Saturday, May 7, 2011

Google Alert - Antiques treasure

News1 new result for Antiques treasure
 
Antiques: Porcelain more precious than gold in 17th century
Pittsburgh Tribune-Review
At the same time, another scientist with the long name Ehrenfried Walther von Tschirnhaus was working to discover the secret of the other treasure, porcelain. Tschirnhaus and Bottger were told to work together, and porcelain was finally created in 1713 ...
See all stories on this topic »


Tip: Use a minus sign (-) in front of terms in your query that you want to exclude. Learn more.

Remove this alert.
Create another alert.
Manage your alerts.

3 American Tech Players Embraced by Japan

Its people have a reputation for jumping on cutting-edge technology faster and
earlier than the rest of the world, bit Japan has remained a tough nut to crack
for tech companies. Even a behemoth like Microsoft (NASDAQ: MSFT ) has had
trouble infiltrating the market. For example, the company has sold around 53
million Xbox 360 video game consoles worldwide since 2005. In Japan, the cradle
of the video game console industry, Microsoft has struggled to sell even 2
million Xboxes.  This is because Microsoft is a foreign company. That its an
American company is beside the point the Japanese people have traditionally
preferred products and services made by Japanese companies. While a grand sea
change hasnt taken place, there are a number of non-Japanese technology
companies making a significant impact on the Japanese market. Some of them are
even beginning to erode the sales of products made by Japanese companies. Here
are three changing the face of Japanese consumer habits. Apple (NASDAQ: AAPL )
Given the way Apples reign has spread over most of the world, it should be
unsurprising that its also having an impact on Japan. But its popularity is
surprising. At the end of 2010, the iPhone accounted for a whopping 72% of the
Japanese smartphone market . The iPad also has proven hugely popular in the
country. Even though the populace is still reeling from the earthquake and
tsunami in March, enough people turned out for the iPad 2s release on Friday to
line multiple Tokyo blocks . At least one consumer buying a new iPad last week
said they were purchasing it rather than Sonys (NYSE: SNE ) S1 because it was
sleeker than Sonys clunky tablet. Amazon (NASDAQ: AMZN ) While Amazons retail
operation in Japan has always been healthy the companys international segment,
which includes Amazon.jp, generated $5.7 billion in 2010, up 26% over the
previous year its been the success of the Kindle thats been truly impressive. 
Though Amazon has never revealed full sales numbers for the e-reader in any
region, Amazon.jp was included in the companys statistic that the Kindle was its
best-selling item ever during the holiday 2010 quarter. There is other evidence
of the international model of the e-readers success in the country, particularly
pre-orders for Kindle-related books and especially the 2010 refresh of the
entire Sony Reader line of devices. Twitter Although investors are still
clambering for an initial public offering from the popular social networking
website, would-be shareholders can at least take comfort in knowing that the
service is already successful around the world, particularly in Japan. Japans
Twitter user base began growing significantly in 2009. As of March, the country
accounts for one of the three densest populations of Twitter users on the planet
. Facebook and other western social networks have never managed to penetrate
into Japanese culture, but Twitter is a hot commodity in the region.

LOCM Technical Analysis For 5/9/11

tdp2664Penny Stock Live
To watch in HD, expand the video and select 720p.



Top Rebounding U.S.-Listed International Stocks (May 7, 2011)

This ranking was UPDATED TODAY before 4:30 AM ET. Below are the top
rebounding U.S.-listed international stocks based on % change from 52-week
low. CLICK HERE for Upside Potential Ranking of Chinese Stocks Listed in the
U.S. Ranking  |  Company (Ticker)  |  % Change from 52-Week Low  | 
Country/Region 1 Genetic Technologies Limited (ADR)
(NASDAQ:GENE) 1080.1% Australia 2 Amarin Corporation plc (ADR)
(NASDAQ:AMRN) 725.4% Ireland 3 Rediff.com India Limited (ADR)
(NASDAQ:REDF) 646.7% India 4 China Shen Zhou Mining & Resources Inc.
(AMEX:SHZ) 625.0% China 5 BOS Better OnLine Sol (USA)
(NASDAQ:BOSC) 510.5% Israel 6 Samson Oil & Gas Limited (ADR)
(AMEX:SSN) 468.0% Australia 7 Great Panther Silver Limited
(AMEX:GPRLF) 415.7% Canada 8 RiT Technologies Ltd.
(NASDAQ:RITT) 400.8% Israel 9 Sify Technologies Limited
(NASDAQ:SIFY) 396.6% India 10 Almaden Minerals Ltd. (USA)
(AMEX:AAU) 384.5% Canada 11 Midway Gold Corp. (AMEX:MDW) 378.9% Canada
12 SINA Corporation (USA) (NASDAQ:SINA) 289.0% China 13 Velti Plc
(NASDAQ:VELT) 268.5% Ireland 14 Valeant Pharmaceuticals Int (USA)
(NYSE:VRX) 265.9% Canada 15 Allot Communications Ltd.
(NASDAQ:ALLT) 259.9% Israel 16 Fuwei Films (Holdings) Co., Ltd
(NASDAQ:FFHL) 256.4% China 17 Novogen Limited (ADR)
(NASDAQ:NVGN) 250.3% Australia 18 51job, Inc. (ADR)
(NASDAQ:JOBS) 248.7% China 19 Augusta Resource Corp. (USA)
(AMEX:AZC) 245.4% Canada 20 Mercer International Inc.
(NASDAQ:MERC) 238.9% Canada 21 JinkoSolar Holding Co., Ltd.
(NYSE:JKS) 225.9% China 22 VocalTec Communications Ltd.
(NASDAQ:CALL) 222.5% Israel 23 Silicon Motion Technology Corp. (ADR)
(NASDAQ:SIMO) 221.4% Taiwan 24 Copernic Inc. (NASDAQ:COMT) 220.0% Canada
25 Golar LNG Limited (USA) (NASDAQ:GLNG) 212.3% Bermuda 26 Melco Crown
Entertainment Ltd (ADR) (NASDAQ:MPEL) 210.8% Hong Kong 27 Lululemon Athletica
inc. (NASDAQ:LULU) 205.5% Canada 28 Orsus Xelent Technologies Inc.
(AMEX:ORS) 205.0% China 29 Endeavour Silver Corp. (CAN)
(NYSE:EXK) 202.9% Canada 30 ATA Inc.(ADR) (NASDAQ:ATAI) 202.2% China
31 ARM Holdings plc (ADR) (NASDAQ:ARMH) 202.1% United Kingdom 32 NXP
Semiconductors NV (NASDAQ:NXPI) 202.1% Netherlands 33 Alexco Resource Corp.
(USA) (AMEX:AXU) 200.4% Canada 34 Magic Software Enterprises Ltd.
(NASDAQ:MGIC) 199.5% Israel 35 Sky mobi Ltd (ADR)
(NASDAQ:MOBI) 197.2% China 36 Nova Measuring Instruments Ltd.
(NASDAQ:NVMI) 196.4% Israel 37 YM BioSciences Inc. (USA)
(AMEX:YMI) 192.5% Canada 38 Mountain Province Diamonds, Inc.
(AMEX:MDM) 190.6% Canada 39 IMAX Corporation (USA)
(NYSE:IMAX) 189.2% Canada 40 MI Developments Inc. (USA)
(NYSE:MIM) 186.3% Canada 41 Spreadtrum Communications, Inc (ADR)
(NASDAQ:SPRD) 182.3% China 42 Pluristem Therapeutics Inc.
(NASDAQ:PSTI) 181.8% Israel 43 Minco Gold Corporation (ADR)
(AMEX:MGH) 180.6% Canada 44 LyondellBasell Industries NV
(NYSE:LYB) 176.4% Netherlands 45 China CGame Inc (NASDAQ:CCGM) 171.2% China
46 Braskem SA (ADR) (NYSE:BAK) 170.5% Brazil 47 Alcatel-Lucent (ADR)
(NYSE:ALU) 169.8% France 48 China Techfaith Wireless Comm. Tech. Ltd
(NASDAQ:CNTF) 167.0% China 49 Cimatron Ltd. (NASDAQ:CIMT) 162.8% Israel
50 Nymox Pharmaceutical Corporation (NASDAQ:NYMX) 160.2% Canada 51 Gentium
S.p.A. (ADR) (NASDAQ:GENT) 158.7% Italy 52 Energy XXI (Bermuda) Limited
(NASDAQ:EXXI) 158.0% Bermuda 53 Focus Media Holding Limited (ADR)
(NASDAQ:FMCN) 154.5% Hong Kong 54 Bonso Electronics International Inc.
(NASDAQ:BNSO) 152.3% Hong Kong 55 Grupo Financiero Galicia S.A. (ADR)
(NASDAQ:GGAL) 152.0% Argentina 56 AudioCodes Ltd.
(NASDAQ:AUDC) 151.9% Israel 57 7 DAYS GROUP HOLDINGS LIMITED(ADR)
(NYSE:SVN) 150.3% China 58 New Dragon Asia Corp. (AMEX:NWD) 150.0% China
59 Ku6 Media Co., Ltd. (ADR) (NASDAQ:KUTV) 149.6% China 60 Fabrinet
(NYSE:FN) 148.2% Cayman Islands 61 Herbalife Ltd. (NYSE:HLF) 147.7% Cayman
Islands 62 Silicom Ltd. (NASDAQ:SILC) 143.1% Israel 63 Trintech Group PLC
(ADR) (NASDAQ:TTPA) 142.4% Ireland 64 AEterna Zentaris Inc. (USA)
(NASDAQ:AEZS) 141.9% Canada 65 China Green Energy Industries Inc
(NASDAQ:CGRE) 141.7% China 66 Global Crossing Ltd.
(NASDAQ:GLBC) 141.3% Bermuda 67 ChipMOS Technologies (Bermuda) Ltd
(NASDAQ:IMOSD) 140.8% Taiwan 68 Points International Ltd. (USA)
(NASDAQ:PCOM) 139.3% Canada 69 China Shenghuo Pharmaceutical Hldg, Inc.
(AMEX:KUN) 136.2% China 70 Oncolytics Biotech, Inc. (USA)
(NASDAQ:ONCY) 135.8% Canada 71 Envoy Capital Group Inc.
(NASDAQ:ECGI) 135.3% Canada 72 Kimber Resources, Inc.
(AMEX:KBX) 135.0% Canada 73 Sohu.com Inc. (NASDAQ:SOHU) 134.8% China
74 China Metro Rural Holdings Ltd (AMEX:CNR) 134.1% Hong Kong 75 Chicago
Bridge & Iron Company N.V. (NYSE:CBI) 131.8% Netherlands 76 Youku.com Inc
(ADR) (NYSE:YOKU) 130.1% China 77 Sensata Technologies Holding N.V.
(NYSE:ST) 125.2% Netherlands 78 Baidu.com, Inc. (ADR)
(NASDAQ:BIDU) 124.2% China 79 ASM International N.V. (USA)
(NASDAQ:ASMI) 124.0% Netherlands 80 Sapiens International Corporation N.V.
(NASDAQ:SPNS) 123.8% Netherland Antilles 81 Asia Pacific Wire & Cable
(NASDAQ:AWRCF) 123.6% Taiwan 82 Banro Corporation (AMEX:BAA) 121.9% Canada
83 China Yuchai International Limited (NYSE:CYD) 119.3% Singapore 84 EZchip
Semiconductor Ltd. (NASDAQ:EZCH) 119.0% Israel 85 Domtar Corp. (USA)
(NYSE:UFS) 115.9% Canada 86 Claude Resources Inc. (USA)
(AMEX:CGR) 115.6% Canada 87 Brasil Telecom Participacoes SA (ADR)
(NYSE:BRP) 114.8% Brazil 88 IntelliPharmaCeutics Intl Inc (USA)
(NASDAQ:IPCI) 114.6% Canada 89 CNH Global N.V. (ADR)
(NYSE:CNH) 112.2% Netherlands 90 Ivanhoe Mines Ltd. (USA)
(NYSE:IVN) 111.7% Canada 91 China Kanghui Holdings (NYSE:KH) 111.1% China
92 Silver Wheaton Corp. (USA) (NYSE:SLW) 110.7% Canada 93 China GrenTech
Corporation Limited (ADR) (NASDAQ:GRRF) 109.9% China 94 New Gold Inc. (USA)
(AMEX:NGD) 108.8% Canada 95 Crucell N.V. (ADR)
(NASDAQ:CRXLY) 108.7% Netherlands 96 Nevsun Resources (USA)
(AMEX:NSU) 108.6% Canada 97 TIM Participacoes SA (ADR)
(NYSE:TSU) 108.0% Brazil 98 Crosshair Exploration & Mining Corp.
(AMEX:CXZ) 107.9% Canada 99 LDK Solar Co., Ltd (ADR)
(NYSE:LDK) 107.4% China 100 Top Image Systems Ltd.
(NASDAQ:TISA) 106.3% Israel 101 TransGlobe Energy Corporation (USA)
(NASDAQ:TGA) 105.5% Canada 102 Mellanox Technologies, Ltd.
(NASDAQ:MLNX) 104.8% Israel 103 Prana Biotechnology Limited (ADR)
(NASDAQ:PRAN) 104.6% Australia 104 EXFO Electro-Optical Engineering (USA)
(NASDAQ:EXFO) 104.3% Canada 105 Baytex Energy Corp (USA)
(NYSE:BTE) 104.3% Canada 106 Corpbanca (ADR) (NYSE:BCA) 103.2% Chile
107 Leading Brands, Inc. (NASDAQ:LBIX) 101.6% Canada 108 BT Group plc (ADR)
(NYSE:BT) 100.9% United Kingdom 109 Wimm-Bill-Dann Foods OJSC (ADR)
(NYSE:WBD) 100.6% Russia 110 Shamir Optical Industry Ltd.
(NASDAQ:SHMR) 100.4% Israel 111 Alumina Limited (ADR)
(NYSE:AWC) 100.4% Australia 112 Denison Mines Corp.
(AMEX:DNN) 100.0% Canada 113 EDAP TMS S.A. (ADR)
(NASDAQ:EDAP) 100.0% France 114 MGT Capital Investments Inc.
(AMEX:MGT) 100.0% United Kingdom 115 MercadoLibre, Inc.
(NASDAQ:MELI) 99.4% Argentina 116 Northern Dynasty Minerals Ltd. (USA)
(AMEX:NAK) 98.5% Canada 117 Richmont Mines Inc. (USA)
(AMEX:RIC) 97.9% Canada 118 Radware Ltd. (NASDAQ:RDWR) 97.3% Israel
119 CGG Veritas (ADR) (NYSE:CGV) 96.2% France 120 Yanzhou Coal Mining Co.
(ADR) (NYSE:YZC) 95.3% China 121 Mag Silver Corp (ADR)
(AMEX:MVG) 94.4% Canada 122 ClickSoftware Technologies Ltd.
(NASDAQ:CKSW) 94.3% Israel 123 CryptoLogic Limited (USA)
(NASDAQ:CRYP) 94.0% Canada 124 Verigy Ltd. (NASDAQ:VRGY) 93.9% Singapore
125 MIND C.T.I. Ltd. (NASDAQ:MNDO) 93.7% Israel 126 North American Palladium
Ltd. (AMEX:PAL) 93.4% Canada 127 VistaPrint NV (NASDAQ:VPRT) 93.3% Bermuda
128 Silver Standard Resources Inc. (USA) (NASDAQ:SSRI) 93.1% Canada
129 Enstar Group Ltd. (NASDAQ:ESGR) 92.3% Bermuda 130 Danaos Corporation
(NYSE:DAC) 92.0% Greece 131 Potash Corp./Saskatchewan (USA)
(NYSE:POT) 91.2% Canada 132 Check Point Software Technologies Ltd.
(NASDAQ:CHKP) 90.5% Israel 133 Silvercorp Metals Inc. (USA)
(NYSE:SVM) 90.1% Canada 134 Transition Therapeutics Inc.
(NASDAQ:TTHI) 90.1% Canada 135 Feihe International Inc
(NYSE:ADY) 90.0% China 136 AbitibiBowater Inc. (NYSE:ABH) 90.0% Canada
137 Avago Technologies Ltd (NASDAQ:AVGO) 89.9% Singapore 138 Seaspan
Corporation (NYSE:SSW) 89.2% Hong Kong 139 Telvent Git, S.A
(NASDAQ:TLVT) 89.1% Spain 140 Gammon Gold, Inc. (NYSE:GRS) 89.0% Canada
141 BMB Munai Inc. (AMEX:KAZ) 88.9% Kazakhstan 142 RADCOM Ltd.
(NASDAQ:RDCM) 88.6% Israel 143 NovaGold Resources Inc. (USA)
(AMEX:NG) 88.5% Canada 144 Sociedad Quimica y Minera (ADR)
(NYSE:SQM) 87.8% Chile 145 Alto Palermo S.A. (ADR)
(NASDAQ:APSA) 87.7% Argentina 146 FirstService Corporation (USA)
(NASDAQ:FSRV) 87.4% Canada 147 China New Borun Corp (NYSE:BORN) 87.0% China
148 ING Groep N.V. (ADR) (NYSE:ING) 86.7% Netherlands 149 A.F.P Provida SA
(ADR) (NYSE:PVD) 86.1% Chile 150 Elan Corporation, plc (ADR)
(NYSE:ELN) 85.2% Ireland 151 Grupo Casa Saba, S.A. (ADR)
(NYSE:SAB) 85.0% Mexico 152 SunOpta, Inc. (USA) (NASDAQ:STKL) 84.7% Canada
153 China Unicom (Hong Kong) Limited (ADR) (NYSE:CHU) 84.7% Hong Kong
154 Flexible Solutions International, Inc. (AMEX:FSI) 84.1% Canada
155 Vitran Corporation, Inc. (USA) (NASDAQ:VTNC) 84.0% Canada 156 Charm
Communications Inc (ADR) (NASDAQ:CHRM) 82.8% China 157 IncrediMail Ltd. (USA)
(NASDAQ:MAIL) 82.6% Israel 158 Camelot Information Systems Inc (ADR)
(NYSE:CIS) 82.4% China 159 Companhia de Bebidas das Americas (ADR)
(NYSE:ABV) 82.0% Brazil 160 SeaDrill Limited (NYSE:SDRL) 82.0% Bermuda
161 Global Sources Ltd. (Bermuda) (NASDAQ:GSOL) 81.6% Bermuda 162 Sodastream
International Limited (NASDAQ:SODA) 81.5% Israel 163 BBVA Banco Frances S.A.
(ADR) (NYSE:BFR) 80.9% Argentina 164 Trina Solar Limited (ADR)
(NYSE:TSL) 80.7% China 165 NetEase.com, Inc. (ADR)
(NASDAQ:NTES) 80.2% China 166 Makita Corporation (ADR)
(NASDAQ:MKTAY) 79.9% Japan 167 VisionChina Media Inc (ADR)
(NASDAQ:VISN) 79.3% China 168 LML Payment Systems, Inc.
(NASDAQ:LMLP) 79.0% Canada 169 Trinity Biotech plc (ADR)
(NASDAQ:TRIB) 78.7% Ireland 170 Grupo Radio Centro SAB de CV (ADR)
(NYSE:RC) 78.7% Mexico 171 Transportadora de Gas del Sur SA (ADR)
(NYSE:TGS) 78.3% Argentina 172 Aixtron AG (ADR) (NASDAQ:AIXG) 77.5% Germany
173 Autoliv Inc.(ADR) (NYSE:ALV) 77.1% Sweden 174 Teck Resources Limited
(NYSE:TCK) 77.1% Canada 175 Advanced Semiconductor Engineering (ADR)
(NYSE:ASX) 76.9% Taiwan 176 RADA Electronic Ind. Ltd.
(NASDAQ:RADA) 76.8% Israel 177 Nabors Industries Ltd.
(NYSE:NBR) 76.3% Bermuda 178 Highway Holdings Limited
(NASDAQ:HIHO) 76.2% Hong Kong 179 Seagate Technology PLC
(NASDAQ:STX) 76.1% Ireland 180 The9 Limited (ADR) (NASDAQ:NCTY) 75.9% China
181 STMicroelectronics N.V. (ADR) (NYSE:STM) 75.7% Switzerland 182 Agrium
Inc. (USA) (NYSE:AGU) 75.5% Canada 183 Ivanhoe Energy Inc. (USA)
(NASDAQ:IVAN) 75.3% Canada 184 HiSoft Technology Internatnl Ltd (ADR)
(NASDAQ:HSFT) 74.5% China 185 Orient-Express Hotels Ltd.
(NYSE:OEH) 73.8% Bermuda 186 Vivo Participacoes SA (ADR)
(NYSE:VIV) 72.9% Brazil 187 Brasil Telecom SA (ADR) (NYSE:BTM) 72.6% Brazil
188 Keegan Resources Inc. (AMEX:KGN) 72.6% Canada 189 Companhia de
Saneamento Basico (ADR) (NYSE:SBS) 72.5% Brazil 190 BRF Brasil Foods SA(ADR)
(NYSE:BRFS) 72.2% Brazil 191 Tata Motors Limited (ADR)
(NYSE:TTM) 72.2% India 192 Formula Systems (1985) Ltd. (ADR)
(NASDAQ:FORTY) 72.0% Israel 193 Cardero Resources Corp. (USA)
(AMEX:CDY) 72.0% Canada 194 Rio Tinto plc (ADR) (NYSE:RIO) 71.7% United
Kingdom 195 TAM S.A. (ADR) (NYSE:TAM) 71.7% Brazil 196 SouFun Holdings
Limited (NYSE:SFUN) 71.5% China 197 Prudential Public Limited Company (ADR)
(NYSE:PUK) 71.0% United Kingdom 198 Manulife Financial Corporation (USA)
(NYSE:MFC) 70.2% Canada 199 Changyou.com Limited(ADR)
(NASDAQ:CYOU) 70.1% China 200 MER Telemanagement Solutions Ltd.
(NASDAQ:MTSL) 70.0% Israel 201 Ceragon Networks Ltd.
(NASDAQ:CRNT) 69.9% Israel 202 Open Text Corporation (USA)
(NASDAQ:OTEX) 69.8% Canada 203 Telefonica de Argentina SA (ADR)
(NYSE:TAR) 69.4% Argentina 204 ReneSola Ltd. (ADR) (NYSE:SOL) 69.2% China
205 Hydrogenics Corporation (USA) (NASDAQ:HYGS) 69.0% Canada 206 Ecopetrol
S.A. (ADR) (NYSE:EC) 69.0% Colombia 207 Novo Nordisk A/S (ADR)
(NYSE:NVO) 68.9% Denmark 208 Teekay Offshore Partners L.P.
(NYSE:TOO) 68.8% Bermuda 209 Embraer SA (ADR) (NYSE:ERJ) 68.5% Brazil
210 Lan Airlines S.A. (ADR) (NYSE:LFL) 68.3% Chile 211 Magna International
Inc. (USA) (NYSE:MGA) 68.1% Canada 212 Foster Wheeler AG
(NASDAQ:FWLT) 68.0% Switzerland 213 VanceInfo Technologies Inc.(ADR)
(NYSE:VIT) 67.8% China 214 eLong, Inc. (ADR) (NASDAQ:LONG) 67.0% China
215 Ultrapar Participacoes SA (ADR) (NYSE:UGP) 66.7% Brazil 216 Pharmaxis
Ltd. (ADR) (NASDAQ:PXSLY) 66.6% Australia 217 Petrobras Argentina SA ADR
(NYSE:PZE) 66.6% Argentina 218 Ritchie Bros. Auctioneers (USA)
(NYSE:RBA) 66.3% Canada 219 Textainer Group Holdings Limited
(NYSE:TGH) 66.3% Bermuda 220 Equal Energy Ltd. (USA)
(NYSE:EQU) 66.0% Canada 221 3SBio Inc. (ADR) (NASDAQ:SSRX) 66.0% China
222 Sierra Wireless, Inc. (USA) (NASDAQ:SWIR) 65.7% Canada 223 BP plc (ADR)
(NYSE:BP) 65.5% United Kingdom 224 Siemens AG (ADR) (NYSE:SI) 65.5% Germany
225 DragonWave, Inc.(USA) (NASDAQ:DRWI) 65.3% Canada 226 CE Franklin Ltd.
(USA) (NASDAQ:CFK) 65.3% Canada 227 LJ International, Inc.
(NASDAQ:JADE) 64.8% Hong Kong 228 Natuzzi, S.p.A (ADR)
(NYSE:NTZ) 64.8% Italy 229 Industrias Bachoco, S.A.B. de C.V. (ADR)
(NYSE:IBA) 64.8% Mexico 230 City Telecom (H.K.) Limited (ADR)
(NASDAQ:CTEL) 64.4% Hong Kong 231 Harry Winston Diamond Corporation (USA)
(NYSE:HWD) 64.0% Canada 232 ASML Holding N.V. (ADR)
(NASDAQ:ASML) 63.7% Netherlands 233 Provident Energy Trust (USA)
(NYSE:PVX) 63.6% Canada 234 Weatherford International Ltd.
(NYSE:WFT) 63.6% Switzerland 235 BHP Billiton Limited (ADR)
(NYSE:BHP) 63.6% Australia 236 ENSCO PLC (NYSE:ESV) 63.6% United Kingdom
237 Mettler-Toledo International Inc. (NYSE:MTD) 63.2% Switzerland 238 ABB
Ltd (ADR) (NYSE:ABB) 62.7% Switzerland 239 RADVISION LTD. (USA)
(NASDAQ:RVSN) 62.5% Israel 240 Allied Irish Banks, plc. (ADR)
(NYSE:AIB) 62.5% Ireland 241 Transocean LTD (NYSE:RIG) 61.9% Switzerland
242 Shire Plc. (ADR) (NASDAQ:SHPGY) 61.8% United Kingdom 243 EDENOR S.A.
(ADR) (NYSE:EDN) 61.6% Argentina 244 Brookfield Infrastructure Partners L.P.
(NYSE:BIP) 61.3% Bermuda 245 MDC Partners Inc. (USA)
(NASDAQ:MDCA) 61.1% Canada 246 CRH PLC (ADR) (NYSE:CRH) 61.0% Ireland
247 Nortel Inversora S.A. (ADR) (NYSE:NTL) 60.6% Argentina 248 Methanex
Corporation (USA) (NASDAQ:MEOH) 60.5% Canada 249 Syngenta AG (ADR)
(NYSE:SYT) 60.5% Switzerland 250 Costamare Inc (NYSE:CMRE) 60.5% Greece
251 Doral Financial Corp. (NYSE:DRL) 60.2% Puerto Rico 252 BHP Billiton plc
(ADR) (NYSE:BBL) 60.2% United Kingdom 253 AirMedia Group Inc. (ADR)
(NASDAQ:AMCN) 60.1% China 254 Schlumberger Limited.
(NYSE:SLB) 60.0% Curacao 255 Sasol Limited (ADR) (NYSE:SSL) 59.7% South
Africa 256 Companhia Brasileira de Distrib. (ADR) (NYSE:CBD) 59.6% Brazil
257 Telecom Argentina S.A. (ADR) (NYSE:TEO) 59.6% Argentina 258 China
Lodging Group, Ltd (ADR) (NASDAQ:HTHT) 59.6% China 259 Banco de Chile (ADR)
(NYSE:BCH) 59.5% Chile 260 Entree Gold Inc. (AMEX:EGI) 59.5% Canada
261 Minefinders Corp. Ltd. (USA) (AMEX:MFN) 59.5% Canada 262 Triple-S
Management Corp. (NYSE:GTS) 59.4% Puerto Rico 263 Tim Hortons Inc. (USA)
(NYSE:THI) 58.9% Canada 264 Syneron Medical Ltd. (NASDAQ:ELOS) 58.8% Israel
265 Terra Nova Royalty Corp (NYSE:TTT) 58.6% Canada 266 Harmony Gold Mining
Co. (ADR) (NYSE:HMY) 58.1% South Africa 267 CPFL Energia S.A. (ADR)
(NYSE:CPL) 58.1% Brazil 268 Banco Santander-Chile (ADR)
(NYSE:SAN) 58.0% Chile 269 Cott Corporation (USA) (NYSE:COT) 57.9% Canada
270 China Mass Media Intl Adv Corp. (ADR) (NYSE:CMM) 57.5% China 271 CNOOC
Limited (ADR) (NYSE:CEO) 57.1% Hong Kong 272 Cosan Limited
(NYSE:CZZ) 57.1% Brazil 273 British American Tobacco (ADR)
(AMEX:BTI) 56.8% United Kingdom 274 Compania Cervecerias Unidas S.A. (ADR)
(NYSE:CCU) 56.7% Chile 275 Compugen Ltd. (USA) (NASDAQ:CGEN) 56.6% Israel
276 Companhia Paranaense de Energia (ADR) (NYSE:ELP) 56.5% Brazil
277 Internet Initiative Japan Inc. (ADR) (NASDAQ:IIJI) 56.5% Japan
278 Camtek LTD. (NASDAQ:CAMT) 56.5% Israel 279 Signet Jewelers Ltd.
(NYSE:SIG) 56.4% Bermuda 280 UBS AG (USA) (NYSE:UBS) 56.4% Switzerland
281 CTC Media, Inc. (NASDAQ:CTCM) 56.1% Russia 282 Hitachi, Ltd. (ADR)
(NYSE:HIT) 55.9% Japan 283 Fomento Economico Mexicano SAB (ADR)
(NYSE:FMX) 55.7% Mexico 284 Telefonaktiebolaget LM Ericsson (ADR)
(NASDAQ:ERIC) 55.6% Sweden 285 Lazard Ltd (NYSE:LAZ) 55.5% Bermuda
286 Covidien plc (NYSE:COV) 55.4% Ireland 287 TELUS Corporation (USA)
(NYSE:TU) 55.3% Canada 288 TE Connectivity Ltd.
(NYSE:TEL) 55.3% Switzerland 289 Keyuan Petrochemicals, Inc.
(NASDAQ:KEYP) 54.9% China 290 Fresenius Medical Care AG & Co. (ADR)
(NYSE:FMS) 54.8% Germany 291 On Track Innovations Ltd.(USA)
(NASDAQ:OTIV) 54.8% Israel 292 Lihir Gold Limited (ADR)
(NASDAQ:LIHRF) 54.7% Papua New Guinea 293 Simcere Pharmaceutical Group (ADR)
(NYSE:SCR) 54.7% China 294 Gran Tierra Energy Inc. (AMEX:GTE) 54.6% Canada
295 Ingersoll-Rand PLC (NYSE:IR) 54.5% Ireland 296 CAE, Inc. (USA)
(NYSE:CAE) 54.5% Canada 297 Sappi Limited (ADR) (NYSE:SPP) 54.4% South
Africa 298 ZHONGPIN INC. (NASDAQ:HOGS) 54.4% China 299 KongZhong Corporation
(ADR) (NASDAQ:KONG) 53.7% China 300 CGI Group Inc. (USA)
(NYSE:GIB) 53.6% Canada 301 Cooper Industries plc (NYSE:CBE) 53.5% Ireland
302 Embotelladora Andina SA (ADR) (NYSE:AKO.A) 53.2% Chile 303 Ctrip.com
International, Ltd. (ADR) (NASDAQ:CTRP) 53.2% China 304 Accenture Plc
(NYSE:ACN) 53.0% Ireland 305 Cresud Inc. (ADR)
(NASDAQ:CRESY) 53.0% Argentina 306 Brookfield Asset Management Inc. (USA)
(NYSE:BAM) 52.9% Canada 307 Enerplus Corp (USA) (NYSE:ERF) 52.7% Canada
308 Mechel OAO (ADR) (NYSE:MTL) 52.5% Russia 309 SGOCO Group Ltd
(NASDAQ:SGOC) 52.5% China 310 Tanzanian Royalty Exploration Corp. (US)
(AMEX:TRE) 52.3% Canada 311 Altisource Portfolio Solutions S.A.
(NASDAQ:ASPS) 52.1% Luxembourg 312 Semiconductor Manufacturing Intl (ADR)
(NYSE:SMI) 51.9% China 313 Grupo Aeroportuario del Pacifico (ADR)
(NYSE:PAC) 51.8% Mexico 314 Pengrowth Energy Trust (USA)
(NYSE:PGH) 51.7% Canada 315 Banco Latinoamericano de Comercio Exr SA
(NYSE:BLX) 51.7% Panama 316 Teekay Corporation (NYSE:TK) 51.6% Bermuda
317 Knightsbridge Tankers Limited (NASDAQ:VLCCF) 51.6% Bermuda 318 China
Natural Resources Inc. (NASDAQ:CHNR) 51.5% Hong Kong 319 SAP AG (ADR)
(NYSE:SAP) 51.4% Germany 320 Copa Holdings, S.A. (NYSE:CPA) 51.4% Panama
321 Vodafone Group Plc (ADR) (NASDAQ:VOD) 51.3% United Kingdom 322 Acorn
International, Inc. (ADR) (NYSE:ATV) 51.3% China 323 China Biologic Products
Inc (NASDAQ:CBPO) 51.0% China 324 Given Imaging Ltd.
(NASDAQ:GIVN) 50.7% Israel 325 Capital Product Partners L.P.
(NASDAQ:CPLP) 50.7% Greece 326 Pampa Energia S.A. (ADR)
(NYSE:PAM) 50.6% Argentina 327 ZST Digital Networks Inc
(NASDAQ:ZSTN) 50.6% China 328 Noble Corporation (NYSE:NE) 50.4% Cayman
Islands 329 XL Group plc (NYSE:XL) 50.4% Ireland 330 Siliconware Precision
Industries (ADR) (NASDAQ:SPIL) 50.3% Taiwan 331 Gruma S.A.B. de C.V. (ADR)
(NYSE:GMK) 50.3% Mexico 332 Central Fund of Canada Limited (USA)
(AMEX:CEF) 50.2% Canada 333 Talisman Energy Inc. (USA)
(NYSE:TLM) 50.1% Canada 334 Suncor Energy Inc. (USA) (NYSE:SU) 50.1% Canada
335 China Shandong Industries Inc (NASDAQ:CSNHD) 50.0% China 336 Globalink
Limited (NASDAQ:GOBK) 50.0% Canada 337 Sinopec Shanghai Petrochemical Co.
(ADR) (NYSE:SHI) 49.6% China 338 Pan American Silver Corp. (USA)
(NASDAQ:PAAS) 49.5% Canada 339 AEGON N.V. (ADR)
(NYSE:AEG) 49.5% Netherlands 340 Westpac Banking Corporation (ADR)
(NYSE:WBK) 49.2% Australia 341 Shinhan Financial Group Co., Ltd. (ADR)
(NYSE:SHG) 48.8% South Korea 342 Telecomunicacoes de Sao Paulo SA (ADR)
(NYSE:TSP) 48.6% Brazil 343 International Tower Hill Mines Ltd(USA]
(AMEX:THM) 48.5% Canada 344 Allied World Assurance Co Holdings, AG.
(NYSE:AWH) 48.4% Switzerland 345 PolyMet Mining Corp. (USA)
(AMEX:PLM) 48.4% Canada 346 B Communications Ltd (NASDAQ:BCOM) 48.4% Israel
347 Dr. Reddys Laboratories Limited (ADR) (NYSE:RDY) 48.3% India 348 Cenovus
Energy Inc (USA) (NYSE:CVE) 48.2% Canada 349 SearchMedia Holdings Limited
(AMEX:IDI) 47.9% China 350 Taiwan Semiconductor Mfg. Co. Ltd. (ADR)
(NYSE:TSM) 47.8% Taiwan 351 Bancolombia S.A. (ADR)
(NYSE:CIB) 47.7% Colombia 352 Great Basin Gold Ltd. (USA)
(AMEX:GBG) 47.4% Canada 353 Companhia Energetica Minas Gerais (ADR)
(NYSE:CIG) 47.4% Brazil 354 Enbridge Inc. (USA) (NYSE:ENB) 47.4% Canada
355 Nice Systems Ltd. (ADR) (NASDAQ:NICE) 47.3% Israel 356 Giant Interactive
Group Inc (ADR) (NYSE:GA) 47.1% China 357 Nam Tai Electronics, Inc.
(NYSE:NTE) 46.9% China 358 Deer Consumer Products, Inc.
(NASDAQ:DEER) 46.9% China 359 Core Laboratories N.V.
(NYSE:CLB) 46.8% Netherlands 360 Ness Technologies, Inc.
(NASDAQ:NSTC) 46.7% Israel 361 Internet Gold Golden Lines Ltd.
(NASDAQ:IGLD) 46.7% Israel 362 Rubicon Minerals Corp. (USA)
(AMEX:RBY) 46.6% Canada 363 Advantage Oil & Gas Ltd.
(NYSE:AAV) 46.5% Canada 364 Grupo Aeroportuario del Sureste (ADR)
(NYSE:ASR) 46.4% Mexico 365 Fly Leasing Ltd(ADR) (NYSE:FLY) 46.1% Ireland
366 Royal Dutch Shell plc (ADR) (NYSE:RDS.A) 46.1% Netherlands 367 JA Solar
Holdings Co., Ltd. (ADR) (NASDAQ:JASO) 46.0% China 368 Taseko Mines Limited
(USA) (AMEX:TGB) 45.9% Canada 369 Sprott Resource Lending Corp. (USA)
(NYSE:SILU) 45.8% Canada 370 Portugal Telecom, SGPS (ADR)
(NYSE:PT) 45.7% Portugal 371 Tenaris S.A. (ADR) (NYSE:TS) 45.5% Luxembourg
372 Canadian Natural Resource Ltd (USA) (NYSE:CNQ) 45.4% Canada 373 Ossen
Innovation Co., Ltd. (NASDAQ:OSN) 45.3% China 374 Telecom Corp of New Zealand
(ADR) (NYSE:NZT) 45.3% New Zealand 375 Brookfield Properties Corporation
(USA) (NYSE:BPO) 45.1% Canada 376 Stantec Inc. (USA)
(NYSE:STN) 45.0% Canada 377 Luxottica Group S.p.A. (ADR)
(NYSE:LUX) 44.9% Italy 378 ICICI Bank Limited (ADR) (NYSE:IBN) 44.7% India
379 WPP PLC (ADR) (NASDAQ:WPPGY) 44.7% Ireland 380 Nordion Inc(USA)
(NYSE:NDZ) 44.7% Canada 381 Arch Capital Group Ltd.
(NASDAQ:ACGL) 44.5% Bermuda 382 Flextronics International Ltd.
(NASDAQ:FLEX) 44.4% Singapore 383 China Southern Airlines Limited (ADR)
(NYSE:ZNH) 44.2% China 384 Hollysys Automation Technologies Ltd
(NASDAQ:HOLI) 44.2% China 385 StealthGas Inc. (NASDAQ:GASS) 44.0% Greece
386 Primus Guaranty, Ltd. (NYSE:PRS) 44.0% Bermuda 387 Hutchison Telecom
Intl. Limited (ADR) (NYSE:HTX) 44.0% Hong Kong 388 Canadian National Railway
(USA) (NYSE:CNI) 43.9% Canada 389 AutoNavi Holdings Ltd (ADR)
(NASDAQ:AMAP) 43.5% China 390 Banco Macro SA (ADR)
(NYSE:BMA) 43.5% Argentina 391 North American Energy Partners Inc.(USA)
(NYSE:NOA) 43.3% Canada 392 Pearson PLC (ADR) (NYSE:PSO) 43.3% United
Kingdom 393 Shanda Games Limited(ADR) (NASDAQ:GAME) 43.3% China 394 QLT Inc.
(USA) (NASDAQ:QLTI) 43.3% Canada 395 MakeMyTrip Limited
(NASDAQ:MMYT) 43.2% India 396 Penn West Petroleum Ltd (USA)
(NYSE:PWE) 43.2% Canada 397 Celestica Inc. (USA) (NYSE:CLS) 43.1% Canada
398 Tucows Inc. (USA) (AMEX:TCX) 42.9% Canada 399 InterContinental Hotels
Group PLC (ADR) (NYSE:IHG) 42.6% United Kingdom 400 Nexen Inc. (USA)
(NYSE:NXY) 42.6% Canada 401 Tyco International Ltd.
(NYSE:TYC) 42.4% Switzerland 402 Entertainment Gaming Asia Inc.
(AMEX:EGT) 42.0% Hong Kong 403 Grupo Aeroportuario del Centro Nort(ADR)
(NASDAQ:OMAB) 41.9% Mexico 404 Sun Life Financial Inc. (USA)
(NYSE:SLF) 41.9% Canada 405 China-Biotics Inc. (NASDAQ:CHBT) 41.8% China
406 UTStarcom, Inc. (NASDAQ:UTSI) 41.8% China 407 Ryanair Holdings plc (ADR)
(NASDAQ:RYAAY) 41.5% Ireland 408 Navios Maritime Partners L.P.
(NYSE:NMM) 41.5% Greece 409 Eni S.p.A. (ADR) (NYSE:E) 41.4% Italy
410 Statoil ASA(ADR) (NYSE:STO) 41.3% Norway 411 ACE Limited
(NYSE:ACE) 41.3% Switzerland 412 Funtalk China Holdings Ltd.
(NASDAQ:FTLK) 41.3% China 413 Banco Bradesco SA (ADR)
(NYSE:BBD) 41.3% Brazil 414 Sanofi-Aventis SA (ADR) (NYSE:SNY) 41.2% France
415 Mitel Networks Corporation (NASDAQ:MITL) 40.9% Canada 416 Orthofix
International NV (NASDAQ:OFIX) 40.8% - 417 China Telecom Corporation Limited
(ADR) (NYSE:CHA) 40.8% China 418 Willis Group Holdings PLC
(NYSE:WSH) 40.7% United Kingdom 419 Thompson Creek Metals Company, Inc.
(NYSE:TC) 40.6% Canada 420 G. Willi-Food International Limited
(NASDAQ:WILC) 40.5% Israel 421 Eltek Ltd. (NASDAQ:ELTK) 40.5% Israel
422 ORIX Corporation (ADR) (NYSE:IX) 40.5% Japan 423 Millicom International
Cellular SA (USA) (NASDAQ:MICC) 40.4% Luxembourg 424 AerCap Holdings N.V.
(NYSE:AER) 40.3% Netherlands 425 AutoChina International Limited
(NASDAQ:AUTC) 40.2% China 426 Helen of Troy Limited
(NASDAQ:HELE) 40.2% Bermuda 427 New Oriental Educatn & Tech Grp Inc(ADR)
(NYSE:EDU) 40.0% China 428 Banco Bilbao Vizcaya Argentaria SA (ADR)
(NYSE:BBVA) 39.9% Spain 429 Validus Holdings, Ltd. (NYSE:VR) 39.9% Bermuda
430 Ballard Power Systems Inc. (USA) (NASDAQ:BLDP) 39.7% Canada 431 Banco
Itau Holding Financeira S.A. (ADR) (NYSE:ITUB) 39.7% Brazil 432 BluePhoenix
Solutions, Ltd.(USA) (NASDAQ:BPHX) 39.7% Israel 433 Telefonos de Mexico, S.A.
(ADR) (NYSE:TMX) 39.6% Mexico 434 Gildan Activewear Inc. (USA)
(NYSE:GIL) 39.5% Canada 435 Steiner Leisure Limited
(NASDAQ:STNR) 39.5% Bahamas 436 Diageo plc (ADR) (NYSE:DEO) 39.5% United
Kingdom 437 Veolia Environnement (ADR) (NYSE:VE) 39.4% France 438 Fresh Del
Monte Produce Inc. (NYSE:FDP) 39.2% Cayman Islands 439 China Fire & Security
Group, Inc. (NASDAQ:CFSG) 39.0% China 440 Xueda Education Group (ADR)
(NYSE:XUE) 39.0% China 441 DryShips Inc. (NASDAQ:DRYS) 38.7% Greece
442 Duoyuan Global Water Inc (ADR) (NYSE:DGW) 38.6% China 443 Bank of
Ireland (ADR) (NYSE:IRE) 38.4% Ireland 444 Qiao Xing Universal Resources,
Inc. (NASDAQ:XING) 38.2% China 445 InterOil Corporation (USA)
(NYSE:IOC) 38.2% Australia 446 Telefonica S.A. (ADR) (NYSE:TEF) 38.1% Spain
447 Yingli Green Energy Hold. Co. Ltd. (ADR) (NYSE:YGE) 37.8% China
448 Kyocera Corporation (ADR) (NYSE:KYO) 37.8% Japan 449 Novartis AG (ADR)
(NYSE:NVS) 37.7% Switzerland 450 KB Financial Group, Inc. (ADR)
(NYSE:KB) 37.6% South Korea 451 Noah Education Holdings Ltd. (ADR)
(NYSE:NED) 37.6% China 452 Optibase Ltd. (NASDAQ:OBAS) 37.5% Israel
453 IESI BFC Ltd (NYSE:BIN) 37.5% Canada 454 National Grid plc (ADR)
(NYSE:NGG) 37.2% United Kingdom 455 Cameco Corporation (USA)
(NYSE:CCJ) 37.2% Canada 456 Sinotech Energy Ltd ADR
(NASDAQ:CTE) 37.1% China 457 TOTAL S.A. (ADR) (NYSE:TOT) 37.1% France
458 Canadian Imperial Bank of Commerce (USA) (NYSE:CM) 37.0% Canada 459 Home
Inns & Hotels Management Inc. (ADR) (NASDAQ:HMIN) 36.8% China 460 Smith &
Nephew plc (ADR) (NYSE:SNN) 36.8% United Kingdom 461 Telecom Italia S.p.A.
(ADR) (NYSE:TI) 36.7% Italy 462 Lizhan Environmental Corporation
(NASDAQ:LZEN) 36.7% China 463 Teekay LNG Partners L.P.
(NYSE:TGP) 36.6% Bermuda 464 TransCanada Corporation (USA)
(NYSE:TRP) 36.5% Canada 465 Chunghwa Telecom Co., Ltd (ADR)
(NYSE:CHT) 36.4% Taiwan 466 PetroChina Company Limited (ADR)
(NYSE:PTR) 36.2% China 467 Brigus Gold Corp. (AMEX:BRD) 36.2% Canada
468 China Infrastructure Investment Corp (NASDAQ:CIIC) 35.9% China
469 Guangshen Railway Co. Ltd (ADR) (NYSE:GSH) 35.4% China 470 Retalix
Limited (NASDAQ:RTLX) 35.4% Israel 471 Imperial Oil Limited (USA)
(AMEX:IMO) 35.3% Canada 472 Syswin Inc (ADR) (NYSE:SYSW) 35.2% China
473 Orbotech Ltd. (NASDAQ:ORBK) 35.2% Israel 474 Rda Microelectronics Inc
(ADR) (NASDAQ:RDA) 35.1% China 475 SK Telecom Co., Ltd. (ADR)
(NYSE:SKM) 35.0% South Korea 476 Banco Santander, S.A. (ADR)
(NYSE:STD) 34.9% Spain 477 Central European Media Enterprises Ltd.
(NASDAQ:CETV) 34.9% Bermuda 478 China Security & Surveillance Tech. Inc.
(NYSE:CSR) 34.7% China 479 ArcelorMittal (ADR) (NYSE:MT) 34.7% Luxembourg
480 Toronto-Dominion Bank (USA) (NYSE:TD) 34.6% Canada 481 Garmin Ltd.
(NASDAQ:GRMN) 34.6% Switzerland 482 Euroseas Ltd.
(NASDAQ:ESEA) 34.4% Greece 483 James Hardie Industries SE
(NYSE:JHX) 34.3% Ireland 484 HONDA MOTOR CO., LTD. (ADR)
(NYSE:HMC) 34.3% Japan 485 Grupo Televisa, S.A. (ADR)
(NYSE:TV) 34.2% Mexico 486 iSoftStone Holdings Ltd (ADR)
(NYSE:ISS) 34.2% China 487 China Petroleum & Chemical Corp. (ADR)
(NYSE:SNP) 34.1% China 488 Carnival plc (ADR) (NYSE:CUK) 34.0% United
Kingdom 489 BCE Inc. (USA) (NYSE:BCE) 33.8% Canada 490 GlaxoSmithKline plc
(ADR) (NYSE:GSK) 33.7% United Kingdom 491 Credicorp Ltd. (USA)
(NYSE:BAP) 33.6% Peru 492 The Bank of Nova Scotia (USA)
(NYSE:BNS) 33.3% Canada 493 Chemspec International Ltd (ADR)
(NYSE:CPC) 33.2% China 494 Gushan Environmental Energy Ltd (ADR)
(NYSE:GU) 33.1% China 495 KONAMI CORPORATION (ADR) (NYSE:KNM) 32.9% Japan
496 DRDGOLD Ltd. (ADR) (NASDAQ:DROOY) 32.7% South Africa 497 iShares S&P 500
Index (ETF) (NYSE:IVV) 32.6% Ireland 498 Gol Linhas Aereas Inteligentes SA
(ADR) (NYSE:GOL) 32.6% Brazil 499 RenaissanceRe Holdings Ltd.
(NYSE:RNR) 32.4% Bermuda 500 China Ceramics Co Ltd
(NASDAQ:CCCL) 32.3% China 501 Assured Guaranty Ltd.
(NYSE:AGO) 32.3% Bermuda 502 Cogo Group, Inc. (NASDAQ:COGO) 32.3% China
503 Empresa Nacional de Electricidad (ADR) (NYSE:EOC) 32.2% Chile 504 Reed
Elsevier plc (ADR) (NYSE:RUK) 32.2% United Kingdom 505 Orckit Communications
Ltd (NASDAQ:ORCT) 32.1% Israel 506 GigaMedia Limited
(NASDAQ:GIGM) 32.0% Taiwan 507 First BanCorp. (NYSE:FBP) 31.9% Puerto Rico
508 Gravity Co., LTD. (ADR) (NASDAQ:GRVY) 31.9% South Korea 509 Noah
Holdings Limited (ADR) (NYSE:NOAH) 31.7% China 510 Anheuser-Busch InBev NV
(ADR) (NYSE:BUD) 31.7% Belgium 511 Vale (ADR) (NYSE:VALE) 31.6% Brazil
512 Royal Bank of Canada (USA) (NYSE:RY) 31.3% Canada 513 Dejour Energy Inc
(USA) (AMEX:DEJ) 31.3% Canada 514 Pointer Telocation Limited
(NASDAQ:PNTR) 31.1% Israel 515 WSP Holdings Limited (NYSE:WH) 31.0% China
516 Gold Fields Limited (ADR) (NYSE:GFI) 30.9% South Africa 517 Yucheng
Technologies Limited (NASDAQ:YTEC) 30.9% China 518 Everest Re Group, Ltd.
(NYSE:RE) 30.8% Bermuda 519 Descartes Systems Group (USA)
(NASDAQ:DSGX) 30.6% Canada 520 China Real Estate Information Corp
(NASDAQ:CRIC) 30.4% China 521 Kobex Minerals Inc. (USA)
(AMEX:KXM) 30.2% Canada 522 Canadian Pacific Railway Limited (USA)
(NYSE:CP) 30.2% Canada 523 Qiao Xing Mobile Communication Co., Ltd.
(NYSE:QXM) 30.0% China 524 Coca-Cola FEMSA, S.A.B. de C.V. (ADR)
(NYSE:KOF) 30.0% Mexico 525 PT Indosat Tbk (ADR) (NYSE:IIT) 30.0% Indonesia
526 Reed Elsevier NV (ADR) (NYSE:ENL) 29.9% Netherlands 527 France Telecom
SA (ADR) (NYSE:FTE) 29.9% France 528 HDFC Bank Limited (ADR)
(NYSE:HDB) 29.9% India 529 Tongjitang Chinese Medicines Co. (ADR)
(NYSE:TCM) 29.8% China 530 IRSA Inversiones Representaciones (ADR)
(NYSE:IRS) 29.7% Argentina 531 Torm A/S (ADR) (NASDAQ:TRMD) 29.6% Denmark
532 China Nepstar Chain Drugstore Ltd.(ADR) (NYSE:NPD) 29.6% China
533 Popular, Inc. (NASDAQ:BPOP) 29.5% Puerto Rico 534 O2Micro International
Limited (ADR) (NASDAQ:OIIM) 29.4% Cayman Islands 535 Rosetta Genomics Ltd.
(USA) (NASDAQ:ROSG) 29.4% Israel 536 Tele Norte Leste Participacoes SA (ADR)
(NYSE:TNE) 29.3% Brazil 537 American Safety Insurance Holdings, Ltd.
(NYSE:ASI) 29.2% Bermuda 538 China Nuokang Bio-Pharmaceutical Inc.
(NASDAQ:NKBP) 29.2% China 539 Commtouch Software Ltd.
(NASDAQ:CTCH) 29.2% Israel 540 IAMGOLD Corporation (USA)
(NYSE:IAG) 29.1% Canada 541 Le Gaga Holdings Ltd ADR
(NASDAQ:GAGA) 29.1% Hong Kong 542 Flamel Technologies S.A. (ADR)
(NASDAQ:FLML) 29.1% France 543 China Eastern Airlines Corp. Ltd. (ADR)
(NYSE:CEA) 28.9% China 544 Shanda Interactive Entertainment Ltd ADR
(NASDAQ:SNDA) 28.9% China 545 Guanwei Recycling Corp.
(NASDAQ:GPRC) 28.9% China 546 Yamana Gold Inc. (USA)
(NYSE:AUY) 28.8% Canada 547 LG Display Co Ltd. (ADR) (NYSE:LPL) 28.8% South
Korea 548 Gulf Resources, Inc. (NASDAQ:GFRE) 28.7% China 549 Ultrapetrol
(Bahamas) Limited (NASDAQ:ULTR) 28.6% Bahamas 550 Goldcorp Inc. (USA)
(NYSE:GG) 28.5% Canada 551 Perfect World Co., Ltd. (ADR)
(NASDAQ:PWRD) 28.5% China 552 China Shengda Packaging Group Inc.
(NASDAQ:CPGI) 28.5% China 553 Daqo New Energy Corp. (NYSE:DQ) 28.5% China
554 Sequans Communications SA ADR (NYSE:SQNS) 28.2% France 555 iShares S&P
Global Consumer Staple(ETF) (NYSE:KXI) 28.1% Australia 556 Canon Inc. (ADR)
(NYSE:CAJ) 28.1% Japan 557 AsiaInfo-Linkage, Inc. (NASDAQ:ASIA) 28.0% China
558 Deutsche Bank AG (USA) (NYSE:DB) 28.0% Germany 559 Telestone
Technologies Corporation (NASDAQ:TSTC) 28.0% China 560 ICON plc (ADR)
(NASDAQ:ICLR) 27.8% Ireland 561 Magal Security Systems Ltd. (USA)
(NASDAQ:MAGS) 27.6% Israel 562 Crude Carriers Corp. (NYSE:CRU) 27.6% Greece
563 Tri-Tech Holding, Inc. (NASDAQ:TRIT) 27.4% China 564 Cellcom Israel Ltd.
(NYSE:CEL) 27.4% Israel 565 Vina Concha y Toro S.A. (ADR)
(NYSE:VCO) 27.4% Chile 566 Advantest Corp. (ADR) (NYSE:ATE) 27.3% Japan
567 Birks & Mayors Inc. (AMEX:BMJ) 27.1% Canada 568 Coca-Cola HBC S.A. (ADR)
(NYSE:CCH) 26.9% Greece 569 Jiangbo Pharmaceuticals, Inc.
(NASDAQ:JGBO) 26.9% China 570 Qiagen NV (NASDAQ:QGEN) 26.9% Netherlands
571 Montpelier Re Holdings Ltd. (NYSE:MRH) 26.6% Bermuda 572 Compania de
Minas Buenaventura SA (ADR) (NYSE:BVN) 26.5% Peru 573 Jinpan International
Limited (NASDAQ:JST) 26.4% China 574 NTT DoCoMo, Inc. (ADR)
(NYSE:DCM) 26.3% Japan 575 WuXi PharmaTech (Cayman) Inc. (ADR)
(NYSE:WX) 26.0% China 576 Maiden Holdings, Ltd. (NASDAQ:MHLD) 25.9% Bermuda
577 Kubota Corporation (ADR) (NYSE:KUB) 25.8% Japan 578 Alterra Capital
Holdings Ltd. (NASDAQ:ALTE) 25.8% Bermuda 579 Aurizon Mines Ltd.(USA)
(AMEX:AZK) 25.8% Canada 580 Genpact Limited (NYSE:G) 25.7% Bermuda
581 Yuhe International, Inc (NASDAQ:YUII) 25.7% China 582 Endurance
Specialty Holdings Ltd. (NYSE:ENH) 25.6% Bermuda 583 Platinum Group Metals
Limited (USA) (AMEX:PLG) 25.5% Canada 584 Dehaier Medical Systems Ltd
(NASDAQ:DHRM) 25.4% China 585 Unilever plc (ADR) (NYSE:UL) 25.3% United
Kingdom 586 Seabridge Gold, Inc. (USA) (AMEX:SA) 25.2% Canada 587 Grupo
Simec S.A.B. de C.V. (ADR) (AMEX:SIM) 25.1% Mexico 588 China Medical
Technologies, Inc. (ADR) (NASDAQ:CMED) 25.1% China 589 AstraZeneca plc (ADR)
(NYSE:AZN) 25.1% United Kingdom 590 Sino Clean Energy Inc.
(NASDAQ:SCEI) 25.0% China 591 Unilever N.V. (ADR)
(NYSE:UN) 24.9% Netherlands 592 Lihua International, Inc.
(NASDAQ:LIWA) 24.8% China 593 Aluminum Corp. of China Limited (ADR)
(NYSE:ACH) 24.8% China 594 Nidec Corporation (ADR) (NYSE:NJ) 24.8% Japan
595 EnCana Corporation (USA) (NYSE:ECA) 24.6% Canada 596 Gilat Satellite
Networks Ltd. (NASDAQ:GILT) 24.6% Israel 597 POSCO (ADR)
(NYSE:PKX) 24.5% South Korea 598 Delhaize Group (ADR)
(NYSE:DEG) 24.3% Belgium 599 CDC Corporation (NASDAQ:CHINA) 24.3% Hong Kong
600 China Digital TV Holding Co., Ltd.(ADR) (NYSE:STV) 24.2% China 601 SMART
Technologies Inc (NASDAQ:SMT) 24.1% Canada 602 Central Gold-Trust
(AMEX:GTU) 24.0% Canada 603 Navios Maritime Holdings Inc.
(NYSE:NM) 24.0% Greece 604 Private Media Group Inc.
(NASDAQ:PRVT) 23.6% Spain 605 Warner Chilcott Plc
(NASDAQ:WCRX) 23.6% Ireland 606 SinoCoking Coal and Coke Chem Ind, Inc.
(NASDAQ:SCOK) 23.6% China 607 Partner Communications Company Ltd (ADR)
(NASDAQ:PTNR) 23.5% Israel 608 Fushi Copperweld, Inc.
(NASDAQ:FSIN) 23.4% China 609 CNinsure Inc. (ADR) (NASDAQ:CISG) 23.2% China
610 Ituran Location and Control Ltd. (US) (NASDAQ:ITRN) 23.0% Israel
611 Tornier N.V. (NASDAQ:TRNX) 23.0% Netherlands 612 Nielsen Hldg NV
(NYSE:NLSN) 22.8% Netherlands 613 Greenlight Capital Re, Ltd.
(NASDAQ:GLRE) 22.7% Cayman Islands 614 Suntech Power Holdings Co., Ltd. (ADR)
(NYSE:STP) 22.6% China 615 TOP Ships Inc. (NASDAQ:TOPS) 22.5% Greece
616 Shiner International, Inc. (NASDAQ:BEST) 22.4% China 617 Bank of
Montreal (USA) (NYSE:BMO) 22.3% Canada 618 China Finance Online Co. (ADR)
(NASDAQ:JRJC) 22.0% China 619 YPF SA (ADR) (NYSE:YPF) 21.9% Argentina
620 Universal Travel Group (NYSE:UTA) 21.8% China 621 Woori Finance Holdings
Co., Ltd. (ADR) (NYSE:WF) 21.7% South Korea 622 Korea Electric Power
Corporation (ADR) (NYSE:KEP) 21.7% South Korea 623 Ship Finance International
Limited (NYSE:SFL) 21.7% Bermuda 624 Infosys Technologies Limited (ADR)
(NASDAQ:INFY) 21.7% India 625 E Commerce China Dangdang Inc (ADR)
(NYSE:DANG) 21.6% China 626 Safe Bulkers, Inc. (NYSE:SB) 21.5% Greece
627 Paragon Shipping Inc. (NYSE:PRGN) 21.5% Greece 628 Alon Holdings Blue
Square Israel Ltd (NYSE:BSI) 21.4% Israel 629 Wipro Limited (ADR)
(NYSE:WIT) 21.0% India 630 Longtop Financial Technologies Ltd (ADR)
(NYSE:LFT) 21.0% Hong Kong 631 Mizuho Financial Group, Inc. (ADR)
(NYSE:MFG) 21.0% Japan 632 BCD Semiconductor Manufacturing Ltd(ADR)
(NASDAQ:BCDS) 20.9% China 633 CARDIOME PHARMA CORP
(NASDAQ:CRME) 20.9% Canada 634 Sonde Resources Corp.
(AMEX:SOQ) 20.8% Canada 635 HSBC Holdings plc (ADR) (NYSE:HBC) 20.4% United
Kingdom 636 Shaw Communications Inc. (USA) (NYSE:SJR) 20.3% Canada
637 Harbin Electric, Inc. (NASDAQ:HRBN) 20.3% China 638 Hadera Paper Ltd.
(AMEX:AIP) 20.3% Israel 639 Philippine Long Distance Telephone (ADR)
(NYSE:PHI) 20.2% Philippines 640 Nippon Telegraph & Telephone Corp. (ADR)
(NYSE:NTT) 20.1% Japan 641 Axis Capital Holdings Limited
(NYSE:AXS) 20.1% Bermuda 642 AngloGold Ashanti Limited (ADR)
(NYSE:AU) 20.0% South Africa 643 Himax Technologies, Inc. (ADR)
(NASDAQ:HIMX) 20.0% Taiwan 644 CDC Software Corp (ADR)
(NASDAQ:CDCS) 20.0% Hong Kong 645 Lloyds TSB Group plc (ADR)
(NYSE:LYG) 19.8% United Kingdom 646 Sterlite Industries India Limited (ADR)
(NYSE:SLT) 19.7% India 647 Royal Bank of Scotland Group plc (ADR)
(NYSE:RBS) 19.5% United Kingdom 648 China HGS Real Estate, Inc.
(NASDAQ:HGSH) 19.3% China 649 China Housing & Land Development, Inc.
(NASDAQ:CHLN) 19.2% China 650 Enersis S.A. (ADR) (NYSE:ENI) 19.1% Chile
651 InterXion Holding NV (NYSE:INXN) 19.1% Netherlands 652 China Auto
Logistics Inc (NASDAQ:CALI) 19.0% China 653 Actions Semiconductor Co., Ltd.
(ADR) (NASDAQ:ACTS) 19.0% China 654 TransAlta Corporation (USA)
(NYSE:TAC) 18.4% Canada 655 Sprott Physical Gold Trust
(NYSE:PHYS) 18.3% Canada 656 China Botanic Pharmaceutical Inc
(AMEX:CBP) 18.3% China 657 China Pharma Holdings, Inc.
(AMEX:CPHI) 18.2% China 658 China Cord Blood Corp (NYSE:CO) 18.2% Hong Kong
659 China Automotive Systems, Inc. (NASDAQ:CAAS) 18.1% China 660 Barrick
Gold Corporation (USA) (NYSE:ABX) 18.1% Canada 661 KT Corporation (ADR)
(NYSE:KT) 18.0% South Korea 662 Wacoal Holdings Corporation (ADR)
(NASDAQ:WACLY) 18.0% Japan 663 Turkcell Iletisim Hizmetleri A.S. (ADR)
(NYSE:TKC) 17.8% Turkey 664 China Education Alliance, Inc.
(NYSE:CEU) 17.8% China 665 Protalix BioTherapeutics Inc.
(AMEX:PLX) 17.6% Israel 666 Barclays PLC (ADR) (NYSE:BCS) 17.5% United
Kingdom 667 China Sky One Medical, Inc. (NASDAQ:CSKI) 17.5% China
668 Kingsway Financial Services Inc. (USA) (NYSE:KFS) 17.4% Canada
669 SmartHeat Inc (NASDAQ:HEAT) 17.3% China 670 Toyota Motor Corporation
(ADR) (NYSE:TM) 17.1% Japan 671 Longwei Petroleum Investment Hold Ltd
(NYSE:LPH) 17.0% China 672 Trunkbow International Holdings Ltd
(NASDAQ:TBOW) 16.9% China 673 Sutor Technology Group Ltd.
(NASDAQ:SUTR) 16.9% China 674 Yongye International, Inc.
(NASDAQ:YONG) 16.7% China 675 China Precision Steel, Inc.
(NASDAQ:CPSL) 16.7% Hong Kong 676 Bitauto Hldg Ltd (ADR)
(NASDAQ:BITA) 16.6% China 677 Aspen Insurance Holdings Limited
(NYSE:AHL) 16.6% Bermuda 678 PT Telekomunikasi Indonesia (ADR)
(NYSE:TLK) 16.6% Indonesia 679 Scorpio Tankers Inc.
(NYSE:STNG) 16.5% Monaco 680 Tianyin Pharmaceutical Co, Inc.
(AMEX:TPI) 16.5% China 681 Credit Suisse Group AG (ADR)
(NYSE:CS) 16.4% Switzerland 682 Banco Santander (Brasil) SA(ADR)
(NYSE:BSBR) 16.3% Brazil 683 Tsakos Energy Navigation Ltd.
(NYSE:TNP) 16.2% Greece 684 Euro Tech Holdings Co. Ltd.
(NASDAQ:CLWT) 16.1% Hong Kong 685 Zoom Technologies, Inc.
(NASDAQ:ZOOM) 16.1% China 686 CIBT Education Group Inc. (USA)
(AMEX:MBA) 16.0% Canada 687 Amdocs Limited (NYSE:DOX) 15.9% United Kingdom
688 Exceed Co Ltd (NASDAQ:EDS) 15.8% Hong Kong 689 Agnico-Eagle Mines
Limited (USA) (NYSE:AEM) 15.8% Canada 690 Chinacast Education Corporation
(NASDAQ:CAST) 15.6% China 691 Mahanagar Telephone Nigam Limited (ADR)
(NYSE:MTE) 15.5% India 692 America Movil SAB de CV (ADR)
(NYSE:AMX) 15.4% Mexico 693 WNS (Holdings) Limited (ADR)
(NYSE:WNS) 15.4% India 694 Origin Agritech Ltd. (NASDAQ:SEED) 15.2% China
695 China Technology Development Group Corp. (NASDAQ:CTDC) 15.2% Hong Kong
696 TAL Education Group (ADR) (NYSE:XRS) 14.9% China 697 PartnerRe Ltd.
(NYSE:PRE) 14.9% Bermuda 698 Consolidated Water Co. Ltd.
(NASDAQ:CWCO) 14.9% Cayman Islands 699 Rogers Communications Inc. (USA)
(NYSE:RCI) 14.9% Canada 700 Elster Group SE ADR (NYSE:ELT) 14.8% Germany
701 China Distance Education Hldgs Ltd (ADR) (NYSE:DL) 14.8% China
702 Panasonic Corporation (ADR) (NYSE:PC) 14.8% Japan 703 Tata
Communications Limited (ADR) (NYSE:TCL) 14.5% India 704 China Gerui Adv Mtals
Grp Ltd (NASDAQ:CHOP) 14.5% China 705 eFuture Information Technology Inc.
(NASDAQ:EFUT) 14.4% China 706 Sinovac Biotech Ltd. (NASDAQ:SVA) 14.3% China
707 Elbit Systems Ltd. (ADR) (NASDAQ:ESLT) 14.2% Israel 708 Empresas ICA SA
(ADR) (NYSE:ICA) 13.8% Mexico 709 Randgold Resources Ltd. (ADR)
(NASDAQ:GOLD) 13.6% Jersey 710 Oilsands Quest Inc. (AMEX:BQI) 13.6% Canada
711 Mobile TeleSystems OJSC (ADR) (NYSE:MBT) 13.5% Russia 712 China
Intelligent Lighting & Elec Inc (AMEX:CIL) 13.4% China 713 Grupo TMM, S.A.B.
(ADR) (NYSE:TMM) 13.4% Mexico 714 TBS International plc
(NASDAQ:TBSI) 13.3% Ireland 715 United Microelectronics Corp (ADR)
(NYSE:UMC) 13.3% Taiwan 716 Huaneng Power International, Inc. (ADR)
(NYSE:HNP) 13.2% China 717 Ambow Education Holding Ltd (ADR)
(NYSE:AMBO) 13.2% China 718 Tibet Pharmaceuticals, Inc.
(NASDAQ:TBET) 12.9% China 719 NIVS IntelliMedia Technology Group Inc
(NYSE:NIV) 12.8% China 720 Kingtone Wirelessinfo Solutions Hldg Ltd
(NASDAQ:KONE) 12.6% China 721 Fibria Celulose S.A. (ADR)
(NYSE:FBR) 12.4% Brazil 722 Ternium S.A. (ADR) (NYSE:TX) 12.4% Luxembourg
723 Aegean Marine Petroleum Network Inc. (NYSE:ANW) 12.2% Greece 724 Qihoo
360 Technology Co Ltd (NYSE:QIHU) 12.2% China 725 Cemex SAB de CV (ADR)
(NYSE:CX) 12.1% Mexico 726 China Information Technology, Inc.
(NASDAQ:CNIT) 12.1% China 727 Northgate Minerals Corporation (USA)
(AMEX:NXG) 12.0% Canada 728 China BAK Battery Inc.
(NASDAQ:CBAK) 12.0% China 729 NewLead Holdings Ltd
(NASDAQ:NEWL) 12.0% Greece 730 China Wind Systems, Inc.
(NASDAQ:CWS) 11.8% China 731 Mindray Medical International Ltd (ADR)
(NYSE:MR) 11.7% China 732 Crystallex International Corp. (USA)
(AMEX:KRY) 11.6% Canada 733 Wonder Auto Technology, Inc.
(NASDAQ:WATG) 11.5% China 734 China TransInfo Technology Corp.
(NASDAQ:CTFO) 11.4% China 735 GeoGlobal Resources Inc.
(AMEX:GGR) 11.3% Canada 736 Pansoft Company Limited
(NASDAQ:PSOF) 11.3% China 737 Mitsubishi UFJ Financial Group Inc (ADR)
(NYSE:MTU) 11.2% Japan 738 China Ritar Power Corp.
(NASDAQ:CRTP) 11.1% China 739 Global Education and Technology Group
(NASDAQ:GEDU) 11.0% China 740 DHT Holdings Inc (NYSE:DHT) 10.9% Jersey
741 Gafisa SA (ADR) (NYSE:GFA) 10.9% Brazil 742 Agria Corporation (ADR)
(NYSE:GRO) 10.8% China 743 B + H Ocean Carriers Ltd.
(AMEX:BHO) 10.5% Bermuda 744 Eldorado Gold Corporation (USA)
(NYSE:EGO) 10.5% Canada 745 Tower Semiconductor Ltd. (USA)
(NASDAQ:TSEM) 10.4% Israel 746 Winner Medical Group, Inc
(NASDAQ:WWIN) 10.4% China 747 Omega Navigation Enterprises, Inc.
(NASDAQ:ONAV) 10.3% Greece 748 Homex Development Corp. (ADR)
(NYSE:HXM) 10.3% Mexico 749 Koninklijke Philips Electronics NV (ADR)
(NYSE:PHG) 10.3% Netherlands 750 Kandi Technolgies Corp.
(NASDAQ:KNDI) 10.2% China 751 China Natural Gas, Inc.
(NASDAQ:CHNG) 10.2% China 752 Net 1 UEPS Technologies, Inc.
(NASDAQ:UEPS) 10.2% South Africa 753 Petroleo Brasileiro SA (ADR)
(NYSE:PBR) 10.1% Brazil 754 Companhia Siderurgica Nacional (ADR)
(NYSE:SID) 9.8% Brazil 755 China Yida Holding, Co. (NASDAQ:CNYD) 9.6% Hong
Kong 756 ChinaEdu Corporation (ADR) (NASDAQ:CEDU) 9.6% China 757 Hanwha
Solarone Co Ltd (NASDAQ:HSOL) 9.4% China 758 China Century Dragon Media, Inc.
(NYSE:CDM) 9.3% China 759 Nokia Corporation (ADR) (NYSE:NOK) 9.2% Finland
760 China Hydroelectric Corporation (USD) (NYSE:CHC) 9.0% China 761 Oriental
Financial Group Inc. (NYSE:OFG) 8.8% Puerto Rico 762 Shengkai Innovations,
Inc. (NASDAQ:VALV) 8.8% China 763 ShengdaTech, Inc.
(NASDAQ:SDTH) 8.8% China 764 Sorl Auto Parts, Inc. (NASDAQ:SORL) 8.6% China
765 Nomura Holdings, Inc. (ADR) (NYSE:NMR) 8.6% Japan 766 China Electric
Motor, Inc. (NASDAQ:CELM) 8.6% China 767 Orient Paper Inc
(AMEX:ONP) 8.6% China 768 Sony Corporation (ADR) (NYSE:SNE) 8.5% Japan
769 New Energy Systems Group. (NYSE:NEWN) 8.5% China 770 Canadian Solar Inc.
(NASDAQ:CSIQ) 8.5% Canada 771 Renren Inc (NYSE:RENN) 8.4% China
772 SemiLEDs Corporation (NASDAQ:LEDS) 8.3% Taiwan 773 RRSat Global
Communications Network Ltd. (NASDAQ:RRST) 8.3% Israel 774 SinoHub Inc
(NYSE:SIHI) 8.3% China 775 Deswell Industries, Inc.
(NASDAQ:DSWL) 8.2% Macao 776 Research In Motion Limited (USA)
(NASDAQ:RIMM) 8.1% Canada 777 Argo Group International Holdings, Ltd.
(NASDAQ:AGII) 8.1% Bermuda 778 Magnachip Semiconductor LLC
(NYSE:MX) 8.1% South Korea 779 Diana Shipping Inc. (NYSE:DSX) 8.0% Greece
780 Country Syl Ckng Restaurant Chain Co Ltd (NYSE:CCSC) 8.0% China
781 VimpelCom Ltd (ADR) (NYSE:VIP) 7.8% Netherlands 782 China Recycling
Energy Corp. (NASDAQ:CREG) 7.8% China 783 GEROVA Financial Group, Ltd.
(NYSE:GFC) 7.8% Cayman Islands 784 Ninetowns Internet Technlgy Grp Co Ltd.
(NASDAQ:NINE) 7.7% China 785 ShangPharma Corp (ADR) (NYSE:SHP) 7.6% China
786 THT Heat Transfer Technology Inc (NASDAQ:THTI) 7.4% China 787 Tiens
Biotech Group (USA), Inc. (AMEX:TBV) 7.3% China 788 T.A.T. Technologies Ltd.
(NASDAQ:TATT) 7.1% Israel 789 New Oriental Energy & Chemical Corp.
(NASDAQ:NOEC) 7.0% China 790 FreeSeas Inc. (NASDAQ:FREE) 6.9% Greece
791 Anooraq Resources Corporation (USA) (AMEX:ANO) 6.7% South Africa
792 Star Bulk Carriers Corp. (NASDAQ:SBLK) 6.5% Greece 793 China Green
Agriculture, Inc (NYSE:CGA) 6.5% China 794 Subaye Inc
(NASDAQ:SBAY) 6.4% China 795 American Lorain Corporation
(AMEX:ALN) 6.0% China 796 Recon Technology, Ltd. (NASDAQ:RCON) 6.0% China
797 Net Servicos de Comunicacao SA (ADR) (NASDAQ:NETC) 6.0% Brazil
798 Platinum Underwriters Holdings, Ltd. (NYSE:PTP) 5.9% Bermuda 799 Marvell
Technology Group Ltd. (NASDAQ:MRVL) 5.8% Bermuda 800 American Oriental
Bioengineering, Inc. (NYSE:AOB) 5.8% China 801 Wowjoint Holdings Ltd
(NASDAQ:BWOWU) 5.8% China 802 AgFeed Industries, Inc.
(NASDAQ:FEED) 5.4% China 803 Excel Maritime Carriers Ltd
(NYSE:EXM) 5.4% Bermuda 804 Bona Film Group Ltd (ADR)
(NASDAQ:BONA) 5.4% China 805 E-House (China) Holdings Limited (ADR)
(NYSE:EJ) 5.3% China 806 Labopharm Inc. (NASDAQ:DDSS) 5.3% Canada
807 Kinross Gold Corporation (USA) (NYSE:KGC) 5.2% Canada 808 China
Integrated Energy, Inc. (NASDAQ:CBEH) 5.1% China 809 Global-Tech Advanced
Innovations Inc. (NASDAQ:GAI) 5.1% Hong Kong 810 Teva Pharmaceutical
Industries Ltd (ADR) (NASDAQ:TEVA) 4.9% Israel 811 China Jo Jo Drugstores Inc
(NASDAQ:CJJD) 4.9% China 812 Elbit Imaging Ltd (NASDAQ:EMITF) 4.8% Israel
813 Majestic Capital, Ltd. (NASDAQ:MAJC) 4.8% Bermuda 814 Adecoagro SA
(NYSE:AGRO) 4.7% Luxembourg 815 Biostar Pharmaceuticals, Inc.
(NASDAQ:BSPM) 4.6% China 816 IFM Investments Limited (ADR)
(NYSE:CTC) 4.6% China 817 21Vianet Group Inc (NASDAQ:VNET) 4.5% China
818 General Steel Holdings, Inc. (NYSE:GSI) 4.5% China 819 Seanergy Maritime
Holdings Corp. (NASDAQ:SHIP) 4.4% Greece 820 Patni Computer Systems Limited
(ADR) (NYSE:PTI) 4.2% India 821 SkyPeople Fruit Juice, Inc.
(NASDAQ:SPU) 4.2% China 822 Jingwei International Limited
(NASDAQ:JNGW) 4.1% China 823 Puda Coal, Inc (NYSE:PUDA) 4.0% China
824 Xyratex Ltd. (NASDAQ:XRTX) 3.9% United Kingdom 825 Vimicro International
Corporation (ADR) (NASDAQ:VIMC) 3.8% China 826 Jacada Ltd.
(NASDAQ:JCDA) 3.8% Israel 827 National Bank of Greece (ADR)
(NYSE:NBG) 3.7% Greece 828 AU Optronics Corp. (ADR) (NYSE:AUO) 3.7% Taiwan
829 SMTC Corporation (USA) (NASDAQ:SMTX) 3.2% Canada 830 China Valves
Technology, Inc. (NASDAQ:CVVT) 3.1% China 831 Australia Acquisition Corp
(NASDAQ:AACOU) 3.1% Australia 832 China Mobile Ltd. (ADR)
(NYSE:CHL) 3.0% Hong Kong 833 China Agritech Inc. (NASDAQ:CAGC) 2.8% China
834 Alpha Pro Tech, Ltd. (AMEX:APT) 2.7% Canada 835 Ampal-American Israel
Corporation (NASDAQ:AMPL) 2.6% Israel 836 Exeter Resource Corp.
(AMEX:XRA) 2.6% Canada 837 Lentuo International Inc (ADR)
(NYSE:LAS) 2.6% China 838 Box Ships Inc (NYSE:TEU) 2.5% Greece
839 Chinanet Online Holdings Inc (NASDAQ:CNET) 2.4% China 840 Concord
Medical Services Hldg Ltd (ADR) (NYSE:CCM) 2.2% China 841 China Sunergy Co.,
Ltd. (ADR) (NASDAQ:CSUN) 2.1% China 842 Teekay Tankers Ltd.
(NYSE:TNK) 2.0% Bermuda 843 Gerdau SA (ADR) (NYSE:GGB) 2.0% Brazil
844 Flagstone Reinsurance Holdings SA (NYSE:FSR) 2.0% Bermuda 845 Skystar
Bio-Pharmaceutical Company (NASDAQ:SKBI) 2.0% China 846 Xinyuan Real Estate
Co., Ltd. (ADR) (NYSE:XIN) 1.9% China 847 ChinaCache Internatnl Hldgs Ltd
(ADR) (NASDAQ:CCIH) 1.8% China 848 Frontline Ltd. (USA)
(NYSE:FRO) 1.8% Bermuda 849 Golar LNG Partners LP
(NASDAQ:GMLP) 1.7% Bermuda 850 China Xiniya Fashion Ltd (ADR)
(NYSE:XNY) 1.4% China 851 Tianli Agritech, Inc. (NASDAQ:OINK) 1.3% China
852 Nordic American Tanker Shipping Limited (NYSE:NAT) 1.2% Bermuda
853 China Ming Yang Wind Power Group Ltd (NYSE:MY) 1.1% China 854 NetQin
Mobile Inc (NYSE:NQ) 1.1% China 855 Cazador Acquisition Corporation Ltd
(NASDAQ:CAZAU) 1.0% Cayman Islands 856 Andatee China Marine Fuel Ser Corp
(NASDAQ:AMCF) 1.0% China 857 China Life Insurance Company Ltd. (ADR)
(NYSE:LFC) 0.9% China 858 Linktone Ltd. (ADR) (NASDAQ:LTON) 0.9% China
859 Hong Kong Highpower Technology, Inc. (NASDAQ:HPJ) 0.8% China 860 China
Advanced Con. Materials Gr. Inc (NASDAQ:CADC) 0.7% China 861 Maxcom
Telecomunic S.A.B. de C.V. (ADR) (NYSE:MXT) 0.7% Mexico 862 OceanFreight Inc.
(NASDAQ:OCNF) 0.6% Greece 863 Alvarion Ltd. (USA) (NASDAQ:ALVR) 0.6% Israel
864 Logitech International SA (USA) (NASDAQ:LOGI) 0.4% Switzerland 865 NF
Energy Saving Corp (NASDAQ:NFEC) 0.0% China 866 A-Power Energy Generation
Systems, Ltd. (NASDAQ:APWR) 0.0% China 867 Wuhan General Group China Inc.
(NASDAQ:WUHN) 0.0% China 868 Navios Maritime Acquisition Corporation
(NYSE:NNA.U) 0.0% Greece

Silver Tanks, Option Traders Adjust

tdp2664
InvestorPlace
Your daily option s trading wrap up. Sentiment Stock market averages are down for a third day. Economic data weighed on early trading after ADP reported that the economy added 179,000 private sector jobs in April. The number, which fell short of economist estimates by 21,000, comes two days before the Labor Department releases its key payroll report. Meanwhile, crude oil is also falling for a third session on bearish weekly inventory data. Crude was recently down $1.85 to $109.20 a barrel. Gold gave up $22.3 to $1518.20. The Dow Jones Industrial Average has given up 80 points, but is now 55 points off session lows. With 40 minutes left to trade, the tech-heavy NASDAQ is down 9.5. The CBOE Volatility Index (CBOE: VIX ) is up .43 to 17.13 amid defensive trading in the options pits, with 8.6 million calls and 8.4 million puts traded so far. Bullish Flow STEC (NASDAQ: STEC ) shares are up 4.2% to $20.23 and options order flow in the storage device maker is bullish. 8,940 calls and 490 puts traded in STEC so far. The top trade is a 230-lot of STEC Aug 18 Calls at the $3.70 asking price. It was part of a multi-exchange sweep of 1,245 contracts and an opening buyer, according to International Securities Exchange data. Volume approaching 7,000 contracts. Open interest is only 64. Looks like opening buyers of STEC Aug 26 Calls as well. The company announced today "the availability of its 128MB — 16GB MACH2+ CompactFlash (CF) embedded SSD, which are designed to deliver an advanced level of data integrity, reliability and performance to the embedded systems market." But it's not clear whether the news is driving the unusual options activity. Earnings, due May 10 (after market), might be a factor as well. The top equity options trade so far today is in Citigroup (NYSE: C ) after an investor sold 30,000 C Jan 5.5 Calls at 9 cents. It was part of a ratio spread. 10,000 C Jan 4.5 Calls were bought at 42 cents. The strategist paid 15 cents for the 1X3 spread and is probably targeting a move towards $5.5 in Citi shares through mid-Jan. 2012. Shares are flat at $4.52. Find more option analysis and trading ideas at Options Trading Strategies . Bearish Flow It’s been another day of heavy trading in the iShares Silver Fund (NYSE: SLV ). Shares are trading down $1.78 to $38.80 and volume is approaching 1.5 million contracts. Silver (July) lost another $2.87 to $39.73 and has now tumbled 18.3% on the week. The sharp decline in the metal follows a nearly 80% surge since late-January. Now, players are scrambling to adjust positions. The top trades in SLV are part of a spread. An investor sold the SLV May 36 – 38 Put Spread at 76 cents, 25,000 times, and might be closing or adjusting an existing position. May 36 and 38 puts are the most actives. May 35, May 40, Jun 35 and June 39 puts are heavily traded as well. Implied Volatility Mover Murphy Oil (NYSE: MUR ) is down 2.7% to $72.64 and MUR May 70 Puts are seeing interest ahead of earnings. 4,680 traded (82% on the Ask) versus 2,330 in open interest. Implied volatility is up 6% to 34.5. Shares of the oil refiner are on a three-day 6.2% skid ahead of the results, which are due out after the closing bell. Options Flow Bullish flow detected in KLA-Tencor (NASDAQ: KLAC ), with 5116 calls trading, or three times the recent average daily call volume. Bullish flow detected in Alpha Natural Resources (NYSE: ANR ), with 27,097 calls trading, or three times the recent average daily call volume. Bearish activity detected in Raytheon (NYSE: RTN ), with 5009 puts trading, or five times the recent average daily put volume. Increasing volume is also being seen in Intel (NASDAQ: INTC ), MGM Resorts (NYSE: MGM ), and GM (NYSE: GM ). Frederic Ruffy is the Senior Options Strategist at Whatstrading.com , a site dedicated to helping traders make sense of the complex and fragmented nature of listed options trading.



Traders Take ‘Sell in May’ to Heart

With stocks yet to post an advance in any of the three trading sessions this
month, the old sell in May, then go away strategy has quickly become the default
setting. On Wednesday, the Dow Jones Industrial Average dropped 84 points to
12,724, the Nasdaq fell 13 points to 2828 and the S&P 500 shed 9 points to 1347.
As on Monday and Tuesday, however, its not just equities heading south the
cool-off has continued in oil and precious-metal prices, too. Crude dropped 1.6%
to fall below $110 a barrel for the first time in more than 10 days. Gold,
meanwhile, fell nearly 2% while silver prices shed more than 7%.  That marks a
4% drop for gold in three days, while silver has plunged about 21%. As a result,
investors also saw the continued selloff in small-cap stocks that were formerly
favorites to find quick-hit ways to play the rise in energy and commodity
prices. The Russell 2000 Index fell 1.1% on Wednesday, and has dropped about
3.5% this week. Of course, many of those same small-cap stocks tend to be traded
on the Nasdaq, which showed a smaller loss on the day. A large reason for that
was a stronger performance by the Nasdaq 100 an index we pointed to last week
as a suggestion that some sort of market correction could be in the offing. It
remains to be seen, of course, whether tech (large-cap tech, anyway) has found a
near-term floor or it was a one-day bounce after a run of underperformance. It
should be noted that semiconductors were especially strong on news that Varian
Semiconductor (NASDAQ: VSEA ) would be acquired by Applied Materials (NASDAQ:
AMAT ). Thats not to say that 100% of the markets deflating on Wednesday was
completely based in the laws of momentum. The ISM services index for April came
in well below consensus expectations, marking the slowest rate of growth since
last August and at 52.8 coming exceedingly close to the 50.0
expansion/contraction line. Isnt it curious that last August also marked the
bottom before an eight-month, 30% rally in stocks? If the economy is planning to
revert, it seems logical that stocks could follow some of that road back.

Top 10 Most Efficient Leisure Services Stocks: SIX, PCLN, MLP, ISCA, EXPE, TRK, UTA, CNK, IILG, LTM (May 07, 2011)

Below are the top 10 most efficient Leisure Services stocks, UPDATED TODAY
before 4:30 AM ET, based on earnings per employee for the last 12 months. One
Chinese company (UTA) is on the list. Six Flags Entertainment Corp (NYSE:SIX) is
the 1st most efficient company in this segment of the market. Its earnings per
employee was $328,735 for the last 12 months. Its revenue per employee was
$513,626 for the same period. priceline.com Incorporated (NASDAQ:PCLN) is the
2nd most efficient company in this segment of the market. Its earnings per
employee was $170,082 for the last 12 months. Its revenue per employee was
$973,480 for the same period. Maui Land & Pineapple Co. (NYSE:MLP) is the 3rd
most efficient company in this segment of the market. Its earnings per employee
was $81,083 for the last 12 months. Its revenue per employee was $209,228 for
the same period. International Speedway Corporation (NASDAQ:ISCA) is the 4th
most efficient company in this segment of the market. Its earnings per employee
was $59,442 for the last 12 months. Its revenue per employee was $755,313 for
the same period. Expedia, Inc. (NASDAQ:EXPE) is the 5th most efficient company
in this segment of the market. Its earnings per employee was $46,873 for the
last 12 months. Its revenue per employee was $387,906 for the same period.
Speedway Motorsports, Inc. (NYSE:TRK) is the 6th most efficient company in this
segment of the market. Its earnings per employee was $42,685 for the last 12
months. Its revenue per employee was $594,770 for the same period. Universal
Travel Group (NYSE:UTA) is the 7th most efficient company in this segment of the
market. Its earnings per employee was $29,032 for the last 12 months. Its
revenue per employee was $183,765 for the same period. Cinemark Holdings, Inc.
(NYSE:CNK) is the 8th most efficient company in this segment of the market. Its
earnings per employee was $24,447 for the last 12 months. Its revenue per
employee was $349,746 for the same period. Interval Leisure Group, Inc.
(NASDAQ:IILG) is the 9th most efficient company in this segment of the market.
Its earnings per employee was $14,626 for the last 12 months. Its revenue per
employee was $141,186 for the same period. Life Time Fitness, Inc. (NYSE:LTM) is
the 10th most efficient company in this segment of the market. Its earnings per
employee was $12,876 for the last 12 months. Its revenue per employee was
$143,649 for the same period.

Silver Tanks, Option Traders Adjust

Your daily option s trading wrap up. Sentiment Stock market averages are down
for a third day. Economic data weighed on early trading after ADP reported that
the economy added 179,000 private sector jobs in April. The number, which fell
short of economist estimates by 21,000, comes two days before the Labor
Department releases its key payroll report. Meanwhile, crude oil is also falling
for a third session on bearish weekly inventory data. Crude was recently down
$1.85 to $109.20 a barrel. Gold gave up $22.3 to $1518.20. The Dow Jones
Industrial Average has given up 80 points, but is now 55 points off session
lows. With 40 minutes left to trade, the tech-heavy NASDAQ is down 9.5. The CBOE
Volatility Index (CBOE: VIX ) is up .43 to 17.13 amid defensive trading in the
options pits, with 8.6 million calls and 8.4 million puts traded so far. Bullish
Flow STEC (NASDAQ: STEC ) shares are up 4.2% to $20.23 and options order flow in
the storage device maker is bullish. 8,940 calls and 490 puts traded in STEC so
far. The top trade is a 230-lot of STEC Aug 18 Calls at the $3.70 asking price.
It was part of a multi-exchange sweep of 1,245 contracts and an opening buyer,
according to International Securities Exchange data. Volume approaching 7,000
contracts. Open interest is only 64. Looks like opening buyers of STEC Aug 26
Calls as well. The company announced today "the availability of its 128MB
16GB MACH2+ CompactFlash (CF) embedded SSD, which are designed to deliver an
advanced level of data integrity, reliability and performance to the embedded
systems market." But it's not clear whether the news is driving the unusual
options activity. Earnings, due May 10 (after market), might be a factor as
well. The top equity options trade so far today is in Citigroup (NYSE: C ) after
an investor sold 30,000 C Jan 5.5 Calls at 9 cents. It was part of a ratio
spread. 10,000 C Jan 4.5 Calls were bought at 42 cents. The strategist paid 15
cents for the 1X3 spread and is probably targeting a move towards $5.5 in Citi
shares through mid-Jan. 2012. Shares are flat at $4.52. Find more option
analysis and trading ideas at Options Trading Strategies . Bearish Flow Its been
another day of heavy trading in the iShares Silver Fund (NYSE: SLV ). Shares are
trading down $1.78 to $38.80 and volume is approaching 1.5 million contracts.
Silver (July) lost another $2.87 to $39.73 and has now tumbled 18.3% on the
week. The sharp decline in the metal follows a nearly 80% surge since
late-January. Now, players are scrambling to adjust positions. The top trades in
SLV are part of a spread. An investor sold the SLV May 36 38 Put Spread at 76
cents, 25,000 times, and might be closing or adjusting an existing position. May
36 and 38 puts are the most actives. May 35, May 40, Jun 35 and June 39 puts are
heavily traded as well. Implied Volatility Mover Murphy Oil (NYSE: MUR ) is down
2.7% to $72.64 and MUR May 70 Puts are seeing interest ahead of earnings. 4,680
traded (82% on the Ask) versus 2,330 in open interest. Implied volatility is up
6% to 34.5. Shares of the oil refiner are on a three-day 6.2% skid ahead of the
results, which are due out after the closing bell. Options Flow Bullish flow
detected in KLA-Tencor (NASDAQ: KLAC ), with 5116 calls trading, or three times
the recent average daily call volume. Bullish flow detected in Alpha Natural
Resources (NYSE: ANR ), with 27,097 calls trading, or three times the recent
average daily call volume. Bearish activity detected in Raytheon (NYSE: RTN ),
with 5009 puts trading, or five times the recent average daily put volume.
Increasing volume is also being seen in Intel (NASDAQ: INTC ), MGM Resorts
(NYSE: MGM ), and GM (NYSE: GM ). Frederic Ruffy is the Senior Options
Strategist at Whatstrading.com , a site dedicated to helping traders make sense
of the complex and fragmented nature of listed options trading.

Traders Take ‘Sell in May’ to Heart

tdp2664
InvestorPlace
With stocks yet to post an advance in any of the three trading sessions this month, the old “sell in May, then go away” strategy has quickly become the default setting. On Wednesday, the Dow Jones Industrial Average dropped 84 points to 12,724, the Nasdaq fell 13 points to 2828 and the S&P 500 shed 9 points to 1347. As on Monday and Tuesday, however, it’s not just equities heading south — the cool-off has continued in oil and precious-metal prices, too. Crude dropped 1.6% to fall below $110 a barrel for the first time in more than 10 days. Gold, meanwhile, fell nearly 2% while silver prices shed more than 7%.  That marks a 4% drop for gold in three days, while silver has plunged about 21%. As a result, investors also saw the continued selloff in small-cap stocks that were formerly favorites to find quick-hit ways to play the rise in energy and commodity prices. The Russell 2000 Index fell 1.1% on Wednesday, and has dropped about 3.5% this week. Of course, many of those same small-cap stocks tend to be traded on the Nasdaq, which showed a smaller loss on the day. A large reason for that was a stronger performance by the Nasdaq 100 — an index we pointed to last week as a suggestion that some sort of market correction could be in the offing. It remains to be seen, of course, whether tech (large-cap tech, anyway) has found a near-term floor or it was a one-day bounce after a run of underperformance. It should be noted that semiconductors were especially strong on news that Varian Semiconductor (NASDAQ: VSEA ) would be acquired by Applied Materials (NASDAQ: AMAT ). That’s not to say that 100% of the market’s deflating on Wednesday was completely based in the laws of momentum. The ISM services index for April came in well below consensus expectations, marking the slowest rate of growth since last August and — at 52.8 — coming exceedingly close to the 50.0 expansion/contraction line. Isn’t it curious that last August also marked the bottom before an eight-month, 30% rally in stocks? If the economy is planning to revert, it seems logical that stocks could follow some of that road back.



Top 10 Most Efficient Leisure Services Stocks: SIX, PCLN, MLP, ISCA, EXPE, TRK, UTA, CNK, IILG, LTM (May 07, 2011)

tdp2664
China Analyst

Below are the top 10 most efficient Leisure Services stocks, UPDATED TODAY before 4:30 AM ET, based on earnings per employee for the last 12 months. One Chinese company (UTA) is on the list.

Six Flags Entertainment Corp (NYSE:SIX) is the 1st most efficient company in this segment of the market. Its earnings per employee was $328,735 for the last 12 months. Its revenue per employee was $513,626 for the same period. priceline.com Incorporated (NASDAQ:PCLN) is the 2nd most efficient company in this segment of the market. Its earnings per employee was $170,082 for the last 12 months. Its revenue per employee was $973,480 for the same period. Maui Land & Pineapple Co. (NYSE:MLP) is the 3rd most efficient company in this segment of the market. Its earnings per employee was $81,083 for the last 12 months. Its revenue per employee was $209,228 for the same period. International Speedway Corporation (NASDAQ:ISCA) is the 4th most efficient company in this segment of the market. Its earnings per employee was $59,442 for the last 12 months. Its revenue per employee was $755,313 for the same period. Expedia, Inc. (NASDAQ:EXPE) is the 5th most efficient company in this segment of the market. Its earnings per employee was $46,873 for the last 12 months. Its revenue per employee was $387,906 for the same period.

Speedway Motorsports, Inc. (NYSE:TRK) is the 6th most efficient company in this segment of the market. Its earnings per employee was $42,685 for the last 12 months. Its revenue per employee was $594,770 for the same period. Universal Travel Group (NYSE:UTA) is the 7th most efficient company in this segment of the market. Its earnings per employee was $29,032 for the last 12 months. Its revenue per employee was $183,765 for the same period. Cinemark Holdings, Inc. (NYSE:CNK) is the 8th most efficient company in this segment of the market. Its earnings per employee was $24,447 for the last 12 months. Its revenue per employee was $349,746 for the same period. Interval Leisure Group, Inc. (NASDAQ:IILG) is the 9th most efficient company in this segment of the market. Its earnings per employee was $14,626 for the last 12 months. Its revenue per employee was $141,186 for the same period. Life Time Fitness, Inc. (NYSE:LTM) is the 10th most efficient company in this segment of the market. Its earnings per employee was $12,876 for the last 12 months. Its revenue per employee was $143,649 for the same period.



10 Stocks Up 10X in 10 Years

tdp2664
InvestorPlace
Osama Bin Laden’s death comes nearly 10 years after the al Qaeda leader launched the horrific attacks of 9/11. In the wake of that dreaded day, many market observers thought the U.S. equity market would be hobbled for years to come. Well, that didn't happen, and much of the reason why is due to the incredible resolve inherent in the American spirit — and in the capital markets that this spirit exemplifies. In fact, while many stocks have held strong or seen measured gains, some have seen tremendous profits over the last decade. I put a short list together of some of the best performing stocks over the past decade — and here are 10 of my top picks. This list is by no means exclusive; a Bloomberg screen of stocks up more than 10 times over the past 10 years revealed over 130 names. I chose to focus on companies that are widely held, well-known corporate names that can be found in many portfolios. Here are 10 familiar stocks up more than 10 times over the past 10 years. Amazon.com (NASDAQ: AMZN ). The paradigm for online retailing over the past decade has unquestionably been Amazon. The company practically started the idea with books, but now it sells just about anything you can imagine. The company was an easy sell with investors, who sent the stock surging 1,075% during the past 10 years. Priceline.com (NASDAQ: PCLN ). The online travel industry really took off after the Great Recession, as über-cost conscious consumers and businesses adopted travel sites en masse. Yet even before the very widespread use by consumers and industry, investors booked big gains with Priceline.com shares to the tune of 1,231% over the past 10 years. Cummins Inc. (NYSE: CMI ). The diesel engine maker really powered up its shares over the last 10 years, and if you've ever ridden in a Cummins-powered vehicle, you'll understand why. The company makes some of the best products in the industry, and investors rewarded that quality by bidding up the stock big time. CMI shares drove to a 1,273% return over the past decade. Urban Outfitters (NASDAQ: URBN ). The eclectic fashion retailer hit the mark among teens and college students over the past decade, offering stylish clothes for everyday life. The stock also hit the mark over the past decade with investors, with URBN shares serving up a stylish 1,845% return.



Second Chance to Buy BHI

Baker Hughes Inc . (NYSE: BHI ) This large-cap oil well services company rose
to a new high late last month following a reversal from under its 50-day moving
average and our recommendation on April 25. The oil well services sector is
strong due to the need for global exploration to offset the possible reduction
in the flow of crude oil from the Middle East. BHI is uniquely situated as one
of the largest oilfield services companies and is modestly increasing its U.S.
rig count. However, it is expected to undertake a more aggressive push into
international markets. Nasdaq.com reports that insiders have been strong buyers
of the stock within the last three months a very positive indication that they
believe the stock to be undervalued. S&P has a four-star buy on BHI and
estimates that earnings of $3.76 in 2011 will rise 20% to $4.53 in 2012.
Technically, the stock broke its double-top , as expected, but is retracing the
breakout as the result of a minor uptick in the U.S. dollar and profit-taking.
For those who missed getting into BHI several weeks ago, you may have an
opportunity to buy close to its bullish support line at $70. If you have
questions or comments for Sam Collins, please e-mail him at samailc@cox.net .
View Survey

10 Stocks Up 10X in 10 Years

Osama Bin Ladens death comes nearly 10 years after the al Qaeda leader launched
the horrific attacks of 9/11. In the wake of that dreaded day, many market
observers thought the U.S. equity market would be hobbled for years to come.
Well, that didn't happen, and much of the reason why is due to the incredible
resolve inherent in the American spirit and in the capital markets that this
spirit exemplifies. In fact, while many stocks have held strong or seen measured
gains, some have seen tremendous profits over the last decade. I put a short
list together of some of the best performing stocks over the past decade and
here are 10 of my top picks. This list is by no means exclusive; a Bloomberg
screen of stocks up more than 10 times over the past 10 years revealed over 130
names. I chose to focus on companies that are widely held, well-known corporate
names that can be found in many portfolios. Here are 10 familiar stocks up more
than 10 times over the past 10 years. Amazon.com (NASDAQ: AMZN ). The paradigm
for online retailing over the past decade has unquestionably been Amazon. The
company practically started the idea with books, but now it sells just about
anything you can imagine. The company was an easy sell with investors, who sent
the stock surging 1,075% during the past 10 years. Priceline.com (NASDAQ: PCLN
). The online travel industry really took off after the Great Recession, as
über-cost conscious consumers and businesses adopted travel sites en masse. Yet
even before the very widespread use by consumers and industry, investors booked
big gains with Priceline.com shares to the tune of 1,231% over the past 10
years. Cummins Inc. (NYSE: CMI ). The diesel engine maker really powered up its
shares over the last 10 years, and if you've ever ridden in a Cummins-powered
vehicle, you'll understand why. The company makes some of the best products in
the industry, and investors rewarded that quality by bidding up the stock big
time. CMI shares drove to a 1,273% return over the past decade. Urban Outfitters
(NASDAQ: URBN ). The eclectic fashion retailer hit the mark among teens and
college students over the past decade, offering stylish clothes for everyday
life. The stock also hit the mark over the past decade with investors, with URBN
shares serving up a stylish 1,845% return.

Top 10 Most Efficient Industrial Stocks: CGNX, ROLL, GGG, MMM, MKSI, NDSN, CWS, SHS, GE, MSM (May 07, 2011)

tdp2664
China Analyst

Below are the top 10 most efficient Industrial stocks, UPDATED TODAY before 4:30 AM ET, based on earnings per employee for the last 12 months. One Chinese company (CWS) is on the list.

Cognex Corporation (NASDAQ:CGNX) is the 1st most efficient company in this segment of the market. Its earnings per employee was $80,670 for the last 12 months. Its revenue per employee was $371,502 for the same period. RBC Bearings Incorporated (NASDAQ:ROLL) is the 2nd most efficient company in this segment of the market. Its earnings per employee was $57,299 for the last 12 months. Its revenue per employee was $539,767 for the same period. Graco Inc. (NYSE:GGG) is the 3rd most efficient company in this segment of the market. Its earnings per employee was $54,331 for the last 12 months. Its revenue per employee was $362,283 for the same period. 3M Company (NYSE:MMM) is the 4th most efficient company in this segment of the market. Its earnings per employee was $53,849 for the last 12 months. Its revenue per employee was $345,067 for the same period. MKS Instruments, Inc. (NASDAQ:MKSI) is the 5th most efficient company in this segment of the market. Its earnings per employee was $53,110 for the last 12 months. Its revenue per employee was $334,006 for the same period.

Nordson Corporation (NASDAQ:NDSN) is the 6th most efficient company in this segment of the market. Its earnings per employee was $50,873 for the last 12 months. Its revenue per employee was $296,718 for the same period. China Wind Systems, Inc. (NASDAQ:CWS) is the 7th most efficient company in this segment of the market. Its earnings per employee was $50,338 for the last 12 months. Its revenue per employee was $361,585 for the same period. Sauer-Danfoss Inc. (NYSE:SHS) is the 8th most efficient company in this segment of the market. Its earnings per employee was $50,035 for the last 12 months. Its revenue per employee was $303,093 for the same period. General Electric Company (NYSE:GE) is the 9th most efficient company in this segment of the market. Its earnings per employee was $49,833 for the last 12 months. Its revenue per employee was $531,202 for the same period. MSC Industrial Direct Co., Inc. (NYSE:MSM) is the 10th most efficient company in this segment of the market. Its earnings per employee was $44,465 for the last 12 months. Its revenue per employee was $447,623 for the same period.



Second Chance to Buy BHI

tdp2664
InvestorPlace
Baker Hughes Inc . (NYSE: BHI ) — This large-cap oil well services company rose to a new high late last month following a reversal from under its 50-day moving average and our recommendation on April 25. The oil well services sector is strong due to the need for global exploration to offset the possible reduction in the flow of crude oil from the Middle East. BHI is uniquely situated as one of the largest oilfield services companies and is modestly increasing its U.S. rig count. However, it is expected to undertake a more aggressive push into international markets. Nasdaq.com reports that insiders have been strong buyers of the stock within the last three months — a very positive indication that they believe the stock to be undervalued. S&P has a “four-star buy” on BHI and estimates that earnings of $3.76 in 2011 will rise 20% to $4.53 in 2012. Technically, the stock broke its double-top , as expected, but is retracing the breakout as the result of a minor uptick in the U.S. dollar and profit-taking. For those who missed getting into BHI several weeks ago, you may have an opportunity to buy close to its bullish support line at $70. If you have questions or comments for Sam Collins, please e-mail him at samailc@cox.net . View Survey



S&P Trading

dow2664

+9% on the S&P 500 in two months Chart 1. Relationship between the SBV Oscillator and index reversal points. S&P 500 index. 60-day view. 1 bar = 60 min. SBV(20) Detailed system description with explanation of used rules could be found in our ” SBV Trading System ” tutorial. Table 1: Trades based on the 5-rule system. Time Motivation Signal Index Profit (points) 3/18/2011 rule #2 Buy 1282 +7 3/23/2011 rule #4 Sell Short 1289 -21 3/24/2011 rule #3 Buy 1310 +22 4/04/2011 rule #4 Sell Short 1332 -5 4/05/2011 rule #2 Buy 1337 -5 4/05/2011 rule #4 Sell Short 1332 +16 4/14/2011 rule #2 Buy 1316 +4 4/15/2011 rule #4 Sell Short 1320 +14 4/19/2011 rule #2 Buy 1306 +56 5/02/2011 rule #4 Sell Short 1362 +22 Total: +120 (+9.4%) Adding a Stop-Loss to the system may substantially reduce losses and, in some cases, even double the summary profit. Disclaimer: The chart example is intended for educational purposes only and does not constitute trading advice or make or imply any market trend prediction.



LinkWithin

Related Posts Plugin for WordPress, Blogger...