Thursday, September 30, 2010

DryShips Inc To Resume Upward Trend


Based on my analysis, tehcnical and fundamental, DryShips incorporated will continue its uptrend after today final day of consolidation. On Sept 28, 2010, Drys shoot up with a heavy volume of more than 27 million due to the press release that Drys have secured a charter contract for 1 of its Drillship. This news is very important for Drys because analysts have predicted that they are unable to secure any contract and have to sell the 4 drillships which are currently being constructed at a loss.
I expect today Drys will close between $4.75 and $4.80 and will resume its upward trend specifically on this Friday morning or Monday morning.
For those who have not buy Drys, I suggest you buy today as Drys will definetely jump to at least $5.50 in a couple of days time.
I have invested all my money inside and will wait to at least $10 or more before I start selling. With the oil price keeps going up, it reinforce my view that Drys willl be a very good stock for the long term investors.

Cheers! and Good Luck to the all Shareholders of DRYS. May we success together.



Date: September 30, 2010
Current Price: $4.83
Target Price: $10 and above
Periods: less than 12 months
Confident Level: 5 (1-5)

I have been holding DryShips since $5. I have invested all my money including some money that I borrowed from my lovely wife.
I believe that DryShips will hit $10 in less than 12 months.
The reasons are:
1) DryShips will spinoff its subsidiary Ocean Rig in an IPO
2) The potential for getting the charter contract from the remaining 3 Ocean Rig Drillship that are currently being constructed is high, due to the high oil price and also the sixth generation of drillship
3) The chart show that Dryship might be at the beginning of the long term uptrend

I am praying everyday hoping that DryShips will go up to above $10 cause I am really "all in" into this stock. I hope those who have invested in DryShips share will also make money together with me.

Cheers!

Monday, September 27, 2010

New High/Low Stocks for the month of September 2010

New High Stocks


AAPLApple, Inc.

ABII Abraxis BioScience, Inc.
ADAM Adam.com, Inc.
ADVS Advent Software, Inc.
AFCE AFC Enterprises Inc.
AHGP Alliance Holdings GP LP
ALLT Allot Communications Ltd.
ALSK Alaska Communications Systems Group, Inc.
ALTR Altera Corp.
AMZN Amazon.com, Inc.
ANAD ANADIGICS, Inc.
ARMH ARM Holdings, Plc
ASPS Altisource Portfolio Solutions S.A.
ASYS Amtech Systems, Inc.
ATML Atmel Corp.
BBEP BreitBurn Energy Partners L.P.
BCPC Balchem Corp.
BIDU Baidu, Inc.
BJRI BJ's Restaurants Inc.
CALD Callidus Software Inc.
COST Costco Wholesale Corp.
CRESY Cresud S.A.C.I.F. y A.
CRXL Crucell N.V.
CSGP CoStar Group, Inc.
CTCM CTC Media Inc.
CTRP Ctrip.com Intl Ltd.
CTXS Citrix Systems, Inc.
DORM Dorman Products, Inc.
DTV DirecTV Group Inc.
DXCM DexCom Inc.
EBIX ebix.com, Inc.
EGHT 8x8, Inc.
ELNK EarthLink, Inc.
ENDP Endo Pharmaceuticals Holdings, Inc.
EXPE Expedia, Inc
FCFS First Cash Financial Services, Inc.
FFIV F5 Networks, Inc.
FOSL Fossil, Inc.
GENZ Genzyme General
GGAL Grupo Financiero Galicia S.A. ADS
GOLD Randgold Resources Ltd.
GSM Globe Specialty Metals Inc.
IACI InterActiveCorp
INCY Incyte Corp.
INFA Informatica Corp.
INFN Infinera Corp.
INFY Infosys Technologies Ltd.
IPGP IPG Photonics Corp.
JAKK JAKKS Pacific, Inc.
JASO JA Solar Holdings, Co., Ltd.
JOBS 51job Inc.
JOYG Joy Global Inc.
KBLB Kraig Biocraft Laboratories, Inc.
KCAP Kohlberg Capital Corp.
KNXA Kenexa Corp.
LBTYA Liberty Global Inc.
LBTYK Liberty Global C
LLNW Limelight Networks, Inc.
LOGM LogMeIn Inc.
LONG eLong Inc.
LQDT Liquidity Services Inc.
LSTZA Liberty Starz Group
MCRS MICROS Systems, Inc.
MIPS MIPS Technologies, Inc.
MNEAF Minera Andes Inc.
MNRO Monro Muffler Brake, Inc.
NFLX Netflix, Inc.
NTAP Network Appliance, Inc.
NTCT NetScout Systems, Inc.
NTWK NetSol Technologies, Inc.
OCNW Occam Networks, Inc.
ORLY O'Reilly Automotive, Inc.
PAAS Pan American Silver Corp.
PRGO Perrigo Co.
QSFT Quest Software, Inc.
QUIK QuickLogic Corp.
REDF Rediff.com India Ltd.
RGLG Regal Group Inc.
ROLL RBC Bearings Inc.
ROVI Rovi Corp.
RYAAY Ryanair Holdings PLC
SBAC SBA Communications Corp.
SCOR comScore Inc
SIAL Sigma-Aldrich Corp.
SIFY Sify Technologies Ltd.
SIMG Silicon Image, Inc.
SMTC Semtech Corp.
SNPS Synopsys, Inc.
SPRD Spreadtrum Communications Inc.
SVNT Savient Pharmaceuticals, Inc.
SVVS SAVVIS, Inc.
SWKS Skyworks Solutions Inc.
TCLP TC PipeLines Partners LP
TGA TransGlobe Energy Corp.
THRX Theravance Inc.
TIBX TIBCO Software, Inc.
TLEO Taleo Corp.
TMRK Terremark Worldwide, Inc.
TPCG TPC Group Inc.
TQNT TriQuint Semiconductor, Inc.
TRMB Trimble Navigation Ltd.
TRS Trimas Corp.
TWER TowerStream Corp.
USMO USA Mobility, Inc.
VLCCF Knightsbridge Tankers, Ltd.
VMED Virgin Media Inc.
VPHM ViroPharma Inc.
VSAT ViaSat, Inc.
WIN Windstream Corp.
WPPGY WPP Group PLC

New Low Stocks
AEXP American Exploration Corp.
ALNY Alnylam Pharmaceuticals, Inc.
AMAG AMAG Pharmaceuticals, Inc.
AMNP American Sierra Gold Corp.
APCVZ Fresenius Kabi Pharmaceuticals Holdings Inc.
BKPG Bark Group, Inc.
CBIS Cannabis Science Inc.
CONN Conn's, Inc.
GEECF Global Environmental Energy Corp.
GETA Genta Inc.
NMTI NMT Medical, Inc.
PEPR Pepper Rock Resources Corp.
SIXFQ Six Flags, Inc.
SUPR Superior Bancorp
SYNW Sync2 Networks Corp.
TTNP Titan Pharmaceuticals, Inc.
WITM Wits Basin Precious Minerals Inc

Research In Motion BlackBerry PlayBook takes on Apple iPad?


As the biggest names in technology prepare to fight Apple Inc's iPad, their best hope may be to avoid a head-on confrontation and focus on niche and low-priced products instead.
Research In Motion (RIM.TO) unveiled a tablet computer on Monday it hopes will leapfrog Apple's (AAPL.O) iPad, highlighting its potential for gaming, media publishing and corporate use.The BlackBerry PlayBook will have a seven-inch (18 cm) screen and dual facing cameras. It has WiFi and Bluetooth but needs to link with a BlackBerry smartphone to access the cellular network. It can then mirror the phone, giving users a bigger screen to view and edit media, and wipes all corporate data once the link between the two devices is broken.RIM expects to ship the device to enterprise customers and developers in October. It will become commercially available early in 2011. An exact price has not been determined, but RIM sees it in the lower range of prices for consumer tablets already in an increasingly congested market. (Reporting by Gabriel Madway in San Francisco and Alastair Sharp in Toronto. Here is full story

Here's the specs from the press release announcing the PlayBook:
  • 7" LCD, 1024 x 600, WSVGA, capacitive touch screen with full multi-touch and gesture support
  • BlackBerry Tablet OS with support for symmetric multiprocessing
  • 1 GHz dual-core processor
  • 1 GB RAM
  • Dual HD cameras (3 MP front facing, 5 MP rear facing), supports 1080p HD video recording
  • Video playback: 1080p HD Video, H.264, MPEG, DivX, WMV
  • Audio playback: MP3, AAC, WMA
  • HDMI video output
  • Wi-Fi - 802.11 a/b/g/n
  • Bluetooth 2.1 + EDR
  • Connectors: microHDMI, microUSB, charging contacts
  • Open, flexible application platform with support for WebKit/HTML-5, Adobe Flash Player 10.1, Adobe Mobile AIR, Adobe Reader, POSIX, OpenGL, Java
  • Ultra thin and portable:
  • Measures 5.1"x7.6"x0.4" (130mm x 193mm x 10mm)
  • Weighs less than a pound (approximately 0.9 lb or 400g)
  • Additional features and specifications of the BlackBerry PlayBook will be shared on or before the date this product is launched in retail outlets.
  • RIM intends to also offer 3G and 4G models in the future.

Sunday, September 26, 2010

Should We Buy or Sell?

Cramer: Time to Cash Out
The maestro has spoken.
As reported by CNBC.com's Mad Money blog on Friday evening, "With stocks up so much in September, it may be time to cash out.
'You've got a great, unimaginable group of prices,' said Cramer. 'Don’t get greedy. Ring the register. It will pay.'
The 'Mad Money' host himself took some profits for his charitable trust and raised cash to prepare for the next downturn. Selling into this rally is the first and most important part of next week's Game Plan, he said."

Stocks on the September 27, 2010 The Market Oracle Watchlist
Company / Symbol / Market Cap ($)
Exxon Mobil Corp (XOM)    278.97B       
Apple Inc (AAPL)    236.53B       
Microsoft Corp (MSFT)    226.19B       
PetroChina Company Limited (PTR)    208.97B       
China Mobile Ltd (CHL)    204.43B       
BHP Billiton Limited ADR (BHP)    197.29B       
Berkshire Hathaway Inc.      BRK.A    194.08B       
Berkshire Hathaway Inc.      BRK.B    193.94B       
Wal-Mart Stores, Inc.      WMT    188.67B       
The Procter & Gamble Company      PG    176.74B       
HSBC Holdings plc (ADR)      HBC    174.68B       
Royal Dutch Shell plc (ADR)      RDS.A    174.36B       
Royal Dutch Shell plc (ADR)      RDS.B    174.17B       
BHP Billiton plc (ADR)      BBL    166.68B       
International Business Machines Corp.      IBM    163.46B       
General Electric Company      GE    162.39B       
Petroleo Brasileiro SA (ADR)      PBR.A    160.37B       
Petroleo Brasileiro SA (ADR)      PBR    159.16B       
Johnson & Johnson      JNJ    157.27B       
JPMorgan Chase & Co.      JPM    156.45B       
Google Inc.      GOOG    156.08B       
AT&T Inc.      T    150.74B       
Chevron Corporation      CVX    147.52B       
Vale (ADR)      VALE    142.78B       
Wells Fargo & Company      WFC    142.71B       
Vale (ADR)      VALE.P    142.23B       
Bank of America Corporation      BAC    137.05B       
Cisco Systems, Inc.      CSCO    133.36B
China Life Insurance Company Ltd. (ADR)      LFC    122.93B       
The Coca-Cola Company      KO    122.36B       
Oracle Corporation      ORCL    120.23B       
Vodafone Group Plc (ADR)      VOD    116.93B       
Intel Corporation      INTC    120.46B       
Pfizer Inc.      PFE    117.52B       
Citigroup Inc.      C    116.77B       
BP plc (ADR)      BP    109.89B       
Novartis AG (ADR)      NVS    113.25B       
Toyota Motor Corporation (ADR)      TM    109.56B       
Merck & Co., Inc.      MRK    110.70B       
TOTAL SA (ADR)      TOT    109.18B       
Hewlett-Packard Company      HPQ    108.65B       
Banco Santander, SA (ADR)      STD    104.26B       
PepsiCo, Inc.      PEP    103.79B       
Itau Unibanco Banco Holding SA (ADR)      ITUB    95.66B       
Telefonica SA (ADR)      TEF    96.18B       
GlaxoSmithKline plc (ADR)      GSK    94.01B       
Philip Morris International Inc.      PM    93.69B       
SPDR S&P 500 ETF      SPY    91.34B       
Anheuser-Busch InBev NV      BUD    84.48B       
Unilever NV (ADR)      UN    83.48B       
Siemens AG (ADR)      SI    82.23B       
Unilever plc (ADR)      UL    82.32B       
America Movil SAB de CV (ADR)      AMOV    78.55B       
America Movil SAB de CV (ADR)      AMX    78.53B       
ConocoPhillips      COP    79.96B       
Sanofi-Aventis SA (ADR)      SNY    80.51B       
Eni SpA (ADR)      E    79.07B       
Fomento Economico Mexicano SAB (ADR)      FMX    80.13B
McDonald's Corporation      MCD    75.41B       
Verizon Communications Inc.      VZ    79.04B       
Abbott Laboratories      ABT    75.62B       
Goldman Sachs Group, Inc.      GS    75.25B       
CNOOC Limited (ADR)      CEO    74.24B       
Schlumberger Limited.      SLB    71.07B       
Royal Bank of Canada (USA)      RY    71.20B       
AstraZeneca plc (ADR)      AZN    69.88B       
British American Tobacco (ADR)      BTI    70.09B       
China Petroleum & Chemical Corp. (ADR)      SNP    69.08B       
Ecopetrol SA (ADR)      EC    68.07B       
Companhia de Bebidas das Americas (ADR)      ABV.C    67.77B       
Companhia de Bebidas das Americas (ADR)      ABV    67.31B       
Statoil ASA(ADR)      STO    66.64B       
Occidental Petroleum Corporation      OXY    66.12B       
Lloyds Banking Group PLC (ADR)      LYG    65.60B       
The Walt Disney Company      DIS    65.81B       
NTT DoCoMo, Inc. (ADR)      DCM    65.32B       
United Technologies Corporation      UTX    65.20B       
QUALCOMM, Inc.      QCOM    64.11B       
Banco Bradesco SA (ADR)      BBD    62.89B       
United Parcel Service, Inc.      UPS    62.88B       
Visa Inc.      V    63.04B       
3M Company      MMM    60.69B       
Westpac Banking Corporation (ADR)      WBK    60.25B       
Toronto-Dominion Bank (USA)      TD    59.88B       
Novo Nordisk A/S (ADR)      NVO    58.61B       
SAP AG (ADR)      SAP    58.69B       
UBS AG (USA)      UBS    55.32B       
Barclays PLC (ADR)      BCS    55.50B
HONDA MOTOR CO., LTD. (ADR)      HMC    54.75B       
Comcast Corporation      CMCSA    54.51B       
Comcast Corporation      CMCSK    54.32B       
Mitsubishi UFJ Financial Group Inc (ADR)      MTU    54.28B       
Barclays PLC (ADR)      BCS    56.22B       
Taiwan Semiconductor Mfg. Co. Ltd. (ADR)      TSM    53.78B       
Amazon.com, Inc.      AMZN    52.98B       
Kraft Foods Inc.      KFT    51.05B       
The Bank of Nova Scotia (USA)      BNS    49.85B       
Amgen, Inc.      AMGN    50.53B       
American Express Company      AXP    51.88B       
France Telecom SA (ADR)      FTE    50.97B       
Suncor Energy Inc. (USA)      SU    50.10B       
The Boeing Company      BA    50.55B       
Mobile TeleSystems OJSC (ADR)      MBT    51.46B       
Credit Suisse Group AG (ADR)      CS    48.66B       
Canon Inc. (ADR)      CAJ    48.19B       
The Home Depot, Inc.      HD    47.42B       
Banco Santander (Brasil) SA(ADR)      BSBR    49.18B       
Alcon, Inc.      ACL    46.04B       
ArcelorMittal (ADR)      MT    48.67B       
Teva Pharmaceutical Industries Ltd (ADR)      TEVA    45.97B       
HSBC Holdings Plc PRFD 'A'      HBC-A    45.56B       
Banco Bilbao Vizcaya Argentaria SA (ADR)      BBVA    44.66B       
SPDR Gold Trust (ETF)      GLD    45.64B       
Altria Group, Inc.      MO    45.50B       
US Bancorp      USB    45.35B       
Bristol Myers Squibb Co.      BMY    42.87B       
Diageo plc (ADR)      DEO    42.98B       
ABB Ltd (ADR)      ABB    44.82B
Ford Motor Company      F    41.19B       
Bristol Myers Squibb Co.      BMY    42.87B       
Barrick Gold Corporation (USA)      ABX    41.58B       
CVS Caremark Corporation      CVS    40.72B       
EMC Corporation      EMC    40.84B       
Colgate-Palmolive Company      CL    40.50B       
Eli Lilly & Co.      LLY    40.53B       
Medtronic, Inc.      MDT    39.82B       
China Telecom Corporation Limited (ADR)      CHA    40.15B       
Deutsche Bank AG (USA)      DB    39.78B       
Royal Bank of Scotland Group plc (ADR)      RBS    38.53B       
Canadian Natural Resource Ltd (USA)      CNQ    38.26B       
Target Corporation      TGT    37.90B       
Morgan Stanley      MS    37.45B       
Emerson Electric Co.      EMR    36.78B       
Union Pacific Corporation      UNP    36.64B       
Telefonaktiebolaget LM Ericsson (ADR)      ERIC    36.92B       
iShares MSCI Emerging Markets Indx (ETF)      EEM    36.89B       
News Corporation      NWS    36.17B       
News Corporation      NWSA    35.52B       
UnitedHealth Group Inc.      UNH    35.24B       
Time Warner Inc.      TWX    35.11B       
NIKE, Inc.      NKE    34.76B       
Nokia Corporation (ADR)      NOK    34.34B       
Infosys Technologies Limited (ADR)      INFY    34.37B       
EI du Pont de Nemours & Company      DD    34.18B       
ING Groep NV (ADR)      ING    34.45B       
DIRECTV      DTV    33.75B       
POSCO (ADR)      PKX    33.40B       
Imperial Oil Limited (USA)      IMO    33.40B
Bank of Montreal (USA)      BMO    32.90B       
China Unicom (Hong Kong) Limited (ADR)      CHU    32.70B       
Honeywell International Inc.      HON    32.69B       
iShares MSCI EAFE Index Fund (ETF)      EFA    32.61B       
Wipro Limited (ADR)      WIT    32.48B       
Freeport-McMoRan Copper & Gold Inc.      FCX    32.33B       
MetLife, Inc.      MET    32.22B       
PNC Financial Services      PNC    31.45B       
The Bank of New York Mellon Corporation      BK    31.20B       
Thomson Reuters Corporation (USA)      TRI    30.98B       
VMware, Inc.      VMW    30.89B       
Research In Motion Limited (USA)      RIMM    30.77B       
The Dow Chemical Company      DOW    30.77B       
Monsanto Company      MON    30.62B       
Texas Instruments Incorporated      TXN    30.23B       
Apache Corporation      APA    30.11B       
Koninklijke Philips Electronics NV (ADR)      PHG    29.92B       
Goldcorp Inc. (USA)      GG    29.79B       
Lowe's Companies, Inc.      LOW    29.77B       
Gilead Sciences, Inc.      GILD    29.75B       
The Southern Company      SO    29.39B       
Carnival plc (ADR)      CUK    29.34B       
BlackRock, Inc.      BLK    29.00B       
Newmont Mining Corporation      NEM    28.99B       
Potash Corp./Saskatchewan (USA)      POT    28.86B       
Canadian National Railway (USA)      CNI    28.82B       
PulteGroup, Inc.      PHA    28.64B       
Walgreen Company      WAG    28.62B       
Devon Energy Corporation      DVN    28.50B       
Sony Corporation (ADR)      SNE    28.28B
Repsol YPF, SA (ADR)      REP    28.26B       
Accenture Plc      ACN    28.07B       
Corning Incorporated      GLW    28.25B       
Carnival Corporation      CCL    27.81B       
Southern Copper Corporation (USA)      SCCO    27.24B       
MasterCard Incorporated      MA    27.26B       
eBay Inc.      EBAY    27.56B       
Lockheed Martin Corporation      LMT    27.55B       
Exelon Corporation      EXC    27.61B       
Baidu, Inc.(ADR)      BIDU    27.16B       
Halliburton Company      HAL    27.43B       
Deere & Company      DE    26.68B       
National Grid plc (ADR)      NGG    26.53B       
Panasonic Corporation (ADR)      PC    26.44B       
Vanguard Emerging Markets ETF      VWO    26.76B       
Dell Inc.      DELL    26.46B       
Kimberly-Clark Corporation      KMB    26.06B       
Baxter International Inc.      BAX    25.80B       
Southern Copper Corp      SCCU    26.18B       
Praxair, Inc.      PX    25.80B       
Sasol Limited (ADR)      SSL    25.89B       
EOG Resources, Inc.      EOG    26.13B       
Manulife Financial Corporation (USA)      MFC    25.85B       
Prudential Financial, Inc.      PRU    25.48B       
Dominion Resources, Inc.      D    25.17B       
Companhia Siderurgica Nacional (ADR)      SID    25.20B       
Canadian Imperial Bank of Commerce (USA)      CM    25.16B       
Simon Property Group, Inc      SPG    25.27B       
Rio Tinto plc (ADR)      RTP    24.82B       
Enterprise Products Partners LP      EPD    24.74B
FedEx Corporation      FDX    23.62B       
Costco Wholesale Corporation      COST    24.19B       
The Travelers Companies, Inc.      TRV    24.72B       
American International Group, Inc.      AIG    23.94B       
Danaher Corporation      DHR    24.54B       
Celgene Corporation      CELG    23.99B       
TransCanada Corporation (USA)      TRP    23.71B       
American International Group, Inc.      NOW    23.34B       
American International Group, Inc.      AFF    23.55B       
Telecom Italia SpA (ADR)      TI    22.79B       
Anadarko Petroleum Corporation      APC    22.56B       
Express Scripts, Inc.      ESRX    25.17B       
Mitsui & Co., Ltd. (ADR)      MITSY    23.41B       
General Dynamics Corporation      GD    22.52B       
EnCana Corporation (USA)      ECA    24.13B       
AFLAC Incorporated      AFL    22.19B       
BCE Inc. (USA)      BCE    22.91B       
Tenaris SA (ADR)      TS    22.79B       
Marathon Oil Corporation      MRO    23.09B       
HDFC Bank Limited (ADR)      HDB    22.20B       
General Mills, Inc.      GIS    23.00B       
Duke Energy Corporation      DUK    22.51B       
WellPoint, Inc.      WLP    22.31B       
Medco Health Solutions Inc.      MHS    24.92B       
NextEra Energy, Inc.      NEE    21.82B       
ICICI Bank Limited (ADR)      IBN    20.96B       
Franklin Resources, Inc.      BEN    20.69B       
Cenovus Energy Inc (ADR)      CVE    21.01B       
iShares S&P 500 Index (ETF)      IVV    20.99B
Illinois Tool Works Inc.      ITW    21.46B       
Baker Hughes Incorporated      BHI    20.70B       
Automatic Data Processing      ADP    21.07B       
Gerdau SA (ADR)      GGB    20.67B       
Rogers Communications Inc. (USA)      RCI    20.64B       
Syngenta AG (ADR)      SYT    20.45B       
Thermo Fisher Scientific Inc.      TMO    20.85B       
Teck Resources Limited      TCK    20.72B       
Kinder Morgan Energy Partners LP      KMP    20.68B       
Prudential Public Limited Company (ADR)      PUK    20.51B       
Johnson Controls, Inc.      JCI    18.98B       
Chunghwa Telecom Co., Ltd (ADR)      CHT    20.32B       
Norfolk Southern Corp.      NSC    20.37B       
Covidien plc      COV    19.99B       
The Mosaic Company      MOS    20.51B       
Viacom, Inc.      VIA.B    20.00B       
Viacom, Inc.      VIA    19.90B       
Nomura Holdings, Inc. (ADR)      NMR    19.85B       
CSX Corporation      CSX    19.76B       
State Street Corporation      STT    19.68B       
Time Warner Cable Inc.      TWC    19.52B       
Yahoo! Inc.      YHOO    19.38B       
Kellogg Company      K    19.36B       
Allergan, Inc.      AGN    19.28B       
Yum! Brands, Inc.      YUM    19.15B       
Capital One Financial Corp.      COF    18.26B       
Enbridge Inc. (USA)      ENB    18.97B       
Bank of America Corporation Leveraged Index Return Note (LIRN) Linked to the S&P 500      SZE    18.96B       
Starbucks Corporation      SBUX    18.91B       
CME Group Inc.      CME    18.82B
Broadcom Corporation      BRCM    18.33B       
Shinhan Financial Group Co., Ltd. (ADR)      SHG    18.76B       
iShares Barclays TIPS Bond Fund (ETF)      TIP    18.66B       
American Tower Corporation      AMT    18.74B       
Stryker Corporation      SYK    20.20B       
PowerShares QQQ Trust, Series 1 (ETF)      QQQQ    18.30B       
Raytheon Company      RTN    18.38B       
Motorola, Inc.      MOT    18.55B       
SYSCO Corporation      SYY    17.92B       
The Charles Schwab Corporation      SCHW    17.82B       
PT Telekomunikasi Indonesia (ADR)      TLK    17.60B       
ACE Limited      ACE    18.03B       
SLM Corp. PRFD 'A'      SLM-A    18.03B       
Archer Daniels Midland Company      ADM    17.57B       
BB&T Corporation      BBT    18.27B       
Public Storage PRFD 'N'      PSA-N    17.54B       
Mizuho Financial Group, Inc. (ADR)      MFG    17.05B       
Northrop Grumman Corporation      NOC    16.80B       
Tyco International Ltd.      TYC    16.89B       
Korea Electric Power Corporation (ADR)      KEP    17.19B       
Hitachi, Ltd. (ADR)      HIT    17.27B       
The TJX Companies, Inc.      TJX    16.96B       
Hess Corp.      HES    17.27B       
American Electric Power Company, Inc.      AEP    17.09B       
The Chubb Corporation      CB    16.91B       
Public Service Enterprise Group Inc.      PEG    16.87B       
PACCAR Inc      PCAR    15.97B       
Applied Materials, Inc.      AMAT    16.57B       
McKesson Corporation      MCK    17.41B       
BT Group plc (ADR)      BT    16.02B
BARCLAYS BANK PLC USD INTELLIGENT CARRY INDEX      ICI    16.72B       
Genzyme Corporation      GENZ    16.68B       
ProShares UltraShort DJ-UBS Crude Oi ETF      SCO    16.63B       
Cognizant Technology Solutions Corp.      CTSH    16.57B       
Las Vegas Sands Corp.      LVS    16.55B       
Reynolds American, Inc.      RAI    16.53B       
Precision Castparts Corp.      PCP    16.49B       
Telmex Internacional, SAB DE CV (ADR)      TII    16.40B       
Talisman Energy Inc. (USA)      TLM    16.38B       
PG&E Corporation      PCG    16.36B       
Public Storage      PSA    16.32B       
Yanzhou coal mining Co. (ADR)      YZC    16.25B       
Vornado Realty Trust PRFD 'G'      VNO-G    16.16B       
Waste Management, Inc.      WM    16.11B       
National-Oilwell Varco, Inc.      NOV    15.86B       
Becton, Dickinson and Co.      BDX    15.73B       
Fresenius Medical Care AG & Co. (ADR)      FMS    15.70B       
YPF SA (ADR)      YPF    15.69B       
Kyocera Corporation (ADR)      KYO    15.47B       
Loews Corporation      L    15.43B       
Adobe Systems Incorporated      ADBE    15.35B       
Cummins Inc.      CMI    15.22B       
Air Products & Chemicals, Inc.      APD    15.20B       
NetApp Inc.      NTAP    15.20B       
CRH PLC (ADR)      CRH    15.15B       
The Allstate Corporation      ALL    15.09B       
Ford Motor Co. (DE) PRFD 'A'      F-A    14.99B       
ProLogis PRFD 'G'      PLD-G    14.95B       
Transocean LTD      RIG    14.93B       
Sun Life Financial Inc. (USA)      SLF    14.91B
Kohl's Corporation      KSS    14.76B       
Vornado Realty Trust PRFD 'F'      VNO-F    14.68B       
Cummins Inc.      CMI    15.22B       
HJ Heinz Company      HNZ    14.45B       
AngloGold Ashanti Limited (ADR)      AU    14.65B       
Sun Life Financial Inc. (USA)      SLF    14.91B       
CRH PLC (ADR)      CRH    15.15B       
Best Buy Co., Inc.      BBY    14.56B       
Biogen Idec Inc.      BIIB    14.28B       
Vornado Realty Trust PRFD 'E'      VNO-E    14.49B       
KB Financial Group, Inc. (ADR)      KB    14.04B       
Tennessee Valley Authority      TVE    14.05B       
Brookfield Asset Management Inc. (USA)      BAM    14.31B       
Juniper Networks, Inc.      JNPR    14.42B       
Coca-Cola Enterprises Inc.      CCE    14.12B       
Sprint Nextel Corporation      S    13.92B       
Vornado Realty Trust      VNO    14.39B       
Chesapeake Energy Corporation      CHK    14.12B       
Banco Santander-Chile (ADR)      SAN    14.34B       
ASML Holding NV (ADR)      ASML    13.92B       
Entergy Mississippi, Inc      EMQ    13.93B       
Enersis SA (ADR)      ENI    13.98B       
Spectra Energy Corp.      SE    13.75B       
American International Group, Inc.      AVF    13.52B       
Telefonos de Mexico, SA (ADR)      TFONY    13.36B       
WPP PLC (ADR)      WPPGY    13.26B       
The Progressive Corporation      PGR    13.17B       
Telefonos de Mexico, SA (ADR)      TMX    13.08B       
Vanguard Total Stock Market ETF      VTI    13.29B       
The Kroger Co.      KR    13.12B
Intuitive Surgical, Inc.      ISRG    13.10B       
Empresa Nacional de Electricidad (ADR)      EOC    13.49B       
Consolidated Edison, Inc.      ED    12.98B       
Nidec Corporation (ADR)      NJ    12.37B       
Cardinal Health, Inc.      CAH    12.04B       
Southwestern Energy Company      SWN    13.11B       
Shire Plc. (ADR)      SHPGY    12.69B       
PNC Financial Services Group, Inc. (The) PN Cap Trust D Capital Securities      PNU    12.71B       
iShares IBoxx $ Invest Grade Corp Bd Fd      LQD    12.69B       
Nucor Corporation      NUE    12.50B       
Equity Residential      EQR    12.71B       
The Estee Lauder Companies Inc.      EL    12.39B       
T. Rowe Price Group, Inc.      TROW    12.42B       
Campbell Soup Company      CPB    12.27B       
Sempra Energy      SRE    12.46B       
Marsh & McLennan Companies, Inc.      MMC    12.50B       
iShares Lehman Aggregate Bond (ETF)      AGG    12.31B       
Coca-Cola FEMSA, SAB de CV (ADR)      KOF    12.39B       
Avon Products, Inc.      AVP    12.47B       
Veolia Environnement (ADR)      VE    12.14B       
Intuit Inc.      INTU    12.14B       
TELUS Corporation (USA)      TU    12.32B       
Symantec Corporation      SYMC    12.14B       
iShares Russell 2000 Index (ETF)      IWM    12.29B       
The Gap Inc.      GPS    11.93B       
salesforce.com, inc.      CRM    12.35B       
Williams Partners LP      WPZ    12.24B       
First Solar, Inc.      FSLR    11.94B       
Progress Energy, Inc.      PGN    11.96B       
Noble Energy, Inc.      NBL    11.84B
Cardinal Health, Inc.      CAH    12.04B       
Aetna Inc.      AET    12.01B       
Progress Energy, Inc.      PGN    11.96B       
Pearson PLC (ADR)      PSO    11.96B       
Turkcell Iletisim Hizmetleri AS (ADR)      TKC    11.95B       
First Solar, Inc.      FSLR    11.94B       
The Gap Inc.      GPS    11.93B       
Ingersoll-Rand PLC      IR    11.85B       
Noble Energy, Inc.      NBL    11.84B       
The Blackstone Group LP      BX    11.80B       
FirstEnergy Corp.      FE    11.71B       
Luxottica Group SpA (ADR)      LUX    11.70B       
Tyco Electronics Ltd.      TEL    11.68B       
Marriott International, Inc.      MAR    11.62B       
Lorillard Inc.      LO    11.60B       
Omnicom Group Inc.      OMC    11.58B       
St. Jude Medical, Inc.      STJ    11.56B       
Weatherford International Ltd.      WFT    11.56B       
Aluminum Corp. of China Limited (ADR)      ACH    11.56B       
Northern Trust Corporation      NTRS    11.49B       
Kinross Gold Corporation (USA)      KGC    11.47B       
Bancolombia SA (ADR)      CIB    11.41B       
Williams Companies, Inc.      WMB    11.41B       
Ecolab Inc.      ECL    11.30B       
Centrais Eletricas Brasileiras SA (ADR)      EBR    11.28B       
Crown Castle International Corp.      CCI    11.28B       
BARCLAYS BANK PLC IPATH DJ UBS SUGAR TR ETN      SGG    11.19B       
Coach, Inc.      COH    11.18B       
Fibria Celulose SA (ADR)      FBR    11.09B       
CPFL Energia SA (ADR)      CPL    11.07B
Alcoa Inc.      AA    11.05B       
EGA Emerging Global Shares Dow Jones Emerging Markets Metals & Mining Titans Index Fund      EMT    11.04B       
Ctrip.com International, Ltd. (ADR)      CTRP    11.03B       
Mead Johnson Nutrition CO      MJN    11.03B       
Boston Properties, Inc.      BXP    11.00B       
PPG Industries, Inc.      PPG    10.98B       
LG Display Co Ltd. (ADR)      LPL    10.94B       
Telecomunicacoes de Sao Paulo SA (ADR)      TSP    10.93B       
Nexen Inc. (USA)      NXY    10.88B       
The Hershey Company      HSY    10.85B       
priceline.com Incorporated      PCLN    10.85B       
Wynn Resorts, Limited      WYNN    10.81B       
The Western Union Company      WU    10.78B       
International Paper Company      IP    10.74B       
Edison International      EIX    10.72B       
iShares Russell 1000 Growth Index (ETF)      IWF    10.69B       
CenturyTel, Inc.      CTL    10.68B       
Zimmer Holdings, Inc.      ZMH    10.65B       
Marvell Technology Group Ltd.      MRVL    10.62B       
ConAgra Foods, Inc.      CAG    10.60B       
Discovery Communications Inc.      DISCK    10.56B       
Fidelity National Information Services      FIS    10.56B       
Smith International, Inc.      SII    10.53B       
Discovery Communications Inc.      DISCA    10.51B       
Grupo Televisa, SA (ADR)      TV    10.42B       
iShares MSCI Brazil Index (ETF)      EWZ    10.40B       
Vivo Participacoes SA (ADR)      VIV    10.40B       
M&T Bank Corporation      MTB    10.30B       
HCP, Inc.      HCP    10.28B       
SK Telecom Co., Ltd. (ADR)      SKM    10.25B
Hartford Financial Services      HIG    10.23B       
Smith International, Inc.      SII    10.53B       
Bed Bath & Beyond Inc.      BBBY    10.22B       
HCP, Inc.      HCP    10.28B       
Xcel Energy Inc.      XEL    10.12B       
Discovery Communications Inc.      DISCB    10.11B       
Compania de Minas Buenaventura SA (ADR)      BVN    10.12B       
CH Robinson Worldwide, Inc.      CHRW    10.10B       
Millicom International Cellular SA (USA)      MICC    10.08B       
PPL Corporation      PPL    10.15B       
Companhia Energetica Minas Gerais (ADR)      CIG    10.05B       
Agilent Technologies Inc.      A    10.00B       
CA, Inc.      CA    9.96B       
Reed Elsevier plc (ADR)      RUK    9.78B       
Kubota Corporation (ADR)      KUB    9.81B       
Ameriprise Financial, Inc.      AMP    10.00B       
Annaly Capital Management, Inc.      NLY    9.90B       
Dollar General Corp.      DG    9.88B       
Canadian Pacific Railway Limited (USA)      CP    9.75B       
Philippine Long Distance Telephone (ADR)      PHI    9.80B       
Woori Finance Holdings Co., Ltd. (ADR)      WF    9.65B       
CBS Corporation      CBS    9.66B       
Aon Corporation      AON    9.83B       
Energy Transfer Partners, LP      ETP    9.78B       
Parker-Hannifin Corporation      PH    9.76B       
Sara Lee Corp.      SLE    9.75B       
Qwest Communications International Inc.      Q    9.79B       
Fifth Third Bancorp      FITB    9.77B       
Cemex SAB de CV (ADR)      CX    9.85B       
AEGON NV (ADR)      AEG    9.81B
AutoZone, Inc.      AZO    9.73B       
Valero Energy Corporation      VLO    9.70B       
The McGraw-Hill Companies, Inc.      MHP    9.69B       
CBS Corporation      CBS.A    9.68B       
CBS Corporation      CBS    9.66B       
Woori Finance Holdings Co., Ltd. (ADR)      WF    9.65B       
Cameco Corporation (USA)      CCJ    9.65B       
Paychex, Inc.      PAYX    9.63B       
Hospira, Inc.      HSP    9.55B       
SanDisk Corporation      SNDK    9.53B       
Sociedad Quimica y Minera (ADR)      SQM    9.52B       
TD Ameritrade Holding Corp.      AMTD    9.32B       
Cameron International Corporation      CAM    9.30B       
Agrium Inc. (USA)      AGU    9.27B       
Lihir Gold Limited (ADR)      LIHR    9.26B       
Gold Fields Limited (ADR)      GFI    9.23B       
Host Hotels & Resorts, Inc.      HST    9.18B       
Brown-Forman Corporation      BF.A    9.17B       
The Clorox Company      CLX    9.15B       
Portugal Telecom, SGPS (ADR)      PT    9.14B       
Brown-Forman Corporation      BF.B    9.13B       
Analog Devices, Inc.      ADI    9.12B       
Delta Air Lines, Inc.      DAL    9.05B       
Agnico-Eagle Mines Limited (USA)      AEM    9.05B       
Companhia Brasileira de Distrib. (ADR)      CBD    9.03B       
Stanley Black & Decker, Inc.      SWK    9.02B       
Boston Scientific Corporation      BSX    8.99B       
Ryanair Holdings plc (ADR)      RYAAY    8.96B       
ITT Corporation      ITT    8.95B       
Citrix Systems, Inc.      CTXS    8.89B
DISH Network Corp.      DISH    8.87B       
KT Corporation (ADR)      KT    8.95B       
CONSOL Energy Inc.      CNX    8.83B       
Altera Corporation      ALTR    8.84B       
Reed Elsevier NV (ADR)      ENL    8.96B       
Expeditors International of Washington      EXPD    8.81B       
Rockwell Collins, Inc.      COL    8.86B       
El Paso Corporation      EP    8.80B       
Goodrich Corporation      GR    8.86B       
CIGNA Corporation      CI    8.65B       
Southwest Airlines Co.      LUV    8.66B       
Weyerhaeuser Company      WY    8.75B       
Diamond Offshore Drilling, Inc.      DO    8.46B       
SPDR S&P MidCap 400 ETF      MDY    8.65B       
iShares Russell 1000 Value Index (ETF)      IWD    8.63B       
VF Corporation      VFC    8.84B       
Eldorado Gold Corporation (USA)      EGO    8.61B       
Seadrill Limited Ordinary Shares (Bermuda)      SDRL    9.08B       
iShares Lehman 1-3 Year Treas.Bond (ETF)      SHY    8.62B       
Starwood Hotels & Resorts Worldwide, Inc      HOT    8.70B       
Molson Coors Brewing Company      TAP.A    8.61B       
Dover Corporation      DOV    8.81B       
Mechel OAO (ADR)      MTL    8.69B       
L-3 Communications Holdings, Inc.      LLL    8.63B       
National Bank of Greece (ADR)      NBG    8.44B       
Plains All American Pipeline, LP      PAA    8.59B       
Life Technologies Corp.      LIFE    8.54B       
AvalonBay Communities, Inc.      AVB    8.39B       
Molson Coors Brewing Company      TAP    8.51B       
Tata Motors Limited (ADR)      TTM    8.43B
Shaw Communications Inc. (USA)      SJR    8.46B       
Micron Technology, Inc.      MU    8.43B       
HCP, Inc. PRFD 'E'      HCP-E    8.41B       
Invesco Ltd.      IVZ    8.40B       
Coca-Cola HBC SA (ADR)      CCH    8.39B       
Penn West Energy Trust (USA)      PWE    8.39B       
AmerisourceBergen Corp.      ABC    8.37B       
Randgold Resources Ltd. (ADR)      GOLD    8.35B       
Magna International Inc. (USA)      MGA    8.31B       
The AES Corporation      AES    8.26B       
Vanguard Total Bond Market ETF      BND    8.25B       
AU Optronics Corp. (ADR)      AUO    8.24B       
Fluor Corporation (NEW)      FLR    8.23B       
SPDR Dow Jones Industrial Average ETF      DIA    8.21B       
Limited Brands, Inc.      LTD    8.20B       
United Microelectronics Corp (ADR)      UMC    8.18B       
Noble Corporation      NE    8.17B       
Discover Financial Services      DFS    8.16B       
Macy's, Inc.      M    8.12B       
Forest Laboratories, Inc.      FRX    8.11B       
Principal Financial Group, Inc.      PFG    8.11B       
DTE Energy Company      DTE    8.03B       
Quest Diagnostics Incorporated      DGX    8.02B       
Xilinx, Inc.      XLNX    8.00B       
Humana Inc.      HUM    7.89B       
Energy Transfer Equity, LP      ETE    7.88B       
IntercontinentalExchange, Inc.      ICE    7.88B       
Regions Financial Corporation      RF    7.87B       
Ventas, Inc.      VTR    7.82B       
Lan Airlines SA (ADR)      LFL    7.80B
Cablevision Systems Corporation      CVC    7.84B       
Continental Resources, Inc.      CLR    7.75B       
ORIX Corporation (ADR)      IX    7.93B       
Bunge Limited      BG    7.90B       
Smith & Nephew plc (ADR)      SNN    7.57B       
Sears Holdings Corporation      SHLD    7.76B       
Cree, Inc.      CREE    7.76B       
Akamai Technologies, Inc.      AKAM    7.75B       
Mattel, Inc.      MAT    7.75B       
Delhaize Group (ADR)      DEG    7.58B       
WW Grainger, Inc.      GWW    7.65B       
Dolby Laboratories, Inc.      DLB    7.62B       
Safeway Inc.      SWY    7.62B       
iShares FTSE/Xinhua China 25 Index (ETF)      FXI    7.63B       
Ivanhoe Mines Ltd. (USA)      IVN    7.63B       
STMicroelectronics NV (ADR)      STM    7.30B       
Amphenol Corporation      APH    7.72B       
FMC Technologies, Inc.      FTI    7.60B       
Rockwell Automation      ROK    7.61B       
Brookfield Properties Corporation (USA)      BPO    7.53B       
Credicorp Ltd. (USA)      BAP    7.75B       
Liberty Global Inc.      LBTYB    7.54B       
Laboratory Corp. of America Holdings      LH    7.63B       
Liberty Global Inc.      LBTYK    7.50B       
Liberty Global Inc.      LBTYA    7.50B       
Polo Ralph Lauren Corporation      RL    7.58B       
The JM Smucker Company      SJM    7.45B       
Cooper Industries plc      CBE    7.61B       
CIT Group Inc.      CIT    7.46B       
CNA Financial Corporation      CNA    7.48B
The JM Smucker Company      SJM    7.47B       
Cliffs Natural Resources Inc      CLF    7.38B       
CNH Global NV (ADR)      CNH    7.21B       
STMicroelectronics NV (ADR)      STM    7.63B       
NYSE Euronext      NYX    7.31B       
Ternium SA (ADR)      TX    7.30B       
Lincoln National Corporation      LNC    7.30B       
Fastenal Company      FAST    7.28B       
Apollo Group, Inc.      APOL    7.27B       
Genworth Financial, Inc.      GNW    7.34B       
Enterprise GP Holdings LP      EPE    7.25B       
New York Community Bancorp, Inc.      NYB    7.24B       
Nordstrom, Inc.      JWN    7.35B       
Linear Technology Corporation      LLTC    7.23B       
Oneok Partners LP      OKS    7.23B       
Fiserv, Inc.      FISV    7.21B       
Unum Group      UNM    7.26B       
NATIONWIDE FIN SVCS      NFS    7.20B       
Liberty Media Corp (Interactive)      LINTB    7.16B       
Computer Sciences Corporation      CSC    7.16B       
Check Point Software Technologies Ltd.      CHKP    7.12B       
ARM Holdings plc (ADR)      ARMH    7.09B       
Yamana Gold Inc. (USA)      AUY    7.07B       
Huaneng Power International, Inc. (ADR)      HNP    7.10B       
Liberty Media Corp (Interactive)      LINTA    7.00B       
F5 Networks, Inc.      FFIV    6.99B       
KeyCorp      KEY    6.99B       
BMC Software, Inc.      BMC    6.93B       
Enbridge Energy Partners, LP      EEP    6.86B       
Constellation Energy Group, Inc.      CEG    6.88B
Newfield Exploration Co.      NFX    6.96B       
Varian Medical Systems, Inc.      VAR    6.78B       
iShares S&P MidCap 400 Index (ETF)      IJH    6.83B       
Sigma-Aldrich Corporation      SIAL    6.82B       
Pioneer Natural Resources      PXD    6.91B       
Ross Stores, Inc.      ROST    6.79B       
Scripps Networks Interactive, Inc.      SNI    6.83B       
Ultrapar Participacoes SA (ADR)      UGP    6.80B       
O'Reilly Automotive, Inc.      ORLY    6.77B       
Genuine Parts Company      GPC    6.77B       
United States Steel Corporation      X    6.70B       
Ultra Petroleum Corp.      UPL    6.82B       
iShares Barclays 1-3 Year Cred Bd Fd ETF      CSJ    6.68B       
TIM Participacoes SA (ADR)      TSU    6.75B       
Tyson Foods, Inc.      TSN    6.73B       
Vertex Pharmaceuticals Incorporated      VRTX    6.68B       
NII Holdings, Inc.      NIHD    6.67B       
Whole Foods Market, Inc.      WFMI    6.65B       
Autodesk, Inc.      ADSK    6.62B       
Comerica Incorporated      CMA    6.58B       
Fortune Brands, Inc.      FO    6.51B       
GATX Corp. PRFD      GMT-    6.56B       
Harley-Davidson, Inc.      HOG    6.57B       
Virgin Media Inc.      VMED    6.53B       
Edwards Lifesciences Corp      EW    6.50B       
Hecla Mining Co. PRFD 'B'      HL-B    6.46B       
Whirlpool Corporation      WHR    6.55B       
SAIC, Inc.      SAI    6.40B       
Clearwire Corporation      CLWR    6.38B       
Hudson City Bancorp, Inc.      HCBK    6.37B
Fortune Brands, Inc.      FO    6.51B       
Harley-Davidson, Inc.      HOG    6.57B       
Cerner Corporation      CERN    6.30B       
Edwards Lifesciences Corp      EW    6.50B       
Silver Wheaton Corp. (USA)      SLW    6.45B       
Cimarex Energy Co.      XEC    6.36B       
Joy Global Inc.      JOYG    6.24B       
DaVita Inc.      DVA    6.03B       
Expedia, Inc.      EXPE    6.24B       
Seagate Technology      STX    6.23B       
Boardwalk Pipeline Partners, LP      BWP    6.21B       
Hyatt Hotels Corporation      H    6.16B       
Garmin Ltd.      GRMN    6.12B       
Red Hat, Inc.      RHT    6.11B       
Warner Chilcott Plc      WCRX    6.04B       
ENSCO PLC      ESV    5.87B       
Millipore Corporation      MIL    6.01B       
IAMGOLD Corporation (USA)      IAG    6.10B       
Calpine Corporation      CPN    6.17B       
Plum Creek Timber Co. Inc.      PCL    6.04B       
Lubrizol Corporation      LZ    6.16B       
Tele Norte Leste Participacoes SA (ADR)      TNE    6.22B       
Denbury Resources Inc.      DNR    6.07B       
Tim Hortons Inc. (USA)      THI    6.04B       
Alcatel-Lucent (ADR)      ALU    6.17B       
XL Group plc      XL    5.99B       
Ameren Corporation      AEE    5.97B       
Waters Corporation      WAT    5.99B       
Hasbro, Inc.      HAS    5.83B       
Amdocs Limited      DOX    5.58B
Market Vectors Gold Miners ETF      GDX    5.84B       
NVIDIA Corporation      NVDA    6.13B       
Royal Caribbean Cruises Ltd.      RCL    5.16B       
ENSCO PLC      ESV    5.97B       
Companhia Paranaense de Energia (ADR)      ELP    5.76B       
Kimco Realty Corporation      KIM    5.61B       
Hasbro, Inc.      HAS    5.93B       
JC Penney Company, Inc.      JCP    5.43B       
Urban Outfitters, Inc.      URBN    5.69B       
Vulcan Materials Company      VMC    5.65B       
Energy Select Sector SPDR (ETF)      XLE    5.65B       
Microchip Technology Inc.      MCHP    5.61B       
NRG Energy, Inc.      NRG    5.72B       
Financial Select Sector SPDR (ETF)      XLF    5.59B       
Roper Industries, Inc.      ROP    5.43B       
Hormel Foods Corporation      HRL    5.68B       
Sybase, Inc.      SY    5.64B       
Netflix, Inc.      NFLX    6.29B       
iShares S&P SmallCap 600 Index (ETF)      IJR    5.47B       
CF Industries Holdings, Inc.      CF    5.55B       
McDermott International      MDR    5.45B       
CenterPoint Energy, Inc.      CNP    5.56B       
iShares iBoxx $ High Yid Corp Bond (ETF)      HYG    5.45B       
PartnerRe Ltd.      PRE    5.56B       
Amdocs Limited      DOX    5.87B       
Health Care REIT, Inc.      HCN    5.48B       
Maxim Integrated Products Inc.      MXIM    5.42B       
Textron Inc.      TXT    4.88B       
Dollar Tree, Inc.      DLTR    5.39B       
Mylan Inc.      MYL    5.61B
Stericycle, Inc.      SRCL    5.48B       
Avago Technologies Limited      AVGO    5.46B       
Vanguard REIT ETF      VNQ    5.45B       
Willis Group Holdings PLC      WSH    5.44B       
Airgas, Inc.      ARG    5.44B       
EQT Corporation      EQT    5.43B       
Watson Pharmaceuticals, Inc.      WPI    5.42B       
Teradata Corporation      TDC    5.38B       
Vanguard Short-Term Bond ETF      BSV    5.38B       
Lam Research Corporation      LRCX    5.35B       
iShares Silver Trust (ETF)      SLV    5.35B       
Moody's Corporation      MCO    5.32B       
Verisk Analytics, Inc.      VRSK    5.32B       
KLA-Tencor Corporation      KLAC    5.30B       
Vanguard FTSE All-World ex-US ETF      VEU    5.30B       
AEGON NV      AED    5.29B       
Concho Resources Inc.      CXO    5.28B       
Magellan Midstream Partners, LP      MMP    5.28B       
QEP Resources, Inc. Common Stock      QEP    5.26B       
Verisign, Inc.      VRSN    5.26B       
Flowserve Corporation      FLS    5.25B       
Windstream Corporation      WIN    5.24B       
Electronic Arts Inc.      ERTS    5.24B       
ProLogis      PLD    5.23B       
SLM Corporation      SLM    5.23B       
HCP, Inc. PRFD 'F'      HCP-F    5.22B       
McCormick & Company, Incorporated      MKC.V    5.20B       
Leucadia National Corp.      LUK    5.19B       
Kinder Morgan Management, LLC      KMR    5.18B
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