The LABJ stock index: tracking 200 selected Los Angeles County-based companies.
THE LABJ STOCK INDEX TRACKING 200 SELECTED LOS ANGELES
COUNTY-BASED COMPANIES
Company May 30 1-Wk
Name Ticker Close % Chg
AEROSPACE/DEFENSE
Aerovironment Inc. AVAV $21.21 -0.6%
Ducommun Inc. DCO 25.06 -5.6%
HI Shear Technology Corp. HSR 10.40 -3.7%
Northrop Grumman Corp. NOC 75.76 -0.1%
Teledyne Technologies Inc. TDY 46.01 -0.4%
APPAREL
Blue Holdings Inc. BLUE 1.56 0.7%
Cherokee Inc. (H) CHKE 47.15 3.0%
Guess ? Inc. GES 43.00 3.1%
HOT Topic Inc. HOTT 10.82 -6.8%
Innovo Group Inc. INNO 1.15 -1.7%
K-Swiss Inc. KSWS 28.82 -1.2%
Skechers U.S.A. Inc. SKX 32.07 -3.9%
Tarrant Apparel Group TAGS 1.34 -0.9%
True Religion Apparel Inc. TRLG 17.71 9.3%
AUTOMOTIVE/PLASTICS/METALS
Earl Scheib Inc. ESHB 3.64 1.1%
Fuel Systems Solutions Inc. FSYS 16.55 -4.2%
Keystone Automotive Industries Inc. KEYS 40.47 3.9%
Motorcar Parts of America Inc. MPAA 12.78 3.1%
Reliance Steel & Aluminum Co. AS 60.43 0.1%
Superior Industries International Inc. SUP 22.87 -1.5%
US Auto Parts Network Inc. PRTS 7.93 -1.4%
BIOMEDICAL/PHARMACEUTICAL
Abraxis BioScience Inc. ABBI 24.70 -2.9%
Amgen Inc. AMGN 55.26 2.4%
Arrowhead Research Corp. (H) ARWR 7.19 2.4%
Chad Therapeutics Inc. CTU 2.19 21.7%
Clearant Inc. (L) CLRIE 0.03 -60.0%
Cougar Biotechnology Inc. (H) CGRB 26.30 11.4%
CytRx Corp. CYTR 4.08 1.7%
IRIS International Inc. IRIS 13.85 0.1%
MannKind Corp. (L) MNKD 11.92 -3.2%
Natrol Inc. NTOL 3.35 -4.3%
North American Scientific Inc. NASI 1.41 -3.1%
Obagi Medical Products Inc. OMPI 17.53 -9.7%
Physicians Formula Holdings Inc. FACE 18.01 0.4%
Staar Surgical Co. (L) STAA 4.54 -2.2%
COMMUNICATIONS
American Telecom Services Inc. TES 2.73 1.1%
MRV Communications Inc. MRVC 3.35 0.6%
Optical Communication Products Inc. OCPI 1.50 0.7%
OSI Systems Inc. OSIS 26.61 -4.0%
Semtech Corp. SMTC 15.25 -2.8%
COMPUTERS/PERIPHERALS/ELECTRONICS
Advanced Photonix Inc. API 1.68 -1.2%
Aspyra Inc. APY 1.90 -5.0%
Bell Industries Inc. BI 4.25 2.4%
CalAmp Corp. (L) CAMP 4.49 -3.2%
Cogent Inc. COGT 15.05 6.3%
Diodes Inc. DIOD 36.00 -0.4%
Electronic Clearing House Inc. ECHO 12.15 -4.2%
En Pointe Technologies Inc. ENPT 3.51 -2.5%
Gemstar-TV Guide International Inc. GMST 4.68 5.4%
Global e-Point Inc. (L) GEPT 0.35 45.8%
International Rectifier Corp. IRF 34.53 -3.0%
Ixia XXIA 9.29 2.4%
QualstarCorp. QBAK 3.11 1.1%
Taitron Components Inc. TAIT 2.74 5.4%
Trio Tech International TRT 18.94 -8.9%
CONSTRUCTION/ENGINEERING
Ameron International Corp. AMN 78.90 -2.9%
Jacobs Engineering Group Inc. (H) JEC 57.58 3.3%
KB Home KBH 46.66 0.5%
Ryland Group Inc. RYL 46.81 0.0%
Tetra Tech Inc. TTEK 21.90 -3.1%
ENERGY/UTILITIES
American States Water Co. AWR 36.65 -0.5%
BreitBurn Energy Partners LP BBEP 34.40 -0.3%
Capstone Turbine Corp. CPST 0.94 2.2%
Edison International EIX 58.13 -2.7%
Occidental Petroleum Corp. OXY 55.09 1.0%
Southwest Water Co SWWC 13.12 0.2%
FINANCIAL SERVICES
Alliance Bancshares ABNS 16.55 0.3%
American Business Bank AMBZ 23.95 0.0%
Anworth Mortgage Asset Corp. ANH 9.25 -5.3%
Ares Capital Corp. ARCC 18.84 2.6%
Beverly Hills Bancorp Inc. BHBC 7.46 2.6%
Broadway Financial Corp. BYFC 11.01 0.0%
Cathay General Bancorp CATY 33.95 -0.5%
Center Financial Corp. CLFC 17.16 6.7%
Countrywide Financial Corp. CFC 39.67 -2.7%
City National Corp. CYN 77.18 -0.4%
CVB Financial Corp. (L) CVBF 11.46 -2.6%
East West Bancorp Inc. EWBC 40.65 -0.2%
1st Century Bank NA FCNA 7.25 2.1%
First California Financial Group Inc. FCAL 12.80 3.6%
First Regional Bancorp (L) FRGS 25.49 1.1%
FirstFed Financial Corp. FED 64.72 -2.1%
Fremont General Corp. FMT 13.10 31.0%
Hanmi Financial Corp. HAFC 17.43 1.2%
IndyMac Bancorp Inc. IMB 33.69 -4.0%
K-Fed Bancorp KFED 18.50 -0.2%
Mission Valley Bancorp MVLY 14.75 2.4%
Nara Bancorp Inc. (L) NARA 16.12 0.1%
PFF Bancorp Inc. PFB 30.00 2.3%
Paula Financial PFCO 2.55 -7.3%
Preferred Bank PFBC 38.87 0.3%
Saehan Bancorp SAEB 11.50 -2.1%
Wilshire Bancorp Inc. WIBC 12.72 0.2%
HEALTH CARE
DaVita Inc. DVA 55.34 2.8%
First Consulting Group Inc. FCGI 9.09 0.8%
Heath Net Inc. HNT 58.00 -0.1%
Herbalife Ltd. HLF 40.30 0.3%
Hemacare Corp. (L) HEMA 1.79 -10.5%
Hythiam Inc. HYTM 7.88 1.0%
Molina Healthcare Inc. MOH $31.75 -2.5%
Patient Safety Technologies Inc. PSTX 1.40 -9.7%
Prospect Medical Holdings Inc. PZZ 5.20 20.9%
RadNet Inc. (H) RDNT 6.77 3.5%
VCA Antech Inc. WOOF 38.86 -2.6%
INSURANCE
Mercury General Corp. MCY 56.24 -0.7%
SCPIE Holdings Inc. (L) SKP 21.80 1.3%
21st Century Insurance Group TW 21.80 -0.1%
Unico American Corp. UNAM 11.66 1.7%
Wesco Financial Corp. WSC 427.00 -0.9%
Zenith National Insurance Corp. ZNT 48.25 -2.2%
INTERNET
AdStar Inc. ADST 1.74 -9.8%
Artistdirect Inc. ARTD 2.15 7.5%
Compumed Inc. (H) CMPD 0.65 124.1%
Rapid Link Inc. RPID 0.06 0.0%
Move Inc. MOVE 4.25 -3.2%
J2 Global Communications Inc. JCOM 32.39 -0.2%
Napster Inc. NAPS 3.72 -0.3%
Stamps.com Inc. STMP 13.67 -0.6%
United Online Inc. (H) UNTO 17.00 4.2%
Valueclick Inc. VCLK 33.44 -4.5%
Youbet.com Inc. UBET 2.74 -2.1%
MEDIA/LEISURE/ENTERTAINMENT
Crown Media Holdings Inc. (H) CRWN 7.36 10.2%
Daily Journal Corp. DJCO 40.22 0.0%
DTS Inc. DTSI 22.74 2.2%
DIRECTV Group Inc. DTV 23.46 -0.6%
DreamWorks Animation SKG Inc. DWA 29.89 3.7%
Walt Disney Co. DIS 35.91 -1.0%
Entravision Communications Corp. EVC 9.95 5.3%
Image Entertainment Inc. DISK 4.27 -0.2%
Live Nation Inc. LYV 20.47 1.8%
WPT Enterprises Inc. WPTE 4.53 -0.2%
National Lampoon Inc. NLN 1.93 1.6%
Point.360 PTSX 5.69 -0.9%
Salem Communications Holding Corp. SALM 12.46 -0.1%
Sports Club Inc. SCYL 1.60 3.2%
Warner Music Group Corp. WMG 16.70 -1.6%
MANUFACTURING
Advanced Engine Technologies Inc. AENG 0.15 -25.0%
Avery Dennison Corp. AVY 64.69 0.8%
Cherokee International Corp. CHRK 4.93 7.6%
Western Metals Corp. WTLC 0.41 2.5%
EMAK Worldwide Inc. EMAK 3.55 -18.8%
Farmer Bros Co. FARM 22.56 -3.0%
Flamemaster Corp. FAME 5.47 3.2%
Hansen Natural Corp. HANS 40.05 2.2%
Jakks Pacific Inc. (H) JAKK 26.84 6.7%
Magnetek Inc. MAG 5.09 5.4%
Material Technologies Inc. MTTG 1.38 -1.4%
Mattel Inc. MAT 27.68 -4.7%
Overkill Farms Inc. OFI 5.63 -0.7%
Small World Kids Inc. SMWK 1.05 0.0%
Tag-It Pacific Inc. TAG 0.75 -17.6%
Virco Manufacturing VIR 6.20 1.8%
MISC. SERVICES
American Reprographics Co. ARP 30.48 -0.1%
Cadiz Inc. CDZI 22.79 -3.0%
Computer Sciences Corp. CSC 56.68 -1.8%
Electro Rent Corp. ELRC 14.56 1.7%
Enova Systems Inc. ENA 6.88 18.2%
Hilton Hotels Corp. HLT 34.46 0.6%
House of Taylor Jewelry Inc. HOTJ 1.54 -23.0%
PC Mall Inc. MALL 12.46 6.5%
Korn/Ferry International KFY 25.33 -0.7%
Learning Tree International Inc. (H) LTRE 13.14 6.2%
NetSol Technologies Inc. NTWK 1.64 -3.0%
On Assignment Inc. ASGN 11.04 1.7%
National Technical SYS Inc. NTSC 6.50 0.0%
PeopleSupport Inc. PSPT 11.85 -5.7%
UTi Worldwide Inc. UTIW 28.55 4.3%
REAL ESTATE
Alexandria Real Estate Equities Inc. ARE 105.24 2.4%
CB Richard Ellis Group Inc. CBG 37.35 -1.0%
Douglas Emmett Inc. DEI 26.55 3.8%
Health Care Property Investors Inc. HCP 32.99 3.7%
Intergroup Corp. INTG 19.98 8.0%
Kilroy Realty Corp. KRC 74.25 1.8%
Kennedy-Wilson Inc. KWIC 33.00 0.0%
LTC Properties Inc. LTC 24.02 -1.6%
Macerich Co. MAC 89.21 2.8%
Maguire Properties Inc. MPG 36.15 3.0%
Menuelo Maddux Properties Inc. MMPI 8.19 -0.8%
Public Storage Inc. PSA 89.40 5.1%
PS Business Parks Inc. PSB 67.64 2.2%
Reading International Inc. RDI 9.23 -1.3%
Thomas Properties Group Inc. TPGI 16.83 -2.2%
RESTAURANTS/RETAIL/GROCERY STORES
Arden Group Inc. ARDNA 131.27 -0.1%
Big 5 Sporting Goods Corp. BGFV 24.50 -2.4%
California Pizza Kitchen Inc. CPKI 36.25 -0.4%
Cheesecake Factory CAKE 28.15 -0.2%
CKE Restaurants Inc. CKR 20.79 -1.1%
Grill Concepts Inc. GRIL 7.18 -5.5%
Guitar Center Inc. (H) GTRC 53.50 11.3%
Ihop Corp. IHP 58.65 -0.3%
99 Cents Only Stores NDN 14.20 -2.5%
Smart & Final Inc. SMF 21.97 0.0%
Sport Chalet Inc. SPCHB 10.74 3.5%
SOFTWARE
Activision Inc. ATVI 19.45 1.8%
CaminoSoft Corp. CMSF 0.18 5.3%
Cash Technologies Inc. TQ 0.86 -10.9%
Guidance Software Inc. GUID 13.19 0.3%
Peerless Systems Corp. PRLS 2.47 -13.9%
Simulations Plus Inc. SLIP 12.70 2.2%
THQ Inc. THQI 33.87 0.3%
Company YTD 52-Wk
Name % Chg % Chg
AEROSPACE/DEFENSE
Aerovironment Inc. NA NA
Ducommun Inc. 9.5% 28.3%
HI Shear Technology Corp. 14.3% 14.0%
Northrop Grumman Corp. 11.9% 16.8%
Teledyne Technologies Inc. 14.7% 32.7%
APPAREL
Blue Holdings Inc. 4.0% -73.1%
Cherokee Inc. (H) 9.9% 24.3%
Guess ? Inc. 35.6% 115.4%
HOT Topic Inc. -18.9% -19.9%
Innovo Group Inc. 64.3% 57.5%
K-Swiss Inc. -6.2% 8.1%
Skechers U.S.A. Inc. -3.7% 23.7%
Tarrant Apparel Group -9.0% -25.7%
True Religion Apparel Inc. 15.7% 7.9%
AUTOMOTIVE/PLASTICS/METALS
Earl Scheib Inc. 2.8% -6.7%
Fuel Systems Solutions Inc. -25.0% -14.2%
Keystone Automotive Industries Inc. 19.1% 1.0%
Motorcar Parts of America Inc. -13.1% 3.9%
Reliance Steel & Aluminum Co. 53.5% 53.8%
Superior Industries International Inc. 18.7% 26.8%
US Auto Parts Network Inc. NA NA
BIOMEDICAL/PHARMACEUTICAL
Abraxis BioScience Inc. -9.7% -13.3%
Amgen Inc. -19.1% -17.3%
Arrowhead Research Corp. (H) 64.2% 40.4%
Chad Therapeutics Inc. -0.9% -16.1%
Clearant Inc. (L) -89.1% -97.0%
Cougar Biotechnology Inc. (H) NA NA
CytRx Corp. 113.6% 202.2%
IRIS International Inc. 9.5% -0.7%
MannKind Corp. (L) -27.7% -35.6%
Natrol Inc. 56.5% 46.3%
North American Scientific Inc. 22.6% -24.6%
Obagi Medical Products Inc. 70.0% NA
Physicians Formula Holdings Inc. -3.6% NA
Staar Surgical Co. (L) -35.2% -41.4%
COMMUNICATIONS
American Telecom Services Inc. -17.8% -22.0%
MRV Communications Inc. -5.4% 10.2%
Optical Communication Products Inc. -8.5% -27.2%
OSI Systems Inc. 27.1% 37.7%
Semtech Corp. 16.7% -2.9%
COMPUTERS/PERIPHERALS/ELECTRONICS
Advanced Photonix Inc. -27.0% -18.8%
Aspyra Inc. 4.4% -13.6%
Bell Industries Inc. 11.8% 70.0%
CalAmp Corp. (L) -46.8% -55.1%
Cogent Inc. 36.7% -2.0%
Diodes Inc. 1.5% 5.2%
Electronic Clearing House Inc. -34.0% -6.8%
En Pointe Technologies Inc. -23.2% 125.0%
Gemstar-TV Guide International Inc. 16.7% 38.1%
Global e-Point Inc. (L) -18.6% -83.6%
International Rectifier Corp. -10.4% -17.4%
Ixia -3.2% -8.8%
Qualstar Corp. -9.1% -1.3%
Taitron Components Inc. 17.6% 19.7%
Trio Tech International 68.4% 198.3%
CONSTRUCTION/ENGINEERING
Ameron International Corp. 3.3% 40.4%
Jacobs Engineering Group Inc. (H) 41.2% 49.6%
KB Home -9.0% -9.6%
Ryland Group Inc. -14.3% -6.3%
Tetra Tech Inc. 21.1% 27.3%
ENERGY/UTILITIES
American States Water Co. -5.1% -0.8%
BreitBurn Energy Partners LP 42.7% NA
Capstone Turbine Corp. -24.0% -69.4%
Edison International 27.8% 51.5%
Occidental Petroleum Corp. 12.8% 14.4%
Southwest Water Co -4.7% 2.6%
FINANCIAL SERVICES
Alliance Bancshares -1.2% 2.2%
American Business Bank -7.9% -0.5%
Anworth Mortgage Asset Corp. -2.7% 19.0%
Ares Capital Corp. -1.4% 10.8%
Beverly Hills Bancorp Inc. -10.0% -19.0%
Broadway Financial Corp. 4.9% 5.8%
Cathay General Bancorp -1.6% -5.3%
Center Financial Corp. -28.4% -26.5%
Countrywide Financial Corp. -6.5% 3.5%
City National Corp. 8.4% 7.2%
CVB Financial Corp. (L) -12.8% -20.9%
East West Bancorp Inc. 14.8% 3.0%
1st Century Bank NA -13.6% -23.7%
First California Financial Group Inc. -6.9% -12.6%
First Regional Bancorp (L) -25.2% -11.2%
FirstFed Financial Corp. -3.4% 11.7%
Fremont General Corp. -19.2% -35.8%
Hanmi Financial Corp. -22.6% -6.8%
IndyMac Bancorp Inc. -25.4% -25.4%
K-Fed Bancorp -1.9% 33.6%
Mission Valley Bancorp 0.0% 3.5%
Nara Bancorp Inc. (L) -22.9% -14.3%
PFF Bancorp Inc. -13.1% -11.2%
Paula Financial 9.4% -4.9%
Preferred Bank -3.0% 9.5%
Saehan Bancorp -28.1% -27.1%
Wilshire Bancorp Inc. -32.9% -26.2%
HEALTH CARE
DaVita Inc. -2.7% 7.8%
First Consulting Group Inc. -33.9% 3.4%
Heath Net Inc. 19.2% 37.8%
Herbalife Ltd. 0.3% 7.8%
Hemacare Corp. (L) -36.1% -23.8%
Hythiam Inc. -14.7% 16.4%
Molina Healthcare Inc. -2.3% -15.7%
Patient Safety Technologies Inc. -19.5% -50.7%
Prospect Medical Holdings Inc. -16.1% -10.0%
RadNet Inc. (H) 46.5% 162.4%
VCA Antech Inc. 20.7% 28.1%
INSURANCE
Mercury General Corp. 6.7% 1.2%
SCPIE Holdings Inc. (L) -16.6% -6.8%
21st Century Insurance Group 23.5% 46.5%
Unico American Corp. -10.9% 0.2%
Wesco Financial Corp. -7.2% 10.3%
Zenith National Insurance Corp. 2.9% 21.8%
INTERNET
AdStar Inc. -24.3% 62.6%
Artistdirect Inc. -8.5% -37.7%
Compumed Inc. (H) 124.1% 16.1%
Rapid Link Inc. -15.4% -65.6%
Move Inc. -22.9% -26.0%
J2 Global Communications Inc. 18.9% 27.1%
Napster Inc. 2.5% 13.4%
Stamps.com Inc. -13.2% -54.1%
United Online Inc. (H) 28.0% 43.3%
Valueclick Inc. 41.5% 109.4%
Youbet.com Inc. -25.7% -44.5%
MEDIA/LEISURE/ENTERTAINMENT
Crown Media Holdings Inc. (H) 102.8% 71.2%
Daily Journal Corp. -5.3% 0.6%
DTS Inc. -6.0% 24.0%
DIRECTV Group Inc. -5.9% 34.8%
DreamWorks Animation SKG Inc. 1.4% 16.0%
Walt Disney Co. 4.8% 18.9%
Entravision Communications Corp. 21.0% 28.2%
Image Entertainment Inc. 22.4% 14.8%
Live Nation Inc. -8.6% -9.6%
WPT Enterprises Inc. 17.1% -8.9%
National Lampoon Inc. -13.1% 4.2%
Point.360 58.5% 145.3%
Salem Communications Holding Corp. 4.3% -12.3%
Sports Club Inc. 0.0% 39.1%
Warner Music Group Corp. -27.2% -36.1%
MANUFACTURING
Advanced Engine Technologies Inc. -66.7% -26.8%
Avery Dennison Corp. -4.8% 9.9%
Cherokee International Corp. 22.3% -8.2%
Western Metals Corp. 57.7% 2.5%
EMAK Worldwide Inc. -39.8% -45.4%
Farmer Bros Co. 5.7% 14.2%
Flamemaster Corp. 18.9% 6.4%
Hansen Natural Corp. 18.9% -10.7%
Jakks Pacific Inc. (H) 22.9% 42.7%
Magnetek Inc. -9.9% 92.1%
Material Technologies Inc. -50.7% -95.4%
Mattel Inc. 22.2% 65.6%
Overkill Farms Inc. 98.2% 86.4%
Small World Kids Inc. -25.0% -16.0%
Tag-It Pacific Inc. -27.2% 23.0%
Virco Manufacturing -20.5% 35.1%
MISC. SERVICES
American Reprographics Co. -8.5% -9.1%
Cadiz Inc. -0.7% 41.3%
Computer Sciences Corp. 6.2% 1.9%
Electro Rent Corp. -12.8% -5.9%
Enova Systems Inc. 122.6% 56.4%
Hilton Hotels Corp. -1.3% 25.4%
House of Taylor Jewelry Inc. -45.0% -48.3%
PC Mall Inc. 18.2% 92.6%
Korn/Ferry International 10.3% 28.6%
Learning Tree International Inc. (H) 47.8% 49.0%
NetSol Technologies Inc. 20.6% -15.0%
On Assignment Inc. -6.0% -4.1%
National Technical SYS Inc. -4.8% -15.0%
PeopleSupport Inc. -43.7% -8.9%
UTi Worldwide Inc. -4.5% 4.6%
REAL ESTATE
Alexandria Real Estate Equities Inc. 4.8% 24.3%
CB Richard Ellis Group Inc. 12.5% 50.2%
Douglas Emmett Inc. -0.2% NA
Health Care Property Investors Inc. -10.4% 26.6%
Intergroup Corp. 7.4% 28.8%
Kilroy Realty Corp. -4.8% 12.3%
Kennedy-Wilson Inc. 45.1% 106.3%
LTC Properties Inc. -12.0% 12.8%
Macerich Co. 3.1% 29.8%
Maguire Properties Inc. -9.6% 13.0%
Menuelo Maddux Properties Inc. NA NA
Public Storage Inc. -8.3% 23.1%
PS Business Parks Inc. -4.3% 28.8%
Reading International Inc. 11.7% 14.0%
Thomas Properties Group Inc. 5.1% 29.9%
RESTAURANTS/RETAIL/GROCERY STORES
Arden Group Inc. 6.0% 38.2%
Big 5 Sporting Goods Corp. 0.3% 22.1%
California Pizza Kitchen Inc. 8.8% 24.1%
Cheesecake Factory 14.4% -5.1%
CKE Restaurants Inc. 13.0% 28.3%
Grill Concepts Inc. 138.5% 113.7%
Guitar Center Inc. (H) 17.7% 11.1%
Ihop Corp. 11.3% 23.6%
99 Cents Only Stores 16.7% 29.6%
Smart & Final Inc. 16.2% 28.4%
Sport Chalet Inc. 18.3% 36.8%
SOFTWARE
Activision Inc. 12.8% 54.7%
CaminoSoft Corp. -60.0% -58.1%
Cash Technologies Inc. -20.8% 17.1%
Guidance Software Inc. -15.3% NA
Peerless Systems Corp. -9.2% -59.2%
Simulations Plus Inc. 119.0% 408.0%
THQ Inc. 4.2% 51.5%
Company P.E. Mkt. Cap
Name Ratio (millions)
AEROSPACE/DEFENSE
Aerovironment Inc. NA $400.4
Ducommun Inc. 1680.0% 258.7
HI Shear Technology Corp. 2480.0% 70.5
Northrop Grumman Corp. 1680.0% 26,145.5
Teledyne Technologies Inc. 2060.0% 1,608.5
APPAREL
Blue Holdings Inc. NA 40.7
Cherokee Inc. (H) 12.0 416.9
Guess ? Inc. 32.1 4,007.5
HOT Topic Inc. 28.3 478.8
Innovo Group Inc. NA 47.4
K-Swiss Inc. 14.6 998.5
Skechers U.S.A. Inc. 18.4 1,459.7
Tarrant Apparel Group 7.6 40.9
True Religion Apparel Inc. 16.9 415.2
AUTOMOTIVE/PLASTICS/METALS
Earl Scheib Inc. 33.10 16.0
Fuel Systems Solutions Inc. 31.80 250.3
Keystone Automotive Industries Inc. 22.40 661.0
Motorcar Parts of America Inc. NA 107.0
Reliance Steel & Aluminum Co. 11.70 4,606.7
Superior Industries International Inc. NA 608.6
US Auto Parts Network Inc. NA 236.6
BIOMEDICAL/PHARMACEUTICAL
Abraxis BioScience Inc. 35.8 4,104.7
Amgen Inc. 14.2 64,082.0
Arrowhead Research Corp. (H) NA 256.4
Chad Therapeutics Inc. NA 22.3
Clearant Inc. (L) NA 4.0
Cougar Biotechnology Inc. (H) NA 404.9
CytRx Corp. NA 354.2
IRIS International Inc. 58.20 252.0
MannKind Corp. (L) NA 875.2
Natrol Inc. 67.00 47.4
North American Scientific Inc. NA 41.3
Obagi Medical Products Inc. NA 382.2
Physicians Formula Holdings Inc. NA 250.8
Staar Surgical Co. (L) NA 133.0
COMMUNICATIONS
American Telecom Services Inc. NA 17.8
MRV Communications Inc. NA 422.0
Optical Communication Products Inc. NA 170.8
OSI Systems Inc. NA 451.8
Semtech Corp. 35.5 1,107.2
COMPUTERS/PERIPHERALS/ELECTRONICS
Advanced Photonix Inc. NA 32.1
Aspyra Inc. NA 20.5
Bell Industries Inc. NA 36.6
CalAmp Corp. (L) 16.6 106.1
Cogent Inc. 50.2 1,424.6
Diodes Inc. 19.4 943.0
Electronic Clearing House Inc. NA 83.4
En Pointe Technologies Inc. 8.4 25.1
Gemstar-TV Guide International Inc. 22.3 2,003.2
Global e-Point Inc. (L) NA 6.8
International Rectifier Corp. 17.1 2,503.9
Ixia 68.8 630.1
QualstarCorp. NA 38.1
Taitron Components Inc. 137.0 15.2
Trio Tech International 17.7 61.1
CONSTRUCTION/ENGINEERING
Ameron International Corp. 14.0 718.8
Jacobs Engineering Group Inc. (H) 29.8 6,866.0
KB Home 6.7 4,168.0
Ryland Group Inc. 6.9 1,968.3
Tetra Tech Inc. 28.8 1,272.3
ENERGY/UTILITIES
American States Water Co. 26.6 625.3
BreitBurn Energy Partners LP NA 756.0
Capstone Turbine Corp. NA 135.3
Edison International 17.0 18,939.4
Occidental Petroleum Corp. 11.6 45,934.8
Southwest Water Co 27.9 315.7
FINANCIAL SERVICES
Alliance Bancshares 15.6 102.0
American Business Bank 14.4 77.5
Anworth Mortgage Asset Corp. NA 421.9
Ares Capital Corp. 14.1 1,309.1
Beverly Hills Bancorp Inc. 16.2 140.1
Broadway Financial Corp. 12.1 18.0
Cathay General Bancorp 14.8 1,737.5
Center Financial Corp. 11.7 285.9
Countrywide Financial Corp. 10.2 23,539.9
City National Corp. 16.4 3,764
CVB Financial Corp. (L) 14.1 953.6
East West Bancorp Inc. 16.4 2,482.0
1st Century Bank NA 362.5 70.9
First California Financial Group Inc. 12.1 147.8
First Regional Bancorp (L) 8.6 313.7
FirstFed Financial Corp. 8.4 1,069.2
Fremont General Corp. 5.9 1,020.0
Hanmi Financial Corp. 13.5 851.0
IndyMac Bancorp Inc. 7.7 2,479.2
K-Fed Bancorp 52.9 258.4
Mission Valley Bancorp NA 28.8
Nara Bancorp Inc. (L) 13.1 421.2
PFF Bancorp Inc. 13.3 738.4
Paula Financial 10.2 16.5
Preferred Bank 16.7 405.1
Saehan Bancorp NA 119.6
Wilshire Bancorp Inc. 11.2 373.6
HEALTH CARE
DaVita Inc. 20.6 5,827.3
First Consulting Group Inc. 12.1 244.3
Heath Net Inc. 18.7 6,510.6
Herbalife Ltd. 18.3 2,895.3
Hemacare Corp. (L) 11.9 15.2
Hythiam Inc. NA 350.5
Molina Healthcare Inc. 20.5 $896.1
Patient Safety Technologies Inc. NA 13.9
Prospect Medical Holdings Inc. 24.8 41.3
RadNet Inc. (H) NA 233.5
VCA Antech Inc. 31.6 3,266.1
INSURANCE
Mercury General Corp. 14.6 3,075.4
SCPIE Holdings Inc. (L) 15.5 219.5
21st Century Insurance Group 20.0 1,916.8
Unico American Corp. 5.7 65.3
Wesco Financial Corp. 33.3 3,040.2
Zenith National Insurance Corp. 7.1 1,787.4
INTERNET
AdStar Inc. NA 35.2
Artistdirect Inc. NA 21.9
Compumed Inc. (H) NA 16.0
Rapid Link Inc. NA 2.8
Move Inc. 99.3 658.7
J2 Global Communications Inc. 28.9 1,599.0
Napster Inc. NA 167.4
Stamps.com Inc. 19.8 299.7
United Online Inc. (H) 17.7 1,134.5
Valueclick Inc. 47.1 3,338.1
Youbet.com Inc. 37.9 115.2
MEDIA/LEISURE/ENTERTAINMENT
Crown Media Holdings Inc. (H) NA 771.2
Daily Journal Corp. 24.1 60.3
DTS Inc. 374.6 413.6
DIRECTV Group Inc. 19.7 28,710.1
DreamWorks Animation SKG Inc. 30.8 3,132.3
Walt Disney Co. 20.0 71,160.3
Entravision Communications Corp. 76.5 1,036.0
Image Entertainment Inc. NA 92.1
Live Nation Inc. NA 1,341.2
WPT Enterprises Inc. 56.6 92.3
National Lampoon Inc. NA 15.7
Point.360 189.7 56.8
Salem Communications Holding Corp. 33.7 297.2
Sports Club Inc. NA 31.0
Warner Music Group Corp. NA 2,496.8
MANUFACTURING
Advanced Engine Technologies Inc. NA 5.1
Avery Dennison Corp. 16.8 6,892.7
Cherokee International Corp. NA 95.4
Western Metals Corp. NA 3.1
EMAK Worldwide Inc. NA 20.9
Farmer Bros Co. 68.4 362.7
Flamemaster Corp. 13.3 6.9
Hansen Natural Corp. 42.3 3,606.9
Jakks Pacific Inc. (H) 10.8 755.4
Magnetek Inc. NA 152.0
Material Technologies Inc. NA 147.4
Mattel Inc. 18.3 10,887.7
Overkill Farms Inc. 14.8 86.5
Small World Kids Inc. NA 5.7
Tag-It Pacific Inc. 37.5 13.9
Virco Manufacturing 11.5 89.2
MISC. SERVICES
American Reprographics Co. 25.8 1,386.7
Cadiz Inc. NA 270.9
Computer Sciences Corp. 17.1 9,818
Electro Rent Corp. 19.2 377.6
Enova Systems Inc. NA 102.0
Hilton Hotels Corp. 26.7 13,431
House of Taylor Jewelry Inc. NA 62.1
PC Mall Inc. 23.5 154.7
Korn/Ferry International 20.1 1,081.4
Learning Tree International Inc. (H) NA 216.8
NetSol Technologies Inc. NA 32.2
On Assignment Inc. 36.8 387.9
National Technical SYS Inc. 38.2 57.2
PeopleSupport Inc. 16.5 279.4
UTi Worldwide Inc. 29.7 2,816.9
REAL ESTATE
Alexandria Real Estate Equities Inc. 48.5 3,101.8
CB Richard Ellis Group Inc. 23.2 8,540.4
Douglas Emmett Inc. NA 3,053.4
Health Care Property Investors Inc. 50.8 6,796.6
Intergroup Corp. NA 47.0
Kilroy Realty Corp. 54.1 2,427.9
Kennedy-Wilson Inc. 26.4 187.3
LTC Properties Inc. 19.1 568.3
Macerich Co. 234.8 6,394.3
Maguire Properties Inc. NA 1,699.0
Menuelo Maddux Properties Inc. NA 702.8
Public Storage Inc. NA 16,023.2
PS Business Parks Inc. 89.0 1,442.8
Reading International Inc. 31.8 207.6
Thomas Properties Group Inc. NA 680.1
RESTAURANTS/RETAIL/GROCERY STORES
Arden Group Inc. 17.2 414.9
Big 5 Sporting Goods Corp. 17.3 556.0
California Pizza Kitchen Inc. 35.2 702.7
Cheesecake Factory 27.3 2,025.8
CKE Restaurants Inc. 25.7 1,310.7
Grill Concepts Inc. 13.8 46.8
Guitar Center Inc. (H) 21.3 1,580.7
Ihop Corp. 23.8 1,022.4
99 Cents Only Stores 101.4 993.7
Smart & Final Inc. 37.9 703.2
Sport Chalet Inc. 19.2 148.7
SOFTWARE
Activision Inc. 74.8 5,510.4
CaminoSoft Corp. NA 2.6
Cash Technologies Inc. NA 19.2
Guidance Software Inc. NA 294.7
Peerless Systems Corp. 123.5 42.5
Simulations Plus Inc. 82.47 98.0
THQ Inc. 36.0 2,221.9
COPYRIGHT 2007 CBJ, L.P.
No portion of this article can be reproduced without the express written permission from the copyright holder.
Copyright 2007, Gale Group. All rights reserved. Gale Group is a Thomson Corporation Company.
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