Earnings History for 7/25/2013

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Earnings Before the Market Opens

Company Symbol Qtr EPS Cons. Surprise % Beat Revs Cons. Gd. % Since % Week Details
3M MMM Q213 $1.71$1.71 $0.000.0% $7.75B$7.77B 0% 0% Details
Actavis ACT Q213 $2.01$2.00 +$0.01+0.5% $1.99B$1.98B = +90.6% +5.9% Details
Airgas, Inc. ARG Q114 $1.14$1.16 -$0.02-1.7% $1.28B$1.27B = +9.7% +2.1% Details
Alaska Air Group, Inc. ALK Q213 $1.47$1.61 -$0.14-8.7% $1.26B$1.27B N/A -28.7% 0% Details
Alexion Pharmaceuticals, Inc. ALXN Q213 $0.73$0.68 +$0.05+7.4% $370.1M$364.8M +51.3% +5.9% Details
Alkermes ALKS Q213 $0.30$0.22 +$0.08+36.4% $138.6M$131.5M +47.3% +15.1% Details
Altisource Portfolio Solutions ASPS Q213 $1.25$1.27 -$0.02-1.6% $161.7M$160.7M N/A +2.3% +24.5% Details
American Electric Power Co. AEP Q213 $0.73$0.74 -$0.01-1.4% $3.6B$3.69B = +12.7% -0.1% Details
Arctic Cat, Inc. ACAT Q114 $0.40$0.21 +$0.19+90.5% $120.8M$126.3M -29.8% +10.9% Details
Ashland, Inc. ASH Q313 $1.66$1.84 -$0.18-9.8% $2.1B$2.06B N/A +20.4% +0.5% Details
Ball Corp. BLL Q213 $0.85$0.87 -$0.02-2.3% $2.2B$2.3B N/A +39.6% -1.5% Details
Bemis Co., Inc. BMS Q213 $0.61$0.59 +$0.02+3.4% $1.3M$1.32M -8% -0.4% Details
Benchmark Electronics, Inc. BHE Q213 $0.31$0.27 +$0.04+14.8% $608M$573.39M = +3.5% +2.7% Details
Biogen Idec, Inc. BIIB Q213 $2.30$1.93 +$0.37+19.2% $1.7B$1.62B +46.3% -3.7% Details
Borgwarner, Inc. BWA Q213 $1.50$1.38 +$0.12+8.7% $1.89B$1.89B -42.7% +3.5% Details
Boston Scientific Corp. BSX Q213 $0.18$0.10 +$0.08+80.0% $1.81B$1.78B = +23.1% +13.6% Details
Brinks Co. BCO Q213 $0.44$0.41 +$0.03+7.3% $991M$975.65M N/A -10.8% -1.1% Details
Bristol-Myers Squibb Co. BMY Q213 $0.44$0.45 -$0.01-2.2% $4.05B$4.07B = +15% -3% Details
Brunswick Corp. BC Q213 $1.23$1.08 +$0.15+13.9% $1.1M$1.11M = +27.6% +14% Details
Build-A-Bear Workshop BBW Q213 -$0.33-$0.35 +$0.02+5.7% $80.4M$77.2M N/A +93.3% +4.1% Details
Bunge Ltd. BG Q213 $0.74$1.30 -$0.56-43.1% $15.5B$15.81B N/A +13.5% +2.4% Details
CMS Energy Corp. CMS Q213 $0.29$0.34 -$0.05-14.7% $1.41B$1.37B = +5.9% 0% Details
CRA International, Inc. CRAI Q213 $0.15$0.32 -$0.17-53.1% $65.2M$66.01M N/A +21% -10.4% Details
Cabelas, Inc. CAB Q213 $0.62$0.61 +$0.01+1.6% $756.8M$739.58M N/A -10.5% +4.1% Details
Calpine CPN Q213 -$0.33$0.08 -$0.41-512.5% $1.57B$1.05B N/A +7.9% -0.5% Details
Cameron International Corp. CAM Q213 $0.79$0.78 +$0.01+1.3% $2.29B$2.35B +4.6% -6.7% Details
Carbo Ceramics, Inc. CRR Q213 $0.71$0.67 +$0.04+6.0% $153.74M$145.49M N/A -17.5% +21.5% Details
Carters, Inc. CRI Q213 $0.46$0.43 +$0.03+7.0% $518M$520.31M = +4.6% -3.9% Details
Cash America CSH Q213 $0.94$0.84 +$0.10+11.9% $41.95M$416.43M = -4.7% -8.6% Details
Celgene Corp CELG Q213 $1.52$1.44 +$0.08+5.6% $1.56B$1.54B -30.2% +8% Details
Clayton Williams Energy, Inc. CWEI Q213 -$0.08$0.43 -$0.51-118.6% $98.92M$89.25M N/A +78.1% +4.7% Details
Coca-Cola Enterprises, Inc. CCE Q213 $0.77$0.76 +$0.01+1.3% $2.2B$2.22B = +18.5% +0.1% Details
Colfax CFX Q213 $0.52$0.53 -$0.01-1.9% $1.07B$1.08B N/A +9.3% +1.4% Details
Colgate-Palmolive Co. CL Q213 $0.70$0.70 $0.000.0% $4.35B$4.39B N/A +11.7% +2.4% Details
Columbia Banking Systems COLB Q213 $0.40$0.36 +$0.04+11.1% N/A$88.69M N/A -0.8% -0.7% Details
Community West Bancshares CWBC Q113 $0.23N/A N/A N/A N/AN/A N/A +24.7% +17.3% Details
Consol Energy, Inc. CNX Q213 -$0.03$0.17 -$0.20-117.6% $1.22B$1.21B N/A +34% +9.6% Details
CoreSite Realty COR Q213 $0.45$0.43 +$0.02+4.7% N/A$56.72M -1% +1.5% Details
CryoLife, Inc. CRY Q213 $0.08$0.07 +$0.01+14.3% $33.5M$35.45M +30.5% -7.3% Details
D.R. Horton, Inc. DHI Q313 $0.42$0.34 +$0.08+23.5% $1.65B$1.71B N/A -3.3% -5.2% Details
DST Systems Inc., DST Q213 $1.04$1.05 -$0.01-1.0% $485.1M$475.63M N/A +17.9% -1.9% Details
Dana Holding DAN Q213 $0.54$0.51 +$0.03+5.9% $1.8B$1.82B -7.1% +5.7% Details
Deluxe Corp. DLX Q213 $0.96$0.87 +$0.09+10.3% $381.4M$376.5M = +42.6% +5.6% Details
Destination Maternity Corp DEST Q313 $0.64$0.61 +$0.03+4.9% $141.9M$141.9M -46.6% +3.8% Details
Diamond Offshore Drilling DO Q213 $1.33$1.24 +$0.09+7.3% $758B$767.42B N/A -52.1% -5.7% Details
Domtar Corp UFS Q213 $0.48$0.41 +$0.07+17.1% $1.36B$1.31B N/A -50.6% -2.1% Details
Dow Chemical Co. DOW Q213 $0.64$0.63 +$0.01+1.6% $14.6B$14.48B N/A +52.8% +1.9% Details
Dunkin' Brands Group DNKN Q213 $0.41$0.40 +$0.01+2.5% $182.5M$183.79M = +7.1% +2.9% Details
Dupont Fabros Technology DFT Q213 $0.18$0.19 -$0.01-5.3% $91.56M$91.72M N/A +12.8% -4.9% Details
EMCOR Group, Inc. EME Q213 $0.48$0.53 -$0.05-9.4% $1.56M$1.63M = -7.4% -4.8% Details
EQT Corporation EQT Q213 $0.57$0.56 +$0.01+1.8% $520.09M$487M N/A +12.6% +6.1% Details
Eqt Midstream Partners EQM Q412 $0.50$0.50 $0.000.0% $44.84M$42.44M N/A +98.7% +4.4% Details
FTI Consulting, Inc. FCN Q213 N/A$0.61 N/A N/A N/A$413.36M = N/A N/A N/A
First Merchants Corp FRME Q213 $0.34N/A N/A N/A N/AN/A N/A +8.9% +0.4% Details
Flir Systems, Inc. FLIR Q213 $0.35$0.36 -$0.01-2.8% $389.3M$365.29M +7.8% +11.6% Details
GNC Holdings GNC Q213 $0.73$0.70 +$0.03+4.3% $676.3M$672.7M = -16.8% +13.2% Details
General Motors GM Q213 $0.84$0.75 +$0.09+12.0% $39.1M$38.37M N/A -13.8% -3.4% Details
Goldcorp, Inc. GG Q213 $0.14$0.22 -$0.08-36.4% $889M$1.16B N/A -18.6% -0.5% Details
Graham Corp. GHM Q114 $0.38$0.23 +$0.15+65.2% $28.3M$27.03M N/A -8.3% +3.4% Details
Graphic Packaging Holding GPK Q213 $0.13$0.13 $0.000.0% $1.14B$1.17B N/A +40.8% -2.8% Details
Group 1 Automotive, Inc. GPI Q113 $1.52$1.41 +$0.11+7.8% $2.34B$2.22B N/A +8.2% +8% Details
Harley-Davidson, Inc. HOG Q213 $1.21$1.18 +$0.03+2.5% $1.79B$1.63B N/A +4.3% +1.6% Details
Health Net, Inc. HNT Q213 $0.42$0.52 -$0.10-19.2% $2.74B$2.73B +38.4% -8.1% Details
Hershey Foods Corp. HSY Q213 $0.72$0.71 +$0.01+1.4% $1.51B$1.51B = +2.9% +2.2% Details
IMAX Corp. IMAX Q213 $0.22$0.27 -$0.05-18.5% $82.3M$76.51M N/A +9.8% +0.3% Details
ITT Educational Services, Inc. ESI Q213 $0.89$0.90 -$0.01-1.1% $259.9M$272.4M = -83.9% -3.1% Details
IXYS Corp IXYS Q213 $0.06$0.13 -$0.07-53.8% $71.2M$68.5M N/A -11.2% -5.4% Details
Icon Plc ICLR Q213 $0.43$0.38 +$0.05+13.2% $334.2M$321.82M = +51% +3.2% Details
Idacorp, Inc. IDA Q213 N/A$0.68 N/A N/A N/A$256M = N/A N/A N/A
InterDigital, Inc. IDCC Q213 $0.22$0.07 +$0.15+214.3% $67.7M$69.63M N/A +3.3% +2.6% Details
International Paper Co. IP Q113 $0.64$0.64 $0.000.0% $7.34B$7.42B N/A +1.4% +2.3% Details
Invacare Corp. IVC Q213 -$0.27-$0.20 -$0.07-35.0% $351.8M$372.72M N/A -24.2% -0.3% Details
Janus Capital Group, Inc. JNS Q213 $0.14$0.16 -$0.02-12.5% N/A$219.05M N/A +59% +2.2% Details
Jarden Corp. JAH Q213 $0.88$0.87 +$0.01+1.1% $1.76M$1.76M N/A +33.8% +1% Details
Kaydon Corp. KDN Q213 $0.42$0.38 +$0.04+10.5% $117.3M$114.81M N/A +24% +1.6% Details
Kemet Corp. KEM Q114 -$0.38-$0.22 -$0.16-72.7% $202.7M$205.35M N/A -11.9% -7.4% Details
Kennametal, Inc. KMT Q413 $0.76$0.75 +$0.01+1.3% $671M$683.9M = -0.4% +4.3% Details
L-3 Communications Holdings, Inc. LLL Q213 $2.03$1.93 +$0.10+5.2% $3.19B$3.05B +28.2% +0.6% Details
Lakeland Financial Corp LKFN Q213 $0.56N/A N/A N/A N/AN/A N/A +21.7% +1.8% Details
Landstar System, Inc. LSTR Q213 $0.66$0.66 $0.000.0% $679.3M$685.51M N/A +40.2% 0% Details
Lawson Products LAWS Q213 $0.05$0.11 -$0.06-54.5% $68.3M$75.1M N/A +63.6% -10.7% Details
Lazard LAZ Q213 $0.45$0.32 +$0.13+40.6% $551M$444.5M N/A +41.1% +1.2% Details
Legg Mason, Inc. LM Q114 $0.68$0.46 +$0.22+47.8% $670.4M$657.2M N/A +50.6% +1.1% Details
Life Time Fitness, Inc. LTM Q213 $0.80$0.79 +$0.01+1.3% $308.1M$307.02M = -6.5% -1.4% Details
Lorillard LO Q213 $0.81$0.80 +$0.01+1.3% $1.8B$1.28B N/A +32.9% -5.9% Details
M/I Homes MHO Q213 $0.25$0.36 -$0.11-30.6% $234.56M$257.69M N/A -11.5% -5.2% Details
MDC Partners MDCA Q312 $0.30$0.11 +$0.19+172.7% $288.1M$288.61M = -12% +11.9% Details
Mack-Cali Realty Corp. CLI Q213 $0.65$0.62 +$0.03+4.8% N/A$177.62M = -22.3% -2.6% Details
Magellan Health Services MGLN Q213 $1.15$1.01 +$0.14+13.9% $842.7M$852.42M = -6% -2.3% Details
Marcus Corp. MCS Q413 $0.13$0.16 -$0.03-18.8% $100.6M$102.21M N/A +22.9% +0.3% Details
MarineMax, Inc. HZO Q313 $0.56$0.31 +$0.25+80.6% $175.8M$171.04M N/A +63.6% +12.9% Details
McClatchy Co. MNI Q213 $0.14N/A N/A N/A $308.8M$320.13M N/A +10.8% -7.2% Details
Mcgraw Hill Financial MHFI Q213 $0.92$0.81 +$0.11+13.6% $1.25B$1.19B +42.2% +4% Details
Mead Johnson Nutrition Co. MJN Q213 $0.84$0.84 $0.000.0% $1.06B$1.04B +36.4% +3.1% Details
Medidata Solutions, Inc. MDSO Q213 $0.36$0.29 +$0.07+24.1% $68.1M$66.67M = -44.4% +15.6% Details
Meredith Corp. MDP Q413 $0.76$0.72 +$0.04+5.6% $386.97M$383.05M = -9.7% +0.3% Details
Meridian Bioscience, Inc. VIVO Q213 $0.24$0.22 +$0.02+9.1% $47.1M$46.96M N/A -20.5% +10.4% Details
Moneygram International, Inc. MGI Q213 $0.32$0.31 +$0.01+3.2% $361.6M$355.49M N/A -40.3% +3.6% Details
Monro Muffler, Inc. MNRO Q114 $0.42$0.45 -$0.03-6.7% $206.2M$210.62M = +13.8% +0.3% Details
Nash-Finch Co. NAFC Q213 $0.64$0.49 +$0.15+30.6% $1.2B$1.14B N/A +13.6% -5.8% Details
National Penn Bancshares NPBC Q213 $0.17$0.17 $0.000.0% N/A$90.5M N/A -12.8% -3.3% Details
Navios Maritime Partners NMM Q213 $0.29$0.21 +$0.08+38.1% $49.15M$49.11M N/A +18.8% +0.4% Details
NeuroMetrix NURO Q412 -$0.92N/A N/A N/A $1.2M$2.2M N/A -7.4% -6.9% Details
Noble Energy, Inc. NBL Q213 $0.69$0.74 -$0.05-6.8% $1.15B$1.19B N/A +6.1% -3.2% Details
NorthWestern Corp. NWE Q213 $0.37$0.31 +$0.06+19.4% $260.16M$249.5M = +7.3% -0.6% Details
Nxstage Medical, Inc. NXTM Q213 -$0.06-$0.07 +$0.01+14.3% $65.5M$64.66M = -5.3% -7% Details
Old Dominion Freight Line ODFL Q213 $0.68$0.64 +$0.04+6.3% $590.2M$579.72M N/A +61.2% -0.6% Details
Old Republic International Corp. ORI Q213 $0.30$0.08 +$0.22+275.0% N/A$1.31B N/A +3% +4.2% Details
Pacer International, Inc. PACR Q213 $0.05$0.06 -$0.01-16.7% $238M$255.67M = +45% +0.2% Details
Patterson-UTI Energy PTEN Q213 $0.28$0.30 -$0.02-6.7% $659.32M$646.39M N/A +52.5% -7.6% Details
Pinnacle Entertainment, Inc. PNK Q213 $0.21$0.23 -$0.02-8.7% $315.3M$321.94M N/A +25.5% +6% Details
Potash Corporation POT Q213 $0.73$0.81 -$0.08-9.9% $2.14B$2.19B -9.4% -23.6% Details
Precision Castparts Corp. PCP Q114 $2.88$2.90 -$0.02-0.7% $2.37B$2.53B N/A +1.7% -4.9% Details
Precision Drilling Corp. PDS Q213 $0.05$0.00 +$0.05+0.0% $379M$361.67M N/A +13% +6.6% Details
Pulte Group PHM Q213 $0.28$0.30 -$0.02-6.7% $1.28B$1.39B N/A -4.3% -9.9% Details
Quality Systems QSII Q114 $0.22$0.22 $0.000.0% $109.5M$115.68M N/A -35.3% +6.9% Details
Radware Ltd RDWR Q213 $0.15$0.16 -$0.01-6.3% $46.8M$47M N/A +15.9% -10.1% Details
Rayonier Inc. RYN Q213 $0.54$0.51 +$0.03+5.9% $409.1M$389M N/A -46.1% +1.3% Details
Raytheon Co. RTN Q213 $1.50$1.30 +$0.20+15.4% $6.12B$5.8B +45.9% +3% Details
Reliance Steel & Aluminum Co. RS Q213 $1.14$1.19 -$0.05-4.2% $2.45M$2.48M = -0.5% +2% Details
Royal Caribbean RCL Q213 $0.11$0.11 $0.000.0% $1.88B$1.89B = +85.1% +4.7% Details
Safeguard Scientifics, Inc. SFE Q213 -$1.33-$0.40 -$0.93-232.5% N/AN/A N/A +12.3% -9.1% Details
Sequans Communications SQNS Q213 -$0.19-$0.19 $0.000.0% $2.3M$2.4M = +32.7% +32% Details
Silicon Laboratories, Inc. SLAB Q213 $0.50$0.50 $0.000.0% $141.5M$143.6M N/A -8.7% -12.5% Details
Sirius XM Radio, Inc. SIRI Q213 $0.02$0.02 $0.000.0% $838M$934.4M = -4.6% +1.6% Details
Southwest Airlines Co. LUV Q213 $0.38$0.38 $0.000.0% $4.64B$4.66B N/A +145.8% +0.5% Details
Starwood Hotels & Resorts HOT Q213 $0.79$0.73 +$0.06+8.2% $1.56B$1.56B = +31.7% +4.5% Details
State Bank Financial STBZ Q213 $0.04$0.09 -$0.05-55.6% N/A$38.4M N/A +0.6% -1.2% Details
StellarOne Corp STEL Q213 $0.28$0.26 +$0.02+7.7% N/A$32.54M N/A +10.6% -2.7% Details
Stewart Information STC Q213 $1.09N/A N/A N/A $517.2M$483.7M N/A -5.8% -1% Details
Strayer Education, Inc. STRA Q213 $1.42$1.38 +$0.04+2.9% $132M$130.41M N/A +21.8% -9.9% Details
Suncoke Energy SXC Q213 $0.08$0.09 -$0.01-11.1% $403.7M$431.75M = +45.5% +2.3% Details
Suncoke Energy Partners, L.p. SXCP Q213 $0.49$0.43 +$0.06+14.0% $167.7M$169.3M N/A +27.7% +8.2% Details
TF Financial Corp THRD Q213 $0.66N/A N/A N/A N/AN/A N/A +63% +6.3% Details
Teck Resources Ltd. TCK Q213 $0.34$0.34 $0.000.0% $2.15B$2.09B N/A -17.6% +2.1% Details
Teledyne Technologies, Inc. TDY Q213 $1.13$1.06 +$0.07+6.6% $601M$577.43M +16.5% -1.3% Details
Tennant Co. TNC Q213 $0.76$0.72 +$0.04+5.6% $200.2M$197.07M = +30.4% -0.6% Details
Timken Co. TKR Q213 $0.93$0.97 -$0.04-4.1% $1.1B$1.19B = -29% -2.5% Details
Tower Financial TOFC Q213 $0.34$0.29 +$0.05+17.2% N/A$7.94M N/A +53.3% -6.4% Details
Trimas Corp. TRS Q213 $0.65$0.66 -$0.01-1.5% $378M$361.31M = -30% +5.8% Details
USG Corp. USG Q213 $0.22$0.18 +$0.04+22.2% $916M$881.7M N/A +7.5% -1.9% Details
Under Armour UA Q213 $0.16$0.14 +$0.02+14.3% $455M$448.91M +11.8% +8.6% Details
United Bankshares, Inc. UBSI Q213 $0.44$0.44 $0.000.0% N/A$86.45M N/A +6.2% -3.3% Details
United Community Banks UCBI Q213 $2.30$0.18 +$2.12+1,177.8% N/A$68.05M N/A +23% +1.3% Details
United Continental Holdings UAL Q213 $1.35$1.32 +$0.03+2.3% $10B$9.98B N/A +34.1% -0.3% Details
United Therapeutics UTHR Q213 $1.52$1.47 +$0.05+3.4% $280.6M$250.17M +83.1% +6.1% Details
Utah Medical Products, Inc. UTMD Q213 $0.70$0.62 +$0.08+12.9% $10M$10.03M N/A -15.5% -3.1% Details
Valassis Communications, Inc. VCI Q213 $0.70$0.77 -$0.07-9.1% $495.9M$507.53M +22.6% +3.2% Details
Valley National Bancorp VLY Q213 $0.17$0.16 +$0.01+6.3% N/A$141.75M N/A -1% +5.4% Details
Vantiv VNTV Q213 $0.40$0.38 +$0.02+5.3% $297M$299.14M = +10.7% -6.7% Details
Vasco Data Security VDSI Q213 $0.05$0.12 -$0.07-58.3% $37.3M$42.2M N/A +114.4% -6.5% Details
W.R. Grace & Co. GRA Q213 $1.07$1.08 -$0.01-0.9% $802.8M$820.35M = +8.7% -8.3% Details
Wabtec WAB Q213 $0.77$0.73 +$0.04+5.5% $638M$648.24M +42.8% +2% Details
Wesco International WCC Q213 $1.25$1.37 -$0.12-8.8% $1.89B$1.93B N/A +10.4% +6.6% Details
West Marine, Inc. WMAR Q213 $0.95$1.05 -$0.10-9.5% $236.8M$243.6M -22.2% -6.4% Details
World Acceptance Corp WRLD Q113 $1.87$1.83 +$0.04+2.2% $145.3M$143.71M N/A -18.8% -0.5% Details
Xerox Corp. XRX Q213 $0.27$0.24 +$0.03+12.5% $5.4B$5.5B = +34.7% -1.3% Details
Yadkin Financial YDKN Q1 $0.30$0.22 +$0.08+36.4% N/A$20.08M N/A +18% -5.2% Details
Yandex YNDX Q213 R$8.91R$8.26 +R$0.65+7.9% R$9.2BR$9.16B N/A -10% +5.3% Details
Zimmer Holdings, Inc. ZMH Q213 $1.43$1.44 -$0.01-0.7% $1.17B$1.15B +20% -0.7% Details
comScore, Inc. SCOR Q213 -$0.01-$0.06 +$0.05+83.3% $69.9M$67.03M = +38.8% +10% Details
iStar Financial, Inc. SFI Q213 -$0.31N/A N/A N/A N/AN/A N/A +16.4% -3.8% Details

Earnings After the Market Close

Company Symbol Qtr EPS Cons. Surprise % Beat Revs Cons. Gd. % Since % Week Details
1St Industrial Realty FR Q213 N/A$0.25 N/A N/A N/A$84.2M = N/A N/A N/A
AAR Corp. AIR Q413 $0.50$0.45 +$0.05+11.1% $553.8M$543.28M -4.4% -3% Details
ABB Ltd. ABB Q412 $0.33$0.35 -$0.02-5.7% $10.23B$10.29B N/A -2.4% -3.6% Details
Abaxis, Inc. ABAX Q113 $0.14$0.23 -$0.09-39.1% $43.2M$49.13M N/A +3.1% -17.1% Details
Accuride Corp. ACW Q213 N/A-$0.15 N/A N/A N/A$200.32M N/A N/A N/A
Agilysys, Inc. AGYS Q114 $0.06N/A N/A N/A $24.5M$22.4M N/A +1% -0.1% Details
Allied World Assurance Co. AWH Q213 $2.95$1.84 +$1.11+60.3% N/A$498.35M N/A -60.3% +2.5% Details
Altra Holdings, Inc. AIMC Q213 $0.41$0.47 -$0.06-12.8% $181.1M$188.24M = -2.2% -15% Details
Amazon.com, Inc. AMZN Q213 -$0.08$0.05 -$0.13-260.0% $15.7B$15.73B = +6.5% +0.7% Details
Anworth Mortgage Asset ANH Q213 $0.15$0.13 +$0.02+15.4% N/A$24.8M N/A -3.4% -4.2% Details
Arch Capital Group Ltd ACGL Q213 $0.99$0.86 +$0.13+15.1% N/A$883.15M N/A +0.6% +0.2% Details
Basic Energy Services BAS Q213 N/A-$0.08 N/A N/A N/A$320.54M N/A N/A N/A N/A
BioMarin Pharmaceuticals, Inc. BMRN Q213 -$0.16-$0.29 +$0.13+44.8% $136.8M$134.33M = +13.3% +1.3% Details
Blucora BCOR Q213 $0.58$0.24 +$0.34+141.7% $117.2M$114.4M = -23.4% +7.1% Details
Brightcove BCOV Q213 -$0.04-$0.07 +$0.03+42.9% $26.9M$26M = -41.8% +9% Details
Bryn Mawr Bank Corp BMTC Q213 $0.46$0.44 +$0.02+4.5% N/A$26.75M N/A +5.4% +4% Details
Builders FirstSource, Inc. BLDR Q213 -$0.50-$0.04 -$0.46-1,150.0% $398.1M$378.41M N/A -12.9% -4.8% Details
CBRE Group CBG Q213 $0.31$0.34 -$0.03-8.8% $1.74B$1.73B = +21.8% -5.1% Details
Callaway Golf Co. ELY Q213 $0.12$0.11 +$0.01+9.1% $250M$253.2M -0.1% -2.3% Details
Camden Property Trust CPT Q213 $0.98$0.98 $0.000.0% N/A$201.24M = -4.8% -1.3% Details
Cerner Corp CERN Q213 $0.34$0.34 $0.000.0% $707.6M$725.71M = +20.2% +0.4% Details
Chubb Corp. CB Q213 $1.77$1.62 +$0.15+9.3% $3B$3.19B N/A +5.6% +1.1% Details
Cincinnati Financial Corp CINF Q213 $0.66$0.44 +$0.22+50.0% N/A$1.11B N/A -3.6% +2.1% Details
Cirrus Logic, Inc. CRUS Q114 $0.56$0.49 +$0.07+14.3% $155M$160.12M = +3.9% -2.9% Details
Cliffs Natural Resources CLF Q213 $0.82$0.73 +$0.09+12.3% $1.49B$1.43B N/A -43% +7.4% Details
Columbia Sportswear Co COLM Q213 -$0.21-$0.38 +$0.17+44.7% $280.5M$277.94M N/A -42.8% +2.8% Details
Computer Programs & Systems CPSI Q213 $0.77$0.76 +$0.01+1.3% $53.3M$51M N/A +10.8% +10.2% Details
Constant Contract, Inc. CTCT Q213 $0.12$0.10 +$0.02+20.0% $70.7M$70.12M +57.3% +9.6% Details
Datalink Corp. DTLK Q213 $0.26$0.24 +$0.02+8.3% $148.2M$145.93M = -11.8% +8.7% Details
Deckers Outdoor Corp DECK Q213 -$0.85-$1.04 +$0.19+18.3% $170.1M$179.4M N/A +36.2% -1.6% Details
Digi International, Inc. DGII Q213 $0.05$0.06 -$0.01-16.7% $48.82M$49.03M = -27.2% -5.5% Details
Digimarc Corp. DMRC Q212 $0.08N/A N/A N/A $10.5M$9.1M N/A -6.8% -6.5% Details
Dolby Laboratories Inc. DLB Q313 $0.47$0.30 +$0.17+56.7% $207.1M$208.8M = +22.6% -2.8% Details
Dole Food Company DOLE Q213 $0.28$0.11 +$0.17+154.5% $1.19B$1.1B N/A +6.6% +0.9% Details
Dresser-Rand Group DRC Q213 $0.69$0.57 +$0.12+21.1% $805.3M$836.76M N/A +28.1% -3% Details
Echo Global Logistics, Inc. ECHO Q213 $0.17$0.17 $0.000.0% $224.1M$218.2M N/A +20.1% +13.8% Details
Edwards Lifesciences Corp. EW Q213 $0.82$0.76 +$0.06+7.9% $517.2M$514.6M = +45.4% +4.2% Details
Empire District Electric Co. EDE Q213 $0.27$0.26 +$0.01+3.8% $127M$133.45M = +1.3% -2.8% Details
Entertainment Properties Trust EPR Q213 $0.98$0.97 +$0.01+1.0% N/A$68.73M = -2.2% -2.3% Details
Expedia EXPE Q213 $0.64$0.79 -$0.15-19.0% $1.21B$1.26B N/A +35% -27.4% Details
Federated Investors, Inc. FII Q213 $0.39$0.40 -$0.01-2.5% N/A$242.15M N/A -2.2% -1.8% Details
First American Financial FAF Q213 N/A$0.66 N/A N/A N/A$1.14B N/A N/A N/A N/A
First Financial Bancorp FFBC Q213 $0.29$0.26 +$0.03+11.5% N/A$79.01M N/A -2.3% +0.7% Details
First Potomac Realty Trust FPO Q213 $0.28$0.27 +$0.01+3.7% $40.66M$47.54M = -17.6% -6.1% Details
Flextronics International Ltd FLEX Q114 $0.18$0.14 +$0.04+28.6% $5.79B$5.45B N/A +27.1% +9.5% Details
Forum Energy Technologies FET Q213 N/A$0.35 N/A N/A N/A$380.89M = N/A N/A N/A
Freescale Semiconductor FSL Q213 $0.09$0.07 +$0.02+28.6% $10.4B$1.02B = +19.5% -0.4% Details
GFI Group, Inc. GFIG Q213 $0.06$0.06 $0.000.0% $241.1M$246.57M N/A +23% -9.5% Details
GSI Technology GSIT Q213 -$0.02$0.05 -$0.07-140.0% $16.4M$15.5M -18.4% +3.8% Details
Gilead Sciences, Inc. GILD Q213 $0.50$0.50 $0.000.0% $2.77B$2.66B +75.7% +2.3% Details
Global Payments, Inc. GPN Q413 $0.98$1.02 -$0.04-3.9% $618.4M$635.63M = +43.2% -0.8% Details
Greatbatch GB Q213 $0.56$0.46 +$0.10+21.7% $171.33M$166.51M N/A +16.8% +3.1% Details
Gulf Island Fabrication, Inc. GIFI Q213 $0.52$0.19 +$0.33+173.7% $154.6M$127.45M N/A -27.3% +3.9% Details
Hancock Holding Co HBHC Q213 $0.55$0.55 $0.000.0% N/A$234.18M N/A -2.5% +2% Details
Healthsouth Corp. HLS Q213 N/A$0.42 N/A N/A $564.5M$563.41M = N/A N/A N/A
Highwoods Properties HIW Q213 $0.70$0.69 +$0.01+1.4% N/A$137.27M = +4.8% -2.2% Details
Hittite Microwave Corp. HITT Q213 $0.58$0.56 +$0.02+3.6% $68.6M$67.72M = +22.1% -1.7% Details
HomeAway AWAY Q213 $0.16$0.14 +$0.02+14.3% $86.6M$85.72M = +5.8% -8.9% Details
Hutchinson Technology, Inc. HTCH Q313 $0.41-$0.21 +$0.62+295.2% $61.3M$61.95M N/A -32.6% -35.7% Details
IPC The Hospitalist Company, Inc. IPCM Q213 $0.53$0.54 -$0.01-1.9% $145.8M$149.55M = -13.2% -2.8% Details
ITC Holdings ITC Q213 $1.20$1.21 -$0.01-0.8% $229.8M$240.2M -61.8% -1.1% Details
Ikanos Communications, Inc. IKAN Q213 -$0.11-$0.10 -$0.01-10.0% $19.1M$20M N/A -74.8% -7.9% Details
Informatica Corp INFA Q213 $0.31$0.31 $0.000.0% $222.4M$220.68M N/A -12.6% -0.1% Details
Integrated Device Technology IDTI Q114 $0.05$0.04 +$0.01+25.0% $118M$116M N/A +78% +2.6% Details
Intermolecular IMI Q213 -$0.02-$0.01 -$0.01-100.0% $16.6M$16.54M N/A -64.6% -4.2% Details
Internap Network Services Corp INAP Q213 -$0.03-$0.01 -$0.02-200.0% $69.98M$70.11M N/A -21.6% -8.8% Details
KBR, Inc. KBR Q213 $0.61$0.57 +$0.04+7.0% $1.99B$1.93B -42.5% -3.4% Details
Key Energy KEG Q213 N/A$0.01 N/A N/A N/A$424.69M N/A N/A N/A N/A
Key Technology KTEC Q113 $0.23$0.19 +$0.04+21.1% $39.4M$36.3M N/A -13.8% -3.5% Details
Lattice Semiconductor Corp LSCC Q213 $0.04$0.03 +$0.01+33.3% $84.7M$83.6M N/A +49.1% +5% Details
Leggett & Platt, Inc. LEG Q213 $0.48$0.44 +$0.04+9.1% $959M$982.52M = +10.3% +0.4% Details
Logmein, Inc. LOGM Q213 $0.13$0.12 +$0.01+8.3% $40.7M$39.31M = +63.1% +5.2% Details
MBT Financial Corp. MBTF Q213 $0.08N/A N/A N/A N/AN/A N/A +15% -2.1% Details
Macatawa Bank Corp MCBC Q212 $0.10$0.08 +$0.02+25.0% N/A$14.56M N/A -11.2% -4.6% Details
Maxim Integrated Products MXIM Q413 $0.44$0.47 -$0.03-6.4% $608M$626.24M +10.5% +6.9% Details
McKesson Corp. MCK Q114 $2.07$1.71 +$0.36+21.1% $32.2B$32.6B +64.4% +4.1% Details
Mettler-Toledo Intl MTD Q213 $2.35$2.34 +$0.01+0.4% $578.7M$571.42M = +15.1% +1.9% Details
Micrel, Inc. MCRL Q213 $0.10$0.08 +$0.02+25.0% $59.2M$62.05M = +14.9% +0.9% Details
Microsemi Corp MSCC Q313 $0.49$0.48 +$0.01+2.1% $242.6M$242.34M N/A +6.8% +4.4% Details
Minerals Technologies Inc. MTX Q213 $0.63$0.58 +$0.05+8.6% $256.8M$258.4M N/A +35.5% +2.6% Details
Mitek Systems MITK Q313 -$0.05-$0.08 +$0.03+37.5% $3.9M$3.09M N/A -53.8% +8% Details
Molina Healthcare, Inc. MOH Q213 $0.34$0.31 +$0.03+9.7% $1.5B$1.61B +6.4% -6.2% Details
Montpelier Re Holdings Ltd. MRH Q213 $0.93$0.65 +$0.28+43.1% N/A$155.13M N/A +16.7% +1% Details
National Bank Holdings Corp. NBHC Q213 $0.06$0.06 $0.000.0% N/A$54.04M N/A -4.9% +1.2% Details
Netgear Inc. NTGR Q213 $0.62$0.56 +$0.06+10.7% $357.7M$353.28M -4.6% -6.5% Details
Netsuite N Q213 $0.05$0.02 +$0.03+150.0% $101M$100.62M N/A -5% +3.4% Details
Neurocrine Biosciences, Inc. NBIX Q213 -$0.18-$0.19 +$0.01+5.3% $730K$760K = +12.6% +4.5% Details
Newmont Mining Corp. NEM Q213 N/A$0.50 N/A N/A N/A$2.09B N/A N/A N/A N/A
Newpark Resources, Inc. NR Q213 $0.19$0.19 $0.000.0% $276.6M$271.16M N/A -0.2% -5.6% Details
Olin Corp. OLN Q213 $0.54$0.52 +$0.02+3.8% $652.2M$660.07M = +5.1% +3.6% Details
Outerwall OUTR Q213 $1.91$0.99 +$0.92+92.9% $554.2M$564.22M N/A -13.9% -15.4% Details
Pebblebrook Hotel Trust PEB Q213 $0.43$0.41 +$0.02+4.9% $126.3M$129.06M = +37.1% -0.9% Details
Principal Financial Group, Inc. PFG Q213 $0.91$0.83 +$0.08+9.6% $2.31B$2.39B N/A +30% +10.9% Details
QLogic Corp QLGC Q114 $0.18$0.14 +$0.04+28.6% $113.1M$113.7M N/A -15.5% +4% Details
Qlik Technologies, Inc. QLIK Q213 -$0.02-$0.01 -$0.01-100.0% $108M$106.54M = -14.3% +2.6% Details
Regal Entertainment Group RGC Q213 $0.36$0.31 +$0.05+16.1% $842M$842.56M N/A +3.5% +0.9% Details
Republic Services, Inc. RSG Q213 $0.43$0.50 -$0.07-14.0% $2.11B$2.09B = +11.2% -2.1% Details
SPS Commerce, Inc. SPSC Q213 $0.13$0.12 +$0.01+8.3% $25.7M$24.58M = -6.8% +18.1% Details
SVB Financial Group SIVB Q213 $1.06$0.94 +$0.12+12.8% N/A$228.8M N/A +25.4% -0.5% Details
Sensient Technologies Corp. SXT Q213 $0.74$0.72 +$0.02+2.8% $378.8M$381.3M 0% 0% Details
Simpson Manufacturing Co. SSD Q213 $0.38$0.33 +$0.05+15.2% $195.6M$192.52M N/A -5.8% +6.9% Details
Solarwinds SWI Q213 $0.40$0.36 +$0.04+11.1% $77.5M$78.94M = -8.8% -18% Details
Standard Pacific Corp. SPF Q213 $0.11$0.08 +$0.03+37.5% $434.3M$450.74M N/A -4.9% +3% Details
Starbucks Corp SBUX Q313 $0.55$0.53 +$0.02+3.8% $3.74B$3.72B = +10.7% +7.7% Details
Sterling Financial Corp. STSA Q213 $0.44$0.37 +$0.07+18.9% N/A$79.06M N/A +26% +3.2% Details
Sun Communities, Inc. SUI Q213 N/A$0.72 N/A N/A N/A$92.17M N/A N/A N/A
Synovus Financial Corp SNV Q213 N/A$0.03 N/A N/A N/A$269.14M N/A N/A N/A N/A
Taubman Centers, Inc. TCO Q213 $0.75$0.79 -$0.04-5.1% $178.19M$179.6M -7.4% -6.7% Details
Telecommunication Systems, Inc. TSYS Q213 -$0.01$0.02 -$0.03-150.0% $92.8M$101.02M N/A -11.9% -10.7% Details
Telenav, Inc. TNAV Q413 -$0.02$0.06 -$0.08-133.3% $47.1M$41.3M = +10.4% +1.2% Details
Tempur-Pedic International, Inc. TPX Q213 $0.36$0.40 -$0.04-10.0% $660.6M$663.6M = +34.2% -4.4% Details
Tesaro TSRO Q213 -$0.67-$0.63 -$0.04-6.3% N/AN/A N/A -24.8% +0.2% Details
Theravance, Inc. THRX Q213 -$0.37-$0.46 +$0.09+19.6% $1.33M$1.43M N/A -53.8% +3% Details
Triumph Group, Inc. TGI Q114 N/A$1.55 N/A N/A N/A$966.33M = N/A N/A N/A
USA Truck, Inc. USAK Q213 -$0.10-$0.06 -$0.04-66.7% $139.7M$138.65M N/A +196.6% +2.2% Details
Universal Health Services Inc. UHS Q213 $1.53$1.16 +$0.37+31.9% $1.83B$1.88B = +55.7% +3.9% Details
VCA Antech, Inc. WOOF Q213 $0.50$0.45 +$0.05+11.1% $465.3M$469.81M = +41.4% +4.8% Details
Validus Holdings Ltd. VR Q213 $1.03$0.88 +$0.15+17.0% N/A$539.66M N/A +11.6% -0% Details
Verisign, Inc. VRSN Q213 $0.58$0.55 +$0.03+5.5% $239M$237.14M N/A +20.2% +5.3% Details
WSFS Financial Corp WSFS Q213 $1.16$0.88 +$0.28+31.8% N/A$32.3M N/A +16.6% -4.1% Details
Woodward, Inc. WWD Q313 $0.34$0.56 -$0.22-39.3% $483.8M$494.55M = +16.6% +3.4% Details
Zynga ZNGA Q213 -$0.01-$0.04 +$0.03+75.0% $230.7M$185.42M = -22.6% -13.4% Details
eHealth, Inc. EHTH Q213 $0.12$0.08 +$0.04+50.0% $39.8M$39M = -2.5% +25.9% Details