The LABJ stock index: tracking 200 selected Los Angeles County-based companies.
THE LABJ STOCK INDEX
TRACKING 200 SELECTED LOS ANGELES COUNTY-BASED COMPANIES
July 27 1-Wk
Company Name Ticker Close % Chg
AEROSPACE/DEFENSE
Ducommun Inc. DCO $18.52 4.6%
HI Shear Technology Corp. HSR 3.80 3.8%
Northrop Grumman Corp. NOC 56.70 2.3%
Teledyne Technologies Inc. TDY 35.00 0.4%
APPAREL
Cherokee Inc. CHKE 34.63 3.2%
Guess ? Inc. (H) GES 22.29 11.2%
HOT Topic Inc. HOTT 18.26 3.7%
Innovo Group Inc. INNO 2.15 15.4%
LJ International Inc. JADE 2.21 1.8%
K-Swiss Inc. (H) KSWS 34.00 2.9%
Mossimo Inc. MOSS 4.65 2.9%
Skechers U.S.A. Inc. SKX 15.60 4.4%
Tarrant Apparel Group TAGS 3.40 3.0%
True Religion Apparel Inc. (H) TRLG 17.30 0.2%
AUTOMOTIVE/PLASTICS/METALS
Earl Scheib Inc. (H) ESHB 3.40 2.9%
IMPCO Technologies Inc. IMCO 4.68 0.2%
International Aluminum Corp. IAL 32.56 0.6%
Keystone Automotive Industries Inc. KEYS 26.69 0.3%
Earle M Jorgensen Co JOR 9.51 3.1%
Reliance Steel & Aluminum Co RS 46.05 12.5%
Summa Industries SUMX 7.86 1.0%
Superior Industries International SUP 24.11 0.6%
BIOMEDICAL & PHARMACEUTICAL
Advanced Biotherapy Inc. ADVB 0.22 4.8%
Amgen Inc. AMGN 81.28 0.1%
Amexdrug Crop. (H) AXRX 0.33 43.5%
Chad Therapeutics Inc. CTU 3.63 2.4%
Clearant Inc. CLRI 4.27 3.4%
CytRx Corp. CYTR 0.93 0.0%
Diagnostic Products Corp. (H) DP 55.25 15.1%
Health Sciences Group Inc. HESC 0.86 9.5%
IRIS International Inc. IRIS 16.16 12.6%
MannKind Corp. MNKD 8.93 13.2%
Natrol Inc. NTOL 2.76 1.4%
North American Scientific Inc. NASI 3.29 0.3%
Staar Surgical Co. STAA 3.89 19.0%
COMMUNICATIONS
MRV Communications Inc. MRVC 2.32 0.0%.
Optical Communications Products Inc. OCPI 1.96 0.5%
OSI Systems Inc. OSIS 18.11 3.0%
Semtech Corp. SMTC 18.35 0.1%
Tekelec TKLC 16.07 1.4%
COMPUTERS/PERIPHERALS/ELECTRONICS
Advanced Photonix Inc. API 2.86 10.1%
Arrowhead Research Corp. ARWR 3.02 4.1%
Bell Industries Inc. Bl 2.10 2.3%
Cogent Inc. COGT 29.38 0.9%
Creative Computer Applications Inc. CAP 220 2.3%
Diodes Inc. (H) DIOD 34.99 4.4%
Electronic Clearing House Inc. ECHO 8.45 1.8%
En Pointe Technologies Inc. ENPT 3.15 0.9%
Gemstar-TV Guide International Inc. GMST 3.10 13.9%
Global e-Point Inc. (H) GEPT 6.39 86.3%
International Rectifier Corp. (H) IRF 54.85 0.6%
Ixia XXlA 18.90 5.5%
Qualstar Corp. QBAK 3.75 0.0%
Taitron Components Inc. TAIT 1.90 4.9%
Trio Tech International TRT 4.03 0.8%
CONSTRUCTION/ENGINEERING
Ameron International Corp. AMN 38.12 1.2%
Jacobs Engineering Group Inc. JEC 58.75 2.4%
KB Home KBH 81.27 3.7%
Ryland Group Inc. RYL 81.01 2.6%
Tera Tech Inc. TTEK 14.67 3.4%
ENERGY/UTILITIES
American States Water Co (H) AWR 32.31 2.1%
Capstone Turbine Corp. CPST 1.84 5.7%
Edison International EIX 40.66 0.8%
Mercury Air Group Inc. MAX 3.68 1.6%
Occidental Petroleum Corp. (H) OXY 83.31 3.3%
Pacific Energy Partners LP PPX 34.56 1.3%
Southwest Water Co SWWC 13.47 4.1%
Unocal Corp. UCL 64.97 0.0%
FINANCIAL SERVICES
Alliance Bancshare/CA ABNS 13.70 0.4%
Anworth Mortgage Asset Corp. ANH 9.36 2.5%
Ares Capital Corp. ARCC 18.60 0.4%
Broadway Financial Corp./Del BYFC 12.25 2.5%
Cathay General Bancorp CATY 34.36 1.6%
Center Financial Corp. CLFC 25.50 1.3%
Countrywide Financial Corp. CFC 36.47 2.8%
City National Corp./Beverly Hills CA CYN 73.30 3.0%
East West Bancorp Inc. EWBC 35.00 6.5%
First American Bank/Rosemead CA FTAB 24.61 0.0%
1st Century Regional Bancorp/ FCNA 9.95 22.1%
Los Angeles CA (H)
First Regional Bancorp/ FRGB 82.58 0.3%
Los Angeles GA (H)
FirstFed Financial Corp. FED 62.89 3.4%
Foothill Independent Bancorp FOOT 20.40 0.0%
Fremont General Corp. FMT 26.04 1.5%
Hanmi Financial Corp. (H) HAFC 18.77 3.7%
IndyMac Bancorp Inc. (H) NOE 44.17 0.5%
Mission Valley Bank MVBS 17.25 1.5%
Nara Bancorp Inc. NARA 15.84 0.4%
National Mercantile Bancorp MBLA 15.38 0.7%
PFF Baneorp Inc, PFB 31.38 1.7%
Paula Financial PFCO 1.77 0.6%
Saehan Bancorp SAEB 24.50 1.2%
Santa Fe Financial Corp. SFEF 17.00 0.0%
Wilshire Bancorp Inc. WlBC 15.39 1.4%
HEALTH CARE
DaVita Inc. DVA 44.17 1.8%
First Consulting Group mc, FCGI 5.00 2.7%
Health Net Inc. HNT 3,845 3.6%
Herbalife Ltd (H) HLF 24.30 3.4%
Hemacare Corp. HEMA 1.30 4.0%
Molina Healthcare Inc. (L) MOH 22.35 51.4%
Universal Detection Technology UDTT $0.18 2.9%
Primedex Health Systems Inc. PMDX 0.35 0.0%
Prospect Medical Holdings Inc. CI A PZZ 5.20 1.0%
Specialty Laboratories Inc. SP 8.74 2.3%
INSURANCE
Mercury General Corp. MCY 56.67 2.5%
SCPIE Holdings Inc. (H) SKP 12.61 6.2%
21st Century Insurance Group TW 15.35 0.3%
Unico American Corp. UNAM 9.00 0.0%
Wesce Financial Corp. WSC 353.25 0.5%
Zenith National Insurance Corp. ZNT 66.89 5.0%
INTERNET
AdStar Inc. ADST 1.34 12.4%
Artistdirect inc. ARTD 3.00 14.3%
Compumed Inc. CMPD 0.31 10.7%
Dial-Thru International Corp. DTIX 0.19 26.7%
Digital Insight Corp. DGIN 23.75 3.9%
Homestore Inc. HOMS 2.60 11.9%
j2 Global Communications Inc. JCOM 40.24 10.0%
Napster Inc. NAPS 4.93 18.2%
Stamps.com Inc. STMP 17.07 13.3%
United Online Inc. UNTD 11.60 2.1%
Valueclick Inc. VCLK 12.56 0.8%
Youbet.com Inc. UBET 5.66 2.2%
MEDIA/LEISURE/ENTERTAINMENT
Daily Journal Corp. DJCO 37.32 0.9%
DTS Inc. DTSI 20.16 0.8%
DIRECTVGroup Inc./The DTV 15.49 0.1%
DreamWorks Animation SKG Inc. (L) DWA 22.98 1.0%
Walt DisneyCo DIS 25.83 0.0%
Entravision Communications Corp. EVC 8.50 0.1%
Intermix Media Inc. MIX 11.67 0.7%
Image Entertainment Inc. DISK 3.03 2.7%
WPT Enterprises Inc. WPTE 21.75 0.0%
National Lampoon Inc. NLPN 3.75 6.0%
Point.360 PTSX 3.00 3.2%
Salem Communications Corp. SALM 21.15 2.4%
Sports Club Inc. SCY 1.52 4.4%
Univision Communications Inc. UVN 27.96 1.9%
MISC. MANUFACTURING
Avery Dennison Corp. AVY 56.10 2.8%
Coastcast Corp. COCA 2.37 0.0%
EMAK Worldwide Inc. EMAK 10.13 3.1%
Farmer Bros Co FARM 22.98 2.5%
Flamemaster Corp. FAME 4.70 2.7%
Jakks Pacific Inc. JAKK 17.53 6.1%
Magnetek Inc. MAC 3.05 4.5%
Material Technologies Inc. MTNA 2.25 25.0%
Mattel Inc. MAT 18.25 2.0%
Overhill Farms Inc. (H) OFI 4.15 12.2%
Panavision Inc. PVlS 4.50 0.0%
Reinhold Industries Inc. RNHDA 27.63 0.5%
Rotonics Manufacturing Inc. RMI 3.12 3.6%
Small World Kids Inc. SWKD 0.49 0.0%
Tag-It Pacific Inc. TAG 2.27 0.9%
3D Systems Corp. TDSC 24.03 0.5%
Virco Manufacturing VIR 7.30 4.3%
MISC. SERVICES
American Reprographics Co (H) ARP 17.70 3.8%
Cadiz Inc. CDZl 18.30 2.3%
Computer Sciences Corp. CSC 45.50 1.0%
Electro Rent Corp. ELRC 14.14 4.8%
Enova Systems Inc. (L) ENOV 4.35 1.8%
Hilton Hotels Corp. HLT 24.17 3.4%
PC Mall Inc. MALL 4.25 4.3%
Korn/Ferry International KFY 19.66 1.3%
Learning Tree International Inc. LTRE 12.50 0.9%
NetSol Technologies Inc. NTWK 1.99 7.0%
Neptune Society Inc./The NPTI 2.52 1.6%
On Assignment Inc. ASGN 5.37 2.9%
National Technical SYS Inc. NTSC 5.49 0.2%
PeopleSupport Inc. PSPT 9.75 5.2%
UTI Worldwide Inc. UTIW 69.45 1.1%
VCA Antech Inc. WOOF 23.45 1.0%
REAL ESTATE
Alexandria Real Estate Equities Inc. (H) ARE 80.35 0.2%
Arden Realty Inc. (H) ARI 39.90 3.2%
CB Richard Ellis Group Inc. CBG 44.69 3.5%
Health Care Property Investors Inc. HCP 27.99 1.2%
Intergroup Corp. INTG 15.50 4.6%
Kilroy Realty Corp. (H) KRC 51.70 2.7%
Kennedy-Wilson Inc. (H) KWlC 11.85 3.6%
LTC Properties Inc. LTC 23.09 0.4%
Macerich Co/The MAC 68.73 0.0%
Maguire Properties Inc. MPC 29.45 0.6%
Public Storage Inc. PSA 66.00 -1.1 %
PS Business Parks Inc. PSB 46.05 1.2%
Reading International Inc. RDI 7.45 21%
Thomas Properties Group Inc. (H) TPGI 13.40 2.8%
RESTAURANTS/RETAIL/GROCERY STORES
Arden Group Inc. ARDNA 90.50 7.4%
Big 5 Sporting Goods Corp. DGFVE 26.31 8.4%
California Pizza Kitchen Inc. (H) CPKI 32.52 0.8%
Cheesecake Factory/The CAKE 35.72 0.3%
Grill Concepts Inc. (H) GRIL 4.27 0.2%
Guitar Center Inc. (H) GTRC 64.64 7.2%
IHOP Corp. IHP 40.09 1.9%
99 Cents Only Stores NON 12.25 3.4%
Smart & Final Inc. SMF 13.99 2.2%
Sport Chalet Inc. SPCH 17.20 1.1%
Worldwide Restaurant Concepts Inc. SZ 6.49 0.3%
SOFTWARE
Activision Inc. (H) ATVI 19.20 5.4%
CaminoSoft Corp. (H) CMSF 0.80 0.0%
Cash Technologies Inc. TQ 0.93 6.9%
Jamdat Mobile Inc. JMDT 29.11 4.2%
Peerless Systems Corp. PRLS 3.67 2.2%
Seebeyond Technology Corp. SBYN 4.21 1.0%
THQ Inc. (H) THQI 34.30 1.1%
YTD 52-Wk
Company Name Ticker % Chg % Chg
AEROSPACE/DEFENSE
Ducommun Inc. DCO 11.2% 5.4%
HI Shear Technology Corp. HSR 36.1% 25.8%
Northrop Grumman Corp. NOC 4.3% 6.4%
Teledyne Technologies Inc. TDY 18.9% 79.0%
APPAREL
Cherokee Inc. CHKE 1.8% 44.4%
Guess ? Inc. (H) GES 77.6% 51.1%
HOT Topic Inc. HOTT 6.2% 15.3%
Innovo Group Inc. INNO 15.0% 56.9%
LJ International Inc. JADE 25.6% 26.1%
K-Swiss Inc. (H) KSWS 16.8% 86.9%
Mossimo Inc. MOSS 34.4% 39.2%
Skechers U.S.A. Inc. SKX 20.4% 11.9%
Tarrant Apparel Group TAGS 39.3% 129.7%
True Religion Apparel Inc. (H) TRLG 113.6% 2371.4%
AUTOMOTIVE/PLASTICS/METALS
Earl Scheib Inc. (H) ESHB 0.3% 6.3%
IMPCO Technologies Inc. IMCO 38.0% 8.2%
International Aluminum Corp. IAL 3.8% 9.9%
Keystone Automotive Industries Inc. KEYS 14.8% 2.8%
Earle M Jorgensen Co JOR NA NA
Reliance Steel & Aluminum Co RS 18.2% 18.1%
Summa Industries SUMX 20.8% 22.0%
Superior Industries International SUP 17.0% 25.9%
BIOMEDICAL & PHARMACEUTICAL
Advanced Biotherapy Inc. ADVB 10.0% 18.5%
Amgen Inc. AMGN 26.7% 45.4%
Amexdrug Crop. (H) AXRX 106.3% 3.1%
Chad Therapeutics Inc. CTU 34.0% 13.6%
Clearant Inc. CLRI 1751.0% 3425.8%
CytRx Corp. CYTR 33.6% 35.9%
Diagnostic Products Corp. (H) DP 0.4% 37.1%
Health Sciences Group Inc. HESC 22.9% 19.4%
IRIS International Inc. IRIS 65.7% 150.5%
MannKind Corp. MNKD 43.3% 36.2%
Natrol Inc. NTOL 17.6% 11.7%
North American Scientific Inc. NASI 39.0% 56.0%
Staar Surgical Co. STAA 38.0% 37.2%
COMMUNICATIONS
MRV Communications Inc. MRVC 38.8% 15.9%
Optical Communications Products Inc. OCPI 21.6% 0.5%
OSI Systems Inc. OSIS 20.3% 1.6%
Semtech Corp. SMTC 16.0% 1.9%
Tekelec TKLC 21.4% 19.1%
COMPUTERS/PERIPHERALS/ELECTRONICS
Advanced Photonix Inc. API 57.1% 49.0%
Arrowhead Research Corp. ARWR 30.1% 61.3%
Bell Industries Inc. Bl 35.6% 25.3%
Cogent Inc. COGT 11.0% NA
Creative Computer Applications Inc. CAP 37.5% 87.8%
Diodes Inc. (H) DIOD 54.6% 101.2%
Electronic Clearing House Inc. ECHO 5.9% 11.3%
En Pointe Technologies Inc. ENPT 11.7% 72.1%
Gemstar-TV Guide International Inc. GMST 47.6% 28.9%
Global e-Point Inc. (H) GEPT 24.3% 36.0%
International Rectifier Corp. (H) IRF 23.1% 59.7%
Ixia XXlA 12.4% 143.2%
Qualstar Corp. QBAK 21.1% 40.4%
Taitron Components Inc. TAIT 22.4% 5.0%
Trio Tech International TRT 18.9% 16.5%
CONSTRUCTION/ENGINEERING
Ameron International Corp. AMN 0.6% 104%
Jacobs Engineering Group Inc. JEC 22.9% 50.2%
KB Home KBH 55.7% 158.6%
Ryland Group Inc. RYL 40.8% 114.7%
Tera Tech Inc. TTEK 12.4% 6.3%
ENERGY/UTILITIES
American States Water Co (H) AWR 24.3% 42.0%
Capstone Turbine Corp. CPST 0.5% 5.7%
Edison International EIX 26.9% 59.9%
Mercury Air Group Inc. MAX 7.3% 29.9%
Occidental Petroleum Corp. (H) OXY 42.8% 71.2%
Pacific Energy Partners LP PPX 19.5% 236%
Southwest Water Co SWWC 0.1% 10.5%
Unocal Corp. UCL 50.3% 74.3%
FINANCIAL SERVICES
Alliance Bancshare/CA ABNS 44.2% 58.4%
Anworth Mortgage Asset Corp. ANH 12.6% 8.7%
Ares Capital Corp. ARCC 43% NA
Broadway Financial Corp./Del BYFC 1.9% 2.0%
Cathay General Bancorp CATY 8.4% 4.0%
Center Financial Corp. CLFC 27.4% 70.0%
Countrywide Financial Corp. CFC 1.5% 2.8%
City National Corp./Beverly Hills CA CYN 3.8% 14.1%
East West Bancorp Inc. EWBC 16.6% 8.8%
First American Bank/Rosemead CA FTAB 36.7% 641%
1st Century Regional Bancorp/ FCNA 26.3% 56.7%
Los Angeles CA (H)
First Regional Bancorp/ FRGB 52.9% 158.9%
Los Angeles GA (H)
FirstFed Financial Corp. FED 21.2% 40.8%
Foothill Independent Bancorp FOOT 8.6% 19.7%
Fremont General Corp. FMT 3.4% 43.2%
Hanmi Financial Corp. (H) HAFC 4.5% 30.4%
IndyMac Bancorp Inc. (H) NOE 28.2% 39.3%
Mission Valley Bank MVBS 10.1% 56.8%
Nara Bancorp Inc. NARA 25.5% 12.2%
National Mercantile Bancorp MBLA 21.1% 50.8%
PFF Baneorp Inc, PFB 1.6% 33.9%
Paula Financial PFCO 15.7% 41.9%
Saehan Bancorp SAEB 6.4% 58.6%
Santa Fe Financial Corp. SFEF 48.3% 54.5%
Wilshire Bancorp Inc. WlBC 7.0% 20.2%
HEALTH CARE
DaVita Inc. DVA 11.7% 47.1%
First Consulting Group mc, FCGI 18.2% 7.4%
Health Net Inc. HNT 33.2% 58.6%
Herbalife Ltd (H) HLF 49.5% NA
Hemacare Corp. HEMA 16.1% 116.7%
Molina Healthcare Inc. (L) MOH 51.8% 34.1%
Universal Detection Technology UDTT 56.1% 78.3%
Primedex Health Systems Inc. PMDX 34.0% 16.7%
Prospect Medical Holdings Inc. CI A PZZ 29.7% 8.8%
Specialty Laboratories Inc. SP 20.8% 16.8%
INSURANCE
Mercury General Corp. MCY 5.4% 19.0%
SCPIE Holdings Inc. (H) SKP 26.9% 31.9%
21st Century Insurance Group TW 12.9% 18.2%
Unico American Corp. UNAM 5.3% 50.0%
Wesce Financial Corp. WSC 10.1% 0.5%
Zenith National Insurance Corp. ZNT 34.2% 59.3%
INTERNET
AdStar Inc. ADST 22.8% 18.4%
Artistdirect inc. ARTD 1053.8% 650.0%
Compumed Inc. CMPD 20.5% 72.2%
Dial-Thru International Corp. DTIX 40.6% 15.2%
Digital Insight Corp. DGIN 29.1% 60.5%
Homestore Inc. HOMS 14.2% 24.0%
j2 Global Communications Inc. JCOM 16.6% 58.3%
Napster Inc. NAPS 47.3% 13.3%
Stamps.com Inc. STMP 7.8% 69.2%
United Online Inc. UNTD 0.6% 25.2%
Valueclick Inc. VCLK 5.8% 20.3%
Youbet.com Inc. UBET 11.9% 86.2%
MEDIA/LEISURE/ENTERTAINMENT
Daily Journal Corp. DJCO 4.1% 20.4%
DTS Inc. DTSI 0.1% 11.6%
DIRECTVGroup Inc./The DTV 7.5% 7.2%
DreamWorks Animation SKG Inc. (L) DWA 38.7% NA
Walt DisneyCo DIS 7.1% 12.5%
Entravision Communications Corp. EVC 1.8% 19.9%
Intermix Media Inc. MIX 106.5% 430.5%
Image Entertainment Inc. DISK 49.0% 23.7%
WPT Enterprises Inc. WPTE 27.9% NA
National Lampoon Inc. NLPN 17.2% 15.4%
Point.360 PTSX 17.2% 3.8%
Salem Communications Corp. SALM 15.2% 16.8%
Sports Club Inc. SCY 16.9% 13.6%
Univision Communications Inc. UVN 4.5% 4.3%
MISC. MANUFACTURING
Avery Dennison Corp. AVY 6.5% 8.1%
Coastcast Corp. COCA 0.9% 10.2%
EMAK Worldwide Inc. EMAK 1.3% 14.9%
Farmer Bros Co FARM 5.2% 116%
Flamemaster Corp. FAME 51.6% 13.0%
Jakks Pacific Inc. JAKK 20.7% 12.9%
Magnetek Inc. MAC 55.8% 51.9%
Material Technologies Inc. MTNA 0.0% 33.8%
Mattel Inc. MAT 6.4% 3.7%
Overhill Farms Inc. (H) OFI 167.7% 232.0%
Panavision Inc. PVlS 28.0% 30.8%
Reinhold Industries Inc. RNHDA 3.8% 52.7%
Rotonics Manufacturing Inc. RMI 4.1% 55.4%
Small World Kids Inc. SWKD 6.5% 2.0%
Tag-It Pacific Inc. TAG 49.6% 40.9%
3D Systems Corp. TDSC 20.9% 115.5%
Virco Manufacturing VIR 2.8% 3.9%
MISC. SERVICES
American Reprographics Co (H) ARP NA NA
Cadiz Inc. CDZl 28.4% 30.7%
Computer Sciences Corp. CSC 19.3% 3.7%
Electro Rent Corp. ELRC 0.6% 42.1%
Enova Systems Inc. (L) ENOV 18.1% 1.8%
Hilton Hotels Corp. HLT 6.3% 34.0%
PC Mall Inc. MALL 521% 34.5%
Korn/Ferry International KFY 5.3% 8.7%
Learning Tree International Inc. LTRE 6.7% 0.6%
NetSol Technologies Inc. NTWK 25.2% 22.1%
Neptune Society Inc./The NPTI 72.0% 104.9%
On Assignment Inc. ASGN 3.5% 3.5%
National Technical SYS Inc. NTSC 9.6% 28.0%
PeopleSupport Inc. PSPT 2.2% NA
UTI Worldwide Inc. UTIW 2.1% 41.6%
VCA Antech Inc. WOOF 20.0% 7.1%
REAL ESTATE
Alexandria Real Estate Equities Inc. (H) ARE 8.0% 35.1%
Arden Realty Inc. (H) ARI 5.8% 33.4%
CB Richard Ellis Group Inc. CBG 33.2% 138.0%
Health Care Property Investors Inc. HCP 1.1% 13.2%
Intergroup Corp. INTG 10.2% 19.2%
Kilroy Realty Corp. (H) KRC 20.9% 50.0%
Kennedy-Wilson Inc. (H) KWlC 51.0% 64.4%
LTC Properties Inc. LTC 16.0% 31.4%
Macerich Co/The MAC 9.4% 47.2%
Maguire Properties Inc. MPC 7.2% 23.3%
Public Storage Inc. PSA 18.4% 44.3%
PS Business Parks Inc. PSB 2.1% 15.3%
Reading International Inc. RDI 10.9% 2.0%
Thomas Properties Group Inc. (H) TPGI 5.2% NA
RESTAURANTS/RETAIL/GROCERY STORES
Arden Group Inc. ARDNA 8.4% 9.0%
Big 5 Sporting Goods Corp. DGFVE 9.7% 23.5%
California Pizza Kitchen Inc. (H) CPKI 41.4% 63.4%
Cheesecake Factory/The CAKE 10.0% 26.9%
Grill Concepts Inc. (H) GRIL 89.8% 113.5%
Guitar Center Inc. (H) GTRC 22.7% 57.0%
IHOP Corp. IHP 4.3% 8.4%
99 Cents Only Stores NON 24.2% 13.2%
Smart & Final Inc. SMF 28% 4.8%
Sport Chalet Inc. SPCH 232% 39.6%
Worldwide Restaurant Concepts Inc. SZ 59.5% 117.8%
SOFTWARE
Activision Inc. (H) ATVI 26.9% 78.8%
CaminoSoft Corp. (H) CMSF 15.9% 60.0%
Cash Technologies Inc. TQ 19.1% 19.1%
Jamdat Mobile Inc. JMDT 41.0% NA
Peerless Systems Corp. PRLS 182.3% 294.6%
Seebeyond Technology Corp. SBYN 17.6% 40.3%
THQ Inc. (H) THQI 49.5% 63.8%
P.E. Mkt. Cap
Company Name Ticker Ratio (millions)
AEROSPACE/DEFENSE
Ducommun Inc. DCO 14.6 $186.3
HI Shear Technology Corp. HSR 11.9 25.5
Northrop Grumman Corp. NOC 16.9 20,359.7
Teledyne Technologies Inc. TDY 23.6 1,165.1
APPAREL
Cherokee Inc. CHKE 17.1 302.5
Guess ? Inc. (H) GES 26.9 985.5
HOT Topic Inc. HOTT 21.7 819.9
Innovo Group Inc. INNO 21.5 71.6
LJ International Inc. JADE NA 19.2
K-Swiss Inc. (H) KSWS 16.4 1,158.4
Mossimo Inc. MOSS 22.1 73.2
Skechers U.S.A. Inc. SKX 18.8 617.3
Tarrant Apparel Group TAGS NA 98.6
True Religion Apparel Inc. (H) TRLG 48.1 374.3
AUTOMOTIVE/PLASTICS/METALS
Earl Scheib Inc. (H) ESHB NA 14.9
IMPCO Technologies Inc. IMCO NA 133.8
International Aluminum Corp. IAL 12.4 139.0
Keystone Automotive Industries Inc. KEYS 25.7 423.3
Earle M Jorgensen Co JOR NA 461.4
Reliance Steel & Aluminum Co RS 8.3 1,515.4
Summa Industries SUMX 15.1 31.1
Superior Industries International SUP 19.8 641.7
BIOMEDICAL & PHARMACEUTICAL
Advanced Biotherapy Inc. ADVB NA 11.9
Amgen Inc. AMGN 28.8 100,582.5
Amexdrug Crop. (H) AXRX NA 2.8
Chad Therapeutics Inc. CTU 21.4 36.8
Clearant Inc. CLRI NA 1,530
CytRx Corp. CYTR NA 53.5
Diagnostic Products Corp. (H) DP 25.7 1,619.5
Health Sciences Group Inc. HESC NA 19.8
IRIS International Inc. IRIS 62.2 265.3
MannKind Corp. MNKD NA 292.7
Natrol Inc. NTOL 46.0 37.1
North American Scientific Inc. NASI NA 53.9
Staar Surgical Co. STAA NA 96.4
COMMUNICATIONS
MRV Communications Inc. MRVC NA 241.9
Optical Communications Products Inc. OCPI NA 221.3
OSI Systems Inc. OSIS 47.7 296.1
Semtech Corp. SMTC 26.2 1,356.2
Tekelec TKLC 32.1 1,056.0
COMPUTERS/PERIPHERALS/ELECTRONICS
Advanced Photonix Inc. API 8.2 46.8
Arrowhead Research Corp. ARWR NA 50.9
Bell Industries Inc. Bl NA 17.8
Cogent Inc. COGT 57.6 2,662.9
Creative Computer Applications Inc. CAP 36.7 7.4
Diodes Inc. (H) DIOD 19.6 501.6
Electronic Clearing House Inc. ECHO 35.2 55.3
En Pointe Technologies Inc. ENPT 16.6 21.6
Gemstar-TV Guide International Inc. GMST 34.4 1,316.1
Global e-Point Inc. (H) GEPT NA 79.7
International Rectifier Corp. (H) IRF 24.0 3,536.9
Ixia XXlA 40.2 1,215.1
Qualstar Corp. QBAK NA 45.9
Taitron Components Inc. TAIT NA 10.4
Trio Tech International TRT 50.4 12.0
CONSTRUCTION/ENGINEERING
Ameron International Corp. AMN 10.8 322.8
Jacobs Engineering Group Inc. JEC 24.7 3,370.2
KB Home KBH 11.5 7,797.5
Ryland Group Inc. RYL 11.3 3,816.0
Tera Tech Inc. TTEK NA 831.7
ENERGY/UTILITIES
American States Water Co (H) AWR 28.3 541.9
Capstone Turbine Corp. CPST NA 157.1
Edison International EIX 14.9 13,247.5
Mercury Air Group Inc. MAX NA 11.2
Occidental Petroleum Corp. (H) OXY 10.5 33,178.4
Pacific Energy Partners LP PPX 25.0 1,027.2
Southwest Water Co SWWC 56.9 262.2
Unocal Corp. UCL 13.9 17,657.7
FINANCIAL SERVICES
Alliance Bancshare/CA ABNS 19.9 80.8
Anworth Mortgage Asset Corp. ANH 8.4 443.4
Ares Capital Corp. ARCC NA 430.9
Broadway Financial Corp./Del BYFC 12.9 18.6
Cathay General Bancorp CATY 17.6 1,721.4
Center Financial Corp. CLFC 24.5 416.9
Countrywide Financial Corp. CFC 10.5 21,627.8
City National Corp./Beverly Hills CA CYN 17.0 3,602.3
East West Bancorp Inc. EWBC 20.7 1,844.4
First American Bank/Rosemead CA FTAB 24.1 58.3
1st Century Regional Bancorp/ FCNA NA 52.5
Los Angeles CA (H)
First Regional Bancorp/ FRGB 18.6 336.1
Los Angeles GA (H)
FirstFed Financial Corp. FED 15.4 1,039.7
Foothill Independent Bancorp FOOT 17.7 172.9
Fremont General Corp. FMT 5.3 2,026.9
Hanmi Financial Corp. (H) HAFC 18.3 931.6
IndyMac Bancorp Inc. (H) NOE 11.8 2,759.6
Mission Valley Bank MVBS NA 28.1
Nara Bancorp Inc. NARA 17.6 374.7
National Mercantile Bancorp MBLA 20.2 46.6
PFF Baneorp Inc, PFB 16.8 773.5
Paula Financial PFCO 11.1 11.2
Saehan Bancorp SAEB NA 113.4
Santa Fe Financial Corp. SFEF NA 20.0
Wilshire Bancorp Inc. WlBC 19.2 439.7
HEALTH CARE
DaVita Inc. DVA 20.5 4,421.4
First Consulting Group mc, FCGI 166.7 121.7
Health Net Inc. HNT 16.2 4,325.1
Herbalife Ltd (H) HLF NA 1,668.4
Hemacare Corp. HEMA 7.7 10.5
Molina Healthcare Inc. (L) MOH 10.6 618.4
Universal Detection Technology UDTT NA $9.0
Primedex Health Systems Inc. PMDX NA 14.4
Prospect Medical Holdings Inc. CI A PZZ NA 24.3
Specialty Laboratories Inc. SP NA 202.1
INSURANCE
Mercury General Corp. MCY 11.8 3,090.9
SCPIE Holdings Inc. (H) SKP NA 124.9
21st Century Insurance Group TW 15.2 1,316.3
Unico American Corp. UNAM 8.4 49.5
Wesce Financial Corp. WSC 55.2 2,515.1
Zenith National Insurance Corp. ZNT 14.6 1,487.3
INTERNET
AdStar Inc. ADST NA 20.4
Artistdirect inc. ARTD NA 10.5
Compumed Inc. CMPD NA 6.5
Dial-Thru International Corp. DTIX NA 4.4
Digital Insight Corp. DGIN 32.5 828.2
Homestore Inc. HOMS NA 382.9
j2 Global Communications Inc. JCOM 25.3 954.3
Napster Inc. NAPS NA 216.0
Stamps.com Inc. STMP 68.3 389.5
United Online Inc. UNTD 11.4 710.7
Valueclick Inc. VCLK 12.8 1,040.3
Youbet.com Inc. UBET 70.8 179.5
MEDIA/LEISURE/ENTERTAINMENT
Daily Journal Corp. DJCO 14.4 56.0
DTS Inc. DTSI 29.1 348.8
DIRECTVGroup Inc./The DTV NA 21,492.2
DreamWorks Animation SKG Inc. (L) DWA NA 2,367.7
Walt DisneyCo DIS 22.3 52,727.0
Entravision Communications Corp. EVC NA 1,056.3
Intermix Media Inc. MIX NA 407.2
Image Entertainment Inc. DISK 12.6 64.4
WPT Enterprises Inc. WPTE NA 428.9
National Lampoon Inc. NLPN NA 13.0
Point.360 PTSX 20.0 28.0
Salem Communications Corp. SALM 37.8 549.1
Sports Club Inc. SCY NA 28.8
Univision Communications Inc. UVN 36.8 9,030.9
MISC. MANUFACTURING
Avery Dennison Corp. AVY 18.1 6,196.9
Coastcast Corp. COCA NA 18.1
EMAK Worldwide Inc. EMAK NA 58.6
Farmer Bros Co FARM NA 369.4
Flamemaster Corp. FAME 10 6.9
Jakks Pacific Inc. JAKK 7.7 467.5
Magnetek Inc. MAC 152.5 87.2
Material Technologies Inc. MTNA NA 199.7
Mattel Inc. MAT 15.1 7,512.3
Overhill Farms Inc. (H) OFI 37.7 61.4
Panavision Inc. PVlS NA 177.2
Reinhold Industries Inc. RNHDA 14.2 89.9
Rotonics Manufacturing Inc. RMI 20.8 37.4
Small World Kids Inc. SWKD NA 26.0
Tag-It Pacific Inc. TAG NA 41.4
3D Systems Corp. TDSC 80.1 352.2
Virco Manufacturing VIR NA 95.6
MISC. SERVICES
American Reprographics Co (H) ARP NA 777.6
Cadiz Inc. CDZl NA 200.7
Computer Sciences Corp. CSC 15.6 8,376.4
Electro Rent Corp. ELRC 16.4 354.4
Enova Systems Inc. (L) ENOV NA 40.3
Hilton Hotels Corp. HLT 31.4 9,229.5
PC Mall Inc. MALL NA 49.4
Korn/Ferry International KFY 22.1 793.9
Learning Tree International Inc. LTRE 125.0 210.8
NetSol Technologies Inc. NTWK NA 26.8
Neptune Society Inc./The NPTI NA 16.5
On Assignment Inc. ASGN NA 136.0
National Technical SYS Inc. NTSC 27.5 49.9
PeopleSupport Inc. PSPT NA 176.7
UTI Worldwide Inc. UTIW 30.7 2,161.8
VCA Antech Inc. WOOF 27.6 1,929.6
REAL ESTATE
Alexandria Real Estate Equities Inc. (H) ARE 35.9 1,701.1
Arden Realty Inc. (H) ARI 72.6 2,664.0
CB Richard Ellis Group Inc. CBG 23.9 3,219.2
Health Care Property Investors Inc. HCP 27.4 3,759.6
Intergroup Corp. INTG NA 37.5
Kilroy Realty Corp. (H) KRC 92.3 1,493.9
Kennedy-Wilson Inc. (H) KWlC 16.9 78.8
LTC Properties Inc. LTC 15.1 498.3
Macerich Co/The MAC 54.6 4,098.4
Maguire Properties Inc. MPC 267.7 1,276.1
Public Storage Inc. PSA 41.0 9,090.9
PS Business Parks Inc. PSB 56.9 1,008.1
Reading International Inc. RDI NA 164.1
Thomas Properties Group Inc. (H) TPGI NA 415.5
RESTAURANTS/RETAIL/GROCERY STORES
Arden Group Inc. ARDNA 15.6 306.2
Big 5 Sporting Goods Corp. DGFVE 16.7 596.5
California Pizza Kitchen Inc. (H) CPKI 30.4 627.7
Cheesecake Factory/The CAKE 37.2 2,799.5
Grill Concepts Inc. (H) GRIL 42.7 24.1
Guitar Center Inc. (H) GTRC 25.6 1,672.0
IHOP Corp. IHP 20.8 803.4
99 Cents Only Stores NON 29.9 851.4
Smart & Final Inc. SMF 15.9 433.7
Sport Chalet Inc. SPCH 20.2 115.0
Worldwide Restaurant Concepts Inc. SZ NA 180.8
SOFTWARE
Activision Inc. (H) ATVI 28.2 3,873.9
CaminoSoft Corp. (H) CMSF NA 10.8
Cash Technologies Inc. TQ NA 15.8
Jamdat Mobile Inc. JMDT NA 720.1
Peerless Systems Corp. PRLS NA 60.2
Seebeyond Technology Corp. SBYN 140.33 361.2
THQ Inc. (H) THQI 25.22 1,398.3
COPYRIGHT 2005 CBJ, L.P.
No portion of this article can be reproduced without the express written permission from the copyright holder.
Copyright 2005, Gale Group. All rights reserved. Gale Group is a Thomson Corporation Company.
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