGSTORES, INC. 10-Q 0001413263 5912 11 2011-06-30 56,041,756 -41,796 45,909,269 -41,796 3,242,729
1016 China Kangtai Cactus Bio-tech, Inc. 10-Q 0001017699 2834 32 2011-06-30 53,345,466 1,395,467 50,963,213 1,395,467 4,694,646
1017 CHINA MARINE FOOD GROUP LTD 10-Q 0001099977 2090 6 2011-06-30 132,325,860 21,839,783 125,990,121 21,839,783 6,629,269
1018 CHINA NATURAL GAS, INC. 10-Q 0001120830 4923 8 2011-06-30 269,721,358 2,175,296 182,267,889 2,175,296 6,879,517
1019 China Nutrifruit Group LTD 10-Q 0000753224 2033 2 2011-06-30 107,256,387 13,161,385 96,424,054 13,161,385 1,800,565
1020 CHINA PEDIATRIC PHARMACEUTICALS, INC. 10-Q 0001354071 2834 1 2011-06-30 32,338,164 -2,206,978 30,935,347 -2,206,978 3,777,843
1021 China Power Equipment, Inc. 10-Q 0001418134 3620 2 2011-06-30 32,970,371 363,484 31,176,187 363,484 2,797,965
1022 China Premium Lifestyle Enterprise, Inc. 10-Q 0001309346 5500 13 2011-06-30 67,658,987 -3,780,878 7,242,224 -3,780,878 2,154,519
1023 China Printing & Packaging, Inc. 10-Q 0001422357 2631 5 2011-06-30 8,068,709 954,328 6,453,292 954,328 1,392,540
1024 CHINA RECYCLING ENERGY CORP 10-Q 0000721693 7389 10 2011-06-30 184,842,711 -511,664 87,807,389 -511,664 8,941,266
1025 China Renewable Energy Holdings, Inc. 10-Q 0001418506 7389 2 2011-06-30 954,496 -11,110 -474,600 -11,110 -155,356
1026 CHINA SECURITY & SURVEILLANCE TECHNOLOGY, INC. 10-Q 0001260625 3669 15 2011-06-30 1,418,641,000 75,140,000 699,097,000 75,140,000 7,645,000
1027 CHINA SHANDONG INDUSTRIES, INC. 10-Q 0001417192 2511 4 2011-06-30 76,513,320 3,790,764 63,155,238 3,790,764 10,960,469
1028 CHINA SHEN ZHOU MINING & RESOURCES, INC. 10-Q 0000790024 1000 9 2011-06-30 70,353,000 7,287,000 49,538,000 7,287,000 -1,120,000
1029 China Shengda Packaging Group Inc. 10-Q 0001421561 2650 7 2011-06-30 132,770,355 -11,461,762 93,814,760 -11,461,762 5,713,008
1030 CHINA SHENGHUO PHARMACEUTICAL HOLDINGS INC 10-Q 0001335106 2834 3 2011-06-30 50,607,764 -321,994 2,286,802 -321,994 191,091
1031 CHINA SKY ONE MEDICAL, INC. 10-Q 0000798985 2834 3 2011-06-30 191,630,000 1,171,000 179,931,000 1,171,000 12,225,000
1032 China Skyrise Digital Service Inc. 10-Q 0001386019 7389 1 2011-06-30 10,167,277 59,277 7,043,512 59,277 326,619
1033 China TransInfo Technology Corp. 10-Q 0001081206 7373 41 2011-06-30 195,072,176 -13,966,776 133,735,128 -13,966,776 5,756,672
1034 CHINA VALVES TECHNOLOGY, INC 10-Q 0001080360 3490 15 2011-06-30 272,605,303 11,810,988 221,488,868 11,810,988 18,359,878
1035 CHINA VANTAGEPOINT ACQUISITION CO 10-Q 0001503401 6770 8 2011-06-30 17,779,138 86,564 5,510,371 86,564 -106,605
1036 China Xingbang Industry Group Inc. 10-Q 0001521222 8742 3 2011-06-30 2,045,888 143,260 387,988 143,260 -529,327
1037 CHINA YIDA HOLDING, CO. 10-Q 0001091325 7310 8 2011-06-30 167,793,041 12,924,745 144,973,887 12,924,745 7,401,472
1038 CHINDEX INTERNATIONAL INC 10-Q 0000922717 5047 19 2011-06-30 183,094,000 6,576,000 136,913,000 6,576,000 1,713,000
1039 CHIPOTLE MEXICAN GRILL INC 10-Q 0001058090 5812 7 2011-06-30 1,263,581,000 124,963,000 939,062,000 124,963,000 97,039,000
1040 CHIQUITA BRANDS INTERNATIONAL INC 10-Q 0000101063 100 2 2011-06-30 2,141,972,000 39,211,000 879,710,000 39,211,000 101,977,000
1041 Chisen Electric Corp 10-Q 0001335950 3690 14 2011-06-30 200,402,000 -2,277,000 49,879,000 -2,277,000 8,304,000
1042 CHOICE BANCORP, INC. 10-Q 0001487623 6022 0 2011-06-30 167,825,844 -6,350,808 13,170,950 -6,350,808 880,562
1043 CHOICE HOTELS INTERNATIONAL INC /DE 10-Q 0001046311 7011 97 2011-06-30 441,305,000 -1,031,000 -27,942,000 -1,031,000 43,308,000
1044 CHOICEONE FINANCIAL SERVICES INC 10-Q 0000803164 6022 7 2011-06-30 479,416,000 -6,767,000 56,206,000 -6,767,000 1,608,000
1045 ChromaDex Corp. 10-Q 0001386570 2833 0 2011-07-02 7,062,178 -181,611 4,477,388 -181,611 -2,998,954
1046 CHROMCRAFT REVINGTON INC 10-Q 0000884130 2510 1 2011-07-02 31,191,000 -2,329,000 21,979,000 -2,329,000 -3,058,000
1047 CHURCH & DWIGHT CO INC /DE/ 10-Q 0000313927 2840 40 2011-07-01 3,055,400,000 -25,800,000 2,037,900,000 -25,800,000 166,200,000
1048 CHURCHILL DOWNS INC 10-Q 0000020212 7948 11 2011-06-30 998,503,000 4,130,000 564,296,000 4,130,000 36,962,000
1049 CHYRON CORP 10-Q 0000020232 3861 0 2011-06-30 37,887,000 -1,364,000 28,266,000 -1,364,000 -353,000
1050 CIB MARINE BANCSHARES INC 10-Q 0000861955 6022 4 2011-06-30 557,604,000 24,589,000 67,194,000 24,589,000 -2,836,000
1051 CIBER INC 10-Q 0000918581 7371 1 2011-06-30 704,440,000 -7,540,000 388,542,000 -7,540,000 -54,069,000
1052 CICERO INC 10-Q 0000945384 7371 9 2011-06-30 4,743,000 -8,000 -7,632,000 -8,000 -975,000
1053 CIENA CORP 10-Q 0000936395 3661 5 2011-04-30 2,004,884,000 -182,696,000 49,705,000 -182,696,000 -141,742,000
1054 CIFC Corp. 10-Q 0001313918 6199 18 2011-06-30 8,846,359,000 -15,890,000 649,768,000 -15,890,000 -114,549,000
1055 CIGNA Corporation 10-Q 0000701221 6324 283 2011-06-30 47,033,000,000 169,000,000 7,548,000,000 169,000,000 838,000,000
1056 CIMAREX ENERGY CO 10-K 0001168054 1311 193 2010-12-31 4,358,247,000 111,582,000 2,609,832,000 111,582,000 574,782,000
1057 CINCINNATI BELL INC. 10-Q 0000716133 4813 20 2011-06-30 2,658,500,000 12,800,000 -633,600,000 12,800,000 31,400,000
1058 CINCINNATI FINANCIAL CORP 10-Q 0000020286 6331 33 2011-06-30 15,702,000,000 -72,000,000 5,057,000,000 -72,000,000 13,000,000
1059 Cinedigm Digital Cinema Corp. 10-Q 0001173204 7389 3 2011-06-30 300,901,000 695,000 -3,884,000 695,000 -6,393,000
1060 Cinemark Holdings, Inc. 10-Q 0001385280 7830 210 2011-06-30 3,503,509,000 85,907,000 1,079,091,000 85,907,000 66,331,000
1061 CINEMARK USA INC /TX 10-Q 0000885975 7830 29 2011-06-30 3,510,810,000 86,154,000 1,087,744,000 86,154,000 66,990,000
1062 CINTAS CORP 10-K 0000723254 2320 16 2011-05-31 4,351,940,000 26,825,000 2,302,649,000 26,825,000 246,989,000
1063 Circle Entertainment, Inc. 10-Q 0001410402 6500 8 2011-06-30 2,757,000 -202,000 -3,429,000 -202,000 -2,796,000
1064 CIRCOR INTERNATIONAL INC 10-Q 0001091883 3490 5 2011-07-03 709,197,000 2,550,000 385,833,000 2,550,000 15,402,000
1065 CIRCUS & ELDORADO JOINT VENTURE 10-Q 0001171078 7011 1 2011-06-30 272,516,000 3,087,000 103,294,000 3,087,000 -3,182,000
1066 CIRRUS LOGIC INC 10-Q 0000772406 3674 11 2011-06-25 456,970,000 4,451,000 393,871,000 4,451,000 9,178,000
1067 CIRTRAN CORP 10-Q 0000813716 2080 6 2011-06-30 4,170,786 -2,860 -23,017,582 -2,860 -3,905,783
1068 CISCO SYSTEMS INC 10-Q 0000858877 3576 187 2011-04-30 85,350,000,000 2,054,000,000 47,206,000,000 2,054,000,000 5,258,000,000
1069 CIT GROUP INC 10-Q 0001171825 6172 158 2011-06-30 48,009,600,000 -3,720,300,000 8,942,900,000 -3,720,300,000 21,100,000
1070 Citadel EFT, Inc. 10-Q 0001473971 7389 1 2011-06-30 121,929 -29,678 115,526 -29,678 -3,513,574
1071 CITIZENS & NORTHERN CORP 10-Q 0000810958 6022 10 2011-06-30 1,309,650,000 3,091,000 153,693,000 3,091,000 11,238,000
1072 CITIZENS BANCSHARES CORP /GA/ 10-Q 0000813640 6022 1 2011-06-30 398,147,000 16,782,000 47,565,000 16,782,000 337,000
1073 Citizens Community Bancorp Inc. 10-Q 0001367859 6035 4 2011-06-30 551,678,000 -34,915,000 52,940,000 -34,915,000 17,000
1074 CITIZENS FINANCIAL SERVICES INC 10-Q 0000739421 6022 6 2011-06-30 852,982,000 437,000 75,299,000 437,000 5,977,000
1075 CITIZENS FIRST CORP 10-Q 0001073475 6021 11 2011-06-30 354,060,000 1,510,000 37,860,000 1,510,000 1,444,000
1076 CITIZENS HOLDING CO /MS/ 10-Q 0001075706 6022 0 2011-06-30 845,252,681 5,335,732 83,343,242 5,335,732 3,809,158
1077 CITIZENS INC 10-Q 0000024090 6311 4 2011-06-30 1,040,668,000 8,653,000 240,549,000 8,653,000 5,023,000
1078 CITIZENS REPUBLIC BANCORP, INC. 10-Q 0000351077 6021 31 2011-06-30 9,495,630,000 17,541,000 979,722,000 17,541,000 -44,521,000
1079 CITRIX SYSTEMS INC 10-Q 0000877890 7372 66 2011-06-30 3,869,689,000 34,654,000 2,663,489,000 34,654,000 154,755,000
1080 CITY HOLDING CO 10-Q 0000726854 6021 13 2011-06-30 2,713,820,000 34,466,000 310,379,000 34,466,000 19,445,000
1081 City Media, Inc. 10-Q 0001508594 6199 6 2011-06-30 111,575 -1,978 52,341 -1,978 -22,231
1082 CITY NATIONAL CORP 10-Q 0000201461 6021 153 2011-06-30 22,526,089,000 594,818,000 2,084,010,000 594,818,000 89,350,000
1083 CLAIBORNE LIZ INC 10-Q 0000352363 2330 6 2011-07-02 1,247,286,000 3,966,000 -211,051,000 3,966,000 -186,241,000
1084 CLAIMSNET COM INC 10-Q 0001046057 7374 0 2011-06-30 382,000 6,000 -1,291,000 6,000 -42,000
1085 CLARCOR INC 10-Q 0000020740 3714 6 2011-05-28 1,099,004,000 4,921,000 814,898,000 4,921,000 54,802,000
1086 Clarion Partners Property Trust Inc. 10-Q 0001476886 6798 1 2011-06-30 272,581 0 122,714 0 -77,286
1087 CLAYTON WILLIAMS ENERGY INC /DE 10-Q 0000880115 1311 8 2011-06-30 1,022,632,000 9,359,000 284,458,000 9,359,000 34,793,000
1088 Clean Coal Technologies Inc. 10-Q 0001445109 1311 14 2011-06-30 10,428 9,995 -2,050,592 9,995 -170,024,945
1089 CLEAN DIESEL TECHNOLOGIES INC 10-Q 0000949428 3564 6 2011-06-30 34,757,000 -1,859,000 11,366,000 -1,859,000 -6,047,000
1090 Clean Energy Fuels Corp. 10-Q 0001368265 4932 4 2011-06-30 598,889,000 -19,918,000 417,099,000 -19,918,000 -15,215,000
1091 CLEAN HARBORS INC 10-Q 0000822818 4955 109 2011-06-30 1,965,080,000 75,366,000 857,368,000 75,366,000 51,886,000
1092 CLEAN WIND ENERGY TOWER, INC. 10-Q 0000095572 1040 9 2011-06-30 283,075 227,602 -258,261 227,602 -1,755,115
1093 CleanTech Biofuels, Inc. 10-Q 0001411036 2860 15 2011-06-30 2,195,928 19,485 -1,059,536 19,485 7,071,594
1094 CleanTech Innovations, Inc. 10-Q 0001382219 3490 4 2011-06-30 49,196,523 -12,070,413 31,428,137 -12,070,413 702,933
1095 Cleantech Solutions International, Inc., 10-Q 0000819926 3550 4 2011-06-30 79,303,043 677,393 68,744,855 677,393 3,835,119
1096 CLEAR CHANNEL COMMUNICATIONS INC 10-Q 0000739708 4832 9 2011-06-30 16,882,051,000 -701,770,000 -7,270,025,000 -701,770,000 -169,338,000
1097 Clear Channel Outdoor Holdings, Inc. 10-Q 0001334978 7310 7 2011-06-30 7,205,966,000 -7,506,000 2,798,659,000 -7,506,000 23,820,000
1098 CLEAR SYSTEM RECYCLING, INC. 10-Q 0001514888 8742 2 2011-06-30 10,290 10,290 9,105 10,290 -14,895
1099 Clearfield, Inc. 10-Q 0000796505 3661 0 2011-06-30 25,483,382 2,943,368 21,912,710 2,943,368 2,311,475
1100 Cleartronic, Inc. 10-Q 0001362516 4812 2 2011-06-30 314,343 22,590 -398,113 22,590 -737,624
1101 CLEARWATER PAPER CORP 10-Q 0001441236 2631 5 2011-06-30 1,588,861,000 15,548,000 492,723,000 15,548,000 19,527,000
1102 Clearwire Corp /DE 10-Q 0001442505 4899 156 2011-06-30 9,111,999,000 -1,151,477,000 4,086,606,000 -1,151,477,000 -395,693,000
1103 CLECO CORP 10-Q 0000018672 4911 158 2011-06-30 4,058,719,000 -29,002,000 1,387,075,000 -29,002,000 99,225,000
1104 CLEVELAND BIOLABS INC 10-Q 0001318641 8731 32 2011-06-30 35,596,774 20,077,734 22,384,948 20,077,734 5,384,782
1105 CLIFFS NATURAL RESOURCES INC. 10-Q 0000764065 1000 98 2011-06-30 13,671,700,000 -1,328,600,000 6,520,000,000 -1,328,600,000 849,300,000
1106 CLIFTON SAVINGS BANCORP INC 10-Q 0001240581 6035 11 2011-06-30 1,134,787,000 17,570,000 181,116,000 17,570,000 1,791,000
1107 CLOROX CO /DE/ 10-Q 0000021076 2842 38 2011-03-31 4,051,000,000 66,000,000 -82,000,000 66,000,000 388,000,000
1108 CLOUD PEAK ENERGY INC. 10-Q 0001441849 1221 8 2011-06-30 2,259,536,000 -13,392,000 657,819,000 -13,392,000 121,367,000
1109 CME GROUP INC. 10-Q 0001156375 6200 22 2011-06-30 35,589,200,000 -161,600,000 20,902,500,000 -161,600,000 752,700,000
1110 CMS Bancorp, Inc. 10-Q 0001350072 6036 7 2011-06-30 247,509,000 4,140,000 22,055,000 4,140,000 218,000
1111 CMS Energy Corporation 10-Q 0000201533 4931 79 2011-06-30 15,945,000,000 747,000,000 3,002,000,000 747,000,000 236,000,000
1112 CNA FINANCIAL CORP 10-Q 0000021175 6331 27 2011-06-30 55,774,000,000 7,000,000 11,749,000,000 7,000,000 364,000,000
1113 CNB CORP /MI/ 10-Q 0000779125 6021 13 2011-06-30 248,255,000 -7,629,000 21,301,000 -7,629,000 282,000
1114 CNB CORP /SC/ 10-Q 0000764581 6021 8 2011-06-30 913,371,000 33,352,000 88,272,000 33,352,000 412,000
1115 CNB FINANCIAL CORP/PA 10-Q 0000736772 6022 11 2011-06-30 1,491,194,000 6,185,000 122,230,000 6,185,000 7,168,000
1116 CNL LIFESTYLE PROPERTIES INC 10-Q 0001261159 6798 17 2011-06-30 2,940,360,000 142,426,000 1,996,084,000 142,426,000 -36,363,000
1117 CNO Financial Group, Inc. 10-Q 0001224608 6321 130 2011-06-30 32,396,600,000 8,300,000 4,563,200,000 8,300,000 113,400,000
1118 COACH INC 10-Q 0001116132 3100 18 2011-04-02 2,721,865,000 216,270,000 1,742,658,000 216,270,000 678,319,000
1119 COAST DISTRIBUTION SYSTEM INC 10-Q 0000728303 5013 0 2011-06-30 54,252,000 -2,060,000 31,647,000 -2,060,000 -59,000
1120 COASTAL CARIBBEAN OILS & MINERALS LTD 10-Q 0000021239 1311 15 2011-06-30 2,895,607 -17,043 1,525,073 -17,043 -37,303,005
1121 COASTAL CAROLINA BANCSHARES, INC. 10-Q 0001437213 6021 11 2011-06-30 84,130,173 -4,687,582 13,970,322 -4,687,582 -1,165,473
1122 COATES INTERNATIONAL LTD \DE\ 10-Q 0000948426 3510 7 2011-06-30 3,036,501 176,381 -762,745 176,381 -1,079,448
1123 Cobalt International Energy, Inc. 10-Q 0001471261 1311 7 2011-06-30 2,186,787,000 191,116,000 2,169,208,000 191,116,000 -546,735,000
1124 COBIZ FINANCIAL INC 10-Q 0001028734 6021 7 2011-06-30 2,418,235,000 25,867,000 209,137,000 25,867,000 7,065,000
1125 COBRA ELECTRONICS CORP 10-Q 0000030828 3663 6 2011-06-30 71,374,000 343,000 33,784,000 343,000 -302,000
1126 COCA COLA BOTTLING CO CONSOLIDATED /DE/ 10-Q 0000317540 2086 7 2011-07-03 1,352,518,000 -19,703,000 200,342,000 -19,703,000 18,453,000
1127 COCA COLA CO 10-Q 0000021344 2080 103 2011-07-01 80,090,000,000 1,649,000,000 35,424,000,000 1,649,000,000 4,697,000,000
1128 COCA-COLA ENTERPRISES, INC. 10-Q 0001491675 2086 57 2011-07-01 9,579,000,000 83,000,000 3,269,000,000 83,000,000 352,000,000
1129 CODEXIS INC 10-Q 0001200375 2860 11 2011-06-30 136,135,000 -40,314,000 106,786,000 -40,314,000 -8,511,000
1130 CODORUS VALLEY BANCORP INC 10-Q 0000806279 6035 5 2011-06-30 977,245,000 -31,741,000 81,536,000 -31,741,000 3,383,000
1131 COEUR D ALENE MINES CORP 10-Q 0000215466 1040 135 2011-06-30 3,188,971,000 40,712,000 2,095,596,000 40,712,000 51,075,000
1132 Cogdell Spencer Inc. 10-Q 0001332896 6798 20 2011-06-30 696,366,000 4,180,000 205,268,000 4,180,000 -5,789,000
1133 COGENT COMMUNICATIONS GROUP INC 10-Q 0001158324 7372 4 2011-06-30 587,896,000 170,963,000 162,254,000 170,963,000 1,837,000
1134 COGNEX CORP 10-Q 0000851205 3823 43 2011-07-03 602,657,000 9,473,000 540,285,000 9,473,000 32,733,000
1135 COGNIZANT TECHNOLOGY SOLUTIONS CORP 10-Q 0001058290 7371 24 2011-06-30 4,916,702,000 -347,929,000 3,951,849,000 -347,929,000 416,372,000
1136 COHEN & STEERS INC 10-Q 0001284812 6282 0 2011-06-30 293,811,000 2,798,000 255,937,000 2,798,000 28,661,000
1137 COHERENT INC 10-Q 0000021510 3826 5 2011-07-02 920,393,000 -45,699,000 662,440,000 -45,699,000 61,858,000
1138 COHU INC 10-Q 0000021535 3825 2 2011-06-25 371,891,000 3,467,000 294,463,000 3,467,000 11,624,000
1139 COINSTAR INC 10-Q 0000941604 7200 91 2011-06-30 1,171,876,000 -9,888,000 453,623,000 -9,888,000 35,235,000
1140 COLE CORPORATE INCOME TRUST, INC. 10-Q 0001490626 6798 21 2011-06-30 38,130,942 2,176,010 2,794,205 2,176,010 -833,111
1141 Cole Credit Property Trust II Inc 10-Q 0001308606 6512 41 2011-06-30 3,426,420,000 -24,325,000 1,515,615,000 -24,325,000 31,662,000
1142 Cole Credit Property Trust III, Inc. 10-Q 0001425923 6798 37 2011-06-30 4,287,366,000 206,858,000 2,416,991,000 206,858,000 25,039,000
1143 Cole Credit Property Trust Inc 10-Q 0001289272 6798 19 2011-06-30 176,049,000 -446,000 53,577,000 -446,000 193,000
1144 COLE KENNETH PRODUCTIONS INC 10-Q 0000921691 3140 10 2011-06-30 246,077,000 -42,164,000 130,537,000 -42,164,000 -16,623,000
1145 Coleman Cable, Inc. 10-Q 0001323653 3357 0 2011-06-30 416,793,000 -27,753,000 22,078,000 -27,753,000 9,603,000
1146 COLFAX CORP 10-Q 0001420800 3561 10 2011-07-01 1,063,585,000 3,673,000 254,296,000 3,673,000 16,945,000
1147 COLGATE PALMOLIVE CO 10-Q 0000021665 2844 65 2011-06-30 13,244,000,000 249,000,000 3,144,000,000 249,000,000 1,253,000,000
1148 COLLECTIVE BRANDS, INC. 10-Q 0001060232 5661 2 2011-04-30 2,283,600,000 -53,700,000 889,600,000 -53,700,000 28,200,000
1149 COLONIAL COMMERCIAL CORP 10-Q 0000021828 5070 1 2011-06-30 26,241,260 34,549 3,859,897 34,549 -766,710
1150 Colonial Financial Services, Inc. 10-Q 0001485527 6035 7 2011-06-30 601,175,000 -6,359,000 71,823,000 -6,359,000 1,397,000
1151 COLONY BANKCORP INC 10-Q 0000711669 6022 6 2011-06-30 1,197,573,000 -22,643,000 95,592,000 -22,643,000 1,595,000
1152 Colony Financial, Inc. 10-Q 0001467076 6798 10 2011-06-30 660,214,000 19,901,000 615,177,000 19,901,000 15,714,000
1153 COLORADO INTERSTATE GAS CO 10-Q 0000200155 4922 6 2011-06-30 1,534,000,000 6,000,000 782,000,000 6,000,000 77,000,000
1154 COLORSTARS GROUP 10-Q 0001418780 3640 0 2011-06-30 4,065,889 -21,714 2,933,275 -21,714 -142,700
1155 Colt Defense LLC 10-Q 0001508677 3480 2 2011-07-03 157,699,000 -38,040,000 -141,357,000 -38,040,000 -3,646,000
1156 COLUMBIA BANKING SYSTEM INC 10-Q 0000887343 6022 106 2011-06-30 4,429,143,000 -244,631,000 727,680,000 -244,631,000 14,411,000
1157 Columbia Laboratories Inc 10-Q 0000821995 2834 7 2011-06-30 35,647,235 129,801 17,032,719 129,801 17,127,308
1158 COLUMBIA SPORTSWEAR CO 10-Q 0001050797 2300 3 2011-06-30 1,312,851,000 -26,828,000 1,015,958,000 -26,828,000 -788,000
1159 Columbus McKinnon Corporation 10-Q 0001005229 3531 2 2011-06-30 488,387,000 -2,375,000 169,399,000 -2,375,000 2,779,000
1160 CombiMatrix Corp 10-Q 0001383183 3826 0 2011-06-30 13,319,000 3,432,000 11,896,000 3,432,000 -3,636,000
1161 COMCAST CORP 10-Q 0001166691 4841 128 2011-06-30 154,782,000,000 -3,987,000,000 46,905,000,000 -3,987,000,000 2,406,000,000
1162 COMERICA INC /NEW/ 10-Q 0000028412 6021 151 2011-06-30 54,141,000,000 1,383,000,000 6,038,000,000 1,383,000,000 199,000,000
1163 COMFORT SYSTEMS USA INC 10-Q 0001035983 1731 2 2011-06-30 621,544,000 -36,245,000 305,383,000 -36,245,000 -2,008,000
1164 Command Center, Inc. 10-Q 0001140102 7363 16 2011-07-01 8,571,422 -1,201,445 -91,449 -1,201,445 -1,631,694
1165 COMMAND SECURITY CORP 10-Q 0000864509 7381 10 2011-06-30 34,568,878 -1,328,337 19,034,755 -1,328,337 208,720
1166 COMMERCE BANCSHARES INC /MO/ 10-Q 0000022356 6022 196 2011-06-30 19,570,860,000 426,460,000 2,131,567,000 426,460,000 130,567,000
1167 COMMERCEFIRST BANCORP INC 10-Q 0001098813 6021 13 2011-06-30 210,596,000 12,029,000 23,266,000 12,029,000 901,000
1168 COMMERCIAL METALS CO 10-Q 0000022444 3312 4 2011-05-31 3,755,058,000 -155,751,000 1,312,545,000 -155,751,000 -9,183,000
1169 Commercial Vehicle Group, Inc. 10-Q 0001290900 3714 2 2011-06-30 392,209,000 41,583,000 5,112,000 41,583,000 1,108,000
1170 COMMITTED CAPITAL ACQUISITION CORP S-1 0001399520 6770 3 2011-06-30 123,252 391 -104,741 391 -128,741
1171 Commonwealth Income & Growth Fund IV 10-Q 0001141615 7350 2 2011-06-30 588,809 -185,588 -16,901 -185,588 -6,870
1172 Commonwealth Income & Growth Fund V 10-Q 0001253347 7350 1 2011-06-30 2,808,261 386,457 1,330,441 386,457 -815,731
1173 Commonwealth Income & Growth Fund VI 10-Q 0001351901 7350 2 2011-06-30 17,112,185 544,954 16,227,545 544,954 -923,579
1174 Commonwealth Income & Growth Fund VII, LP 10-Q 0001450335 7350 2 2011-06-30 17,522,432 4,719,024 17,335,605 4,719,024 -257,199
1175 CommonWealth REIT 10-Q 0000803649 6798 55 2011-06-30 6,959,999,000 -139,005,000 3,388,174,000 -139,005,000 66,576,000
1176 Communication Intelligence Corp 10-Q 0000727634 3577 12 2011-06-30 3,413,000 -1,164,000 1,247,000 -1,164,000 -2,380,000
1177 COMMUNICATIONS SYSTEMS INC 10-Q 0000022701 3661 2 2011-06-30 116,031,383 -6,176,178 96,322,153 -6,176,178 6,642,504
1178 COMMUNITY BANCORP /VT 10-Q 0000718413 6021 19 2011-06-30 513,287,592 -25,043,500 40,154,724 -25,043,500 1,816,187
1179 COMMUNITY BANK SHARES OF INDIANA INC 10-Q 0000933590 6022 16 2011-06-30 778,682,000 378,000 68,723,000 378,000 3,643,000
1180 COMMUNITY BANK SYSTEM INC 10-Q 0000723188 6021 11 2011-06-30 6,390,485,000 61,856,000 730,071,000 61,856,000 34,146,000
1181 Community Bankers Trust Corp 10-Q 0001323648 6022 18 2011-06-30 1,065,483,000 -14,908,000 109,078,000 -14,908,000 -673,000
1182 COMMUNITY CAPITAL CORP /SC/ 10-Q 0000832847 6021 0 2011-06-30 637,052,000 39,054,000 49,326,000 39,054,000 806,000
1183 Community Financial Corp /VA/ 10-Q 0000850606 6035 5 2011-06-30 523,351,463 -1,254,872 50,150,356 -1,254,872 547,999
1184 COMMUNITY FINANCIAL SHARES INC 10-Q 0001123735 6035 10 2011-06-30 328,103,000 -14,678,000 16,044,000 -14,678,000 -2,140,000
1185 COMMUNITY FIRST BANCORP 10-Q 0001047446 6022 8 2011-06-30 475,779,000 -1,215,000 46,639,000 -1,215,000 446,000
1186 COMMUNITY FIRST INC 10-Q 0001179500 6022 23 2011-06-30 641,435,000 -1,618,000 19,032,000 -1,618,000 -4,865,000
1187 COMMUNITY HEALTH SYSTEMS INC 10-Q 0001108109 8062 78 2011-06-30 14,825,415,000 -107,737,000 2,370,326,000 -107,737,000 131,872,000
1188 Community Partners Bancorp 10-Q 0001343034 6022 4 2011-06-30 676,843,000 29,869,000 82,462,000 29,869,000 2,001,000
1189 COMMUNITY SHORES BANK CORP 10-Q 0001070523 6022 20 2011-06-30 223,782,198 -8,315,943 -185,815 -8,315,943 -1,256,538
1190 COMMUNITY TRUST BANCORP INC /KY/ 10-Q 0000350852 6022 8 2011-06-30 3,484,674,000 24,340,000 352,266,000 24,340,000 18,274,000
1191 COMMUNITY WEST BANCSHARES / 10-Q 0001051343 6022 7 2011-06-30 643,831,000 1,310,000 61,838,000 1,310,000 375,000
1192 COMMUNITYCORP 10-Q 0001020347 6021 7 2011-06-30 157,047,539 2,246,355 18,347,145 2,246,355 370,471
1193 COMMVAULT SYSTEMS INC 10-Q 0001169561 7372 37 2011-06-30 366,879,000 33,841,000 205,387,000 33,841,000 7,039,000
1194 Compass Diversified Holdings 10-Q 0001345122 6189 13 2011-06-30 976,368,000