Close

Earnings History for 10/31/2013

Pick Date:
|

Earnings Before the Market Opens

Company Symbol Qtr EPS Cons. Surprise % Beat Revs Cons. Gd. % Since % Week Details
Acorda Therapeutics ACOR Q313 $0.36$0.13 +$0.23+176.9% $84.92M$90.01M N/A -97.9% +1.7% Details
Advance Auto Parts, Inc. AAP Q313 $1.42$1.41 +$0.01+0.7% $1.52B$1.53B = -23.4% -1.5% Details
Aircastle AYR Q313 $0.27$0.27 $0.000.0% $170.1M$161M N/A +67.3% -0.8% Details
Alcatel-Lucent ALU Q313 -$0.11-$0.07 -$0.04-57.1% N/A$4.87B N/A +4.8% +27.3% Details
Alpha Natural Resources, Inc. ANR Q313 -$0.61-$0.77 +$0.16+20.8% $1.03B$1.18B N/A -96.4% +16.6% Details
Amerisourcebergen Corp. ABC Q413 $0.79$0.74 +$0.05+6.8% $24.5B$23.8B +176% +3% Details
Anheuser-Busch Inbev BUD Q312 $0.73N/A N/A N/A $8.46B$8.04B N/A -41.8% +0.5% Details
Array Biopharma, Inc. ARRY Q114 -$0.13-$0.18 +$0.05+27.8% $14.2M$11.2M N/A +127.7% +5.9% Details
AstraZeneca AZN Q313 $1.21$1.27 -$0.06-4.7% $6.25B$6.45B = +32.9% -0.9% Details
Avon Products, Inc. AVP Q313 $0.14$0.19 -$0.05-26.3% $2.3B$2.45B N/A -75% -20.7% Details
BGC Partners, Inc. BGCP Q313 $0.10$0.12 -$0.02-16.7% $414.4M$426M N/A -16.7% +5.8% Details
Baldwin & Lyons, Inc. BWINA Q313 $0.46N/A N/A N/A N/AN/A N/A -10% -7.8% Details
Barrick Gold Corp. ABX Q313 $0.58$0.50 +$0.08+16.0% $2.99B$2.94B N/A -34% -10.5% Details
Beam, Inc. BEAM Q313 $0.59$0.58 +$0.01+1.7% $598.7M$623.11M N/A -66.1% +1.1% Details
Belo Corp. BLC Q313 $0.18$0.13 +$0.05+38.5% $166M$162.23M N/A +0.4% +0.3% Details
Blue Nile, Inc. NILE Q313 $0.15$0.16 -$0.01-6.3% $98.9M$99.82M = -99.7% +4.7% Details
Boyd Gaming Corp. BYD Q313 $0.08$0.01 +$0.07+700.0% $738.6M$758.1M N/A +388% -21% Details
Capital Product Partners LP CPLP Q313 $0.35$0.06 +$0.29+483.3% $42.7M$44.71M N/A +79.1% -4.9% Details
Carbo Ceramics, Inc. CRR Q313 $1.31$0.82 +$0.49+59.8% $201.5M$160.41M N/A -99.7% +25.7% Details
Cardinal Health, Inc. CAH Q114 $1.10$0.86 +$0.24+27.9% $24.5B$22.73B = +85% +10% Details
Catamaran CTRX Q313 $0.52$0.48 +$0.04+8.3% $3.6B$3.7B +23.6% -2% Details
Chart Industries, Inc. GTLS Q313 $0.82$0.88 -$0.06-6.8% $301.8M$325.02M +26.2% -16.7% Details
Cigna Corp CI Q313 $1.89$1.61 +$0.28+17.4% $8.07B$7.24B +371.5% +7.7% Details
Circor International, Inc. CIR Q313 $0.93$0.80 +$0.13+16.3% $214.73M$216.09M = -10.9% +23.2% Details
Clorox Co. CLX Q114 $1.04$1.01 +$0.03+3.0% $1.36B$1.35B = +64.4% +1.5% Details
Communityone Bnc COB Q313 $0.18N/A N/A N/A N/AN/A N/A +35.6% +5.1% Details
Conocophillips COP Q313 $1.47$1.45 +$0.02+1.4% N/A$14.18B N/A 0% 0% Details
CoreSite Realty COR Q313 $0.47$0.46 +$0.01+2.2% $60.64M$60.2M +605.3% -8.5% Details
Cott Corp. COT Q313 $0.14$0.12 +$0.02+16.7% $543M$562.93M N/A +83.7% +5.5% Details
DSP Group, Inc. DSPG Q313 $0.02$0.01 +$0.01+100.0% $35.4M$35.2M N/A +200.7% +8.2% Details
Discovery Communications DISCA Q313 $0.80$0.73 +$0.07+9.6% $1.38B$1.39B = -71% +1.5% Details
Dr. Reddys Labs RDY Q214 $0.65$0.46 +$0.19+41.3% $537M$561M N/A +76.4% -3.9% Details
Energy Partners Ltd. EPL Q313 $0.81$0.88 -$0.07-8.0% $184M$188.65M N/A +5.9% -14.2% Details
EnteroMedics, Inc. ETRM Q313 -$0.11-$0.11 $0.000.0% N/AN/A N/A -97.1% -5.8% Details
Enterprise Products Partners EPD Q313 $0.64$0.67 -$0.03-4.5% $12.09B$12.17B N/A -54.6% -0.9% Details
Estee Lauder Cos., Inc. EL Q114 $0.76$0.73 +$0.03+4.1% $2.68B$2.69B = +106.7% -0.2% Details
Everbank Financial Corp EVER Q313 $0.30$0.29 +$0.01+3.4% N/AN/A N/A +26% -0.2% Details
Exxon Mobil XOM Q313 $1.79$1.77 +$0.02+1.1% $112.4B$107.4B N/A +36% +5% Details
Felcor Lodging Trust, Inc. FCH Q313 $0.14$0.14 $0.000.0% $232.6M$241.02M = +10.4% +6.1% Details
Flamel Technologies FLML Q313 -$0.25-$0.20 -$0.05-25.0% $5.6M$6.47M N/A +59.1% -11.2% Details
Fortress Investment FIG Q313 $0.13$0.15 -$0.02-13.3% $232M$216.15M N/A +167.1% -4.9% Details
GP Strategies Corp. GPX Q313 $0.32$0.31 +$0.01+3.2% $113.2M$109.3M N/A -21.6% +6.4% Details
Gain Capital Holdings, Inc. GCAP Q313 $0.13$0.12 +$0.01+8.3% $60.6M$52M N/A -46.3% -5.2% Details
Gentherm THRM Q313 $0.25$0.21 +$0.04+19.0% $171.2M$154.6M N/A +144.3% +16.4% Details
Gibraltar Industries, Inc. ROCK Q313 $0.31$0.23 +$0.08+34.8% $217.4M$223.5M +370.1% +12% Details
GrafTech International Ltd. GTI Q313 $0.04$0.02 +$0.02+100.0% $303M$305.8M N/A -10.7% +40.2% Details
Greenbrier Cos. GBX Q413 $0.69$0.61 +$0.08+13.1% $484.21M$526M = +109.4% +24.3% Details
Harman Int'l HAR Q114 $0.95$0.85 +$0.10+11.8% $1.17B$1.11B +54.8% +11.6% Details
Harte-Hanks, Inc. HHS Q313 $0.11$0.05 +$0.06+120.0% $134.97M$158.25M N/A -18.9% -9.1% Details
Harvard Bioscience, Inc. HBIO Q313 $0.05$0.01 +$0.04+400.0% $25.1M$26.1M N/A -35.4% -27.6% Details
Hillshire Brands HSH Q114 $0.35$0.35 $0.000.0% $984M$959.65M N/A +95.1% +1.2% Details
ICG GROUP ICGE Q313 -$0.09N/A N/A N/A $16.07M$8M = +10.7% +0.1% Details
ITC Holdings ITC Q313 $1.26$1.27 -$0.01-0.8% $238.78M$245.82M -54.6% +4.6% Details
ITT ITT Q313 $0.54$0.48 +$0.06+12.5% $634M$606.6M +250.5% +8.1% Details
Incyte INCY Q313 -$0.14-$0.13 -$0.01-7.7% $85.1M$81.4M N/A +33.8% -2.8% Details
Inteliquent, Inc. IQNT Q313 $0.20$0.15 +$0.05+33.3% $50.4M$49.55M +134.9% +18.4% Details
Intelsat Sa I Q1 $0.78$0.40 +$0.38+95.0% $651.8M$659.94M N/A -98.2% -5.3% Details
InterDigital, Inc. IDCC Q313 $0.64$0.01 +$0.63+6,300.0% $110.6M$51.79M N/A +186.7% -3.9% Details
Inventure Foods, Inc. SNAK Q313 $0.11$0.11 $0.000.0% $54.5M$54.3M N/A -63.8% +0.7% Details
Invesco Limited IVZ Q313 $0.51$0.52 -$0.01-1.9% $1.17B$1.17B N/A -56.3% +0.5% Details
Investment Technology Group ITG Q313 $0.20$0.15 +$0.05+33.3% $127.6M$127.3M N/A +86.4% +7% Details
Iridium Communications, Inc. IRDM Q313 $0.19$0.21 -$0.02-9.5% $100.6M$97.85M N/A +382% -8.2% Details
Iron Mountain, Inc. IRM Q313 $0.31$0.30 +$0.01+3.3% $756M$757.17M +195.7% -0.3% Details
Journal Communications JRN Q313 $0.09$0.15 -$0.06-40.0% $97.7M$103.9M N/A +74.4% -3.3% Details
Kemet Corp. KEM Q214 -$0.13-$0.27 +$0.14+51.9% $212.7M$206.1M N/A +372.8% +11.5% Details
LKQ Corp. LKQ Q313 $0.24$0.25 -$0.01-4.0% $1.3B$1.27B = +28.9% -3.4% Details
Lancaster Colony Corp LANC Q114 $0.91$0.94 -$0.03-3.2% $286M$282.93M N/A +119.4% -4.2% Details
Lincoln Electric Holdings, Inc. LECO Q313 $0.86$0.84 +$0.02+2.4% $691.9M$702.6M N/A +252.6% +5.1% Details
Lionbridge Technologies LIOX Q313 $0.14$0.03 +$0.11+366.7% $124.6M$118.8M = +49% +39.4% Details
Liquid Holdings Grp LIQD Q313 -$0.52N/A N/A N/A $732.38K$675.95K N/A -99.5% +9.1% Details
LoJack Corp LOJN Q313 $0.09N/A N/A N/A $34.8M$32.7M N/A +39.4% 0% Details
Lumos Networks LMOS Q313 $0.11$0.22 -$0.11-50.0% $51.6M$51.86M = -25.1% -7.3% Details
MEDNAX, Inc. MD Q313 $1.52$1.48 +$0.04+2.7% $555M$556.63M = -91.3% +1.9% Details
MGM Resorts International MGM Q313 -$0.07-$0.03 -$0.04-133.3% $2.5B$2.42B N/A +109% -5.9% Details
MPLX L.P. MPLX Q313 $0.29$0.31 -$0.02-6.5% $123.8M$128.59M N/A +12.2% -1.2% Details
MSCI MSCI Q313 $0.53$0.54 -$0.01-1.9% $258.2M$253.72M N/A +1041.8% +0.5% Details
Mac-Gray Corp. TUC Q313 $0.11$0.13 -$0.02-15.4% $79.5M$80.4M N/A +0.8% +0.3% Details
Magellan Midstream Partners L.P. MMP Q313 $0.54$0.58 -$0.04-6.9% $443.84M$424.6M = +15.3% +1.9% Details
MakeMyTrip MMYT Q214 -$0.08N/A N/A N/A $47.4M$45.67M N/A +380.8% +10.5% Details
Marathon Petroleum MPC Q313 $0.59$0.61 -$0.02-3.3% $26.27B$21.37B N/A +173.6% -2.9% Details
Mastercard, Inc. MA Q313 $7.27$6.94 +$0.33+4.8% $2.2B$2.13B N/A -36.2% +1.1% Details
Medical Action Industries, Inc. MDCI Q214 $0.07$0.04 +$0.03+75.0% $108.3M$112.7M N/A +136% +14.2% Details
Modine Manufacturing Co. MOD Q214 $0.16$0.11 +$0.05+45.5% $364.2M$365.05M = +586.3% +1.4% Details
Monotype Imaging Holdings, Inc. TYPE Q313 $0.25$0.25 $0.000.0% $40.5M$40.06M = -31.3% -1.1% Details
Mylan, Inc. MYL Q313 $0.82$0.79 +$0.03+3.8% $1.77B$1.84B = -58.7% +2.9% Details
NII Holdings, Inc. NIHD Q213 -$1.70-$1.29 -$0.41-31.8% $1.1B$1.23B N/A -54.8% -30.6% Details
New York Times Co. NYT Q313 -$0.01-$0.03 +$0.02+66.7% $361.7M$447.5M N/A +214.3% -3.5% Details
Nisource, Inc. NI Q313 $0.18$0.17 +$0.01+5.9% $1.08B$1.07B N/A -11.5% +0.6% Details
Ocwen Financial Corp. OCN Q313 $0.44$1.10 -$0.66-60.0% $531.24M$591.85M N/A -58.1% -13.7% Details
Olympic Steel, Inc. ZEUS Q313 $0.12$0.38 -$0.26-68.4% $304M$332.6M N/A +118.7% -13.5% Details
Orbotech Ltd ORBK Q313 $0.32$0.25 +$0.07+28.0% $113.4M$114.33M = +458.8% +2.8% Details
Orion Marine Group ORN Q313 -$0.03-$0.06 +$0.03+50.0% $89M$83.44M N/A -32.1% -4% Details
Oshkosh OSK Q413 $0.49$0.50 -$0.01-2.0% $1.73B$1.75B +128.4% -7.2% Details
PBF Energy PBF Q313 -$0.48-$0.07 -$0.41-585.7% $4.86B$4.52B N/A +116.5% +3.5% Details
PDC Energy PDCE Q313 -$0.07$0.24 -$0.31-129.2% $77.12M$103.26M N/A +4% -16% Details
PPL Corp. PPL Q313 $0.66$0.68 -$0.02-2.9% $3.11B$3.31B = -11.6% -0.3% Details
Pacira Pharmaceuticals PCRX Q313 -$0.30-$0.35 +$0.05+14.3% $23.3M$22.1M N/A -46.6% +4.1% Details
Pain Therapeutics Inc. PTIE Q313 -$0.02-$0.01 -$0.01-100.0% $1.96M$2M N/A -67.6% -2.9% Details
Perrigo Co PRGO Q114 $1.52$1.40 +$0.12+8.6% $933M$900.1M -73% 0% Details
Pinnacle West Capital Corp. PNW Q313 $2.04$2.15 -$0.11-5.1% N/A$1.11B = +29.2% -2.6% Details
Proto Labs, Inc. PRLB Q313 $0.37$0.36 +$0.01+2.8% $42M$41.7M N/A -62% -0.4% Details
Quanta Services, Inc. PWR Q313 $0.46$0.40 +$0.06+15.0% $1.65B$1.69B = +750.4% +1.8% Details
Quintiles Transnational Holdings Q Q313 $0.54$0.50 +$0.04+8.0% $1.2B$952.14M +138.5% +1.4% Details
RAIT Financial Trust RAS Q313 $0.33N/A N/A N/A $62.4M$52.2M N/A -97.8% +9.7% Details
Realty Income Corp. O Q313 $0.59$0.61 -$0.02-3.3% $199.3M$191.78M N/A +25.5% -1.7% Details
Reis, Inc. REIS Q313 $0.06$0.08 -$0.02-25.0% $8.78M$8.84M N/A +29.5% -3.9% Details
Reliv International, Inc. RELV Q313 $0.02N/A N/A N/A $16.54M$15.28M N/A +66.7% +15.2% Details
Resolute Forest Products RFP Q313 $0.31$0.23 +$0.08+34.8% $1.13M$1.14M N/A +56.5% +6.9% Details
Scana Corp. SCG Q313 $0.94$0.92 +$0.02+2.2% $1.05B$1.12B = +2.3% +2.5% Details
Sony Corp. SNE Q213 -Yen18.91N/A N/A N/A Yen1776BYen1605B N/A +445.9% -12.1% Details
Standard Motor Products SMP Q313 $0.79$0.76 +$0.03+3.9% $264.2M$278.07M N/A -5.1% -3.8% Details
Stantec STN Q313 CDN$0.98CDN$0.80 +CDN$0.18+22.5% CDN$581.2MCDN$456.2M N/A +46.2% +12% Details
State Auto Financial Corp STFC Q313 $0.45$0.42 +$0.03+7.1% $292.7M$290.05M N/A +164.7% +3.2% Details
Steven Madden Ltd SHOO Q313 $0.66$0.66 $0.000.0% $394M$384.5M = +15.1% +5.6% Details
Stoneridge, Inc. SRI Q313 $0.19$0.20 -$0.01-5.0% $233.5M$239.5M N/A +22.6% -1.5% Details
Strayer Education, Inc. STRA Q313 $0.30$0.04 +$0.26+650.0% $110M$109.35M N/A +103.5% -23.7% Details
Swift Energy Co. SFY Q313 $0.20$0.17 +$0.03+17.6% $153M$150.6M N/A +36.4% +9.9% Details
Symmetry Medical, Inc. SMA Q313 $0.08$0.07 +$0.01+14.3% $98M$99.05M = +18.4% +0.3% Details
TECO Energy, Inc. TE Q313 $0.29$0.33 -$0.04-12.1% $765.9M$818.7M = +59.1% +1% Details
Teradata TDC Q313 $0.70$0.81 -$0.11-13.6% $666M$698.92M = -18.4% -5.5% Details
Teva Pharmaceutical TEVA Q313 $1.27$1.26 +$0.01+0.8% $5.1B$5B = -65.6% -2.1% Details
Time Warner Cable, Inc. TWC Q313 $1.69$1.64 +$0.05+3.0% $5.52B$5.54B N/A +79.3% +2.8% Details
Valeant Pharmaceuticals International, Inc. BHC Q313 $1.51N/A N/A N/A $1.54B$884.14M = -92.2% -2.4% Details
Vical, Inc. VICL Q313 -$0.11-$0.10 -$0.01-10.0% $1.5M$1.82M N/A -48.1% -5.3% Details
Viropharma, Inc. VPHM Q313 $0.20$0.05 +$0.15+300.0% $113M$113.35M = +34.4% +3.7% Details
Western Refining WNR Q313 $0.33$0.51 -$0.18-35.3% $2.45B$2.52B N/A +9% -3.7% Details
World Wrestling Entertainment WWE Q313 $0.03$0.01 +$0.02+200.0% $113.3M$104.77M N/A +750.1% +7.4% Details
hhgregg, Inc. HGG Q214 $0.12$0.13 -$0.01-7.7% $568.3M$610.52M -98.7% -9.9% Details

Earnings After the Market Close

Company Symbol Qtr EPS Cons. Surprise % Beat Revs Cons. Gd. % Since % Week Details
AMN Healthcare Services, Inc. AHS Q313 $0.18$0.16 +$0.02+12.5% $257.1M$254.94M = +162.9% +7.3% Details
AMYRIS, Inc. AMRS Q313 -$0.26-$0.30 +$0.04+13.3% $7M$13.59M N/A +370758.8% +4.3% Details
Aimco AIV Q313 $0.50$0.51 -$0.01-2.0% N/A$256.13M = -71.2% -5% Details
Ambassadors Group, Inc. EPAX Q313 $0.23N/A N/A N/A $113.2M$137.7M N/A 0% 0% Details
American International Group AIG Q313 $0.96$0.96 $0.000.0% N/A$8.63B N/A +45% -8.4% Details
American Vanguard AVD Q313 $0.31$0.29 +$0.02+6.9% $97.2M$94.78M N/A -56.9% +0.3% Details
Amerisafe, Inc. AMSF Q313 $0.52$0.48 +$0.04+8.3% N/A$92.6M N/A +32.3% -0.1% Details
Anworth Mortgage Asset ANH Q313 $0.12$0.12 $0.000.0% N/A$25.01M N/A -39.4% -7.9% Details
Arabian American Development Company ARSD Q312 $0.22$0.14 +$0.08+57.1% $60.9M$58M N/A +21% -1.1% Details
Audience ADNC Q313 -$0.01-$0.10 +$0.09+90.0% $34.5M$32.3M = -57.2% -11.6% Details
Bill Barrett Corp. BBG Q313 -$0.09-$0.08 -$0.01-12.5% $148.56M$147.77M N/A -82.5% -0.7% Details
Body Central Corp. BODY Q313 -$0.55-$0.19 -$0.36-189.5% $60.8M$66.01M N/A +45.1% -37.8% Details
Bottomline Technologies, Inc. EPAY Q114 -$0.17$0.16 -$0.33-206.3% $67.2M$66.06M N/A +80.6% +3.7% Details
CEC Entertainment, Inc. CEC Q313 $0.43$0.50 -$0.07-14.0% $195.9M$195.6M = +15.9% -5.5% Details
Callidus Software, Inc. CALD Q313 $0.07$0.05 +$0.02+40.0% $30.68M$28.21M = +247.8% -1.3% Details
Camden Property Trust CPT Q313 $1.04$1.02 +$0.02+2.0% N/A$208M = +54.1% -5.1% Details
Cheviot Financial Corp CHEV Q313 $0.01N/A N/A N/A N/AN/A N/A +39% -0.4% Details
Clovis Oncology CLVS Q313 -$0.68-$0.68 $0.000.0% N/AN/A N/A -99.8% -2.1% Details
Computer Programs & Systems CPSI Q313 $0.66$0.67 -$0.01-1.5% $46.8M$48.08M N/A 0% 0% Details
Control4 CTRL Q313 $0.12$0.08 +$0.04+50.0% $33.6M$34.01M N/A +45.3% +4.2% Details
DCT Industrial Trust DCT Q313 $0.12$0.11 +$0.01+9.1% $74.35M$74.6M = +145% -2.1% Details
Digi International, Inc. DGII Q313 $0.08$0.08 $0.000.0% $51.4M$50.69M = +204% +2% Details
DigitalGlobe, Inc. DGI Q313 -$0.04-$0.13 +$0.09+69.2% $164.8M$167.85M = +12.7% +13.3% Details
Dresser-Rand Group DRC Q313 N/A$0.64 N/A N/A N/A$829.29M N/A N/A N/A N/A
Eastern Insurance Holdings EIHI Q312 $0.28$0.11 +$0.17+154.5% N/A$285.43M N/A +0.2% +0.2% Details
Einstein Noah Restaurant Group, Inc. BAGL Q313 $0.22$0.23 -$0.01-4.3% $106.4M$107.92M N/A +13.9% +2% Details
Electro Scientific Industries ESIO Q214 $0.09$0.06 +$0.03+50.0% $59.6M$58.7M = +150.1% -20% Details
Ellie Mae ELLI Q313 $0.25$0.30 -$0.05-16.7% $33M$34.37M = +239.6% -22.8% Details
Empire District Electric Co. EDE Q313 $0.56$0.19 +$0.37+194.7% $157.5M$128.6M = +51.6% +0.1% Details
Erie Indemnity Co ERIE Q313 $0.87$0.96 -$0.09-9.4% N/A$340.12M N/A +435.9% -1.2% Details
FBL Financial Group, Inc. FFG Q313 $1.02$0.88 +$0.14+15.9% $173.52M$92.31M N/A +35.1% -5.7% Details
Federal Realty Investment Trust FRT Q313 $1.16$1.15 +$0.01+0.9% $159.03M$158M -0.6% +1.7% Details
Federated Nat FNHC Q213 $0.41N/A N/A N/A N/AN/A N/A -98% +11.2% Details
First Solar, Inc. FSLR Q313 $2.28$0.96 +$1.32+137.5% $1.27B$988.63M +253.1% +15.2% Details
Fluor Corp. FLR Q313 $1.05$1.03 +$0.02+1.9% $6.7B$7.23B -45.6% +1.8% Details
GSI Technology GSIT Q214 $0.01$0.03 -$0.02-66.7% $15.5M$16.5M N/A -46.6% -7.4% Details
Green Dot GDOT Q313 $0.24$0.21 +$0.03+14.3% $136.5M$137.05M -58.8% +5.5% Details
Harris Teeter Supermarkets, Inc. HTSI Q213 $0.60$0.59 +$0.01+1.7% $1.19B$1.2B N/A +0.1% +0.2% Details
Home Properties, Inc. HME Q313 $1.09$1.10 -$0.01-0.9% $166.81M$167.99M = +24.8% -9% Details
Hutchinson Technology, Inc. HTCH Q413 -$0.40-$0.24 -$0.16-66.7% $63.65M$64.6M N/A +7.5% -17.5% Details
Immersion Corp IMMR Q313 $0.04$0.05 -$0.01-20.0% $11.3M$11M = -43.6% -3.6% Details
Kemper Corp KMPR Q313 $0.69$0.41 +$0.28+68.3% $635.7M$585.3M N/A +64% -0.8% Details
Kite Realty Group Trust KRG Q313 $0.13$0.11 +$0.02+18.2% $32.67M$29.66M = +239.3% -6.3% Details
Kodiak Oil & Gas Corp. KOG Q313 $0.12$0.20 -$0.08-40.0% $299.6M$262.29M N/A -49.4% -8.6% Details
LRR Energy LRE Q313 $0.01$0.28 -$0.27-96.4% $31.46M$30.96M N/A -81.8% +1% Details
Lantronix, Inc. LTRX Q114 $0.01-$0.05 +$0.06+120.0% $10.9M$11.5M N/A +142.9% +9% Details
MDU Resources MDU Q313 N/A$0.46 N/A N/A N/A$1.25B N/A N/A N/A
MRC Global MRC Q313 $0.40$0.45 -$0.05-11.1% $1.31B$1.32B = -57.9% +9.1% Details
MasTec, Inc. MTZ Q313 $0.61$0.60 +$0.01+1.7% $1.27B$1.16B +166.5% -2.8% Details
Mercer International, Inc. MERC Q313 $0.05$0.01 +$0.04+400.0% $32.9M$27.9M N/A +25.4% +15.5% Details
Minerals Technologies Inc. MTX Q313 N/A$0.61 N/A N/A N/A$259.4M N/A N/A N/A N/A
Mohawk Industries MHK Q313 $2.02$1.90 +$0.12+6.3% $1.96B$2.02B N/A -16.4% +1% Details
National Instruments Corp NATI Q313 $0.19$0.11 +$0.08+72.7% $289M$285.43M = +106.5% +7.3% Details
Navios Maritime Partners NMM Q313 $0.19$0.14 +$0.05+35.7% $46.6M$45.08M N/A +175.1% +2.2% Details
Newmont Mining Corp. NEM Q313 $0.46$0.32 +$0.14+43.8% $1.98B$2B N/A +40.4% +0.3% Details
Nicholas Financial, Inc. NICK Q214 $0.35N/A N/A N/A N/AN/A N/A -58.5% -4.5% Details
Northeast Utilities NU Q313 $0.69$0.73 -$0.04-5.5% $1.89B$1.9B -75.1% -1.2% Details
ON Semiconductor Corp ONNN Q313 $0.17$0.16 +$0.01+6.3% $714.4M$716.32M +65.7% +0.7% Details
Omega Healthcare Investors OHI Q313 $0.63$0.62 +$0.01+1.6% $103.3M$94.12M = -7.7% -1.2% Details
Omnicell, Inc. OMCL Q313 $0.31$0.28 +$0.03+10.7% $94M$94.96M N/A 0% 0% Details
Oplink Communications, Inc. OPLK Q114 $0.21$0.22 -$0.01-4.5% $54.8M$53.35M N/A +32.8% -12.3% Details
Orient Express Hotels Ltd. OEH Q313 $0.18$0.14 +$0.04+28.6% $191.2M$176.31M N/A +9.2% +9.7% Details
Piedmont Office Realty Trust PDM Q313 N/A$0.35 N/A N/A N/A$109.42M N/A N/A N/A N/A
Public Storage PSA Q313 $1.92$1.88 +$0.04+2.1% $441.01M$474.7M N/A +57.3% -3.5% Details
Redwood Trust, Inc. RWT Q313 N/A$0.18 N/A N/A N/A$39.11M N/A N/A N/A N/A
Republic Services, Inc. RSG Q313 $0.55$0.49 +$0.06+12.2% $2.17B$2.12B = +473.4% +1.9% Details
SS&C Technologies, Inc. SSNC Q313 $0.52$0.50 +$0.02+4.0% $179.51M$181.52M = 0% 0% Details
Select Medical Holdings SEM Q313 $0.17$0.19 -$0.02-10.5% $722.8M$723.1M = +229% -2.4% Details
Southwestern Energy Co. SWN Q313 $0.53$0.51 +$0.02+3.9% $868.37M$827.3M N/A -79.8% -4.3% Details
Spansion Inc. CODE Q313 $0.27$0.27 $0.000.0% $274.9M$285.49M N/A +222.4% -3.9% Details
Standard Pacific Corp. SPF Q313 $0.15$0.12 +$0.03+25.0% $511.1M$551.48M N/A +0.9% -6.4% Details
Summit State Bank SSBI Q313 $0.23$0.18 +$0.05+27.8% N/A$4.48M N/A -1.4% +1.3% Details
Tellabs, Inc. TLAB Q313 -$0.03$0.01 -$0.04-400.0% $198.5M$210.91M N/A 0% +0.4% Details
Territoral Bancorp, Inc. TBNK Q313 $0.39$0.33 +$0.06+18.2% N/AN/A N/A -66.8% +2.9% Details
The Chefs' Warehouse CHEF Q313 $0.21$0.21 $0.000.0% $170.6M$171.29M = 0% 0% Details
Trimble Navigation Ltd TRMB Q313 $0.39$0.36 +$0.03+8.3% $556.5M$559.07M = +107.6% +9.5% Details
Weingarten Realty Investors WRI Q313 $0.51$0.48 +$0.03+6.3% $130.67M$127.62M -0.9% -4% Details