Posted: April 25th, 2025
What can you say about changes in non-audit fees between 2000 and 2003? What do you think explains such changes? Do you see any patterns in such changes? That is, does the non-audit fee change more for certain types of firms (e.g., small clients versus large clients, clients in certain industries, clients with certain auditors, etc.)?
Notes: I have attached two excel files with the data of Audit and Non-Audit fees in 2000 and 2003, please note that this assignment is just about non-audit fees.
audit-data1586228901
Name
CIK
SIC2000
Auditor2000
BigN2000
AuditFees2000
NonAuditFees2000
Assets2000
FYE2000
K TRON INTERNATIONAL INC
20
3823
5
1
200,000
71,000
54,421,000
12/30/00
ABBOTT LABORATORIES
1800
2834
5
1
3,800,000
6,200,000
15,283,254,000
12/31/00
ACMAT CORP
2062
6351
4
1
128,000
39,700
112,216,000
12/31/00
ACME UNITED CORP
2098
3420
2
1
140,000
22,000
21,118,215
12/31/00
ADAMS RESOURCES & ENERGY, INC.
2178
5172
5
1
286,500
20,254
448,044,000
12/31/00
BK Technologies Corp
2186
3663
2
1
136,788
0
18,422,000
12/31/00
ADVANCED MICRO DEVICES INC
2488
3674
2
1
1,500,000
1,900,000
5,767,735,000
12/31/00
AIRBORNE INC /DE/
3000
4513
3
1
238,700
49,522
1,745,919,000
12/31/00
AKORN INC
3116
2834
3
1
215,200
133,960
96,518,000
12/31/00
AMSOUTH BANCORPORATION
3133
6022
2
1
870,000
3,988,000
38,935,998,464
12/31/00
Matson, Inc.
3453
4400
3
1
499,600
301,200
1,666,012,000
12/31/00
ALEXANDERS INC
3499
6798
3
1
146,000
135,600
403,305,000
12/31/00
Cheniere Energy, Inc.
3570
4924
1
1
61,950
24,500
34,665,618
12/31/00
ALLEGHENY ENERGY, INC
3673
4911
1
1
770,000
2,216,700
7,697,019,904
12/31/00
ALLEN TELECOM INC
3721
3663
3
1
265,234
284,838
473,022,000
12/31/00
ALLIED DEFENSE GROUP INC
3952
3480
6
0
129,000
111,000
87,757,200
12/31/00
Allis Chalmers Energy Inc.
3982
1389
1
1
38,200
0
2,128,000
12/31/00
ALPINE GROUP INC /DE/
4164
3357
5
1
125,000
155,000
2,094,391,000
12/31/00
RECYCLING ASSET HOLDINGS, INC.
4187
5090
8
0
85,000
44,000
19,805,168
12/31/00
Howmet Aerospace Inc.
4281
3350
1
1
5,300,000
7,200,000
31,691,000,000
12/31/00
HESS CORP
4447
2911
2
1
2,415,000
6,696,000
10,274,000,000
12/31/00
AMERICAN BILTRITE INC
4611
3089
2
1
565,700
151,900
365,263,000
12/31/00
AMERICAN ELECTRIC POWER CO INC
4904
4911
3
1
2,958,000
6,178,000
54,548,000,000
12/31/00
AMERICAN EXPRESS CO
4962
6199
2
1
7,400,000
25,000,000
154,423,000,000
12/31/00
AFLAC INC
4977
6321
4
1
1,190,560
518,491
37,232,000,000
12/31/00
WYETH
5187
2834
5
1
5,619,030
10,587,700
21,092,499,456
12/31/00
AMERICAN INTERNATIONAL GROUP INC
5272
6331
1
1
14,914,100
10,512,700
306,577,000,000
12/31/00
Unum Group
5513
6321
2
1
1,874,050
2,665,920
40,363,900,000
12/31/00
AT&T CORP
5907
4813
1
1
7,860,000
48,365,000
242,223,005,696
12/31/00
AMERICAN VANGUARD CORP
5981
2870
7
0
136,000
82,000
66,090,900
12/31/00
AMPCO PITTSBURGH CORP
6176
3561
3
1
206,235
244,396
244,464,000
12/31/00
American Airlines Group Inc.
6201
4512
2
1
1,025,000
2,834,000
26,213,000,000
12/31/00
ANALOG DEVICES INC
6281
3674
2
1
764,000
1,237,000
4,411,337,000
10/28/00
ANDREA ELECTRONICS CORP
6494
3663
5
1
89,000
139,936
47,272,866
12/31/00
OUTDOOR SPORTS GEAR, INC.
6720
3949
2
1
464,462
301,130
419,284,000
12/31/00
APACHE CORP
6769
1311
5
1
1,259,000
2,740,000
7,481,950,000
12/31/00
COMFORCE CORP
6814
7363
4
1
175,000
55,000
283,414,016
12/31/00
APPLIED MATERIALS INC /DE
6951
3674
1
1
795,020
3,080,230
10,545,730,000
10/29/00
TRECORA RESOURCES
7039
2911
6
0
64,000
0
57,598,695
12/31/00
SOUTHWESTERN ENERGY CO
7332
1311
5
1
145,000
287,625
705,378,000
12/31/00
ARROW ELECTRONICS INC
7536
5065
2
1
1,311,000
1,994,400
7,604,541,000
12/31/00
ARTS WAY MANUFACTURING CO INC
7623
3523
4
1
86,825
12,195
10,707,403
11/30/00
ASSOCIATED BANC-CORP
7789
6022
4
1
288,000
452,048
13,128,394,000
12/31/00
ASTRONICS CORP
8063
3728
2
1
46,800
33,960
67,020,000
12/31/00
ATLANTIC AMERICAN CORP
8177
6311
5
1
278,000
144,000
375,777,000
12/31/00
AUTO GRAPHICS INC
8598
7374
7
0
73,140
21,243
8,152,697
12/31/00
MEDICORE INC
8643
8090
100
0
125,000
35,000
41,428,400
12/31/00
Avery Dennison Corp
8818
2670
1
1
3,000,000
16,200,000
2,699,100,000
12/30/00
AMERICAN LOCKER GROUP INC
8855
2540
2
1
74,450
40,715
15,582,599
12/31/00
AVON PRODUCTS INC
8868
2844
1
1
3,000,000
8,800,000
2,811,300,000
12/31/00
BADGER METER INC
9092
3824
2
1
129,000
46,000
98,710,000
12/31/00
BADGER PAPER MILLS INC
9096
2621
6
0
67,000
40,000
43,357,000
12/31/00
BKF CAPITAL GROUP INC
9235
6282
2
1
186,000
31,800
133,249,000
12/31/00
MICHAEL BAKER CORP
9263
8741
1
1
315,100
345,451
133,357,000
12/31/00
BALCHEM CORP
9326
2800
4
1
82,500
43,100
23,222,000
12/31/00
BALDOR ELECTRIC CO
9342
3621
2
1
150,000
102,000
464,977,984
12/30/00
Protective Insurance Corp
9346
6331
2
1
148,200
43,400
552,164,000
12/31/00
BALL Corp
9389
3411
1
1
1,260,000
2,177,000
2,649,800,000
12/31/00
BANDAG INC
9534
3011
2
1
628,500
1,561,200
714,549,000
12/31/00
BANK OF NEW YORK CO INC
9626
6022
2
1
1,300,000
4,100,000
77,113,999,360
12/31/00
BANTA CORP
9801
2750
5
1
225,000
383,000
854,524,032
12/30/00
BARD C R INC /NJ/
9892
3841
5
1
1,024,000
1,947,000
1,089,200,000
12/31/00
BARNES GROUP INC
9984
3490
1
1
703,200
1,318,160
636,941,000
12/31/00
BASSETT FURNITURE INDUSTRIES INC
10329
2511
5
1
271,000
848,000
346,680,000
11/25/00
BAUSCH & LOMB INC
10427
3851
1
1
1,193,000
3,534,000
3,085,900,032
12/30/00
BAXTER INTERNATIONAL INC
10456
3841
1
1
3,100,000
28,300,000
8,733,000,000
12/31/00
BEMIS CO INC
11199
2670
1
1
602,200
191,335
1,888,643,000
12/31/00
BERKLEY W R CORP
11544
6331
4
1
1,450,000
285,000
5,022,070,000
12/31/00
BETHLEHEM CORP
11856
3567
7
0
75,000
6,090
13,045,000
5/31/00
BIO-RAD LABORATORIES, INC.
12208
3826
5
1
826,000
665,000
646,278,000
12/31/00
Aikido Pharma Inc.
12239
8731
6
0
68,500
10,000
13,451,258
12/31/00
BLACK & DECKER CORP
12355
3540
2
1
2,455,000
3,839,000
4,089,700,096
12/31/00
LEXINGTON PRECISION CORP
12570
3060
2
1
187,000
47,000
110,289,000
12/31/00
BOEING CO
12927
3721
3
1
10,500,000
24,300,000
42,028,000,000
12/31/00
MAPLEBY HOLDINGS MERGER Corp
12978
5110
5
1
1,411,000
1,215,000
5,266,923,000
12/31/00
BRESLER & REINER INC
14073
6513
5
1
95,000
0
136,523,000
12/31/00
BRISTOL MYERS SQUIBB CO
14272
2834
1
1
2,800,000
22,939,000
17,578,000,000
12/31/00
BROWN TOM INC /DE
14803
1311
5
1
269,772
2,400
629,534,976
12/31/00
BRUNSWICK CORP
14930
3510
5
1
1,491,900
3,277,900
3,396,500,000
12/31/00
BUREAU OF NATIONAL AFFAIRS INC
15393
2711
4
1
145,400
72,113
371,000,000
12/31/00
BURKE MILLS INC
15486
2200
232
0
61,500
0
23,994,301
12/30/00
BUTLER MANUFACTURING CO
15840
3448
5
1
264,000
240,100
447,998,016
12/31/00
CAMCO FINANCIAL CORP
16614
6036
6
0
96,605
66,890
1,037,859,968
12/31/00
A. M. Castle & Co.
18172
5051
5
1
416,000
115,000
418,851,000
12/31/00
CATERPILLAR INC
18230
3531
1
1
6,700,000
16,200,000
28,464,000,000
12/31/00
SYNOVUS FINANCIAL CORP
18349
6021
4
1
727,000
1,157,000
14,908,092,000
12/31/00
CDI CORP
18396
7363
4
1
440,000
693,405
572,028,992
12/31/00
COMPASS BANCSHARES INC
18568
6021
5
1
303,837
1,036,110
19,992,199,168
12/31/00
CENTRAL NATURAL RESOURCES INC
18605
6792
4
1
32,500
17,800
8,584,503
12/31/00
CENTRAL VERMONT PUBLIC SERVICE CORP
18808
4911
5
1
261,678
340,691
539,838,016
12/31/00
CENTURY REALTY TRUST
18914
6798
2
1
44,950
20,700
47,821,100
12/31/00
CENTURYLINK, INC
18926
4813
4
1
1,350,000
15,114,000
6,393,290,000
12/31/00
CERADYNE INC
18937
3990
5
1
108,000
28,100
38,463,000
12/31/00
Cybrdi, Inc.
19002
2836
147
0
33,200
0
3,037,000
10/31/00
CHAMPION INDUSTRIES INC
19149
2750
2
1
147,000
23,000
71,559,199
10/31/00
CHAPARRAL RESOURCES INC
19252
1311
2
1
241,000
96,000
70,156,000
12/31/00
CHEMED CORP
19584
8082
1
1
337,600
91,170
421,375,000
12/31/00
TCF FINANCIAL CORP
19612
6021
2
1
221,500
113,500
3,047,388,000
12/31/00
JPMORGAN CHASE & CO
19617
6021
1
1
21,300,000
84,200,000
715,348,000,000
12/31/00
CANAL Corp
19731
2650
1
1
826,000
1,497,000
1,540,899,968
12/31/00
CHESAPEAKE UTILITIES CORP
19745
4923
1
1
148,000
125,423
210,699,503
12/31/00
CHICAGO RIVET & MACHINE CO
19871
3540
1
1
133,000
219,000
31,157,119
12/31/00
CHUBB CORP
20171
6331
2
1
1,800,000
2,400,000
25,026,699,264
12/31/00
CHURCHILL DOWNS Inc
20212
7948
1
1
105,517
335,508
470,004,000
12/31/00
ChyronHego Corp
20232
7330
1
1
246,000
142,000
65,828,000
12/31/00
CINCINNATI FINANCIAL CORP
20286
6331
3
1
700,000
1,136,740
13,287,091,000
12/31/00
FRONTIER COMMUNICATIONS CORP
20520
4813
4
1
1,525,000
2,304,000
6,955,006,000
12/31/00
AMBASE CORP
20639
6512
1
1
35,000
0
53,102,000
12/31/00
CLARCOR INC.
20740
3714
1
1
463,971
156,050
501,930,000
12/2/00
ALL AMERICAN GROUP INC
21212
1520
1
1
171,000
260,300
296,446,016
12/31/00
COCA COLA CO
21344
2080
2
1
5,500,000
24,200,000
20,834,000,000
12/31/00
THINKENGINE NETWORKS, INC.
21438
3661
2
1
157,200
40,000
32,998,000
12/31/00
COHERENT INC
21510
3826
3
1
788,000
1,490,000
744,836,000
9/30/00
COHU INC
21535
3825
2
1
269,061
86,727
231,495,000
12/31/00
COLGATE PALMOLIVE CO
21665
2844
5
1
4,299,000
964,800
7,252,300,000
12/31/00
COMMERCE BANCSHARES INC /MO/
22356
6022
4
1
300,900
1,029,630
11,115,117,000
12/31/00
COMMUNICATIONS SYSTEMS INC
22701
3661
3
1
111,000
77,650
93,198,054
12/31/00
COMPUDYNE CORP
22912
3812
3
1
171,000
27,000
58,589,000
12/31/00
COMPUTER HORIZONS CORP
23019
7373
6
0
410,000
1,106,000
269,396,000
12/31/00
ARTESYN TECHNOLOGIES INC
23071
3679
5
1
581,000
1,076,000
497,815,008
12/29/00
COMPUTER TASK GROUP INC
23111
7371
3
1
142,000
152,000
162,367,000
12/31/00
COMSTOCK RESOURCES INC
23194
1311
5
1
130,000
20,050
489,930,000
12/31/00
CT COMMUNICATIONS INC /NC
23259
4813
4
1
140,970
145,451
259,522,000
12/31/00
CONE MILLS CORP
23304
2211
10
0
221,500
130,344
423,216,000
12/31/00
CONOLOG CORP
23503
3679
154
0
26,000
0
6,700,000
7/31/00
Con-way Inc.
23675
4213
5
1
1,107,000
3,704,500
3,244,940,032
12/31/00
CONSOLIDATED TOMOKA LAND CO
23795
6500
5
1
51,000
127,350
63,353,914
12/31/00
CITIZENS, INC.
24090
6311
4
1
156,600
93,400
267,842,364
12/31/00
CONTINENTAL MATERIALS CORP
24104
3270
1
1
160,000
67,000
68,250,000
12/30/00
COOPER TIRE & RUBBER CO
24491
3011
2
1
1,404,000
743,000
2,922,009,000
12/31/00
MOLSON COORS BEVERAGE CO
24545
2082
1
1
623,182
1,675,830
1,629,304,000
12/31/00
CORNING INC /NY
24741
3357
1
1
2,500,000
13,300,000
17,525,700,000
12/31/00
COUSINS PROPERTIES INC
25232
6798
5
1
234,500
352,350
1,115,752,000
12/31/00
COX COMMUNICATIONS INC /DE/
25305
4841
3
1
1,446,000
2,144,300
24,720,824,000
12/31/00
CRANE CO /DE/
25445
3490
3
1
916,000
679,000
1,143,851,000
12/31/00
CRAWFORD & CO
25475
6411
5
1
563,000
229,000
458,351,000
12/31/00
COSTA INC
25793
3950
3
1
425,075
417,560
127,841,000
12/30/00
CTS CORP
26058
3672
1
1
665,000
909,000
672,929,000
12/31/00
CUMMINS INC
26172
3510
5
1
2,450,000
7,375,000
4,500,000,000
12/31/00
CURTISS WRIGHT CORP
26324
3590
1
1
375,000
234,468
409,416,000
12/31/00
DANA INC
26780
3714
1
1
3,900,000
25,500,000
11,236,000,000
12/31/00
PHOENIX FOOTWEAR GROUP INC
26820
3140
3
1
98,900
10,500
38,424,401
12/31/00
DATAMARINE INTERNATIONAL INC
27075
3663
6
0
63,650
1,600
5,726,248
9/30/00
DECORATOR INDUSTRIES INC
27613
2390
225
0
42,210
26,790
18,855,400
12/30/00
DEL LABORATORIES INC
27751
2844
4
1
403,000
345,000
190,778,000
12/31/00
DELTA AIR LINES, INC.
27904
4512
5
1
1,920,000
3,970,000
20,566,000,000
6/30/00
DELUXE CORP
27996
2780
3
1
464,000
1,594,000
649,469,000
12/31/00
GRISTEDES FOODS INC
28325
5411
7
0
190,000
2,870
96,446,096
12/3/00
DETREX CORPORATION
28372
2800
3
1
232,500
53,200
52,017,075
12/31/00
COMERICA INC /NEW/
28412
6021
2
1
537,000
1,690,000
41,985,185,000
12/31/00
DEVCON INTERNATIONAL CORP
28452
7381
4
1
205,000
7,750
72,136,096
12/31/00
DIEBOLD NIXDORF, Inc
28823
3578
4
1
663,935
2,980,820
1,585,427,000
12/31/00
DIODES INC /DEL/
29002
3674
13
0
103,000
170,000
112,950,000
12/31/00
DIXIE GROUP INC
29332
2273
2
1
664,000
671,906
423,206,000
12/30/00
RR Donnelley & Sons Co
29669
2750
5
1
1,176,220
1,431,930
3,914,202,000
12/31/00
DONNKENNY INC
29693
2330
3
1
212,000
288,000
91,343,000
12/31/00
DOVER Corp
29905
3530
1
1
1,746,330
4,641,960
4,892,116,000
12/31/00
DOW CHEMICAL CO /DE/
29915
2821
3
1
6,745,000
12,224,000
27,645,000,000
12/31/00
DOW JONES & CO INC
29924
2711
1
1
1,238,000
10,986,500
1,362,060,032
12/31/00
OMNICOM GROUP INC.
29989
7311
5
1
9,027,550
8,011,020
9,891,499,000
12/31/00
DUCOMMUN INC /DE/
30305
3728
1
1
315,000
343,987
150,364,000
12/31/00
DEX ONE Corp
30419
7310
1
1
366,000
1,400,000
365,284,000
12/31/00
DUPONT E I DE NEMOURS & CO
30554
2820
1
1
7,000,000
30,000,000
39,426,000,000
12/31/00
FLOWSERVE CORP
30625
3561
1
1
1,519,900
1,191,590
2,110,143,000
12/31/00
Wendy’s Co
30697
5810
3
1
910,000
1,653,000
1,067,424,000
12/31/00
Dynamics Research Corp
30822
7373
5
1
270,000
20,000
78,702,000
12/31/00
COBRA ELECTRONICS CORP
30828
3663
3
1
134,095
64,678
77,905,000
12/31/00
EARTH SCIENCES INC
30985
3564
74
0
39,000
17,131
11,343,000
12/31/00
EASTERN CO
31107
3420
2
1
167,000
74,000
84,857,070
12/30/00
EASTMAN KODAK CO
31235
3861
1
1
3,800,000
10,800,000
14,212,000,000
12/31/00
ECHELON CORP
31347
3576
5
1
152,500
138,700
175,676,000
12/31/00
EDO CORP
31617
3812
2
1
205,000
179,000
214,254,000
12/31/00
PERKINELMER INC
31791
3826
5
1
1,720,270
3,391,450
2,260,179,000
12/31/00
EL PASO ELECTRIC CO /TX/
31978
4911
4
1
463,000
1,813,000
1,616,544,000
12/31/00
L-3 COMMUNICATIONS TITAN CORP
32258
7373
5
1
735,000
2,264,000
959,438,016
12/31/00
THREE FIVE SYSTEMS INC
32272
3679
5
1
207,400
478,900
267,843,008
12/31/00
EMPIRE DISTRICT ELECTRIC CO
32689
4911
1
1
127,500
221,150
829,739,008
12/31/00
EQUIFAX INC
33185
7320
5
1
970,000
5,177,000
2,069,637,000
12/31/00
EQT Corp
33213
1311
2
1
550,000
2,148,000
2,455,850,000
12/31/00
EQUITY OIL CO
33325
1311
1
1
71,000
0
47,797,700
12/31/00
ESCALADE INC
33488
3949
18
0
86,080
305,348
69,475,745
12/30/00
KINGSTONE COMPANIES, INC.
33992
6331
299
0
71,000
2,000
4,430,623
12/31/00
DMC Global Inc.
34067
3390
5
1
67,000
38,900
27,667,455
12/31/00
EXXON MOBIL CORP
34088
2911
1
1
18,300,000
65,300,000
149,000,000,000
12/31/00
FAB INDUSTRIES TRUST
34136
2250
2
1
135,000
30,000
151,412,000
12/2/00
RELIABILITY INC
34285
3825
2
1
95,000
71,000
31,278,000
12/31/00
FARREL CORP
34645
3559
2
1
152,700
141,830
43,932,000
12/31/00
1ST SOURCE CORP
34782
6022
2
1
142,000
131,800
3,182,181,000
12/31/00
FEDERAL MOGUL CORP/MI/
34879
3714
2
1
2,000,000
9,100,000
10,255,000
12/31/00
FEDERAL REALTY INVESTMENT TRUST
34903
6798
5
1
202,350
316,729
1,621,079,000
12/31/00
FERRO CORP
35214
2851
4
1
1,205,000
2,737,000
1,127,005,000
12/31/00
FIFTH THIRD BANCORP
35527
6022
3
1
563,000
891,000
45,857,000,000
12/31/00
FINANCIAL INDUSTRIES CORP
35733
6311
1
1
216,640
77,742
300,766,016
12/31/00
FIRST FINANCIAL BANKSHARES INC
36029
6022
5
1
221,000
0
1,753,814,214
12/31/00
REGIONS FINANCIAL CORP
36032
6021
2
1
719,000
2,977,000
43,688,300,544
12/31/00
CORELOGIC, INC.
36047
7374
1
1
1,030,000
1,154,820
2,199,737,000
12/31/00
US BANCORP \DE\
36104
6021
2
1
2,200,000
3,100,000
87,336,000,000
12/31/00
TRUSTMARK CORP
36146
6021
5
1
181,900
70,250
6,886,988,000
12/31/00
M&T BANK CORP
36270
6022
1
1
664,000
1,218,000
28,949,456,000
12/31/00
MACKINAC FINANCIAL CORP /MI/
36506
6022
1649
0
70,000
136,000
666,996,000
12/31/00
FIRST REAL ESTATE INVESTMENT TRUST OF NEW JERSEY
36840
6798
22
0
28,325
4,680
96,781,000
10/31/00
FIRST HORIZON NATIONAL CORP
36966
6021
5
1
894,000
249,000
18,555,086,000
12/31/00
WACHOVIA CORP NEW
36995
6021
4
1
7,254,000
24,846,000
254,170,000,000
12/31/00
FIRST VIRGINIA BANKS INC
37032
6022
4
1
305,000
517,372
9,516,469,000
12/31/00
FIRST WEST VIRGINIA BANCORP INC
37049
6022
821
0
25,805
44,779
207,892,992
12/31/00
FLORIDA PUBLIC UTILITIES CO
37643
4931
3
1
103,000
26,029
108,588,000
12/31/00
Alpha Appalachia Holdings, Inc.
37748
1221
2
1
365,000
254,236
2,161,129,984
10/31/00
FMC CORP
37785
2800
4
1
908,000
3,153,000
3,745,900,000
12/31/00
FNB CORP/PA/
37808
6021
2
1
275,000
248,000
3,886,548,000
12/31/00
FOODARAMA SUPERMARKETS, INC.
37914
5411
39
0
113,000
41,000
191,185,000
10/28/00
FORD MOTOR CO
37996
3711
1
1
18,000,000
69,500,000
284,421,000,000
12/31/00
SABINE OIL & GAS CORP
38079
1311
4
1
399,000
2,097,000
1,752,378,000
12/31/00
FRANKLIN ELECTRIC CO INC
38725
3621
3
1
184,400
104,500
197,179,000
12/30/00
Elah Holdings, Inc.
38984
5063
2
1
1,721,380
147,838
8,164,060,160
12/31/00
FRIENDLY ICE CREAM CORP
39135
5812
5
1
212,500
83,370
252,562,000
12/31/00
CULLEN/FROST BANKERS, INC.
39263
6021
2
1
361,800
416,445
7,660,372,000
12/31/00
FROZEN FOOD EXPRESS INDUSTRIES INC
39273
4213
5
1
120,000
13,600
154,728,992
12/31/00
INDEPENDENT BANK CORP /MI/
39311
6022
4
1
170,000
149,000
1,783,791,000
12/31/00
FULLER H B CO
39368
2891
1
1
922,722
1,934,000
1,010,361,000
12/2/00
MIG, INC.
39547
4812
4
1
2,053,000
223,000
736,119,000
12/31/00
AV Homes, Inc.
39677
1531
2
1
297,500
143,210
369,192,000
12/31/00
TEGNA INC
39899
4833
1
1
1,135,150
1,152,180
12,980,411,000
12/31/00
GATEWAY ENERGY CORP/NE
40194
4922
6
0
56,000
15,000
9,560,370
12/31/00
GATX CORP
40211
4700
2
1
1,359,000
807,000
6,263,700,000
12/31/00
GENERAL BINDING LLC
40461
3579
5
1
494,200
2,164,840
761,308,032
12/31/00
GENERAL DYNAMICS CORP
40533
3730
5
1
4,200,000
9,500,000
7,987,000,000
12/31/00
GENERAL ELECTRIC CO
40545
3600
4
1
23,900,000
68,200,000
437,006,000,000
12/31/00
Motors Liquidation Co
40730
3711
3
1
17,000,000
79,000,000
303,100,000,000
12/31/00
GPU INC /PA/
40779
4911
1
1
2,065,000
2,891,000
19,262,500,864
12/31/00
AEROJET ROCKETDYNE HOLDINGS, INC.
40888
3760
2
1
701,000
531,000
1,324,000,000
11/30/00
GENUINE PARTS CO
40987
5013
2
1
1,100,000
2,400,000
4,142,114,000
12/31/00
GEORESOURCES INC
41023
1311
127
0
23,800
0
7,450,290
12/31/00
GEORGIA PACIFIC CORP
41077
2600
5
1
1,975,000
1,783,000
26,364,000,256
12/31/00
GIANT GROUP LTD
41296
9995
7
0
117,125
33,825
5,862,000
12/31/00
GLATFELTER P H CO
41719
2621
3
1
428,900
361,197
1,013,191,000
12/31/00
GOLDEN WEST FINANCIAL CORP /DE/
42293
6035
3
1
521,670
167,956
55,703,998,464
12/31/00
GOLDFIELD CORP
42316
1623
4
1
41,189
5,975
20,228,955
12/31/00
GOODRICH CORP
42542
3760
2
1
1,800,000
5,100,000
5,717,500,000
12/31/00
GOODYEAR TIRE & RUBBER CO /OH/
42582
3011
1
1
4,700,000
9,800,000
13,568,000,000
12/31/00
GORMAN RUPP CO
42682
3561
2
1
197,000
265,000
145,881,000
12/31/00
GRACO INC
42888
3561
3
1
251,000
454,000
237,976,000
12/29/00
GRAY TELEVISION INC
43196
4833
2
1
209,700
119,121
636,771,735
12/31/00
GREAT LAKES CHEMICAL CORP
43362
2890
2
1
1,000,000
3,600,000
2,134,400,000
12/31/00
GREEN MOUNTAIN POWER CORP
43704
4911
5
1
137,419
194,607
316,608,000
12/31/00
GREY GLOBAL GROUP INC
43952
7311
2
1
2,106,150
3,030,010
1,989,319,936
12/31/00
HALLIBURTON CO
45012
1389
5
1
7,400,000
8,000,000
10,103,000,000
12/31/00
HARLAND JOHN H CO
45599
2780
3
1
406,629
1,182,860
522,926,016
12/31/00
HARSCO CORP
45876
8900
1
1
2,210,800
1,192,060
2,180,948,000
12/31/00
HARTE HANKS INC
45919
7331
4
1
180,000
25,200
807,105,000
12/31/00
HARVEY ELECTRONICS INC
46043
5731
2
1
65,000
5,000
12,727,200
10/28/00
HASBRO, INC.
46080
3944
4
1
2,594,000
2,876,000
3,828,459,000
12/31/00
HASTINGS MANUFACTURING CO
46109
3714
7
0
105,664
34,988
33,701,248
12/31/00
BANK OF HAWAII CORP
46195
6022
2
1
555,000
1,360,000
14,013,816,000
12/31/00
HAWTHORNE FINANCIAL CORP
46267
6035
3
1
271,547
217,836
1,753,389,952
12/31/00
HEICO CORP
46619
3724
3
1
191,000
258,000
281,732,000
10/31/00
ABLEST INC
46653
7363
4
1
83,500
145,250
17,212,000
12/31/00
Helmerich & Payne, Inc.
46765
1381
2
1
126,500
128,795
1,259,492,000
9/30/00
HERCULES INC
46989
2890
1
1
2,100,000
8,600,000
5,309,000,192
12/31/00
HERSHEY CO
47111
2060
5
1
821,950
800,019
3,447,764,000
12/31/00
Hill-Rom Holdings, Inc.
47518
3841
1
1
739,209
2,462,950
4,597,000,000
12/2/00
HILTON HOTELS CORP
47580
7011
5
1
900,000
7,700,000
9,139,999,744
12/31/00
DOVER INVESTMENTS CORP
48272
1531
6
0
53,507
15,525
43,245,000
12/31/00
HNI CORP
48287
2522
5
1
450,500
992,985
1,022,470,000
12/30/00
HOUGHTON MIFFLIN CO
48638
2731
2
1
466,000
165,700
1,123,974,000
12/31/00
HUBBELL INC
48898
3670
1
1
643,400
275,200
1,454,500,000
12/31/00
HUMANA INC
49071
6324
1
1
877,800
2,400,500
4,167,000,000
12/31/00
HUNTINGTON BANCSHARES INC/MD
49196
6021
2
1
776,000
877,051
28,599,377,000
12/31/00
Accelerated Technologies Holding Corp.
49397
5063
986
0
26,850
0
135,799
12/31/00
SAUCONY INC
49401
3021
1
1
145,002
50,957
83,285,000
1/5/01
EASTGROUP PROPERTIES INC
49600
6798
4
1
171,500
154,800
666,205,000
12/31/00
Dine Brands Global, Inc.
49754
5812
1
1
116,000
32,882
562,212,000
12/31/00
ILLINOIS TOOL WORKS INC
49826
3560
5
1
3,636,000
8,500,000
9,603,456,000
12/31/00
IMPERIAL INDUSTRIES INC
49930
3290
1
1
67,500
20,500
16,792,000
12/31/00
ANDEAVOR LLC
50104
2911
3
1
726,425
1,079,630
1,543,600,000
12/31/00
FLEETBOSTON FINANCIAL CORP
50341
6021
1
1
8,600,000
26,200,000
219,084,996,608
12/31/00
INFODATA SYSTEMS INC
50420
7372
1
1
63,000
26,640
4,258,000
12/31/00
INITIO INC
50505
5961
5
1
35,000
0
9,738,656
4/30/00
INTEL CORP
50863
3674
2
1
4,056,000
5,890,000
47,945,000,000
12/30/00
FBI WIND DOWN, INC.
50957
2510
4
1
575,000
1,240,000
1,304,839,936
12/31/00
INTERNATIONAL BUSINESS MACHINES CORP
51143
3570
1
1
12,200,000
51,000,000
88,349,000,000
12/31/00
INTERNATIONAL FLAVORS & FRAGRANCES INC
51253
2860
1
1
1,272,000
2,731,000
2,489,033,000
12/31/00
INTERNATIONAL PAPER CO /NEW/
51434
2621
5
1
4,670,000
15,400,000
42,109,000,000
12/31/00
INTERPUBLIC GROUP OF COMPANIES, INC.
51644
7311
1
1
4,600,000
9,300,000
10,238,222,000
12/31/00
CORUS BANKSHARES INC
51939
6021
5
1
170,000
365,000
2,598,469,888
12/31/00
IONICS INC
52466
3559
1
1
581,953
169,979
577,465,984
12/31/00
IRWIN FINANCIAL CORP
52617
6022
1
1
415,688
388,884
2,422,429,000
12/31/00
ISOMET CORP
52708
3690
44
0
80,458
17,068
9,247,981
12/31/00
ANIXTER INTERNATIONAL INC
52795
5063
2
1
493,000
2,757,100
1,686,000,000
12/29/00
RAYONIER INC
52827
6798
5
1
564,359
616,235
2,162,274,000
12/31/00
JEFFERSON PILOT CORP
53347
6311
2
1
1,430,000
873,201
27,320,999,936
12/31/00
JOURNAL CO
54056
2711
2
1
152,482
245,252
689,524,000
12/31/00
FURMANITE CORP
54441
1700
4
1
383,300
13,500
226,643,008
12/31/00
KANSAS CITY SOUTHERN
54480
4011
1
1
312,820
736,589
1,944,500,000
12/31/00
EVERGY KANSAS CENTRAL, INC.
54507
4931
5
1
1,351,070
2,689,380
7,767,209,984
12/31/00
KII Liquidating Inc.
54681
3559
5
1
317,500
80,000
446,723,000
12/31/00
KEANE, INC.
54883
7371
2
1
299,000
677,000
463,600,000
12/31/00
KELLOGG CO
55067
2040
1
1
1,400,000
7,200,000
4,896,300,000
12/31/00
KELLY SERVICES INC
55135
7363
1
1
576,600
552,100
1,089,576,000
12/31/00
KENILWORTH SYSTEMS CORP
55234
7990
749
0
10,000
0
47,859
12/31/00
Investors Heritage Capital Corp
55362
6311
2
1
77,000
152,000
365,936,000
12/31/00
FIRST YEARS INC
55698
3080
3
1
120,000
64,000
71,694,400
12/31/00
KIMBERLY CLARK CORP
55785
2670
3
1
2,970,310
2,895,300
14,479,800,000
12/31/00
NORTH AMERICAN GALVANIZING & COATINGS INC
55805
3470
3
1
119,600
93,100
40,676,000
12/31/00
ENSTAR GROUP INC
55820
6799
3
1
70,400
228,000
93,319,000
12/31/00
KIRBY CORP
56047
4400
4
1
165,000
177,000
749,268,000
12/31/00
LAMSON & SESSIONS CO
57497
3640
2
1
265,500
357,000
320,293,000
12/30/00
SNYDER’S-LANCE, INC.
57528
2052
4
1
161,103
91,195
317,073,000
12/30/00
LEGGETT & PLATT INC
58492
2510
1
1
979,658
2,478,280
3,373,200,000
12/31/00
4Licensing Corp
58592
6794
3
1
195,000
54,125
176,144,000
12/31/00
LIBERTY HOMES INC
59240
2452
8
0
47,255
93,035
69,769,000
12/31/00
VALHI INC /DE/
59255
2810
1
1
1,348,760
467,325
2,256,821,000
12/31/00
VECTOR GROUP LTD
59440
2111
1
1
853,700
360,192
461,975,000
12/31/00
ELI LILLY & Co
59478
2834
2
1
3,200,000
28,900,000
14,690,800,000
12/31/00
LINCOLN ELECTRIC HOLDINGS INC
59527
3540
2
1
554,000
1,360,000
790,279,000
12/31/00
LINCOLN NATIONAL CORP
59558
6311
2
1
2,052,700
6,249,680
99,844,059,000
12/31/00
LOEWS CORP
60086
6331
3
1
6,000,000
10,600,000
70,877,100,000
12/31/00
LOUISIANA-PACIFIC CORP
60519
2400
3
1
622,300
144,761
3,374,700,000
12/31/00
LSB INDUSTRIES INC
60714
2810
2
1
405,000
48,900
192,895,000
12/31/00
LUBRIZOL Corp
60751
2860
3
1
958,993
1,542,530
1,659,490,000
12/31/00
LUFKIN INDUSTRIES INC
60849
3560
5
1
293,000
446,669
235,444,992
12/31/00
CYBEX INTERNATIONAL INC
60876
3949
5
1
207,500
66,500
88,720,000
12/31/00
ADVANCED TECHNICAL PRODUCTS INC
60911
3460
4
1
239,000
18,000
98,306,000
12/31/00
LYDALL INC /DE/
60977
3714
1
1
366,824
475,647
194,964,000
12/31/00
LGL GROUP INC
61004
3679
2
1
461,600
343,202
162,820,000
12/31/00
MANITOWOC CO INC
61986
3531
1
1
240,700
1,854,500
642,530,000
12/31/00
MARSH & MCLENNAN COMPANIES, INC.
62709
6411
3
1
8,302,000
11,583,000
13,769,000,000
12/31/00
MARSHALL & ILSLEY CORP/WI/
62741
6021
5
1
679,000
3,789,000
26,077,700,096
12/31/00
MASCO CORP /DE/
62996
2430
1
1
2,540,000
4,576,000
7,744,000,000
12/31/00
MATTEL INC /DE/
63276
3942
1
1
2,276,180
2,592,030
4,313,397,000
12/31/00
MAUI LAND & PINEAPPLE CO INC
63330
6500
3
1
217,000
599,000
169,951,000
12/31/00
MCCORMICK & CO INC
63754
2090
2
1
800,000
5,100,000
1,659,900,000
11/30/00
MAXXAM INC
63814
800
5
1
1,879,800
564,500
4,504,000,000
12/31/00
MCDONALDS CORP
63908
5812
2
1
2,700,000
6,200,000
21,683,500,000
12/31/00
S&P Global Inc.
64040
7320
2
1
2,200,000
4,900,000
4,931,444,000
12/31/00
MORTON INDUSTRIAL GROUP INC
64247
3089
4
1
420,000
96,000
130,533,000
12/31/00
MCMORAN EXPLORATION CO /DE/
64279
1311
5
1
110,000
288,808
299,324,000
12/31/00
MECHANICAL TECHNOLOGY INC
64463
3829
1
1
95,415
75,645
150,829,218
12/31/00
MELLON FINANCIAL CORP
64782
6021
4
1
2,553,000
10,441,000
50,363,998,208
12/31/00
CVS HEALTH Corp
64803
5912
4
1
778,000
1,568,000
7,949,500,000
12/30/00
MERCANTILE BANKSHARES CORP
64908
6022
1
1
270,800
26,864
8,938,030,080
12/31/00
MERCK SHARP & DOHME CORP.
64978
2834
5
1
4,200,000
2,100,000
39,910,400,000
12/31/00
MERCURY GENERAL CORP
64996
6331
4
1
291,000
48,215
2,142,263,000
12/31/00
MESTEK INC
65195
3585
6
0
164,785
241,589
35,120,000
12/31/00
UNITED CAPITAL CORP /DE/
65358
3490
2
1
100,000
88,000
147,996,000
12/31/00
SIEBERT FINANCIAL CORP
65596
6211
121
0
69,000
45,000
40,636,000
12/31/00
MICROVISION, INC.
65770
3679
1
1
112,173
32,588
56,171,200
12/31/00
ALLTEL CORP
65873
4812
5
1
2,443,000
5,349,420
12,181,999,616
12/31/00
ENTERGY CORP /DE/
65984
4911
1
1
1,437,900
18,030,200
25,565,227,000
12/31/00
MIDDLESEX WATER CO
66004
4941
3
1
107,450
29,280
219,399,959
12/31/00
MIDLAND CO
66025
6331
3
1
253,800
67,800
993,849,984
12/31/00
MILLIPORE CORP /MA
66479
3826
1
1
533,000
1,575,000
874,924,992
12/31/00
MSA Safety Inc
66570
3842
1
1
847,396
231,236
489,683,000
12/31/00
3M CO
66740
3841
1
1
4,500,000
7,200,000
14,522,000,000
12/31/00
ALLETE INC
66756
4931
1
1
1,400,000
1,500,000
2,914,000,000
12/31/00
AQUILA INC
66960
4911
5
1
1,200,000
9,500,000
14,115,600,384
12/31/00
MOCON INC
67279
3829
4
1
50,000
33,000
18,417,600
12/31/00
MONARCH CEMENT CO
67517
3270
5
1
69,000
35,533
96,102,740
12/31/00
MONMOUTH CAPITAL CORP
67618
6500
407
0
9,750
16,300
15,494,500
12/31/00
MONMOUTH REAL ESTATE INVESTMENT CORP
67625
6798
4
1
33,400
13,300
86,003,905
9/30/00
PHARMACIA CORP /DE/
67686
2800
1
1
4,329,000
14,566,000
26,656,000,000
12/31/00
MDU RESOURCES GROUP INC
67716
1400
5
1
444,500
647,544
2,312,959,000
12/31/00
PRESERVER GROUP INC
68480
6331
1
1
313,000
182,000
208,889,242
12/31/00
Motorola Solutions, Inc.
68505
3663
4
1
3,900,000
62,300,000
42,343,000,000
12/31/00
MUELLER PAUL CO
68726
3443
5
1
82,400
352,900
55,687,051
12/31/00
MYERS INDUSTRIES INC
69488
3089
5
1
449,000
288,000
624,796,924
12/31/00
NASH FINCH CO
69671
5140
2
1
227,000
23,950
880,828,032
12/30/00
NASHUA CORP
69680
2670
2
1
520,000
850,000
170,471,008
12/31/00
NATIONAL CITY CORP
69970
6021
2
1
1,800,000
4,100,000
88,534,609,000
12/31/00
GP STRATEGIES CORP
70415
8200
4
1
461,000
26,800
212,578,000
12/31/00
NATIONAL PROPERTIES CORP
70453
6512
265
0
26,028
1,850
24,679,900
12/31/00
NATIONAL RESEARCH CORP
70487
8731
4
1
43,690
20,392
31,637,473
12/31/00
BANK OF AMERICA CORP /DE/
70858
6021
1
1
13,174,500
36,269,600
642,191,000,000
12/31/00
NCR CORP
70866
3578
1
1
2,800,000
5,200,000
5,106,000,000
12/31/00
NEW BRUNSWICK SCIENTIFIC CO INC
71241
3821
4
1
184,000
126,000
43,006,000
12/31/00
BLAIR CORP
71525
5961
2
1
117,150
541,934
356,505,984
12/31/00
Nuvera Communications, Inc.
71557
4813
79
0
43,000
105,000
34,958,288
12/31/00
NEW YORK TIMES CO
71691
2711
3
1
1,316,000
3,101,000
3,606,679,000
12/31/00
NEWPARK RESOURCES INC
71829
3533
5
1
180,000
157,878
507,443,000
12/31/00
NOBLE ENERGY INC
72207
1311
5
1
354,430
217,300
1,879,280,000
12/31/00
NOLAND CO
72243
5070
1
1
185,000
72,652
231,960,000
12/31/00
Vaxart, Inc.
72444
2836
2
1
193,000
172,665
224,487,000
12/30/00
NORTH EUROPEAN OIL ROYALTY TRUST
72633
6792
5
1
21,000
494
2,946,597
10/31/00
EVERSOURCE ENERGY
72741
4911
5
1
972,000
521,300
10,217,149,000
12/31/00
XCEL ENERGY INC
72903
4931
5
1
878,000
7,958,000
21,768,843,000
12/31/00
WELLS FARGO & COMPANY/MN
72971
6021
4
1
4,154,510
37,525,000
272,426,000,000
12/31/00
NORTHWEST NATURAL GAS CO
73020
4924
1
1
137,000
75,710
1,278,713,000
12/31/00
NORTHWESTERN CORP
73088
4931
5
1
915,000
4,863,000
2,898,070,000
12/31/00
NORTHERN TRUST CORP
73124
6022
5
1
864,000
763,000
36,022,300,000
12/31/00
NUCOR CORP
73309
3312
1
1
329,000
226,931
3,721,787,719
12/31/00
OCEANEERING INTERNATIONAL INC
73756
1389
5
1
379,000
232,500
450,976,000
3/31/00
OI CORP
73773
3826
1
1
59,000
15,000
17,904,600
12/31/00
STRATEGIC DISTRIBUTION INC
73822
5080
4
1
165,000
109,200
147,984,992
12/31/00
OHIO CASUALTY CORP
73952
6331
1
1
212,500
341,000
4,489,359,872
12/31/00
OILGEAR CO
74058
3590
4
1
204,000
57,000
84,832,096
12/31/00
UDR, Inc.
74208
6798
2
1
250,000
1,200,000
3,453,957,000
12/31/00
OLD REPUBLIC INTERNATIONAL CORP
74260
6351
1
1
1,179,760
217,550
7,281,100,000
12/31/00
OLIN Corp
74303
2800
4
1
666,000
1,227,000
1,123,000,000
12/31/00
MOORE MEDICAL CORP
74691
5047
1
1
120,940
50,730
45,129,000
12/30/00
ACCEPTANCE INSURANCE COMPANIES INC
74783
6331
3
1
140,000
233,000
963,982,016
12/31/00
OSHKOSH B GOSH INC
75042
2300
2
1
153,675
76,050
158,256,000
12/30/00
OTTER TAIL CORP
75129
4911
3
1
273,000
206,000
722,115,008
12/31/00
OVERSEAS SHIPHOLDING GROUP INC
75208
4412
2
1
368,750
831,000
1,823,913,000
12/31/00
OWENS & MINOR INC/VA/
75252
5047
4
1
186,000
80,840
867,548,000
12/31/00
P&F INDUSTRIES INC
75340
3540
7
0
173,000
27,000
54,152,817
12/31/00
PACCAR INC
75362
3711
2
1
1,200,000
2,300,000
8,270,900,000
12/31/00
Medite Cancer Diagnostics, Inc.
75439
3841
2
1
107,454
6,420
4,575,000
12/31/00
MERCER INTERNATIONAL INC
75659
2611
193
0
171,341
170,824
403,659,008
12/31/00
PACKAGING CORP OF AMERICA
75677
2650
2
1
264,000
817,000
1,942,112,000
12/31/00
PAXAR CORP
75681
2750
5
1
847,000
833,954
603,400,000
12/31/00
PALMETTO REAL ESTATE TRUST
75894
6798
48
0
25,970
0
9,989,054
12/31/00
PARADYNE NETWORKS INC
76174
3670
1
1
176,000
124,000
117,280,000
12/31/00
PARK OHIO HOLDINGS CORP
76282
3460
2
1
411,000
485,200
635,332,000
12/31/00
PARKER DRILLING CO /DE/
76321
1381
1
1
275,000
605,000
1,107,419,000
12/31/00
PATRICK INDUSTRIES INC
76605
2430
10
0
120,000
65,300
102,520,170
12/31/00
PENN ENGINEERING & MANUFACTURING CORP
77106
3452
2
1
250,000
445,000
209,996,000
12/31/00
PENN VIRGINIA CORP
77159
1311
5
1
152,250
83,300
268,766,000
12/31/00
PENNSYLVANIA REAL ESTATE INVESTMENT TRUST
77281
6798
5
1
191,500
305,000
576,570,000
12/31/00
PEOPLES BANCSHARES INC
77371
6036
176
0
151,500
70,650
1,003,435,000
12/31/00
PEPSICO INC
77476
2080
4
1
5,600,000
6,100,000
18,339,000,000
12/30/00
TUTOR PERINI CORP
77543
1540
5
1
251,000
287,816
393,452,000
12/31/00
PDC ENERGY, INC.
77877
1311
4
1
104,970
189,200
187,684,500
12/31/00
PFIZER INC
78003
2834
4
1
8,200,000
9,200,000
33,510,000,000
12/31/00
SoOum Corp.
78311
5190
16
0
29,235
0
10,075,619
12/31/00
PITNEY BOWES INC /DE/
78814
3579
1
1
2,200,000
35,300,000
7,901,266,000
12/31/00
BRINKS CO
78890
4731
4
1
1,661,140
2,556,720
2,478,709,000
12/31/00
PLYMOUTH RUBBER CO INC
79225
3060
1
1
174,500
12,000
51,461,000
12/1/00
BROWN & BROWN, INC.
79282
6411
5
1
128,500
128,500
276,719,000
12/31/00
POLYMER RESEARCH CORP OF AMERICA
79424
8731
159
0
15,000
0
4,163,940
12/31/00
PORTA SYSTEMS CORP
79564
3661
7
0
282,000
91,000
34,174,000
12/31/00
POTLATCH CORP (OLD)
79716
2621
4
1
547,000
46,045
2,542,449,920
12/31/00
PPG INDUSTRIES INC
79879
2851
3
1
1,660,000
2,020,000
9,125,000,000
12/31/00
PRESIDENTIAL LIFE CORP
80124
6311
3
1
195,440
91,000
2,982,429,952
12/31/00
NATIONAL PRESTO INDUSTRIES INC
80172
3480
6
0
81,490
30,230
288,707,000
12/31/00
PRIME HOSPITALITY CORP
80293
7011
2
1
140,000
91,500
1,159,840,000
12/31/00
POWELL INDUSTRIES INC
80420
3613
5
1
246,000
86,900
137,926,000
10/31/00
PROGRESSIVE CORP/OH/
80661
6331
1
1
389,610
279,226
10,051,600,000
12/31/00
Chazak Value Corp.
81050
3577
5
1
120,000
143,000
37,179,000
12/31/00
PUBLIX SUPER MARKETS INC
81061
5411
4
1
200,000
697,000
4,248,045,000
12/30/00
Yuma Energy, Inc.
81318
1311
5
1
30,000
0
2,831,870
12/31/00
QUAKER CHEMICAL CORP
81362
2990
1
1
430,000
90,000
188,161,000
12/31/00
UNITED STATES LIME & MINERALS INC
82020
1400
2
1
75,500
41,058
94,058,000
12/31/00
REFAC OPTICAL GROUP
82788
6794
6
0
80,000
25,375
24,903,000
12/31/00
REGAL BELOIT CORP
82811
3621
5
1
214,100
200,600
789,116,000
12/31/00
RESERVE PETROLEUM CO
83350
1311
6
0
19,550
6,175
8,472,681
12/31/00
MAGSTAR TECHNOLOGIES INC
83490
3821
1
1
28,000
9,000
6,600,000
12/31/00
RJ REYNOLDS TOBACCO HOLDINGS INC
83612
2111
4
1
1,885,380
822,559
15,553,999,872
12/31/00
RLI CORP
84246
6331
4
1
271,500
29,100
1,281,323,000
12/31/00
ROCK OF AGES CORP
84581
3281
4
1
266,000
134,660
135,554,000
12/31/00
ROGERS CORP
84748
2821
2
1
183,000
381,000
221,514,000
12/31/00
ROHM & HAAS CO
84792
2821
1
1
2,300,000
6,100,000
11,267,000,320
12/31/00
ROLLINS INC
84839
7340
5
1
123,000
483,000
298,819,000
12/31/00
RCLC, INC.
84919
2890
251
0
73,300
14,012
15,360,000
12/31/00
WEBFINANCIAL CORP
85149
6159
6
0
67,400
32,400
24,795,000
12/31/00
ROWE COMPANIES
85417
2510
7
0
210,000
142,000
164,584,000
12/3/00
VALPEY FISHER CORP
85608
3829
3
1
60,000
24,420
19,654,100
12/31/00
RUSSELL CORP
85812
2253
2
1
456,208
2,554,160
1,153,159,936
12/30/00
RYDER SYSTEM INC
85961
7510
4
1
1,980,000
13,450,000
5,474,923,000
12/31/00
RYLAND GROUP INC
85974
1531
2
1
456,000
347,876
1,361,340,032
12/31/00
SAFECO CORP
86104
6331
2
1
2,100,000
700,000
31,511,500,800
12/31/00
SAFEGUARD SCIENTIFICS INC
86115
6799
4
1
558,600
661,000
1,648,259,000
12/31/00
SAFEWAY INC
86144
5411
3
1
1,430,000
5,701,000
15,965,299,712
12/30/00
TRAVELERS COMPANIES, INC.
86312
6331
4
1
4,923,460
5,684,140
41,075,000,000
12/31/00
PERRY ELLIS MENSWEAR, LLC
86346
2320
3
1
240,750
37,814
130,548,000
12/30/00
SCAN OPTICS INC
87086
3577
2
1
130,000
149,700
34,436,000
12/31/00
SCHLUMBERGER LIMITED/NV
87347
1389
1
1
4,707,000
8,154,000
17,172,731,000
12/31/00
SCIENTIFIC INDUSTRIES INC
87802
3826
454
0
24,000
2,000
1,690,100
6/30/00
Scott’s Liquid Gold – Inc.
88000
2844
5
1
71,000
26,000
27,004,100
12/31/00
SPX CORP
88205
3540
5
1
1,939,000
4,052,000
3,164,600,000
12/31/00
INTRICON CORP
88790
3670
4
1
237,700
48,100
96,331,140
12/31/00
SERVICE CORP INTERNATIONAL
89089
7200
1
1
2,350,430
6,986,320
12,898,469,000
12/31/00
SL INDUSTRIES INC
89270
3679
5
1
202,455
171,579
113,481,000
12/31/00
MUELLER INDUSTRIES INC
89439
3350
2
1
597,000
1,400,000
910,276,000
12/30/00
SHERWIN WILLIAMS CO
89800
5200
2
1
579,000
736,425
3,750,670,000
12/31/00
SIBONEY CORP
90057
7389
43
0
48,265
23,027
3,427,110
12/31/00
SIGMA ALDRICH CORP
90185
5160
5
1
821,000
1,577,000
1,347,709,952
12/31/00
SILICONIX INC
90283
3674
2
1
335,000
517,200
503,900,992
12/31/00
SIMMONS FIRST NATIONAL CORP
90498
6021
11
0
162,934
70,680
1,912,493,000
12/31/00
PERVASIP CORP
90721
4813
454
0
75,000
30,210
14,866,830
11/30/00
SMITH A O CORP
91142
3630
2
1
282,000
489,000
1,059,176,000
12/31/00
Snap-on Inc
91440
3420
5
1
1,319,000
3,076,000
2,050,400,000
12/30/00
KEYCORP /NEW/
91576
6021
2
1
1,625,000
4,023,000
87,270,000,000
12/31/00
HPT SN HOLDING, INC.
91741
7011
2
1
133,000
45,000
138,312,992
12/31/00
SONOCO PRODUCTS CO
91767
2650
1
1
1,105,000
2,250,000
2,212,611,000
12/31/00
SOUTH JERSEY INDUSTRIES INC
91928
4924
3
1
189,000
92,450
869,979,000
12/31/00
SOUTHERN CO
92122
4911
5
1
4,600,000
16,300,000
31,362,000,000
12/31/00
TRUIST FINANCIAL CORP
92230
6021
5
1
668,000
936,529
66,552,823,000
12/31/00
COLONIAL BANCGROUP INC
92339
6022
1
1
364,000
1,458,000
11,727,637,000
12/31/00
7 ELEVEN INC
92344
5412
1
1
1,084,000
1,186,000
2,742,289,920
12/31/00
SOUTHWEST AIRLINES CO
92380
4512
2
1
245,000
349,500
6,669,572,000
12/31/00
SOUTHWEST WATER CO
92472
4941
4
1
150,300
0
196,652,000
12/31/00
SPECTRUM CONTROL INC
92769
3679
2
1
76,000
62,000
95,223,000
11/30/00
STANDARD MOTOR PRODUCTS, INC.
93389
3714
4
1
511,000
389,000
549,396,000
12/31/00
CHEVRON CORP
93410
2911
1
1
5,000,000
26,200,000
41,264,000,000
12/31/00
SPS TECHNOLOGIES INC
93444
3452
1
1
452,000
1,071,500
810,522,000
12/31/00
STERLING BANCORP
93451
6021
4
1
229,500
309,400
1,270,749,952
12/31/00
STANDARD REGISTER CO
93456
2761
358
0
500,000
0
902,606,000
12/31/00
ENESCO GROUP INC
93542
5190
5
1
466,000
247,000
231,479,008
12/31/00
STANLEY BLACK & DECKER, INC.
93556
3420
2
1
1,000,000
2,200,000
1,884,800,000
12/30/00
STATE STREET CORP
93751
6022
2
1
700,000
7,200,000
69,298,000,000
12/31/00
STEPAN CO
94049
2840
5
1
313,125
363,198
415,049,000
12/31/00
STEWART INFORMATION SERVICES CORP
94344
6361
4
1
459,000
155,000
563,448,000
12/31/00
STOCKERYALE INC
94538
3827
5
1
123,000
34,000
36,981,000
12/31/00
STORAGE TECHNOLOGY CORP
94673
3572
1
1
900,000
3,000,000
1,653,560,064
12/29/00
ALSERES PHARMACEUTICALS INC /DE
94784
2834
1
1
47,000
42,300
20,712,109
12/31/00
STRIDE RITE CORP
94887
3140
1
1
329,000
313,510
352,473,000
12/1/00
STURM RUGER & CO INC
95029
3480
2
1
333,500
18,000
211,101,000
12/31/00
SEQUA CORP /DE/
95301
3724
5
1
1,600,000
1,700,000
1,731,059,968
12/31/00
SUNOCO INC
95304
2911
2
1
503,560
798,522
5,425,999,872
12/31/00
SUPERIOR INDUSTRIES INTERNATIONAL INC
95552
3714
5
1
171,000
80,000
491,664,000
12/31/00
SUPERIOR GROUP OF COMPANIES, INC.
95574
2300
3
1
135,500
6,075
130,039,204
12/31/00
SYNALLOY CORP
95953
3317
2
1
140,525
54,150
73,068,080
12/30/00
Jefferies Financial Group Inc.
96223
6211
1
1
1,692,000
1,467,000
3,143,637,000
12/31/00
RS Legacy Corp
96289
5731
1
1
522,622
572,120
2,576,499,968
12/31/00
TASTY BAKING CO
96412
2050
1
1
213,800
27,700
112,192,000
12/30/00
ADVANTA CORP
96638
6141
5
1
975,000
2,065,000
2,843,470,080
12/31/00
Renewal Fuels, Inc.
96664
6770
1095
0
20,000
2,000
4,193,082
12/31/00
PULSE ELECTRONICS CORP
96763
3679
4
1
736,100
1,170,000
525,020,000
12/29/00
TEJON RANCH CO
96869
6500
2
1
133,532
65,552
98,287,000
12/31/00
TELEFLEX INC
96943
3841
1
1
727,000
545,000
1,401,288,000
12/31/00
MARLTON TECHNOLOGIES INC
96988
7389
1
1
130,000
160,000
63,827,000
12/31/00
TELTRONICS INC
97052
3661
2
1
118,040
54,290
29,531,500
12/31/00
TENNANT CO
97134
3580
4
1
334,000
1,266,000
268,472,000
12/31/00
AMIC Holdings, Inc.
97196
6321
4
1
489,500
437,218
212,306,000
9/30/00
TERADYNE, INC
97210
3825
1
1
529,510
4,843,210
2,355,868,000
12/31/00
TEREX CORP
97216
3537
1
1
1,455,400
1,789,800
1,983,700,000
12/31/00
TEXAS INSTRUMENTS INC
97476
3674
2
1
4,202,000
5,951,000
17,720,000,000
12/31/00
THERMO FISHER SCIENTIFIC INC.
97745
3829
5
1
3,410,000
4,127,000
4,862,977,000
12/30/00
THOMAS & BETTS CORP
97854
3640
4
1
3,600,000
850,000
2,087,760,000
12/31/00
THOMAS INDUSTRIES INC
97886
3640
2
1
186,398
102,613
308,120,000
12/31/00
TIMKEN CO
98362
3562
2
1
899,000
3,367,000
2,564,105,000
12/31/00
TOKHEIM CORP
98559
3580
1
1
1,538,000
3,864,000
461,861,000
11/30/00
TOOTSIE ROLL INDUSTRIES INC
98677
2060
1
1
280,340
282,956
562,442,000
12/31/00
NYFIX INC
99047
7373
3
1
70,000
17,000
57,558,400
12/31/00
TRANS INDUSTRIES INC
99102
3990
6
0
74,400
43,000
34,763,500
12/31/00
REGENCY AFFILIATES INC
99249
3714
154
0
103,826
5,211
37,016,829
12/31/00
21ST CENTURY INSURANCE GROUP
100331
6331
2
1
220,000
568,514
1,338,075,000
12/31/00
United Airlines Holdings, Inc.
100517
4512
5
1
715,000
2,478,170
24,355,000,000
12/31/00
SIERRA MONITOR CORP /CA/
100625
3829
4
1
64,000
0
4,812,312
12/31/00
UNICO AMERICAN CORP
100716
6331
4
1
103,000
35,000
123,945,820
12/31/00
UNION PACIFIC CORP
100885
4011
3
1
1,918,000
1,081,180
30,499,000,000
12/31/00
UNION PLANTERS CORP
100893
6021
1
1
1,500,000
4,450,000
34,720,698,368
12/31/00
UNITED INDUSTRIAL CORP /DE/
101271
3690
2
1
480,500
399,100
248,384,992
12/31/00
UNITED GUARDIAN INC
101295
2844
6
0
35,000
2,500
9,397,395
12/31/00
UMB FINANCIAL CORP
101382
6021
3
1
317,134
420,133
7,866,883,000
12/31/00
MARATHON OIL CORP
101778
1311
1
1
3,665,460
4,902,240
23,401,000,000
12/31/00
UNITED TECHNOLOGIES CORP /DE/
101829
3724
1
1
9,800,000
39,200,000
25,364,000,000
12/31/00
SPRINT Corp
101830
4813
2
1
2,500,000
58,000,000
42,601,000,000
12/31/00
UNIVERSAL ELECTRONICS INC
101984
3651
1
1
172,500
362,145
93,766,058
12/31/00
UNIFAB INTERNATIONAL INC
101990
3730
2
1
110,855
19,800
82,654,000
3/31/00
UNIVEST FINANCIAL Corp
102212
6022
2
1
154,000
354,490
1,204,195,000
12/31/00
VALMONT INDUSTRIES INC
102729
3440
3
1
161,000
192,300
588,164,000
12/30/00
VSE CORP
102752
8711
5
1
139,500
35,500
31,523,000
12/31/00
VEECO INSTRUMENTS INC
103145
3559
2
1
335,000
278,449
423,283,000
12/31/00
QUAKER FABRIC CORP /DE/
103341
2221
5
1
169,500
177,185
246,036,000
12/30/00
V F CORP
103379
2320
1
1
989,000
5,100,000
4,358,156,000
12/30/00
VISHAY INTERTECHNOLOGY INC
103730
3670
2
1
1,300,000
2,900,000
2,783,658,000
12/31/00
VOLT INFORMATION SCIENCES, INC.
103872
7363
2
1
440,000
541,000
744,828,000
11/3/00
ALEXANDERS J CORP
103884
5812
2
1
105,000
99,000
66,370,000
12/31/00
Legacy Vulcan Corp.
103973
1400
3
1
712,000
250,000
3,228,570,112
12/31/00
ALTEVA, INC.
104777
4813
326
0
38,600
6,000
42,012,900
12/31/00
Graham Holdings Co
104889
8200
1
1
860,000
964,292
3,200,743,000
12/31/00
WASHINGTON REAL ESTATE INVESTMENT TRUST
104894
6798
5
1
148,750
198,518
632,047,000
12/31/00
AVISTA CORP
104918
4931
3
1
998,370
268,395
12,563,924,000
12/31/00
WJ COMMUNICATIONS INC
105006
3559
5
1
160,000
1,798,000
170,828,992
12/31/00
WATSCO INC
105016
5070
5
1
380,000
11,000
563,470,000
12/31/00
WAUSAU PAPER CORP.
105076
2621
1649
0
198,010
198,692
948,430,976
12/31/00
WEIS MARKETS INC
105418
5411
2
1
111,000
275,706
1,085,904,000
12/30/00
AG&E HOLDINGS INC.
105608
3663
4
1
100,000
767,000
26,076,000
12/31/00
EMCOR Group, Inc.
105634
1731
5
1
892,800
270,400
1,261,864,000
12/31/00
WENDYS INTERNATIONAL INC
105668
5812
1
1
631,300
969,500
1,957,720,064
12/31/00
WEST PHARMACEUTICAL SERVICES INC
105770
3060
1
1
560,800
346,400
557,400,000
12/31/00
NEW VALLEY CORP
106374
6500
1
1
354,000
166,678
299,256,992
12/31/00
WESTMORELAND COAL Co
106455
1221
4
1
171,400
55,338
139,096,000
12/31/00
WEYCO GROUP INC
106532
5130
5
1
87,500
23,400
91,943,109
12/31/00
WEYERHAEUSER CO
106535
6798
5
1
2,619,960
6,350,880
18,195,000,000
12/31/00
HANDY & HARMAN LTD.
106618
3470
1
1
787,000
1,011,800
913,516,032
12/31/00
WHIRLPOOL CORP /DE/
106640
3630
2
1
2,300,000
11,600,000
6,902,000,000
12/31/00
WHITNEY HOLDING CORP
106926
6021
5
1
270,000
96,775
6,242,079,744
12/31/00
WILLIAMS COMPANIES, INC.
107263
4922
2
1
4,400,000
21,400,000
40,197,000,000
12/31/00
WILSHIRE ENTERPRISES INC
107454
6513
5
1
127,000
0
98,541,000
12/31/00
WISER OIL CO
107874
1311
5
1
160,000
67,050
212,234,000
12/31/00
WRIGLEY WM JR CO
108601
2060
2
1
1,300,000
1,400,000
1,574,740,000
12/31/00
XEROX CORP
108772
3577
4
1
11,300,000
7,500,000
29,475,000,000
12/31/00
Spectrum Brands Holdings, Inc.
109177
3690
1
1
82,500
122,450
261,859,000
12/31/00
ZENITH NATIONAL INSURANCE CORP
109261
6331
1
1
833,895
370,028
1,472,189,952
12/31/00
ZIEGLER COMPANIES INC
109312
6211
5
1
141,000
39,725
124,647,000
12/31/00
ZIONS BANCORPORATION, NATIONAL ASSOCIATION /UT/
109380
6021
2
1
800,000
1,200,000
21,939,443,000
12/31/00
ARBITRON INC
109758
8700
4
1
758,000
2,377,000
107,876,000
12/31/00
INAMED CORP
109831
3842
5
1
700,000
878,000
385,900,000
12/31/00
LEAP TECHNOLOGY INC / DE
110027
6500
2
1
71,000
62,715
5,107,950
12/31/00
FRONTIER OIL CORP /NEW/
110430
2911
5
1
265,000
129,250
588,212,992
12/31/00
WOLVERINE WORLD WIDE INC /DE/
110471
3140
2
1
413,000
691,926
494,568,000
12/30/00
CHITTENDEN CORP /VT/
200138
6022
5
1
185,525
165,000
3,769,860,096
12/31/00
JOHNSON & JOHNSON
200406
2834
1
1
9,300,000
43,100,000
31,321,000,000
12/31/00
CITY NATIONAL CORP
201461
6021
4
1
427,500
1,335,240
9,096,670,208
12/31/00
Aleris International, Inc.
202890
3341
2
1
310,000
43,700
433,671,008
12/31/00
CAPITAL PROPERTIES INC /RI/
202947
6519
320
0
47,000
29,018
18,905,000
12/31/00
ST JUDE MEDICAL, LLC
203077
3845
2
1
517,500
2,504,100
1,532,720,000
12/31/00
METATEC INC
203200
3652
3
1
112,405
83,750
77,332,873
12/31/00
WESBANCO INC
203596
6021
2
1
186,600
80,100
2,310,137,000
12/31/00
KNIGHT RIDDER INC
205520
2711
2
1
773,000
1,490,000
4,243,529,984
12/31/00
AXSYS TECHNOLOGIES INC
206030
3827
5
1
170,000
39,800
73,592,000
12/31/00
Voyager Learning CO
215219
2741
4
1
348,000
573,500
765,739,008
12/30/00
BMC INDUSTRIES INC/MN/
215310
3470
2
1
225,072
247,144
373,804,000
12/31/00
CERES GROUP INC
215403
6311
2
1
623,272
182,650
880,529,024
12/31/00
CHECKPOINT SYSTEMS INC
215419
3669
1
1
1,325,000
1,297,000
872,004,992
12/31/00
Coeur Mining, Inc.
215466
1040
5
1
136,000
111,000
271,377,000
12/31/00
HAVERTY FURNITURE COMPANIES INC
216085
5712
2
1
170,500
138,000
448,163,000
12/31/00
ITT Inc.
216228
3561
5
1
2,784,700
7,829,200
4,611,400,000
12/31/00
MEDIA GENERAL INC
216539
4833
2
1
623,000
288,000
2,561,282,000
12/31/00
APPLICA INC
217084
3634
6
0
559,000
745,000
707,934,976
12/31/00
TEXTRON INC
217346
3720
2
1
4,900,000
10,800,000
16,370,000,000
12/30/00
ARDEN GROUP INC
225051
5411
1
1
166,000
77,500
118,160,000
12/30/00
NEWPORT CORP
225263
3821
2
1
158,000
248,000
531,712,000
12/31/00
HUFFY CORP
225463
3949
4
1
306,500
166,450
180,492,992
12/31/00
PASSUR Aerospace, Inc.
225628
3812
2
1
68,000
36,500
2,348,082
10/31/00
COVANTA HOLDING CORP
225648
4991
4
1
211,000
166,000
210,829,000
12/31/00
COMDIAL CORP
230131
3661
3
1
354,888
533,860
72,954,000
12/31/00
SELECTIVE INSURANCE GROUP INC
230557
6331
4
1
314,500
81,500
2,573,002,000
12/31/00
BAYLAKE CORP
275119
6022
165
0
49,873
38,184
772,300,032
12/31/00
CONNECTICUT WATER SERVICE INC / CT
276209
4941
5
1
84,000
78,290
215,399,000
12/31/00
EVANS & SUTHERLAND COMPUTER CORP
276283
3690
4
1
151,000
506,000
216,078,000
12/31/00
SEIBELS BRUCE GROUP INC
276380
6331
5
1
330,200
312,234
170,666,000
12/31/00
BANCINSURANCE CORP
276400
6331
2
1
47,500
29,631
45,901,000
12/31/00
W.W. GRAINGER, INC.
277135
5000
6
0
494,900
179,310
2,459,601,000
12/31/00
SEMCO ENERGY INC
277158
4924
5
1
354,000
222,000
851,223,000
12/31/00
FEDERAL SIGNAL CORP /DE/
277509
3711
2
1
471,000
254,000
991,118,000
12/31/00
DAVEY TREE EXPERT CO
277638
700
3
1
86,400
112,093
159,257,000
12/31/00
American Retail Group, Inc.
277905
7372
268
0
12,500
0
15,554,300
12/31/00
CSX CORP
277948
4011
2
1
2,345,000
3,207,000
20,491,000,000
12/29/00
INTERNATIONAL SHIPHOLDING CORP
278041
4412
5
1
212,000
90,000
695,176,000
12/31/00
SYMBOL TECHNOLOGIES INC
278352
3577
3
1
647,433
938,036
2,093,200,000
12/31/00
SENSIENT TECHNOLOGIES CORP
310142
2860
3
1
729,000
817,000
1,164,248,000
12/31/00
Merck & Co., Inc.
310158
2834
3
1
2,780,300
2,986,600
10,805,000,000
12/31/00
COMMONWEALTH TELEPHONE ENTERPRISES INC /NEW/
310433
4813
1
1
193,500
220,200
582,844,032
12/31/00
ANHEUSER-BUSCH COMPANIES, LLC
310569
2082
1
1
2,500,000
5,900,000
13,084,499,968
12/31/00
AMERICAN MANAGEMENT SYSTEMS INC
310624
7370
3
1
393,000
3,508
645,900,032
12/31/00
STRYKER CORP
310764
3841
2
1
1,035,000
1,187,000
2,430,800,000
12/31/00
OPTICARE HEALTH SYSTEMS INC
311046
8093
3
1
257,000
121,000
55,513,000
12/31/00
ELSINORE CORP
311049
7990
3
1
62,000
99,539
47,995,000
12/31/00
WESTAMERICA BANCORPORATION
311094
6021
4
1
277,000
113,100
4,031,381,000
12/31/00
MICRO THERAPEUTICS INC
311407
3841
1
1
68,050
65,510
16,602,900
12/31/00
PRE PAID LEGAL SERVICES INC
311657
7200
3
1
220,000
46,690
77,766,000
12/31/00
HMG COURTLAND PROPERTIES INC
311817
6798
7
0
82,000
50,000
31,627,532
12/31/00
POPE & TALBOT INC /DE/
311871
2611
5
1
205,900
100,665
458,187,000
12/31/00
FLORIDA GAMING CORP
312065
7990
451
0
44,935
32,128
22,889,800
12/31/00
TRI CITY BANKSHARES CORP
313337
6022
2
1
71,400
18,100
563,074,933
12/31/00
TXCO Resources Inc
313395
1311
221
0
33,600
34,740
29,205,600
12/31/00
HKN, Inc.
313478
1311
5
1
175,800
139,500
145,347,000
12/31/00
DANAHER CORP /DE/
313616
3823
5
1
465,000
676,000
4,031,679,000
12/31/00
IEXALT INC
313625
7370
203
0
49,946
147,144
4,747,608
8/31/00
HARDINGE INC
313716
3541
2
1
160,905
330,450
283,116,000
12/31/00
CHURCH & DWIGHT CO INC /DE/
313927
2840
3
1
315,000
151,000
455,632,000
12/31/00
SECURITY CAPITAL CORP/DE/
314340
6411
2
1
275,600
47,450
100,557,000
12/31/00
FIRST BUSEY CORP /NV/
314489
6022
10
0
79,355
67,211
1,355,044,000
12/31/00
ROBERT HALF INTERNATIONAL INC.
315213
7363
5
1
438,100
1,772,900
971,029,000
12/31/00
HURCO COMPANIES INC
315374
3823
5
1
258,000
264,000
65,024,000
10/31/00
FRANKFORT TOWER INDUSTRIES INC
315641
3490
1
1
143,000
48,997
160,814,000
12/31/00
INTERNATIONAL BANCSHARES CORP
315709
6022
4
1
225,000
269,912
5,860,714,000
12/31/00
SOUTHWEST GEORGIA FINANCIAL CORP
315849
6022
262
0
38,500
4,500
240,380,281
12/31/00
RANGE RESOURCES CORP
315852
1311
5
1
238,000
100,000
689,165,000
12/31/00
BBX Capital Corp
315858
6500
4
1
111,000
0
4,654,954,000
12/31/00
KENT FINANCIAL SERVICES INC
316028
6211
3
1
74,000
0
13,681,000
12/31/00
EXCO RESOURCES INC
316300
1311
2
1
65,000
195,700
102,372,000
12/31/00
Central Pacific Financial Corp.
316312
6022
4
1
198,500
495,800
1,721,400,064
12/31/00
AVOCA INC
316537
6792
5
1
15,000
3,000
3,909,616
12/31/00
TERAFORCE TECHNOLOGY CORP
316672
3576
6
0
117,500
33,127
24,004,000
12/31/00
SCHWAB CHARLES CORP
316709
6211
3
1
3,700,000
6,700,000
38,153,969,000
12/31/00
PROVIDENT FINANCIAL GROUP INC
316770
6022
2
1
300,000
1,512,000
13,857,399,808
12/31/00
Coca-Cola Consolidated, Inc.
317540
2086
1
1
231,000
65,188
1,062,097,000
12/31/00
TELLABS INC
317771
3661
2
1
342,490
3,085,330
3,073,070,080
12/29/00
Digital Turbine, Inc.
317788
6794
3
1
135,000
325,000
73,219,000
12/31/00
PRIMA ENERGY CORP
318107
1311
3
1
70,000
0
104,900,000
12/31/00
AMGEN INC
318154
2836
2
1
873,000
2,154,000
5,399,600,000
12/31/00
MDI, INC.
318259
3861
6
0
199,000
359,000
143,496,992
12/31/00
PEOPLES BANCORP INC
318300
6022
2
1
101,000
295,100
1,135,834,000
12/31/00
ABEONA THERAPEUTICS INC.
318306
2834
6
0
31,000
14,000
30,526,000
12/31/00
PUBLIC STORAGE INC /CA
318380
6798
2
1
193,925
1,280,040
4,513,939,968
12/31/00
SECURITY NATIONAL FINANCIAL CORP
318673
6199
198
0
93,000
0
208,746,501
12/31/00
GENENTECH INC
318771
2834
2
1
565,000
2,408,000
6,711,813,000
12/31/00
IRIS INTERNATIONAL INC
319240
3826
1
1
139,278
34,770
28,287,500
12/31/00
SEARS ROEBUCK & CO
319256
5311
3
1
3,021,500
2,796,120
36,899,000,320
12/30/00
CRAMER INC
319497
2522
3
1
57,500
0
4,277,000
12/31/00
MAXWELL TECHNOLOGIES INC
319815
3690
2
1
250,000
100,000
122,109,000
12/31/00
TELOS CORP
320121
7373
1
1
184,000
77,224
77,090,000
12/31/00
GREY WOLF INC
320186
1381
4
1
111,250
104,647
510,866,000
12/31/00
Apple Inc.
320193
3571
4
1
2,265,000
28,547,000
6,803,000,000
9/30/00
HANOVER DIRECT INC
320333
5961
5
1
716,000
802,841
203,019,008
12/30/00
GLOBE LIFE INC.
320335
6311
3
1
947,546
705,289
12,962,558,000
12/31/00
INTELLIGENT SYSTEMS CORP
320340
7372
5
1
82,600
0
18,057,000
12/31/00
INTER TEL (DELAWARE), INC
350066
3661
2
1
200,000
78,500
243,126,000
12/31/00
UNITED SYSTEMS TECHNOLOGY INC
350194
7372
6
0
21,500
3,550
2,465,010
12/31/00
CACHE INC
350199
5621
5
1
122,400
102,626
55,051,000
12/30/00
PHI Group, Inc./DE
350403
4522
3
1
218,490
168,406
222,755,000
12/31/00
PLAINS RESOURCES INC
350426
5172
1
1
471,000
2,178,000
1,394,329,984
12/31/00
TECO ENERGY INC
350563
4911
1
1
592,000
513,305
5,676,199,936
12/31/00
DELPHAX TECHNOLOGIES INC
350692
3555
2
1
121,598
32,288
24,365,873
9/30/00
AUTONATION, INC.
350698
5500
5
1
1,648,420
3,220,450
8,830,000,000
12/31/00
OCEAN BIO CHEM INC
350737
2842
211
0
36,920
0
15,410,264
12/31/00
BAIRNCO CORP /DE/
350750
2821
5
1
125,000
61,000
135,768,992
12/31/00
SUPREME INDUSTRIES INC
350846
3713
1
1
108,000
380,000
102,974,000
12/31/00
RIGGS NATIONAL CORP
350847
6021
5
1
471,179
1,338,350
5,554,469,888
12/31/00
COMMUNITY TRUST BANCORP INC /KY/
350852
6022
3
1
150,000
36,000
2,261,975,000
12/31/00
SEI INVESTMENTS CO
350894
6211
5
1
393,000
1,959,000
375,582,000
12/31/00
THORATEC CORP
350907
3845
3
1
92,000
1,953,000
44,721,400
12/30/00
CITIZENS REPUBLIC BANCORP, INC.
351077
6021
2
1
417,000
1,558,000
8,405,089,792
12/31/00
INTERGRAPH CORP
351145
7373
2
1
935,000
377,000
514,908,000
12/31/00
Ameris Bancorp
351569
6022
78
0
200,000
78,000
826,197,000
12/31/00
GBC BANCORP
351710
6022
3
1
106,000
92,578
1,969,109,000
12/31/00
ADVANCED NEUROMODULATION SYSTEMS INC
351721
3841
2
1
96,000
208,000
45,371,700
12/31/00
SILVERBOW RESOURCES, INC.
351817
1311
5
1
253,000
134,000
572,387,001
12/31/00
DATA I/O CORP
351998
3825
2
1
136,984
14,150
28,746,000
12/28/00
WEST COAST BANCORP /CA/
352187
6022
5
1
68,100
17,700
196,308,992
12/31/00
DREYERS GRAND ICE CREAM INC
352305
2024
1
1
239,000
504,202
468,451,000
12/30/00
Kate Spade & Co
352363
2330
5
1
717,885
1,584,400
1,512,160,000
12/30/00
NORTH FORK BANCORPORATION INC
352510
6022
4
1
465,000
504,200
14,840,999,936
12/31/00
ALLIANT ENERGY CORP
352541
4931
5
1
840,000
1,145,000
6,733,766,000
12/31/00
UNIGENE LABORATORIES INC
352747
2833
4
1
57,500
8,200
9,047,399
12/31/00
IOMEGA CORP
352789
3572
5
1
845,000
1,829,000
815,438,976
12/31/00
FOSTER L B CO
352825
5051
2
1
134,000
22,750
177,147,000
12/31/00
UNIVERSAL HEALTH SERVICES INC
352915
8062
5
1
529,000
643,000
1,742,377,000
12/31/00
ENGELHARD CORP
352947
2810
5
1
1,833,000
568,000
3,166,830,080
12/31/00
Teligent, Inc.
352998
2834
4
1
150,000
0
12,387,000
12/31/00
Aegion Corp
353020
1623
5
1
315,600
541,428
354,974,000
12/31/00
NORTH VALLEY BANCORP
353191
6022
3
1
180,000
169,269
540,220,992
12/31/00
OMNICARE INC
353230
5912
1
1
600,000
1,400,000
2,210,220,032
12/31/00
SOUTHEASTERN BANKING CORP
353386
6022
7
0
85,500
5,370
349,578,552
12/31/00
ICO INC
353567
3089
1
1
391,601
177,468
299,177,000
9/30/00
QUIDEL CORP /DE/
353569
2835
5
1
151,000
237,000
82,032,000
12/31/00
BWC FINANCIAL CORP
353650
6022
5
1
56,500
13,250
350,512,992
12/31/00
PHARMACEUTICAL FORMULATIONS INC
353827
2834
7
0
144,375
15,810
44,600,000
7/1/00
Arthur J. Gallagher & Co.
354190
6411
2
1
524,000
866,000
1,062,298,000
12/31/00
COMMERCIAL BANKSHARES INC
354562
6022
1
1
65,000
24,000
522,524,000
12/31/00
THACKERAY CORP
354639
6500
5
1
40,000
0
8,907,000
12/31/00
CVB FINANCIAL CORP
354647
6022
3
1
114,000
184,750
2,307,996,000
12/31/00
HAWAIIAN ELECTRIC INDUSTRIES INC
354707
4911
4
1
738,170
2,304,270
8,518,694,000
12/31/00
INTERNATIONAL LOTTERY & TOTALIZATOR SYSTEMS INC
354813
3578
5
1
159,000
18,400
11,235,000
12/31/00
FIRSTMERIT CORP /OH/
354869
6021
1
1
270,277
533,656
10,215,203,000
12/31/00
FLIR SYSTEMS INC
354908
3812
5
1
1,096,030
154,368
166,991,000
12/31/00
INTERDIGITAL INC.
354913
6794
5
1
115,000
900,000
141,624,992
12/31/00
SHENANDOAH TELECOMMUNICATIONS CO/VA/
354963
4813
10
0
79,536
42,226
150,353,000
12/30/00
ESSEX CORP
355199
8711
129
0
28,250
5,250
1,619,330
12/31/00
PROTECTIVE LIFE CORP
355429
6311
1
1
300,000
2,900,000
15,145,600,000
12/31/00
RYANS RESTAURANT GROUP INC
355622
5812
4
1
58,000
156,000
556,060,992
1/3/01
Hallwood Group Inc
355766
2221
3
1
215,000
127,000
66,676,000
12/31/00
GENTEX CORP
355811
3714
2
1
93,500
87,849
428,128,693
12/31/00
ESSENDANT INC
355999
5110
2
1
500,000
600,000
1,447,027,000
12/31/00
BELO CORP
356080
4833
2
1
402,000
330,000
3,893,260,032
12/31/00
TRICO BANCSHARES /
356171
6022
5
1
142,000
72,000
972,071,000
12/31/00
Gold Merger Sub, LLC
356213
7011
5
1
470,000
740,000
961,475,008
12/31/00
NEVADA CHEMICALS INC
356342
2890
198
0
42,666
15,788
34,806,000
12/31/00
PURE WORLD INC
356446
2833
3
1
66,500
0
31,348,000
12/31/00
NEUROLOGIX INC/DE
356591
2834
4
1
175,000
282,700
38,576,000
12/31/00
FIRST REGIONAL BANCORP
356708
6022
3
1
64,500
23,550
306,079,008
12/31/00
ABIGAIL ADAMS NATIONAL BANCORP INC
356809
6021
10
0
57,025
21,970
160,651,008
12/31/00
Fibrocell Science, Inc.
357097
2834
470
0
5,950
0
960
12/31/00
ISC8 INC. /DE
357108
7373
6
0
158,800
0
20,307,150
10/1/00
OLD SECOND BANCORP INC
357173
6022
2
1
145,500
47,995
1,149,442,000
12/31/00
PACIFIC CAPITAL BANCORP /CA/
357264
6022
5
1
255,000
614,638
3,677,629,952
12/31/00
HOVNANIAN ENTERPRISES INC
357294
1531
2
1
304,500
341,770
833,410,000
10/31/00
TRUSTCO BANK CORP N Y
357301
6022
4
1
189,000
263,495
2,456,198,000
12/31/00
FULTON FINANCIAL CORP
700564
6021
5
1
215,100
209,283
6,571,155,000
12/31/00
FIRST MID BANCSHARES, INC.
700565
6022
4
1
83,900
30,900
642,999,000
12/31/00
AMERICAN MEDICAL ALERT CORP
700721
7380
49
0
221,415
110,487
15,133,800
12/31/00
NATIONAL PENN BANCSHARES INC
700733
6021
6
0
122,500
163,615
2,512,509,952
12/31/00
RCM TECHNOLOGIES INC
700841
7363
6
0
60,000
12,605
174,268,828
12/31/00
SUSQUEHANNA BANCSHARES INC
700863
6021
1
1
225,000
1,092,000
4,792,860,160
12/31/00
ADVANCED REMOTE COMMUNICATION SOLUTIONS
700941
4899
3
1
78,900
38,536
30,901,180
12/31/00
Cigna Holding Co
701221
6324
1
1
5,400,000
10,400,000
95,088,000,000
12/31/00
ATRION CORP
701288
3841
5
1
83,650
24,500
63,690,000
12/31/00
US AIRWAYS GROUP INC
701345
4512
4
1
646,675
1,353,950
9,127,000,064
12/31/00
CENTRAL PACIFIC FINANCIAL CORP
701347
6022
4
1
174,000
888,895
1,816,918,000
12/31/00
Six Flags Entertainment Corp
701374
7990
4
1
781,000
865,000
4,191,339,000
12/31/00
AVIALL INC
701650
5080
1
1
316,000
513,000
395,451,008
12/31/00
Envela Corp
701719
5944
6
0
77,500
1,800
13,413,243
12/31/00
MENTOR GRAPHICS CORP
701811
7373
4
1
740,000
172,000
530,913,984
12/31/00
BANCORPSOUTH INC
701853
6022
4
1
235,000
410,000
9,044,034,000
12/31/00
INDEPENDENCE HOLDING CO
701869
6311
4
1
513,400
111,000
724,628,000
12/31/00
NORFOLK SOUTHERN CORP
702165
4011
4
1
1,077,920
2,620,660
18,976,000,000
12/31/00
DIAGNOSTIC PRODUCTS CORP
702259
3841
3
1
355,500
584,800
280,484,000
12/31/00
FIRST MIDWEST BANCORP INC
702325
6021
2
1
194,000
738,000
5,906,484,000
12/31/00
Bank of Commerce Holdings
702513
6022
3
1
93,500
32,431
255,106,782
12/31/00
HARLEYSVILLE NATIONAL CORP
702902
6021
6
0
176,819
34,797
1,935,213,000
12/31/00
FIRST FARMERS & MERCHANTS CORP
703329
6022
325
0
79,000
43,000
652,066,000
12/31/00
LSI CORP
703360
3674
1
1
1,100,000
1,500,000
4,197,489,920
12/31/00
HUDSON UNITED BANCORP
703559
6022
5
1
197,000
475,890
6,817,229,824
12/31/00
LAWSON PRODUCTS INC/NEW/DE/
703604
5080
2
1
249,900
155,200
222,721,466
12/30/00
SOUTHERN BANCSHARES NC INC
703904
6022
4
1
43,676
38,325
803,441,000
12/31/00
VBI VACCINES INC.
704159
2836
6
0
54,100
30,290
31,546,149
12/31/00
PPT VISION INC
704460
3823
1
1
50,000
20,000
19,412,000
10/31/00
Onto Innovation Inc.
704532
3829
3
1
214,004
257,820
144,796,000
12/31/00
UNITED BANCORPORATION OF ALABAMA INC
704561
6022
4
1
42,500
17,300
231,486,595
12/31/00
DATAKEY INC
704914
3690
10
0
59,000
9,000
5,435,790
12/31/00
AMERICAN EDUCATION CORP
705003
7372
1115
0
28,825
11,300
11,261,100
12/31/00
PAB BANKSHARES INC
705200
6022
1284
0
115,900
73,385
794,907,008
12/31/00
SOUTHSIDE BANCSHARES INC
705432
6022
1
1
111,550
93,196
1,151,881,000
12/31/00
OMEGA FINANCIAL CORP /PA/
705671
6021
5
1
145,000
54,000
1,113,840,000
12/30/00
FILENET CORP
706015
7373
3
1
292,322
522,377
323,569,984
12/31/00
HORIZON BANCORP INC /IN/
706129
6022
18
0
67,285
32,160
531,776,000
12/31/00
AARON’S INC
706688
7359
2
1
179,250
112,875
380,379,000
12/31/00
UTAH MEDICAL PRODUCTS INC
706698
3841
198
0
57,300
26,675
25,423,000
12/31/00
UNION BANKSHARES INC
706863
6022
302
0
77,400
49,400
303,394,409
12/31/00
MERRIMAC INDUSTRIES INC
706864
3679
5
1
144,000
73,000
27,513,800
12/30/00
PALMETTO BANCSHARES INC
706874
6022
4
1
58,970
55,905
663,390,000
12/31/00
OLD NATIONAL BANCORP /IN/
707179
6021
1
1
327,650
366,371
8,767,748,000
12/31/00
REGENERX BIOPHARMACEUTICALS INC
707511
2834
19
0
22,560
0
499,657
12/31/00
BRITTON & KOONTZ CAPITAL CORP
707604
6021
329
0
54,500
26,700
270,119,008
12/31/00
AMERISERV FINANCIAL INC /PA/
707605
6021
5
1
152,600
302,200
1,254,261,000
12/31/00
USB HOLDING CO INC
707805
6022
3
1
260,000
83,750
1,886,259,968
12/31/00
PRINCETON NATIONAL BANCORP INC
707855
6021
4
1
97,500
19,800
515,180,000
12/31/00
UNITED COMMUNITY FINANCIAL CORP
707886
6036
3
1
148,700
237,325
1,300,199,000
12/31/00
SCIENTIFIC TECHNOLOGIES INC
708250
3827
1
1
140,750
0
37,028,000
12/31/00
CASS INFORMATION SYSTEMS INC
708781
7389
4
1
85,000
73,171
576,886,000
12/31/00
MCDERMOTT INTERNATIONAL INC
708819
3443
1
1
2,800,000
4,715,540
909,381,000
12/31/00
PAR TECHNOLOGY CORP
708821
3578
1
1
152,500
101,700
84,936,000
12/31/00
FIRST CITIZENS BANCORPORATION INC
708848
6022
1
1
92,000
132,000
3,240,509,952
12/31/00
FIRST FINANCIAL BANCORP /OH/
708955
6021
2
1
150,000
701,500
3,932,512,000
12/31/00
FARMERS NATIONAL BANC CORP /OH/
709337
6022
46
0
95,550
39,800
626,122,000
12/31/00
CAREMARK ULYSSES HOLDING CORP.
709878
6324
2
1
871,300
103,700
1,189,859,968
12/31/00
AXCESS INTERNATIONAL INC/TX
710597
7373
2
1
101,200
23,000
12,223,600
12/31/00
ALPHA TECHNOLOGIES GROUP INC
710807
3443
6
0
65,000
93,000
45,605,000
10/29/00
NIAGARA CORP
710976
3317
7
0
322,765
161,702
215,418,000
12/31/00
MAXTOR CORP
711039
3572
1
1
589,913
790,552
1,024,920,000
12/30/00
COOPER COMPANIES, INC.
711404
3851
4
1
520,600
240,300
322,565,000
10/31/00
Gadsden Properties, Inc.
711665
6500
5
1
115,000
218,400
19,870,757
12/31/00
PROXIM WIRELESS CORP
712511
3663
1
1
178,000
554,000
65,538,000
12/31/00
FIRST MERCHANTS CORP
712534
6021
18
0
151,800
37,900
1,621,063,000
12/31/00
FIRST COMMONWEALTH FINANCIAL CORP /PA/
712537
6021
3
1
250,800
44,510
4,372,312,000
12/31/00
ONE LIBERTY PROPERTIES INC
712770
6798
2
1
67,000
31,100
128,219,000
12/31/00
ConnectOne Bancorp, Inc.
712771
6022
4
1
64,000
195,640
569,553,000
12/31/00
ELXSI CORP /DE//
712843
5812
1
1
108,500
41,000
102,522,000
12/31/00
FARMERS CAPITAL BANK CORP
713095
6021
4
1
117,325
4,375
1,204,752,000
12/31/00
MEDIA 100 INC
713138
3577
5
1
280,950
369,550
47,391,000
11/30/00
PHARMOS CORP
713275
2834
1
1
95,892
17,701
30,783,109
12/31/00
DNB FINANCIAL CORP /PA/
713671
6021
4
1
77,000
18,000
356,670,000
12/31/00
PNC FINANCIAL SERVICES GROUP, INC.
713676
6021
2
1
2,900,000
16,200,000
69,844,000,000
12/31/00
SUN BANCORP INC
713975
6022
28361
0
58,600
6,087
743,587,968
12/31/00
INFORMATION RESOURCES INC
714278
8700
2
1
348,000
226,000
365,160,000
12/31/00
UNITED FINANCIAL BANKING COMPANIES INC
714286
6022
192
0
29,500
0
71,854,096
12/31/00
VALLEY NATIONAL BANCORP
714310
6021
4
1
288,940
309,850
6,425,837,000
12/31/00
GERMAN AMERICAN BANCORP, INC.
714395
6022
8
0
86,380
263,400
1,079,808,000
12/31/00
NEWBRIDGE BANCORP
714530
6022
365
0
47,288
110,069
795,569,984
12/31/00
FIRST FINANCIAL CORP /IN/
714562
6022
8
0
94,500
38,000
2,043,267,000
12/31/00
DST SYSTEMS INC
714603
7374
1
1
358,000
2,572,000
2,552,399,872
12/31/00
BIOGEN IDEC MA INC
714655
2836
1
1
435,518
1,347,120
1,431,856,000
12/31/00
COMMUNITY BANKS INC /PA/
714710
6021
1
1
91,255
39,788
1,121,369,984
12/31/00
JUNIATA VALLEY FINANCIAL CORP
714712
6022
122
0
52,000
19,000
334,914,000
12/31/00
AMCORE FINANCIAL INC
714756
6021
4
1
290,700
183,000
4,244,110,080
12/31/00
NATIONAL MERCANTILE BANCORP
714801
6022
5
1
53,000
54,285
204,843,008
12/31/00
RENASANT CORP
715072
6022
2
1
173,000
75,000
1,211,940,000
12/31/00
COMMERCE BANCORP INC /NJ/
715096
6021
2
1
495,000
205,000
8,296,520,192
12/31/00
WYNDHAM INTERNATIONAL INC
715273
7000
1
1
675,100
1,573,350
6,066,899,968
12/31/00
Anixa Biosciences Inc
715446
8071
5
1
222,500
8,700
6,894,501
10/31/00
ACNB CORP
715579
6022
291
0
60,560
22,685
567,330,000
12/31/00
HYTEK MICROSYSTEMS INC
715593
3674
2
1
42,600
9,040
9,133,100
12/30/00
INTERFACE INC
715787
2273
7
0
1,048,600
233,032
1,034,849,000
12/31/00
DOMINION ENERGY, INC
715957
4911
3
1
2,295,000
2,516,000
29,348,000,000
12/31/00
YRC Worldwide Inc.
716006
4213
5
1
624,002
365,067
1,308,477,000
12/31/00
UNOCAL CORP
716039
1311
1
1
1,700,000
2,400,000
10,010,000,384
12/31/00
CYPRESS BIOSCIENCE INC
716054
2836
2
1
95,000
17,125
7,891,271
12/31/00
HYDROGEN POWER INC
716101
2810
271
0
78,800
62,800
9,431,630
12/31/00
CINCINNATI BELL INC
716133
4813
1
1
703,320
1,727,150
6,477,600,000
12/31/00
TEKNOWLEDGE CORP
716214
7371
5
1
48,000
47,500
10,552,800
12/31/00
FRONTIER FINANCIAL CORP /WA/
716457
6022
13
0
83,925
99,534
1,690,819,968
12/31/00
PENNS WOODS BANCORP INC
716605
6022
821
0
40,888
67,076
394,913,000
12/31/00
MICROWAVE FILTER CO INC /NY/
716688
3679
1
1
41,345
8,235
5,142,708
9/30/00
MI 2009 Inc.
716823
3559
2
1
825,000
2,525,000
1,464,899,968
12/31/00
WEST COAST BANCORP /NEW/OR/
717059
6022
5
1
220,000
93,000
1,354,961,000
12/31/00
CALTON INC
717216
1531
1
1
124,524
121,863
35,100,000
11/30/00
MSC SOFTWARE CORP
717238
7372
2
1
298,000
279,000
208,654,000
12/31/00
FIRST CHARTER CORP /NC/
717306
6021
4
1
165,000
797,055
2,932,199,936
12/31/00
MURPHY OIL CORP
717423
1311
4
1
525,000
532,000
3,134,353,000
12/31/00
ARROW FINANCIAL CORP
717538
6021
4
1
116,400
83,545
1,081,354,000
12/31/00
HEXCEL CORP /DE/
717605
2821
1
1
614,000
173,000
1,211,400,000
12/31/00
FIRST US BANCSHARES INC
717806
6022
5
1
96,520
32,235
509,164,843
12/31/00
FIRST OAK BROOK BANCSHARES INC
717837
6022
4
1
56,100
21,925
1,249,270,016
12/31/00
DELSITE, INC.
718007
2844
2
1
113,500
2,000
20,702,000
12/31/00
INTEGRAL SYSTEMS INC /MD/
718130
7373
1232
0
52,431
66,302
88,910,897
9/30/00
COMMUNITY BANCORP /VT
718413
6021
302
0
57,880
15,985
252,785,237
12/31/00
TBC CORP
718449
5010
1
1
330,000
630,000
450,632,992
12/31/00
RADYNE CORP
718573
3663
4
1
121,000
55,000
51,843,500
12/31/00
FOOTHILL INDEPENDENT BANCORP
718903
6022
81
0
84,666
42,386
505,824,992
12/31/00
HPSC INC
718909
6172
3
1
150,000
197,740
493,953,000
12/31/00
STAAR SURGICAL CO
718937
3851
7
0
164,000
299,000
80,152,193
12/29/00
INTEGRAL VISION INC
719152
3823
628
0
56,500
15,000
11,164,000
12/31/00
SCHAWK INC
719164
2790
2
1
239,750
299,264
167,863,008
12/31/00
ISRAMCO INC
719209
1311
4
1
140,000
0
27,843,000
12/31/00
S&T BANCORP INC
719220
6022
2
1
175,000
106,700
2,310,290,000
12/31/00
CONSECO INC
719241
6321
1
1
2,591,000
3,436,000
58,589,200,000
12/31/00
FIRST CITIZENS BANCSHARES INC /TN/
719264
6022
360
0
47,325
0
500,954,000
12/31/00
FIRST NATIONAL CORP /VA/
719402
6022
152
0
35,987
50,273
229,328,847
12/31/00
HECLA MINING CO/DE/
719413
1400
1
1
212,800
48,800
194,836,000
12/31/00
HYCOR BIOMEDICAL INC /DE/
719447
2835
3
1
78,770
54,494
14,867,900
12/31/00
SYNBIOTICS CORP
719483
2835
1
1
101,000
24,600
32,202,000
12/31/00
Inrad Optics, Inc.
719494
3679
299
0
51,210
0
7,829,755
12/31/00
FIRST MANITOWOC BANCORP INC
719495
6022
26
0
61,000
13,000
495,410,000
12/31/00
CARDIODYNAMICS INTERNATIONAL CORP
719722
3845
4
1
43,839
38,500
21,560,599
11/30/00
HERITAGE BANKSHARES INC /VA
719731
6022
35
0
41,350
0
99,210,200
12/31/00
SVB FINANCIAL GROUP
719739
6022
4
1
348,217
1,291,040
5,626,775,000
12/31/00
MAINSOURCE FINANCIAL GROUP
720002
6022
8
0
101,725
198,045
1,216,940,032
12/31/00
LIFELINE SYSTEMS CO
720195
3663
1
1
123,500
17,500
64,528,000
12/31/00
AMTECH SYSTEMS INC
720500
3559
5
1
88,000
83,000
17,483,260
9/30/00
STIFEL FINANCIAL CORP
720672
6211
3
1
129,500
38,525
458,312,000
12/31/00
INVESTORS TITLE CO
720858
6361
3
1
83,827
64,008
59,339,007
12/31/00
EXCHANGE BANCSHARES INC
720912
6022
281
0
73,000
22,000
103,155,000
12/31/00
SMITH INTERNATIONAL INC
721083
3533
5
1
970,000
880,000
2,295,290,112
12/31/00
TOTAL SYSTEM SERVICES INC
721683
7389
4
1
215,000
697,279
604,392,682
12/31/00
LAKELAND FINANCIAL CORP
721994
6022
8
0
92,000
76,000
1,149,157,000
12/31/00
NCT GROUP, INC.
722051
3690
107
0
217,000
158,000
39,382,000
12/31/00
TERRA INDUSTRIES INC
722079
2870
3
1
389,718
473,675
1,512,550,016
12/31/00
SAVIENT PHARMACEUTICALS INC
722104
2833
5
1
140,000
297,000
213,224,992
12/31/00
NORTECH SYSTEMS INC
722313
3679
17
0
84,965
29,420
28,652,949
12/31/00
HANGER, INC.
722723
8093
1
1
480,000
1,685,000
699,907,000
12/31/00
COMMUNITY BANK SYSTEM, INC.
723188
6021
1
1
128,000
320,000
2,022,635,412
12/31/00
HARTMARX CORP/DE
723371
2300
1
1
420,000
60,000
438,475,000
11/30/00
STATE BANCORP INC
723458
6022
3
1
106,000
25,550
1,021,219,968
12/31/00
FIRST CENTURY BANKSHARES INC
723594
6022
1
1
75,500
27,000
374,176,000
12/31/00
AVIS BUDGET GROUP, INC.
723612
7510
3
1
5,625,000
22,315,000
15,153,000,000
12/31/00
FRANKLIN FINANCIAL SERVICES CORP /PA/
723646
6022
122
0
64,695
6,765
465,985,000
12/31/00
MICROFLUIDICS INTERNATIONAL CORP
723889
3821
3
1
105,000
52,000
13,644,200
12/31/00
AMERICAN PHYSICIANS SERVICE GROUP INC
724024
6331
4
1
76,600
106,800
29,426,000
12/31/00
PANERA BREAD CO
724606
5812
1
1
145,800
274,300
111,689,000
12/30/00
MERISEL INC /DE/
724941
7389
3
1
694,008
255,808
178,280,992
12/31/00
CYTOGEN CORP
725058
2834
5
1
95,500
128,425
20,416,000
12/31/00
BELMONT BANCORP
726294
6021
8
0
86,300
199,313
281,788,000
12/31/00
TRIBUNE MEDIA CO
726513
4833
1
1
1,333,000
1,195,000
14,676,212,000
12/31/00
MERCHANTS BANCSHARES INC
726517
6022
5
1
132,750
72,645
746,347,008
12/31/00
CAPITAL CITY BANK GROUP INC
726601
6022
5
1
155,000
218,000
1,527,460,000
12/31/00
REALTY INCOME CORP
726728
6798
4
1
86,000
61,408
934,766,000
12/31/00
CAPITAL GOLD CORP
726845
1040
435
0
16,000
4,000
1,456,821
7/31/00
CITY HOLDING CO
726854
6021
2
1
289,000
758,000
2,671,500,000
12/31/00
AMERICANWEST BANCORPORATION
726990
6022
13
0
159,020
64,660
598,513,024
12/31/00
CADIZ INC
727273
4941
1
1
176,000
28,756
205,094,000
12/31/00
SAFEGUARD HEALTH ENTERPRISES INC
727303
6324
3
1
198,925
275,885
33,095,000
12/31/00
PREDICTIVE SYSTEMS INC
727489
7371
5
1
150,000
285,000
251,454,329
12/31/00
iSign Solutions Inc.
727634
7372
86
0
131,036
139,196
11,302,000
12/31/00
SPECTRASCIENCE INC
727672
3845
2
1
17,500
9,250
4,370,037
12/31/00
INTERPHASE CORP
728249
3576
5
1
125,000
68,000
54,473,000
12/31/00
COAST DISTRIBUTION SYSTEM INC
728303
5013
6
0
102,000
527,000
63,890,000
12/31/00
HUNT J B TRANSPORT SERVICES INC
728535
4213
4
1
215,000
1,724,440
1,231,921,000
12/31/00
QMED INC
729213
8090
39
0
37,000
3,000
3,390,428
11/30/00
PARKWAY PROPERTIES INC
729237
6798
2
1
110,000
210,525
655,236,992
12/31/00
FIRST FINANCIAL BANCORP /CA/
729502
6022
4
1
84,000
10,400
185,064,000
12/31/00
BEL FUSE INC /NJ
729580
3677
3
1
231,000
118,000
169,513,405
12/31/00
UNITED BANKSHARES INC/WV
729986
6022
2
1
196,000
1,020,650
4,904,547,000
12/31/00
COMM BANCORP INC
730030
6022
166
0
45,771
17,518
419,740,000
12/31/00
ALPHARMA INC
730469
2834
1
1
1,059,000
384,000
1,610,429,952
12/31/00
SEACOAST BANKING CORP OF FLORIDA
730708
6022
5
1
175,000
55,000
1,151,373,000
12/31/00
HEALTHCARE SERVICES GROUP INC
731012
8050
6
0
277,000
56,000
108,342,865
12/31/00
PRESIDENTIAL REALTY CORP/DE/
731245
6798
3
1
77,000
38,750
83,938,040
12/31/00
UNITED BANCORP INC /OH/
731653
6022
8
0
49,350
42,625
323,885,801
12/31/00
UNITEDHEALTH GROUP INC
731766
6324
5
1
3,467,000
7,120,000
11,053,000,000
12/31/00
AMPAL-AMERICAN ISRAEL CORP
731859
6799
5
1
180,000
46,000
446,628,000
12/31/00
TEMPLE INLAND INC
731939
2631
2
1
1,409,000
1,045,000
18,142,000,000
12/30/00
MULTIBAND CORP
732412
4813
70
0
199,084
5,902
15,614,600
12/31/00
HILLS BANCORPORATION
732417
6022
10
0
57,250
88,955
875,750,000
12/31/00
GENZYME CORP
732485
2836
1
1
1,332,000
2,978,000
3,318,099,968
12/31/00
VERIZON COMMUNICATIONS INC
732712
4813
2
1
4,300,000
9,200,000
164,735,000,000
12/31/00
AT&T INC.
732717
4813
2
1
3,000,000
21,600,000
98,651,000,000
12/31/00
TRANSCONTINENTAL REALTY INVESTORS INC
733590
6798
7
0
243,000
68,000
731,885,000
12/31/00
INTRUSION INC
736012
3576
2
1
160,000
592,000
92,414,000
12/31/00
MEGO FINANCIAL CORP
736035
6532
3
1
135,000
8,000
168,592,000
8/31/00
COMPUCOM SYSTEMS INC
736291
5045
4
1
240,000
47,500
436,360,000
12/31/00
CNB FINANCIAL CORP/PA
736772
6022
8
0
77,500
227,836
555,365,000
12/31/00
LNB BANCORP INC
737210
6022
4
1
109,000
39,300
622,110,016
12/31/00
COVER ALL TECHNOLOGIES INC
737300
7372
101
0
147,250
0
5,140,950
12/31/00
WASHINGTON TRUST BANCORP INC
737468
6022
4
1
110,000
158,200
1,218,067,000
12/31/00
FIRST KEYSTONE CORP
737875
6022
343
0
54,800
43,258
360,342,306
12/31/00
CITIZENS FINANCIAL SERVICES INC
739421
6022
821
0
38,984
14,760
413,332,000
12/31/00
CANYON RESOURCES CORP
739460
1040
1
1
90,000
12,300
51,521,500
12/31/00
PENFORD CORP
739608
2040
2
1
182,500
528,826
175,623,000
8/31/00
KID BRANDS, INC
739878
3990
5
1
244,000
116,000
367,009,000
12/31/00
MEDTOX SCIENTIFIC INC
739944
8071
3
1
62,000
63,000
30,024,000
12/31/00
CONCORD EFS INC
740112
6099
2
1
343,000
1,292,000
1,553,642,000
12/31/00
IOWA FIRST BANCSHARES CORP
740155
6022
10
0
66,460
95,900
380,414,000
12/31/00
Ventas, Inc.
740260
6798
2
1
110,000
568,000
981,145,000
12/31/00
FIRST OF LONG ISLAND CORP
740663
6021
5
1
82,500
157,650
625,992,000
12/31/00
R F INDUSTRIES LTD
740664
3678
22
0
30,900
19,800
9,092,761
10/31/00
KAYDON CORP
740694
3562
5
1
335,400
361,980
475,552,000
12/31/00
BROADCAST INTERNATIONAL INC
740726
7389
198
0
21,880
2,593
1,692,790
12/31/00
FLORIDA EAST COAST INDUSTRIES INC
740796
4011
4
1
196,596
59,425
1,111,539,968
12/31/00
F&M BANK CORP
740806
6022
212
0
19,390
34,766
208,817,894
12/31/00
TOWER BANCORP INC
740942
6022
301
0
27,500
43,916
224,512,000
12/31/00
OLD POINT FINANCIAL CORP
740971
6021
330
0
42,665
8,500
477,096,000
12/31/00
iSatori, Inc.
741114
2020
6
0
53,546
0
3,332,750
6/30/00
MIDWESTONE FINANCIAL GROUP INC
741390
6022
4
1
89,500
42,900
515,212,000
12/31/00
AMISTAR CORP
741559
3559
4
1
68,000
29,000
17,105,861
12/31/00
HOOPER HOLMES INC
741815
8090
4
1
96,400
275,213
211,035,882
12/31/00
CADENCE FINANCIAL CORP
742054
6021
168
0
126,330
68,129
1,009,520,000
12/31/00
WESTBANK CORP
742070
6022
3
1
118,015
32,820
574,595,968
12/31/00
INVACARE CORP
742112
3842
2
1
611,000
1,822,000
951,855,000
12/31/00
US Ecology Holdings, Inc.
742126
4953
401
0
137,000
22,000
65,750,000
12/31/00
FIRST FRANKLIN CORP
742161
6036
57
0
48,747
14,075
277,694,016
12/31/00
RPC INC
742278
1389
5
1
90,000
400,000
277,915,000
12/31/00
XETA TECHNOLOGIES INC
742550
3661
5
1
72,500
133,000
74,148,971
10/31/00
FNB FINANCIAL SERVICES CORP
742679
6021
1
1
64,000
351,000
685,904,000
12/31/00
SPARTAN MOTORS INC
743238
3711
2
1
183,570
242,975
98,305,357
12/31/00
BAR HARBOR BANKSHARES
743367
6022
55
0
52,700
67,074
466,225,000
12/31/00
BOWATER INC
743368
2621
4
1
1,000,000
800,000
5,004,100,096
12/31/00
FIRST MCMINNVILLE CORP
743397
6021
337
0
61,200
19,875
269,160,000
12/31/00
ALFA CORP
743532
6331
4
1
192,700
575,700
1,546,300,032
12/31/00
MACROCHEM CORP
743884
2834
3
1
69,880
30,070
17,982,000
12/31/00
FIRST CHESTER COUNTY CORP
744126
6021
6
0
84,045
24,191
550,689,024
12/31/00
Celldex Therapeutics, Inc.
744218
2835
1
1
60,000
10,000
63,563,000
12/31/00
NORTHERN STATES FINANCIAL CORP /DE/
744485
6022
8
0
69,250
54,068
239,405,000
12/31/00
COMMERCIAL FEDERAL CORP
744778
6035
3
1
308,000
4,336,000
12,540,300,288
12/31/00
AMERICAN SHARED HOSPITAL SERVICES
744825
8071
13
0
59,000
33,360
40,209,000
12/31/00
INTERMET CORP
745287
3320
2
1
627,575
634,753
918,796,032
12/31/00
ST JOE CO
745308
6552
4
1
366,775
1,258,530
1,115,021,000
12/31/00
LESCO INC/OH
745394
2870
2
1
174,500
465,000
244,892,992
12/31/00
MONROE BANCORP
745456
6022
18
0
54,750
23,000
441,831,000
12/31/00
STATE FINANCIAL SERVICES CORP
745614
6022
2
1
120,000
219,285
1,080,790,016
12/31/00
HYPERFEED TECHNOLOGIES INC
745774
6200
4
1
155,400
42,294
14,326,300
12/31/00
MIDSOUTH BANCORP INC
745981
6021
3
1
53,000
0
346,373,433
12/31/00
DETWILER MITCHELL & CO
746425
6199
1
1
120,000
30,000
13,342,796
12/31/00
UNIZAN FINANCIAL CORP
746481
6021
8
0
67,500
163,628
1,053,947,000
12/31/00
EXPEDITORS INTERNATIONAL OF WASHINGTON INC
746515
4731
4
1
455,000
76,000
661,740,000
12/31/00
UNISYS CORP
746838
7373
2
1
1,800,000
5,500,000
5,717,700,000
12/31/00
SMITHTOWN BANCORP INC
747345
6022
25778
0
60,000
34,500
314,580,992
12/31/00
ALUF HOLDINGS, INC.
747435
7374
387
0
32,500
12,100
6,329,900
12/31/00
VERAMARK TECHNOLOGIES INC
747605
7372
1
1
55,250
0
11,859,300
12/31/00
MAXUS REALTY TRUST INC.
748580
6798
4
1
36,000
13,300
17,442,000
12/31/00
NTN BUZZTIME INC
748592
4833
4
1
105,000
30,000
18,822,000
12/31/00
Access to Money, Inc.
749254
7200
1
1
224,000
327,000
110,920,000
12/31/00
Celsion CORP
749647
2834
129
0
26,000
4,700
9,117,821
9/30/00
ICAD INC
749660
3841
7
0
62,315
0
5,945,928
12/31/00
BARRY R G CORP /OH/
749872
3140
4
1
236,000
116,000
89,549,000
12/30/00
WINLAND ELECTRONICS INC
749935
3823
10
0
53,386
77,025
14,707,109
12/31/00
SCIENTIFIC GAMES CORP
750004
7373
4
1
546,750
1,089,660
647,215,000
10/31/00
SUNTRUST BANKS INC
750556
6021
5
1
1,681,500
1,370,940
103,496,380,000
12/31/00
QNB CORP
750558
6022
4
1
52,850
15,700
371,671,000
12/31/00
PARALLEL PETROLEUM CORP
750561
1311
4
1
68,000
20,000
46,456,400
12/31/00
AUBURN NATIONAL BANCORPORATION, INC
750574
6022
4
1
101,035
37,050
404,689,253
12/31/00
CAMDEN NATIONAL CORP
750686
6021
55
0
78,343
62,897
1,010,883,000
12/31/00
SEITEL INC
750813
1382
2
1
240,036
312,102
577,556,992
12/31/00
FISCHER IMAGING CORP
750901
3844
5
1
133,750
7,500
38,476,000
12/31/00
NATIONAL RETAIL PROPERTIES, INC.
751364
6798
4
1
86,800
81,150
761,611,000
12/31/00
DOMINION QUESTAR CORP
751652
4923
2
1
311,000
221,112
2,472,029,952
12/31/00
VICOR CORP
751978
3679
2
1
152,000
227,000
294,113,000
12/31/00
COMMUNITY BANCSHARES INC /DE/
752195
6022
547
0
212,500
14,200
713,518,042
12/31/00
UMH PROPERTIES, INC.
752642
6798
4
1
31,700
27,000
62,945,597
12/31/00
MILTOPE GROUP INC
752692
3577
3
1
135,500
49,500
35,615,000
12/31/00
MCGRATH RENTCORP
752714
7359
5
1
125,000
24,500
357,246,000
12/31/00
AXION INTERNATIONAL HOLDINGS, INC.
753048
3086
4
1
305,000
247,550
50,300,000
9/30/00
NEXTERA ENERGY INC
753308
4911
3
1
900,000
6,450,000
15,300,000,000
12/31/00
LBO CAPITAL CORP
753557
6770
1318
0
2,600
0
9,237
12/31/00
MERCHANTS & MANUFACTURERS BANCORPORATION INC
753682
6022
2
1
104,620
95,204
537,907,968
12/31/00
SIERRA HEALTH SERVICES INC
754009
6324
3
1
515,000
1,801,000
1,165,100,032
12/31/00
BROOKTROUT INC
754516
3661
3
1
145,000
294,000
109,213,000
12/31/00
HABERSHAM BANCORP
754597
6022
4
1
135,750
15,900
543,108,305
12/31/00
SUFFOLK BANCORP
754673
6021
5
1
140,000
414,700
1,049,580,032
12/31/00
SCANA CORP
754737
4931
3
1
894,232
1,243,650
7,420,000,000
12/31/00
UNITIL CORP
755001
4931
6
0
119,737
70,668
382,967,000
12/31/00
ORION HEALTHCORP INC
755113
8011
223
0
62,000
66,000
14,599,388
12/31/00
PONIARD PHARMACEUTICALS, INC.
755806
2834
4
1
57,750
41,200
64,458,000
12/31/00
INTERCHANGE FINANCIAL SERVICES CORP /NJ/
755933
6021
3
1
138,000
78,267
770,243,968
12/31/00
SKYTERRA COMMUNICATIONS INC
756502
4899
4
1
350,000
609,375
317,491,000
12/31/00
HIGHLANDS BANKSHARES INC /WV/
756862
6022
212
0
56,465
16,960
248,600,093
12/31/00
USG CORP
757011
3270
5
1
964,000
1,537,000
3,214,000,000
12/31/00
NOVELL INC
758004
7372
2
1
809,000
4,800,000
1,712,346,000
10/31/00
BUSH INDUSTRIES INC
758604
2511
3
1
172,000
66,000
366,551,008
12/30/00
CANANDAIGUA NATIONAL CORP
759458
6021
4
1
90,500
295,000
594,737,000
12/31/00
BERKSHIRE BANCORP INC /DE/
759718
6022
6
0
81,200
110,965
244,023,000
12/31/00
MAI SYSTEMS CORP
760436
7373
4
1
111,300
4,000
16,445,000
12/31/00
BANCFIRST CORP /OK/
760498
6021
5
1
80,000
0
2,570,255,000
12/31/00
CEDAR REALTY TRUST, INC.
761648
6798
2
1
66,000
50,261
35,603,756
12/31/00
PEOPLES BANCTRUST CO INC
762128
6022
1
1
93,000
100,528
670,681,024
12/31/00
INTELLIGENT CONTROLS INC
762953
3825
1
1
53,456
0
8,947,392
12/31/00
RESPONSE ONCOLOGY INC
763098
8011
4
1
193,400
12,000
92,413,000
12/31/00
CHEMUNG FINANCIAL CORP
763563
6022
4
1
89,150
43,775
676,236,823
12/31/00
GALLERY OF HISTORY INC
763730
5990
5
1
22,000
21,000
9,350,383
9/30/00
LCI INDUSTRIES
763744
3714
4
1
253,000
75,000
159,298,000
12/31/00
GRANGE NATIONAL BANC CORP
763850
6021
931
0
44,300
0
190,004,446
12/31/00
POPULAR INC
763901
6022
1
1
941,652
689,743
28,057,051,000
12/31/00
FIRST UNITED CORP/MD/
763907
6021
2
1
91,050
117,715
847,589,000
12/31/00
UNIVERSAL DETECTION TECHNOLOGY
763950
3823
385
0
40,000
8,380
7,276,972
12/31/00
SOUTH STATE Corp
764038
6022
294
0
153,597
86,177
969,848,000
12/31/00
CLEVELAND-CLIFFS INC.
764065
1000
2
1
300,000
193,000
727,800,000
12/31/00
ALTRIA GROUP, INC.
764180
2111
1
1
14,300,000
29,300,000
79,067,000,000
12/31/00
INTEGRA BANK CORP
764241
6022
1
1
302,675
195,805
3,068,819,968
12/31/00
GREEN BANKSHARES, INC.
764402
6022
8
0
71,000
6,750
789,116,992
12/31/00
CAS MEDICAL SYSTEMS INC
764579
3841
5
1
58,500
75,500
10,109,944
12/31/00
PINNACLE WEST CAPITAL CORP
764622
4911
3
1
726,500
490,485
7,149,151,000
12/31/00
SIONIX CORP
764667
3580
194
0
25,000
4,500
516,135
9/30/00
NORTH PITTSBURGH SYSTEMS INC
764765
4813
4
1
80,800
27,225
160,954,000
12/31/00
CommunityOne Bancorp
764811
6021
4
1
63,500
111,865
565,638,976
12/31/00
SEDONA CORP
764843
7372
2
1
84,000
76,000
8,468,000
12/31/00
First Bancorp, Inc /ME/
765207
6021
55
0
46,660
33,750
393,216,000
12/31/00
IMCLONE SYSTEMS INC
765258
2836
4
1
88,300
149,040
371,491,008
12/31/00
HEALTHPEAK PROPERTIES, INC.
765880
6798
5
1
587,000
531,000
2,394,852,000
12/31/00
ALASKA AIR GROUP, INC.
766421
4512
5
1
234,000
180,000
2,630,000,000
12/31/00
Enventis Corp
766561
4813
1
1
130,750
46,999
255,487,008
12/31/00
CAPSTEAD MORTGAGE CORP
766701
6798
2
1
146,500
108,826
8,610,497,000
12/31/00
WELLTOWER INC.
766704
6798
2
1
100,000
122,235
1,156,904,000
12/31/00
SJW GROUP
766829
4941
4
1
116,000
48,000
391,930,000
12/31/00
SB FINANCIAL GROUP, INC.
767405
6022
8
0
173,658
276,012
700,817,702
12/31/00
SEROLOGICALS CORP
767673
2836
5
1
220,000
218,000
131,495,000
12/31/00
LANCER CORP /TX/
768162
3585
4
1
256,000
85,000
102,392,000
12/31/00
Logicquest Technology, Inc.
768216
7389
161
0
14,000
3,750
181,495
12/31/00
ALTERA CORP
768251
3674
1
1
477,000
379,000
2,004,130,048
12/31/00
SYBASE INC
768262
7372
2
1
870,000
1,125,000
915,040,000
12/31/00
CYBEROPTICS CORP
768411
3827
1
1
74,808
113,092
68,817,000
12/31/00
RELIV INTERNATIONAL INC
768710
2834
2
1
110,000
51,000
20,395,115
12/31/00
BPO Management Services, Inc.
768892
7371
7
0
159,000
393,500
710,992,000
12/31/00
TrueBlue, Inc.
768899
7363
5
1
182,000
325,000
205,423,000
12/31/00
MIDDLEBY CORP
769520
3580
5
1
213,000
153,000
78,310,000
12/30/00
PEOPLES FINANCIAL CORP /MS/
770460
6022
323
0
80,000
20,000
587,243,934
12/31/00
BALLY TOTAL FITNESS HOLDING CORP
770944
7997
2
1
400,000
400,000
1,560,620,032
12/31/00
REEBOK INTERNATIONAL LTD
770949
3021
2
1
1,500,000
1,200,000
1,463,049,984
12/31/00
KOPIN CORP
771266
3674
3
1
80,000
140,945
184,490,670
12/31/00
ABM INDUSTRIES INC /DE/
771497
7340
4
1
506,000
821,200
641,985,000
10/31/00
STAR STRUCK LTD
771504
5063
5
1
65,900
0
5,752,000
12/31/00
BRUNSWICK BANCORP
771614
6022
300
0
51,530
20,450
118,498,552
12/31/00
ALABAMA AIRCRAFT INDUSTRIES, INC
771729
3721
5
1
217,700
330,700
60,129,000
12/31/00
DIAL GLOBAL, INC. /DE/
771950
4832
1
1
270,000
0
1,285,560,064
12/31/00
IVAX CORP
772197
2834
5
1
834,600
3,095,000
1,068,190,016
12/31/00
EDAC TECHNOLOGIES CORP
772572
3724
5
1
93,000
63,400
41,925,500
12/30/00
MDC HOLDINGS INC
773141
1531
2
1
205,000
15,000
1,061,598,000
12/31/00
INDYMAC BANCORP INC
773468
6035
6
0
323,000
260,000
5,740,199,936
12/31/00
HealthMarkets, Inc.
773660
6321
2
1
1,100,000
746,000
3,048,029,952
12/31/00
HONEYWELL INTERNATIONAL INC
773840
3724
1
1
5,100,000
27,800,000
25,175,000,000
12/31/00
GREATER COMMUNITY BANCORP
773845
6022
6
0
66,700
0
607,305,024
12/31/00
ANADARKO PETROLEUM CORP
773910
1311
4
1
1,117,000
3,354,000
16,590,000,000
12/31/00
TRANSAXIS INC
774055
7374
5
1
327,888
72,222
241,167,763
6/30/00
CORTLAND BANCORP INC
774569
6035
334
0
73,000
43,705
429,466,000
12/31/00
ALLEGHANY CORP /DE
775368
6331
4
1
1,425,860
1,377,510
2,707,616,000
12/31/00
VIST FINANCIAL CORP
775662
6022
122
0
72,700
75,289
393,825,984
12/31/00
ROCK CREEK PHARMACEUTICALS, INC.
776008
2833
242
0
227,418
0
69,467,236
12/31/00
RES CARE INC /KY/
776325
8050
4
1
597,000
240,000
536,105,984
12/31/00
INDEPENDENT BANK CORP
776901
6022
5
1
189,000
228,600
1,949,976,000
12/31/00
BEAR STEARNS COMPANIES INC
777001
6211
3
1
3,600,000
6,900,000
171,166,473,000
11/30/00
CH2M HILL COMPANIES LTD
777491
8711
5
1
439,268
1,231,900
515,415,000
12/31/00
Pacific Ethanol, Inc.
778164
2860
454
0
51,386
0
3,239,190
12/31/00
ARLINGTON HOSPITALITY INC
778423
7011
4
1
126,000
35,000
98,142,704
12/31/00
AEGIS COMMUNICATIONS GROUP INC
778426
7389
1
1
178,000
9,690
174,982,000
12/31/00
FIRSTBANK CORP
778972
6022
8
0
75,700
31,960
733,267,008
12/31/00
CNB CORP /MI/
779125
6021
8
0
47,350
6,300
217,725,000
12/31/00
PROTERION CORP
779164
3829
38
0
117,155
57,305
26,792,000
12/31/00
DIVERSIFIED CORPORATE RESOURCES INC
779226
7361
73
0
180,000
55,500
31,838,600
12/31/00
ARK RESTAURANTS CORP
779544
5812
3
1
153,500
0
67,015,837
9/30/00
NATIONWIDE HEALTH PROPERTIES, LLC
780053
6798
5
1
82,500
125,000
1,381,010,048
12/31/00
ITRON, INC.
780571
3825
3
1
203,000
56,000
177,231,000
12/31/00
GLEACHER & COMPANY, INC.
782842
6211
1
1
191,000
370,000
622,522,000
12/31/00
DUKE REALTY CORP
783280
6798
4
1
465,000
205,000
5,460,036,000
12/31/00
WEC ENERGY GROUP, INC.
783325
4931
1
1
600,000
500,000
8,406,100,000
12/31/00
BANCTRUST FINANCIAL GROUP INC
783739
6021
5
1
127,000
18,700
577,116,000
12/31/00
CRYOLIFE INC
784199
3841
5
1
81,750
93,125
112,009,000
12/31/00
SURETY CAPITAL CORP /DE/
784932
6021
826
0
241,822
13,000
93,180,307
12/31/00
MID WISCONSIN FINANCIAL SERVICES INC
785024
6022
1649
0
57,750
13,525
321,102,016
12/31/00
Encompass Health Corp
785161
8060
2
1
1,026,650
2,649,960
7,380,440,000
12/31/00
DURATEK INC
785186
4955
4
1
203,564
927,742
298,700,000
12/31/00
GAINSCO INC
786344
6331
4
1
179,925
55,978
475,042,772
12/31/00
CIMETRIX INC
786620
7372
198
0
35,100
3,425
13,126,000
12/31/00
BUTLER INTERNATIONAL INC /MD/
786765
7363
3
1
188,000
140,117
180,806,000
12/31/00
ACURA PHARMACEUTICALS, INC
786947
2834
6
0
132,500
48,824
15,209,000
12/31/00
DPL INC
787250
4931
1
1
646,000
852,000
4,435,999,744
12/31/00
TEXAS REGIONAL BANCSHARES INC
787648
6022
4
1
248,071
79,432
2,426,099,968
12/31/00
AMERICAN RETIREMENT CORP
787784
8051
4
1
263,000
557,900
792,480,000
12/31/00
MIKRON INFRARED INC
787809
3823
572
0
47,529
27,021
6,996,511
10/31/00
YARDVILLE NATIONAL BANCORP
787849
6021
4
1
109,000
20,000
1,619,309,952
12/31/00
WAYNE BANCORP INC /OH/
788134
6022
8
0
66,100
41,203
570,193,024
12/31/00
PUBLIC SERVICE ENTERPRISE GROUP INC
788784
4931
3
1
2,658,520
3,161,260
20,796,000,000
12/31/00
PENNICHUCK CORP
788885
4941
5
1
80,300
0
82,880,000
12/31/00
Beam Suntory Inc.
789073
2080
1
1
3,011,000
1,986,000
5,764,100,096
12/31/00
SPECTRANETICS CORP
789132
3845
4
1
60,500
107,440
27,360,000
12/31/00
CALIFORNIA PIZZA KITCHEN, INC.
789356
5812
2
1
103,665
307,679
116,977,000
12/31/00
SUNGARD DATA SYSTEMS INC
789388
7374
1
1
557,000
2,099,960
1,845,190,016
12/31/00
MGM Resorts International
789570
7011
5
1
617,000
1,573,000
10,734,601,000
12/31/00
VITALSTREAM HOLDINGS INC
789851
7389
6
0
24,782
41,240
5,349,510
12/31/00
CAVALIER HOMES INC
789863
2451
3
1
160,000
227,000
187,600,000
12/31/00
SUB SURFACE WASTE MANAGEMENT OF DELAWARE INC
789887
4955
471
0
6,588
0
826
9/30/00
NACCO INDUSTRIES INC
789933
3630
5
1
1,200,000
2,100,000
2,193,900,000
12/31/00
Independence Resources PLC
789944
1311
7
0
157,000
76,000
9,386,000
12/31/00
CARLISLE COMPANIES INC
790051
3060
5
1
305,000
263,000
1,305,679,000
12/31/00
EMC CORP
790070
3572
1
1
2,184,420
2,284,580
10,628,342,000
12/31/00
NBT BANCORP INC
790359
6021
4
1
321,500
2,685,220
2,655,788,000
12/31/00
NATIONAL BANCSHARES CORP /OH/
790362
6021
8
0
44,500
9,390
200,792,992
12/31/00
TEKELEC
790705
3663
1
1
240,520
213,820
458,524,000
12/31/00
AMERON INTERNATIONAL CORP
790730
3270
3
1
544,908
479,260
478,449,000
11/30/00
BRANDYWINE REALTY TRUST
790816
6798
5
1
226,000
752,300
1,825,440,000
12/31/00
X RITE INC
790818
3861
5
1
188,000
9,000
125,683,000
12/30/00
PENNROCK FINANCIAL SERVICES CORP
790988
6021
333
0
72,050
20,206
910,950,016
12/31/00
LONE STAR TECHNOLOGIES INC
791348
3317
5
1
380,000
709,784
515,300,000
12/31/00
SPORTSMANS GUIDE INC
791450
5961
6
0
48,644
43,270
38,860,000
12/31/00
ADVANCED BIOTHERAPY INC
791833
8731
180
0
24,359
1,250
1,339,420
12/31/00
CYPRESS SEMICONDUCTOR CORP /DE/
791915
3674
1
1
477,000
2,168,000
2,361,754,000
12/31/00
HARLEYSVILLE GROUP INC
792013
6331
4
1
212,000
48,000
2,021,859,968
12/31/00
ASTEC INDUSTRIES INC
792987
3531
2
1
534,000
290,600
402,305,819
12/31/00
WERNER ENTERPRISES INC
793074
4213
4
1
71,320
53,560
927,207,000
12/31/00
IGENE BIOTECHNOLOGY INC
793160
2870
185
0
25,000
0
2,013,621
12/31/00
BLUE DOLPHIN ENERGY CO
793306
1311
4
1
117,972
69,740
13,912,955
12/31/00
LXU Healthcare, Inc.
793523
3845
5
1
65,000
14,000
45,449,954
10/31/00
RESEARCH FRONTIERS INC
793524
6794
4
1
40,000
10,500
15,729,127
12/31/00
NAVIGATORS GROUP INC
793547
6331
4
1
542,000
169,000
614,975,000
12/31/00
HARLEY-DAVIDSON, INC.
793952
3751
2
1
621,000
742,000
2,436,404,000
12/31/00
ASA INTERNATIONAL LTD
793961
7373
7
0
96,582
12,487
18,601,400
12/31/00
CANTERBURY CONSULTING GROUP INC
794927
8200
2
1
122,000
0
31,184,000
11/30/00
KB HOME
795266
1531
2
1
412,850
764,750
2,828,921,000
11/30/00
WATTS WATER TECHNOLOGIES INC
795403
3490
4
1
454,000
339,000
482,025,000
12/31/00
THERAGENICS CORP
795551
3825
6
0
53,000
54,000
130,700,000
12/31/00
ALLIANCE FINANCIAL CORP /NY/
796317
6021
1
1
75,000
47,700
580,787,008
12/31/00
ADOBE INC.
796343
7372
4
1
1,234,860
1,547,700
1,069,416,000
12/1/00
PIONEER RAILCORP
796374
4011
10
0
87,020
59,450
31,551,955
12/31/00
ADELPHIA COMMUNICATIONS CORP
796486
4841
3
1
1,319,000
2,182,000
21,499,480,000
12/31/00
NATIONAL BANKSHARES INC
796534
6021
152
0
41,500
6,250
593,497,000
12/31/00
QUIPP INC
796577
3559
4
1
100,100
27,900
31,476,500
12/31/00
ANTS SOFTWARE INC
796655
7371
199
0
41,500
9,465
3,246,800
12/31/00
INTEREP NATIONAL RADIO SALES INC
796735
4832
5
1
220,000
11,000
221,544,000
12/31/00
HG Holdings, Inc.
797465
6798
1
1
112,100
176,307
179,206,000
12/31/00
OCCIDENTAL PETROLEUM CORP /DE/
797468
1311
5
1
3,886,500
6,725,310
19,414,000,000
12/31/00
SOUTH FINANCIAL GROUP INC
797871
6022
4
1
563,000
5,123,000
5,220,550,144
12/31/00
PAM TRANSPORTATION SERVICES INC
798287
4213
5
1
47,250
31,000
164,518,000
12/31/00
Centro NP LLC
798288
6798
1
1
131,220
1,018,580
2,894,429,952
12/31/00
FISERV INC
798354
7374
3
1
650,000
710,000
5,586,320,000
12/31/00
APPLIED INNOVATION INC
798399
3661
4
1
86,250
87,655
80,688,400
12/31/00
BRANDPARTNERS GROUP INC
798600
8742
6
0
351,000
157,000
14,303,700
12/31/00
UNIVERSAL HEALTH REALTY INCOME TRUST
798783
6798
5
1
46,000
46,000
183,658,000
12/31/00
FIRST CITIZENS BANCSHARES INC /DE/
798941
6022
4
1
230,000
718,105
10,691,617,000
12/31/00
UNIT CORP
798949
1311
1
1
96,500
78,518
346,288,000
12/31/00
ASCENTIAL SOFTWARE CORP
799089
7372
4
1
2,450,000
4,480,000
655,881,024
12/31/00
SAN HOLDINGS INC
799097
3572
304
0
45,000
0
9,354,340
12/31/00
DAWSON GEOPHYSICAL CO
799165
1382
6
0
26,743
9,675
5,197,157
12/31/00
MASSBANK CORP
799166
6022
4
1
122,000
26,825
938,702,016
12/31/00
MARTEN TRANSPORT LTD
799167
4213
5
1
77,500
0
212,073,000
12/31/00
HEARTLAND EXPRESS INC
799233
4213
5
1
56,000
21,670
268,055,004
12/31/00
M/I HOMES, INC.
799292
1531
3
1
191,000
50,000
567,642,000
12/31/00
CYTRX CORP
799698
2836
2
1
68,000
68,000
6,859,238
12/31/00
ARGONAUT GROUP INC
800082
6331
5
1
151,000
67,000
1,565,799,936
12/31/00
OFFICE DEPOT INC
800240
5940
3
1
1,110,000
1,680,000
4,196,334,000
12/30/00
DONEGAL GROUP INC
800457
6331
4
1
118,000
65,000
439,100,801
12/31/00
IBT BANCORP INC
801122
6022
361
0
74,260
37,522
496,379,008
12/31/00
WEBSTER FINANCIAL CORP
801337
6021
4
1
363,000
354,017
11,249,508,000
12/31/00
WARNACO GROUP INC /DE/
801351
2340
3
1
2,551,000
2,708,620
2,342,099,968
12/30/00
HEMACARE CORP /CA/
801748
8090
5
1
72,000
63,000
11,477,000
12/31/00
BRYN MAWR BANK CORP
802681
6022
1
1
95,750
207,643
444,425,000
12/31/00
INSITE VISION INC
802724
2834
2
1
99,000
28,500
20,000,000
12/31/00
RIGHT MANAGEMENT CONSULTANTS INC
802806
8742
5
1
178,600
176,273
165,437,000
12/31/00
ASSOCIATED MATERIALS, LLC
802967
3089
2
1
126,000
71,000
231,141,000
12/31/00
MERCHANTS GROUP INC
803027
6331
1
1
123,991
26,720
281,864,000
12/31/00
CHOICEONE FINANCIAL SERVICES INC
803164
6022
8
0
63,500
39,335
201,194,000
12/31/00
Equity Commonwealth
803649
6798
2
1
119,500
371,233
2,900,143,000
12/31/00
COCA-COLA REFRESHMENTS USA, INC.
804055
2086
2
1
2,400,000
1,200,000
22,161,999,872
12/31/00
AMERICAN LAND LEASE INC
804138
6798
2
1
72,000
434,350
216,302,000
12/31/00
Indian Hill Holdings Corp
804331
4813
3
1
65,000
20,900
15,494,000
12/31/00
CENTRAL VIRGINIA BANKSHARES INC
804561
6022
312
0
41,350
7,000
200,932,992
12/31/00
BENCHMARK BANKSHARES INC
804563
6022
339
0
33,300
1,450
205,252,536
12/31/00
CERNER Corp
804753
7373
4
1
123,000
150,600
616,411,000
12/30/00
ENVIRONMENTAL POWER CORP
805012
4991
3
1
91,500
2,688
69,284,174
12/31/00
GUNDLE SLT ENVIRONMENTAL INC
805023
3081
2
1
234,000
46,000
148,563,008
12/31/00
MID ATLANTIC MEDICAL SERVICES INC
805037
6324
2
1
308,000
197,000
467,023,000
12/31/00
TECHTEAM GLOBAL INC
805054
7370
2
1
252,140
47,199
100,774,000
12/31/00
WEST SUBURBAN BANCORP INC
805080
6022
8
0
87,000
111,909
1,431,958,000
12/31/00
AXIALL CORP/DE/
805264
2821
5
1
391,000
118,000
1,041,089,984
12/31/00
QUIKSILVER INC
805305
2320
3
1
250,000
190,000
358,742,000
10/31/00
SIZELER PROPERTY INVESTORS INC
805419
6798
4
1
84,000
68,000
285,416,992
12/31/00
PARK NATIONAL CORP /OH/
805676
6021
2
1
117,900
60,950
3,211,068,000
12/31/00
Axogen, Inc.
805928
3845
6
0
51,100
13,190
9,967,776
12/31/00
EQUIFIN INC
806011
6153
7
0
88,500
18,050
33,474,000
12/31/00
LEHMAN BROTHERS HOLDINGS INC. PLAN TRUST
806085
6211
2
1
5,500,000
6,309,000
219,560,000,000
11/30/00
New Leaf Brands, Inc.
806175
2086
891
0
17,500
5,685
500,371
12/31/00
CODORUS VALLEY BANCORP INC
806279
6035
2
1
62,000
10,480
295,092,000
12/31/00
JLM COUTURE INC
806384
2330
5
1
88,270
0
8,754,576
10/31/00
Advanced Materials Group, Inc.
806514
3086
7
0
108,500
26,450
18,365,000
11/30/00
PSYCHEMEDICS CORP
806517
8071
5
1
40,000
20,000
11,057,897
12/31/00
POWERBRIEF INC/TX/
807144
8000
2
1
34,500
104,834
5,841,000
12/31/00
NEWMIL BANCORP INC
807524
6036
1
1
74,410
101,947
523,577,984
12/31/00
VOXX International Corp
807707
5065
4
1
670,000
1,183,000
502,859,000
11/30/00
SICOR INC
807873
2834
2
1
399,000
172,000
425,600,000
12/31/00
CASH AMERICA INTERNATIONAL INC
807884
5900
1
1
258,566
3,194,140
378,233,000
12/31/00
NORTH AMERICAN TECHNOLOGIES GROUP INC /TX/
808013
2860
7
0
64,300
9,400
5,497,450
12/31/00
MERITAGE HOSPITALITY GROUP INC
808219
5812
6
0
27,800
12,900
27,045,228
11/30/00
FIRST ESSEX BANCORP INC
808246
6022
5
1
150,000
89,000
1,520,967,000
12/31/00
EMCORE CORP
808326
3674
3
1
126,000
81,226
243,902,000
9/30/00
GCI LIBERTY, INC.
808461
4813
4
1
136,089
37,857
679,007,000
12/31/00
MARGO CARIBE INC
808493
100
3
1
67,500
105,900
9,375,396
12/31/00
EDCI HOLDINGS, INC.
808918
3663
2
1
281,000
368,000
446,086,000
12/31/00
TRANSPORT CORPORATION OF AMERICA INC
809246
4213
4
1
98,500
40,400
256,656,000
12/31/00
FIDELITY NATIONAL FINANCIAL INC /DE/
809398
6361
4
1
772,000
1,077,000
3,833,989,888
12/31/00
VINTAGE PETROLEUM INC
809428
1311
5
1
257,000
333,670
1,338,400,000
12/31/00
TELENETICS CORP
810018
3661
7
0
214,000
46,600
8,896,820
12/31/00
MARITRANS INC /DE/
810113
4400
2
1
142,000
99,000
242,360,000
12/31/00
U S TECHNOLOGIES INC
810130
3672
7
0
434,700
148,200
4,840,532
12/31/00
PHOTRONICS INC
810136
3674
3
1
249,250
697,740
609,561,000
10/31/00
MESA AIR GROUP INC
810332
4512
3
1
663,500
106,500
386,594,000
9/30/00
NAVIDEA BIOPHARMACEUTICALS, INC.
810509
2835
4
1
70,300
25,665
7,572,815
12/31/00
FIRSTFED FINANCIAL CORP
810536
6035
4
1
146,000
28,000
4,365,239,808
12/31/00
BANK OF GRANITE CORP
810689
6022
3
1
84,300
42,600
661,622,976
12/31/00
MINUTEMAN INTERNATIONAL INC
810876
3580
2
1
95,000
43,000
54,826,000
12/31/00
CITIZENS & NORTHERN CORP
810958
6022
28361
0
59,000
44,120
719,335,000
12/31/00
CMS ENERGY CORP
811156
4931
5
1
1,554,000
2,150,000
15,851,000,000
12/31/00
UNIVERSITY BANCORP INC /DE/
811211
6022
6
0
118,318
227,362
47,670,653
12/31/00
BIOLASE, INC
811240
3843
1
1
71,000
15,000
6,599,100
12/31/00
Natural Resources USA Corp
811419
1400
471
0
14,090
0
11,092,000
6/30/00
REVCARE INC
811510
6199
5
1
52,700
241,460
17,005,470
9/30/00
FIRST BANCORP /NC/
811589
6022
4
1
90,100
178,500
915,167,000
12/31/00
KAISER ALUMINUM CORP
811596
3350
5
1
1,089,600
438,000
3,343,100,000
12/31/00
COMMERCE GROUP INC /MA
811612
6331
2
1
152,000
107,000
2,075,609,984
12/31/00
IMMUCELL CORP /DE/
811641
2835
1
1
29,000
8,935
6,443,916
12/31/00
UST INC
811669
2100
2
1
740,000
319,000
1,646,400,000
12/31/00
STERLING FINANCIAL CORP /PA/
811671
6021
2
1
205,000
256,162
1,726,140,032
12/31/00
MultiCell Technologies, Inc.
811779
2834
139
0
57,845
4,781
816,630
11/30/00
SUMMIT FINANCIAL GROUP INC
811808
6022
272
0
181,000
79,000
481,239,101
12/31/00
ATLANTIS PLASTICS INC
811828
3081
2
1
221,400
145,700
175,803,000
12/31/00
O-I Glass, Inc. /DE/
812074
3221
2
1
2,800,000
4,500,000
10,343,200,000
12/31/00
REHABCARE GROUP INC
812191
8060
4
1
154,000
309,190
229,092,992
12/31/00
Patient Safety Technologies, Inc
812301
3842
2
1
108,300
0
5,766,710
12/31/00
CENTURY BANCORP INC
812348
6022
4
1
90,000
24,950
1,083,830,000
12/31/00
ARCHON CORP
812482
7011
3
1
167,500
133,645
145,595,870
9/30/00
CALGON CARBON Corp
812701
2810
3
1
250,000
1,031,000
339,640,000
12/31/00
WELLMAN INC
812708
2820
2
1
470,000
468,000
1,334,070,016
12/31/00
MEDIALINK WORLDWIDE INC
812890
4899
4
1
135,000
3,000
42,028,300
12/31/00
FIRST HEALTH GROUP CORP
812910
6324
3
1
295,000
1,800,000
491,596,000
12/31/00
SEMELE GROUP INC
812914
6798
2
1
93,000
71,000
155,834,980
12/31/00
WD Media, Inc.
813347
3695
2
1
307,000
440,000
633,061,000
12/31/00
WESTCORP /CA/
813461
6035
2
1
220,000
864,000
7,867,910,144
12/31/00
SOUTHWALL TECHNOLOGIES INC /DE/
813619
3081
1
1
1,066,660
325,000
80,462,000
12/31/00
AMCOL INTERNATIONAL CORP
813621
1400
4
1
161,282
1,047,890
374,128,000
12/31/00
CITIZENS BANCSHARES CORP /GA/
813640
6022
3
1
89,962
38,220
267,278,240
12/31/00
CADENCE DESIGN SYSTEMS INC
813672
7372
5
1
934,000
5,687,000
1,477,321,000
12/30/00
CRIMSON EXPLORATION INC.
813779
1311
73
0
45,903
0
32,374,100
12/31/00
REPUBLIC BANCORP INC
813808
6022
2
1
236,000
262,000
4,610,639,872
12/31/00
ViacomCBS Inc.
813828
4833
1
1
2,700,000
9,700,000
82,646,100,000
12/31/00
CEC ENTERTAINMENT INC
813920
5812
3
1
197,000
23,066
389,375,000
12/31/00
AVITAR INC /DE/
814008
3842
7
0
73,662
52,664
4,686,254
9/30/00
YOUBET COM INC
814055
7990
7
0
81,789
54,178
24,271,200
12/31/00
PACE MEDICAL INC
814057
3845
3
1
37,500
8,500
2,318,226
12/31/00
CHAMPION ENTERPRISES INC
814068
2451
1
1
275,000
1,378,700
942,056,000
12/30/00
PROVENA FOODS INC
814139
2013
4
1
30,000
0
22,357,300
12/31/00
PENN TREATY AMERICAN CORP
814181
6321
1
1
470,000
320,000
856,131,008
12/31/00
TCF FINANCIAL CORP
814184
6021
4
1
614,000
786,000
11,197,462,000
12/31/00
LADISH CO INC
814250
3460
5
1
92,000
33,850
205,763,000
12/31/00
CNS INC /DE/
814258
3845
4
1
60,950
19,675
56,344,000
12/31/00
ARMANINO FOODS OF DISTINCTION INC /CO/
814339
2030
234
0
39,563
2,481
10,034,258
12/31/00
TIMBERLAND CO
814361
3140
3
1
833,750
397,750
476,311,008
12/31/00
NEWELL BRANDS INC.
814453
3089
5
1
3,000,000
3,900,000
7,261,825,000
12/31/00
HOME PRODUCTS INTERNATIONAL INC
814457
3089
5
1
195,000
443,400
265,652,000
12/30/00
EBIX INC
814549
7373
4
1
273,000
98,000
6,562,000
12/31/00
MBIA INC
814585
6351
1
1
560,000
2,173,000
13,894,338,000
12/31/00
Lifeway Foods, Inc.
814586
2020
92
0
35,050
0
13,575,404
12/31/00
BF ENTERPRISES INC
814856
6552
5
1
42,543
40,100
26,636,000
12/31/00
HILB ROGAL & HOBBS CO
814898
6411
2
1
164,000
191,000
353,371,008
12/31/00
PACIFICNET INC
815017
3669
5
1
88,000
40,000
7,600,000
12/31/00
CARNIVAL CORP
815097
4400
1
1
980,000
1,838,000
9,831,320,000
11/30/00
BIOPURE CORP
815508
2836
2
1
91,900
98,880
121,287,000
10/31/00
FASTENAL CO
815556
5200
4
1
200,000
36,000
402,464,000
12/31/00
NOVEN PHARMACEUTICALS INC
815838
2834
3
1
86,000
55,000
104,031,000
12/31/00
APPLIED IMAGING CORP
816066
3841
1
1
92,000
24,000
19,442,000
12/31/00
AIR METHODS CORP
816159
4522
4
1
82,500
35,200
75,250,000
12/31/00
CELGENE CORP /DE/
816284
2834
4
1
162,250
417,134
346,725,915
12/31/00
JB OXFORD HOLDINGS INC
816330
6200
5
1
275,000
229,785
352,254,049
12/31/00
CONMED CORP
816956
3845
1
1
220,600
207,260
679,571,000
12/31/00
ALARIS MEDICAL SYSTEMS INC
817161
3841
1
1
474,479
350,678
569,985,024
12/31/00
HERON THERAPEUTICS, INC. /DE/
818033
2834
4
1
111,000
91,000
26,996,162
12/31/00
ALL AMERICAN SEMICONDUCTOR INC
818074
5065
111
0
97,000
66,000
250,228,000
12/31/00
DENTSPLY SIRONA Inc.
818479
3843
1
1
627,000
465,000
866,615,000
12/31/00
Bitstream Inc.
818813
7371
5
1
82,600
0
12,107,000
12/31/00
PROVIDENT BANKSHARES CORP
818969
6022
1
1
147,000
87,366
5,499,440,128
12/31/00
Brickell Biotech, Inc.
819050
2836
5
1
32,500
92,350
162,903,212
12/31/00
CAM COMMERCE SOLUTIONS INC
819334
7373
2
1
59,000
31,000
18,296,000
9/30/00
MICRON SOLUTIONS INC /DE/
819689
3845
7
0
88,750
20,500
9,918,584
12/31/00
CHARTER ONE FINANCIAL INC
819692
6021
3
1
410,900
3,143,680
32,971,399,168
12/31/00
RAINBOW TECHNOLOGIES INC
819706
3577
2
1
544,000
669,000
171,208,992
12/31/00
ALBANY INTERNATIONAL CORP /DE/
819793
2221
1
1
1,076,200
2,389,000
1,112,252,000
12/31/00
MEDSTONE INTERNATIONAL INC/
819939
3845
2
1
125,550
0
29,876,847
12/31/00
SUMMIT BANK CORP
820067
6022
4
1
77,900
10,000
283,403,008
12/31/00
CAMBREX CORP
820081
2834
1
1
618,791
1,038,610
681,100,000
12/31/00
AMPHENOL CORP /DE/
820313
3678
3
1
897,000
228,000
1,004,322,000
12/31/00
QUANTRX BIOMEDICAL CORP
820608
3841
5
1
26,000
5,750
587,595
12/31/00
MOSAIC GLOBAL HOLDINGS INC.
820626
2870
2
1
893,000
2,121,000
4,261,600,000
12/31/00
ORBITAL SCIENCES CORP /DE/
820736
3663
1
1
850,000
659,000
763,258,000
12/31/00
ASHWORTH INC
820774
2320
4
1
120,153
132,507
87,371,000
10/31/00
Andersons, Inc.
821026
5150
1
1
307,000
0
433,196,000
12/31/00
BOSTON PRIVATE FINANCIAL HOLDINGS INC
821127
6022
4
1
118,000
261,000
921,510,000
12/31/00
EOG RESOURCES INC
821189
1311
5
1
352,000
191,000
3,000,815,000
12/31/00
WOLVERINE TUBE INC
821407
3350
2
1
282,000
587,000
590,355,008
12/31/00
PAR PACIFIC HOLDINGS, INC.
821483
1311
4
1
59,450
57,600
21,057,272
6/30/00
HUSA Liquidating Corp
821536
5990
7
0
172,000
48,000
21,872,100
12/29/00
BENTLEY PHARMACEUTICALS INC
821616
2834
3
1
80,000
30,000
28,877,000
12/31/00
JUNIPER PHARMACEUTICALS INC
821995
2834
107
0
68,000
52,430
15,519,231
12/31/00
IDM PHARMA, INC.
822206
2834
2
1
58,900
38,400
14,486,000
12/31/00
PULTEGROUP INC/MI/
822416
1531
2
1
559,000
561,000
2,886,483,000
12/31/00
FIDELITY SOUTHERN CORP
822662
6022
2
1
121,000
211,200
948,130,650
12/31/00
INTER PARFUMS INC
822663
2844
2421
0
75,500
30,500
94,571,000
12/31/00
ZOOM TECHNOLOGIES INC
822708
3661
4
1
95,000
44,962
46,959,995
12/31/00
CLEAN HARBORS INC
822818
4955
1
1
199,500
68,627
149,568,000
12/31/00
YBCC, Inc.
822997
5080
879
0
44,000
15,830
11,877,737
12/31/00
SOTHEBYS
823094
7389
3
1
1,175,580
605,000
1,074,158,000
12/31/00
WASTE MANAGEMENT INC
823768
4953
5
1
48,000,000
31,000,000
18,565,000,000
12/31/00
APOGEE TECHNOLOGY INC
823876
3841
220
0
64,000
0
1,527,560
12/31/00
ATS MEDICAL INC
824068
3842
2
1
54,750
209,332
102,354,000
12/31/00
AAON, INC.
824142
3585
5
1
72,000
0
76,818,000
12/31/00
NEXTEL COMMUNICATIONS INC
824169
4812
3
1
2,200,000
22,000,000
22,685,999,104
12/31/00
SANDY SPRING BANCORP INC
824410
6021
129
0
46,750
28,108
1,773,001,000
12/31/00
CARAUSTAR INDUSTRIES INC
825692
2631
5
1
437,500
1,327,600
932,827,008
12/31/00
ORRSTOWN FINANCIAL SERVICES INC
826154
6022
301
0
20,350
2,425
311,903,000
12/31/00
DYNEX CAPITAL INC
826675
6798
3
1
160,000
0
3,159,596,000
12/31/00
Merriman Holdings, Inc
826683
6211
5
1
120,000
200,000
16,263,816
12/31/00
EDISON INTERNATIONAL
827052
4911
5
1
5,893,000
11,445,000
35,100,000,000
12/31/00
ZEVEX INTERNATIONAL INC
827056
3845
2
1
100,322
21,522
38,688,000
12/31/00
Sleep Number Corp
827187
2510
4
1
104,000
14,000
64,672,000
12/30/00
ROCKFORD CORP
828064
3651
2
1
154,000
319,000
66,918,000
12/31/00
INTERLINK ELECTRONICS INC
828146
3577
5
1
56,000
79,000
31,774,000
12/31/00
COMMERCIAL NATIONAL FINANCIAL CORP /MI
828535
6022
8
0
56,600
45,120
215,886,000
12/31/00
FIRSTCITY FINANCIAL CORP
828678
6153
4
1
495,000
0
140,991,008
12/31/00
GSI COMMERCE INC
828750
5961
3
1
376,000
164,000
160,172,992
12/30/00
WEINGARTEN REALTY INVESTORS /TX/
828916
6798
3
1
262,000
206,425
1,517,581,000
12/31/00
WSFS FINANCIAL CORP
828944
6021
4
1
275,002
105,574
1,739,316,000
12/31/00
NTELOS INC
829676
4813
10
0
271,938
272,452
1,076,205,000
12/31/00
PICO HOLDINGS INC /NEW
830122
6500
3
1
271,110
914,711
395,144,634
12/31/00
LABONE INC/
830158
8071
4
1
75,000
156,362
127,979,000
12/31/00
OREGON STEEL MILLS INC
830260
3312
1
1
264,400
1,255,700
880,353,984
12/31/00
COUNTY BANK CORP
830480
6022
9
0
43,425
20,000
225,258,000
12/31/00
SCI Engineered Materials, Inc.
830616
3620
183
0
38,300
74,740
1,867,950
12/31/00
PRESSURE BIOSCIENCES INC
830656
3826
1
1
201,000
182,000
22,548,796
12/31/00
ALPHA INNOTECH CORP
830736
3826
2
1
79,825
31,875
18,730,000
12/31/00
PACIFIC OFFICE PROPERTIES TRUST, INC.
830748
6798
5
1
26,800
6,200
9,798,069
12/31/00
CITIGROUP INC
831001
6021
4
1
26,130,000
24,628,000
902,210,000,000
12/31/00
HEARTLAND TECHNOLOGY INC
831115
6770
2
1
134,000
107,000
26,544,000
12/31/00
FRANKLIN CREDIT HOLDING CORP/DE/
831246
6199
3
1
218,000
110,000
243,235,008
12/31/00
FREEPORT-MCMORAN INC
831259
1000
5
1
434,375
1,321,040
3,950,741,000
12/31/00
SPECTRUM PHARMACEUTICALS INC
831547
2834
5
1
92,500
19,000
15,780,984
12/31/00
UNITED NATIONAL BANCORP
831959
6021
4
1
218,500
103,450
2,112,181,000
12/31/00
PROVIDENCE & WORCESTER RAILROAD CO/RI/
831968
4011
3
1
106,528
18,638
89,073,000
12/31/00
IDEX CORP /DE/
832101
3561
3
1
697,000
408,000
758,854,000
12/31/00
E.W. SCRIPPS Co
832428
4833
3
1
658,500
453,400
2,572,866,000
12/31/00
UTG INC
832480
6311
93
0
203,496
0
333,620,111
12/31/00
CONCORDE CAREER COLLEGES INC
832483
8200
1
1
101,000
50,000
25,012,000
12/31/00
KCS ENERGY INC
832820
1311
5
1
344,000
198,900
347,335,008
12/31/00
COMMUNITY CAPITAL CORP /SC/
832847
6021
226
0
95,600
36,547
422,249,984
12/31/00
GENLYTE GROUP INC
833076
3640
5
1
319,000
772,000
635,883,008
12/31/00
Meritage Homes CORP
833079
1531
4
1
107,500
81,525
267,075,000
12/31/00
PRIDE INTERNATIONAL INC
833081
1381
1
1
880,000
708,000
2,676,930,048
12/31/00
ENPATH MEDICAL, INC.
833140
3841
10
0
40,340
9,275
5,561,030
12/31/00
CIMA LABS INC
833298
2834
2
1
33,000
95,210
189,462,000
12/31/00
POWER INTEGRATIONS INC
833640
3674
5
1
180,000
144,075
127,391,000
12/31/00
HOMEFED CORP
833795
6500
1
1
43,460
0
24,818,000
12/31/00
Boots & Coots, Inc.
833845
3533
5
1
371,300
0
18,126,000
12/31/00
COLUMBIA BANCORP
834105
6022
4
1
94,000
40,633
812,649,984
12/31/00
MTR GAMING GROUP INC
834162
7011
2
1
223,000
113,000
115,685,000
12/31/00
REPUBLIC FIRST BANCORP INC
834285
6022
4
1
123,240
24,700
655,637,000
12/31/00
ALERE SAN DIEGO, INC.
834306
2835
2
1
91,500
134,100
83,014,000
12/31/00
COMMONWEALTH BANKSHARES INC
835012
6021
276
0
71,755
74,245
205,735,008
12/31/00
Stock Yards Bancorp, Inc.
835324
6022
4
1
65,000
11,710
852,260,000
12/31/00
CLARION TECHNOLOGIES INC/DE/
835409
3714
2
1
47,200
174,900
113,805,000
12/30/00
CRT PROPERTIES INC
835664
6798
3
1
124,750
118,406
851,022,016
12/31/00
PROGENICS PHARMACEUTICALS INC
835887
2834
1
1
119,700
95,681
67,013,354
12/31/00
AMERICAN POWER CONVERSION CORP
835910
3620
4
1
815,540
4,191,150
1,317,110,016
12/31/00
NOVELLUS SYSTEMS INC
836106
3559
2
1
411,000
1,564,000
2,015,469,952
12/31/00
STRATFORD AMERICAN CORP
836435
1311
4
1
23,000
40,660
2,149,000
12/31/00
INNOVATIVE SOLUTIONS & SUPPORT INC
836690
7371
5
1
65,000
322,200
60,746,527
9/30/00
CORDIA CORP
837342
4813
200
0
47,400
0
647,793
12/31/00
CALLAWAY GOLF CO
837465
3949
1
1
486,000
655,000
630,934,000
12/31/00
VISX INC
837991
3845
5
1
128,000
225,485
321,507,008
12/31/00
TELVUE CORP
839443
3661
137
0
16,853
9,219
3,619,310
12/31/00
FMS FINANCIAL CORP
839845
6035
1
1
89,000
0
839,075,968
12/31/00
Warrior Energy Services CORP
839871
1389
1
1
216,200
34,300
42,875,000
12/31/00
CNB BANCORP INC /NY/
839928
6021
4
1
83,200
43,045
339,305,984
12/31/00
NORTH COAST ENERGY INC / DE/
839950
1311
183
0
108,400
45,500
135,353,164
12/31/00
REDWOOD EMPIRE BANCORP
840007
6021
8
0
57,500
93,722
453,439,008
12/31/00
CALIFORNIA COASTAL COMMUNITIES INC
840216
1531
3
1
77,500
108,640
178,700,000
12/31/00
VINEYARD NATIONAL BANCORP
840256
6021
81
0
41,620
81,360
110,753,000
12/31/00
CAPITOL BANCORP LTD
840264
6021
7
0
223,259
93,038
1,630,099,968
12/31/00
GREAT LAKES BANCORP, INC.
840387
6036
4
1
1,139,080
1,434,230
5,360,929,792
12/31/00
GREKA ENERGY CORP
840402
1311
5
1
829,160
0
98,813,285
12/31/00
BECKMAN COULTER INC
840467
3826
4
1
1,000,000
1,327,000
2,018,200,000
12/31/00
FIRSTCASH, INC
840489
5900
3
1
91,500
30,500
119,118,000
12/31/00
BTU INTERNATIONAL INC
840883
3559
5
1
116,000
59,450
51,160,000
12/31/00
FIRST LITCHFIELD FINANCIAL CORP
840886
6021
10
0
76,863
49,759
264,828,000
12/31/00
DORAL FINANCIAL CORP
840889
6029
1
1
631,000
218,013
5,463,390,208
12/31/00
AMS HEALTH SCIENCES INC
841866
5099
3
1
82,100
12,333
11,690,200
12/31/00
NTS MORTGAGE INCOME FUND
841942
6798
5
1
89,000
12,800
57,780,576
12/31/00
LEAR CORP
842162
3714
5
1
3,472,000
5,549,000
8,375,500,000
12/31/00
RPT Realty
842183
6798
3
1
91,550
344,970
560,284,000
12/31/00
AB HOLDING GROUP, INC.
842289
3089
13
0
75,590
77,684
15,726,600
12/31/00
TOR MINERALS INTERNATIONAL INC
842295
2810
2
1
58,000
6,050
18,222,853
12/31/00
EVANS BANCORP INC
842518
6021
3
1
69,975
16,154
224,549,143
12/31/00
LYONDELL CHEMICAL CO
842635
2860
1
1
1,873,500
2,500,000
7,047,000,064
12/31/00
VERSUS TECHNOLOGY INC
842638
3669
7
0
192,000
0
7,922,000
10/31/00
FEDERAL TRUST CORP
842640
6035
4
1
75,000
14,500
248,938,000
12/31/00
YORK INTERNATIONAL CORP /DE/
842662
3585
4
1
1,647,000
3,426,000
2,774,210,048
12/31/00
PLAYTEX PRODUCTS INC
842699
2300
4
1
394,000
79,000
1,139,379,968
12/30/00
TETRA TECHNOLOGIES INC
844965
1311
2
1
55,000
0
278,940,000
12/31/00
PECO II INC
845072
1700
5
1
128,000
424,300
154,146,000
12/31/00
HARVEST NATURAL RESOURCES, INC.
845289
1311
1
1
539,500
258,000
286,447,008
12/31/00
CELL ROBOTICS INTERNATIONAL INC
845291
3826
4
1
51,000
42,000
3,135,820
12/31/00
INFOCUS CORP
845434
3577
5
1
317,000
1,082,000
480,548,992
12/31/00
ARMOR HOLDINGS INC
845752
3842
1
1
476,000
1,235,900
225,956,992
12/31/00
ABATIX CORP
845779
5084
4
1
50,000
13,650
14,042,400
12/31/00
RADIANT SYSTEMS INC
845818
7373
5
1
77,000
64,475
131,261,000
12/31/00
FEDERAL AGRICULTURAL MORTGAGE CORP
845877
6111
5
1
89,500
141,558
3,160,899,000
12/31/00
BREMER FINANCIAL CORP
846616
6021
3
1
246,300
1,537,500
4,192,596,000
12/31/00
BRIDGE BANCORP, INC.
846617
6021
5
1
56,000
34,600
354,642,000
12/31/00
CONSULIER ENGINEERING INC
846718
7372
7
0
46,000
8,000
8,615,970
12/31/00
SIMTROL INC
846775
7372
6
0
66,500
32,804
7,234,290
12/31/00
COLLINS & AIKMAN CORP
846815
3714
5
1
1,800,000
1,000,000
1,280,290,048
12/31/00
PRESSTEK INC /DE/
846876
3555
7
0
210,580
2,700
115,902,000
12/30/00
LAKELAND BANCORP INC
846901
6022
6
0
82,000
66,910
906,612,000
12/31/00
FIFTH THIRD BANK /TN/
846903
6021
3
1
125,000
70,000
604,945,984
12/31/00
SEA PINES ASSOCIATES INC
846926
7011
2
1
136,861
122,079
56,994,000
10/31/00
DUQUESNE LIGHT HOLDINGS INC
846930
4911
3
1
506,200
5,727,470
3,865,969,920
12/31/00
Lake Sunapee Bank Group
846931
6035
293
0
43,225
104,618
463,396,992
12/31/00
CRIIMI MAE INC
847322
6798
5
1
1,802,240
1,003,580
1,557,840,000
12/31/00
NYMAGIC INC
847431
6351
4
1
229,800
112,200
720,329,024
12/31/00
MAIN STREET RESTAURANT GROUP, INC.
847466
5812
5
1
78,000
224,000
108,261,000
12/25/00
VULCAN INTERNATIONAL CORP
848446
3060
295
0
104,911
23,189
111,143,958
12/31/00
Allied Waste Industries, LLC
848865
4953
5
1
982,000
6,874,000
14,513,600,512
12/31/00
NEUROGEN CORP
849043
2834
1
1
87,000
70,000
142,588,000
12/31/00
AVADO BRANDS INC
849101
5812
4
1
250,000
225,000
609,681,000
12/31/00
Heritage Global Inc.
849145
7389
1
1
102,000
111,000
21,657,492
12/31/00
PLUM CREEK TIMBER CO INC
849213
6798
1
1
287,164
1,118,050
1,250,068,000
12/31/00
HAWK CORP
849240
3728
2
1
238,943
355,956
215,384,992
12/31/00
LIFECELL CORP
849448
3841
5
1
67,000
40,700
25,410,000
12/31/00
RAMTRON INTERNATIONAL CORP
849502
3674
5
1
60,000
49,385
38,362,000
12/31/00
ADVANCED ENVIRONMENTAL RECYCLING TECHNOLOGIES INC
849706
2430
5
1
95,000
18,500
35,258,300
12/31/00
CYTYC CORP
849778
3826
5
1
142,000
213,000
170,886,000
12/31/00
SILGAN HOLDINGS INC
849869
3411
2
1
800,000
400,000
1,383,824,000
12/31/00
HORACE MANN EDUCATORS CORP /DE/
850141
6331
4
1
336,450
347,300
4,420,580,000
12/31/00
SAFENET INC
850313
3663
2
1
60,000
41,000
43,105,800
12/31/00
NEW HORIZONS WORLDWIDE INC
850414
8200
3
1
101,347
136,514
123,068,000
12/31/00
TREDEGAR CORP
850429
3350
1
1
401,000
400,268
903,768,000
12/31/00
ENCORE WIRE CORP
850460
3350
2
1
107,300
70,500
171,838,929
12/31/00
REXHALL INDUSTRIES INC
850476
3716
4
1
77,000
0
40,932,000
12/31/00
GTSI CORP
850483
5045
5
1
202,000
60,700
227,064,992
12/31/00
PLX TECHNOLOGY INC
850579
3674
2
1
190,500
83,500
113,479,000
12/31/00
FULTON BANCSHARES CORP
850626
6021
301
0
25,140
24,235
140,480,000
12/31/00
Victor Technologies Group, Inc.
850660
3541
2
1
392,000
524,000
317,944,992
12/31/00
ALLERGAN INC
850693
2834
4
1
734,000
1,940,000
1,971,000,064
12/31/00
COGNEX CORP
851205
3823
1
1
173,038
839,771
436,141,000
12/31/00
FIRST FEDERAL CAPITAL CORP
851207
6035
2
1
115,800
75,450
2,352,730,112
12/31/00
HARMONIC INC
851310
3663
1
1
300,000
513,000
425,944,000
12/31/00
COST U LESS INC
851368
5331
2
1
79,779
56,850
41,717,000
12/31/00
EXPONENT INC
851520
8742
4
1
185,000
290,000
85,626,000
12/29/00
TARANTELLA INC
851560
7372
1
1
174,000
67,836
82,202,000
9/30/00
LASERSCOPE
851737
3845
2
1
278,000
70,000
24,087,000
12/31/00
MOHAWK INDUSTRIES INC
851968
2273
4
1
530,000
683,737
1,792,641,000
12/31/00
PW EAGLE INC
852426
3080
1
1
235,000
382,000
158,379,008
12/31/00
RAND WORLDWIDE INC
852437
7372
4
1
90,000
196,000
22,697,000
6/30/00
CNB FLORIDA BANCSHARES INC
852618
6021
5
1
120,800
21,000
467,592,992
12/31/00
YTB International, Inc.
852766
4700
606
0
655,000
5,000
5,904,460
12/31/00
DENNY’S Corp
852772
5812
3
1
821,900
253,115
743,433,000
12/27/00
AZTAR CORP
852807
7990
1
1
542,348
406,611
1,011,696,000
12/28/00
WESTPOINT STEVENS INC
852952
2390
2
1
777,700
1,231,900
1,458,449,000
12/31/00
BORLAND SOFTWARE CORP
853273
7372
1
1
495,030
242,719
340,903,008
12/31/00
APPLEBEES INTERNATIONAL INC
853665
5812
3
1
168,000
157,000
471,707,008
12/31/00
DRI CORP
853695
3669
10
0
71,491
119,880
17,820,200
12/31/00
LANDSTAR SYSTEM INC
853816
4213
4
1
488,000
258,220
370,362,000
12/30/00
STANDARD MANAGEMENT CORP
853971
5912
2
1
200,000
40,000
1,470,460,032
12/31/00
PAMRAPO BANCORP INC
854071
6036
306
0
80,000
70,500
469,558,016
12/31/00
INTERPORE INTERNATIONAL INC /DE/
854093
3842
2
1
80,000
162,775
45,233,000
12/31/00
MAGNUM HUNTER RESOURCES INC
854271
1311
3
1
85,000
40,650
315,612,000
12/31/00
PREMIER COMMUNITY BANKSHARES INC
854399
6021
152
0
56,643
54,405
246,315,008
12/31/00
GREAT SOUTHERN BANCORP, INC.
854560
6022
11
0
175,000
128,585
1,130,178,058
12/31/00
MAF BANCORP INC
854662
6035
4
1
188,000
168,079
5,195,590,144
12/31/00
EMRISE Corp
854852
3679
7
0
296,697
269,257
19,484,000
12/31/00
CORNERSTONE REALTY INCOME TRUST INC
854875
6798
2
1
185,000
99,309
799,780,992
12/31/00
MidgardXXI, Inc.
855109
3572
1
1
183,828
201,036
103,792,000
12/30/00
IBIS TECHNOLOGY CORP
855182
3674
4
1
47,000
0
56,298,524
12/31/00
AMERIANA BANCORP
855574
6035
18
0
56,950
26,220
557,288,000
12/31/00
FONIX CORP
855585
4813
5
1
170,000
161,940
17,517,400
12/31/00
ZIX CORP
855612
7374
2
1
81,250
108,099
78,677,000
12/31/00
LATTICE SEMICONDUCTOR CORP
855658
3674
1
1
120,900
358,625
1,295,884,000
12/31/00
MILESTONE SCIENTIFIC INC.
855683
3842
6
0
136,500
50,945
2,553,817
12/31/00
QUERYOBJECT SYSTEMS CORP
855743
7372
1
1
57,000
15,000
5,500,840
12/31/00
COMMUNITY FINANCIAL CORP /MD/
855874
6022
129
0
38,582
9,792
248,339,456
12/31/00
SKY FINANCIAL GROUP INC
855876
6021
8
0
187,000
1,413,570
8,386,802,000
12/31/00
SILICON STORAGE TECHNOLOGY INC
855906
3674
1
1
266,000
621,000
512,590,016
12/31/00
PROCYTE CORP /WA/
856072
2834
3
1
48,500
1,100
12,185,400
12/31/00
AEROVOX INC
856164
3620
4
1
142,400
33,800
85,482,000
12/30/00
SUMMIT FINANCIAL CORP
856223
6021
4
1
34,500
0
249,835,008
12/31/00
GEHL CO
856386
3523
1
1
166,200
116,000
222,718,000
12/31/00
Giant Industries, Inc.
856465
2911
3
1
211,000
90,000
528,564,992
12/31/00
ENCORIUM GROUP INC
856569
8731
3
1
5,000
5,000
9,310,560
12/31/00
WESTERN GAS RESOURCES INC
856716
4924
1
1
195,000
0
1,431,420,032
12/31/00
MERIT MEDICAL SYSTEMS INC
856982
3841
3
1
89,000
227,000
71,446,631
12/31/00
USA EQUITIES CORP.
856984
7389
5
1
59,500
35,100
5,086,000
12/31/00
COMMUNITY FIRST BANKSHARES INC
857593
6022
2
1
300,000
789,000
6,089,730,048
12/31/00
I FLOW CORP /DE/
857728
3841
3
1
137,877
42,086
35,215,000
12/31/00
BLACKHAWK BANCORP INC
857853
6035
1649
0
46,000
18,750
327,171,000
12/31/00
UNITED COMMUNITY BANKS INC
857855
6022
240
0
330,000
332,000
2,528,879,000
12/31/00
JMAR TECHNOLOGIES INC
857953
3829
5
1
116,895
29,500
34,191,600
12/31/00
PROTEIN POLYMER TECHNOLOGIES INC
858155
3841
2
1
51,750
17,274
1,382,830
12/31/00
CAESARS ENTERTAINMENT Corp
858339
7011
5
1
1,923,000
1,375,000
5,166,085,000
12/31/00
TRANSCEND SERVICES INC
858452
7389
5
1
51,000
0
5,679,000
12/31/00
CABOT OIL & GAS CORP
858470
1311
1
1
271,000
319,000
735,634,000
12/31/00
TROVER SOLUTIONS INC
858629
6411
1
1
82,500
89,400
79,445,000
12/31/00
EMCLAIRE FINANCIAL CORP
858800
6021
821
0
32,611
38,916
194,165,000
12/31/00
FIRST COMMUNITY BANKSHARES INC /VA/
859070
6022
2
1
85,000
69,500
1,218,017,000
12/31/00
DELPHI FINANCIAL GROUP, INC.
859139
6311
2
1
394,000
466,000
3,440,009,984
12/31/00
BAY BANCORP, INC.
859222
6022
313
0
68,398
33,334
387,947,008
12/31/00
LEGATO SYSTEMS INC
859360
7372
1
1
240,000
799,800
414,864,000
12/31/00
SEACOR HOLDINGS INC /NEW/
859598
4412
5
1
284,000
71,000
1,132,730,000
12/31/00
TRANSBOTICS CORP
859621
3620
10
0
48,655
2,585
2,304,110
11/30/00
Solar Thin Films, Inc.
859792
5082
1
1
28,000
0
128,549,000
7/31/00
VARCO INTERNATIONAL INC /DE/
860097
1389
2
1
475,000
786,000
1,076,979,968
12/31/00
Wave Sync Corp.
860131
2860
2
1
67,500
18,000
20,482,936
12/31/00
TEAM AMERICA INC
860235
8741
5
1
281,700
82,150
58,844,000
12/31/00
BIOSOURCE INTERNATIONAL INC
860451
2835
4
1
107,578
345,885
50,364,200
12/31/00
ITEX CORP
860518
7389
108
0
93,971
345,690
8,533,000
7/31/00
SAVANNAH BANCORP INC
860519
6021
7
0
94,100
0
344,096,000
12/31/00
CORPORATE OFFICE PROPERTIES TRUST
860546
6798
1
1
114,600
85,990
794,837,000
12/31/00
HCA Healthcare, Inc.
860730
8062
2
1
3,500,000
15,000,000
17,568,000,000
12/31/00
TYLER TECHNOLOGIES INC
860731
7372
2
1
412,000
215,000
152,706,000
12/31/00
KEMPER Corp
860748
6331
4
1
899,915
432,877
6,164,800,000
12/31/00
SYLVAN INC
861291
100
5
1
158,000
33,000
105,774,000
12/31/00
GRANITE CONSTRUCTION INC
861459
1600
1
1
318,000
72,000
711,142,000
12/31/00
NUEVO ENERGY CO
861819
1311
4
1
236,000
219,655
848,024,000
12/31/00
IDERA PHARMACEUTICALS, INC.
861838
2836
5
1
65,000
73,750
10,001,483
12/31/00
CATHAY GENERAL BANCORP
861842
6022
4
1
232,800
490,300
2,206,834,000
12/31/00
STERICYCLE INC
861878
4955
2
1
290,000
380,000
597,982,000
12/31/00
ILM II SENIOR LIVING INC /VA
861880
6798
2
1
39,500
37,000
35,611,000
8/31/00
RELIANCE STEEL & ALUMINUM CO
861884
5051
2
1
1,000,000
1,900,000
997,243,000
12/31/00
CIB MARINE BANCSHARES INC
861955
6022
4
1
165,500
437,885
2,367,541,000
12/31/00
FINANCIAL INSTITUTIONS INC
862831
6021
4
1
120,000
181,790
1,289,327,000
12/31/00
JanOne Inc.
862861
5700
10
0
56,000
36,000
12,651,000
12/30/00
BENCHMARK ELECTRONICS INC
863436
3672
4
1
352,625
836,205
991,221,000
12/31/00
HECTOR COMMUNICATIONS CORP
863437
4813
79
0
222,000
223,000
158,678,000
12/31/00
ADAM INC
863650
7372
1
1
107,500
41,500
6,817,000
12/31/00
VERU INC.
863894
2834
10
0
106,325
0
4,120,782
9/30/00
O CHARLEYS INC
864233
5812
4
1
77,500
58,842
311,017,984
12/31/00
SYPRIS SOLUTIONS INC
864240
3823
2
1
178,200
323,915
179,122,000
12/31/00
SIMON WORLDWIDE INC
864264
2300
1
1
471,744
721,823
252,435,000
12/31/00
BRADLEY PHARMACEUTICALS INC
864268
2834
6
0
88,000
29,000
17,320,500
12/31/00
TRIMBLE INC.
864749
3829
2
1
760,000
1,848,000
490,504,000
12/29/00
SENTIGEN HOLDING CORP
864890
8731
978
0
44,000
16,000
13,419,900
12/31/00
JUNIPER GROUP INC
864921
1731
159
0
41,000
1,925
3,968,258
12/31/00
CELL GENESYS INC
865231
2834
2
1
136,000
175,000
793,716,000
12/31/00
SAUER DANFOSS INC
865754
3590
4
1
407,000
40,000
840,963,008
12/31/00
VITAL SIGNS INC
865846
3841
107
0
138,175
90,623
172,831,000
9/30/00
VERSANT CORP
865917
7372
5
1
167,536
3,000
15,370,000
12/31/00
CATELLUS DEVELOPMENT CORP /OLD/
865937
6512
1
1
383,500
1,132,100
2,275,539,968
12/31/00
COMMERCIAL NATIONAL FINANCIAL CORP /PA
866054
6022
122
0
37,350
0
329,799,647
12/31/00
PS BUSINESS PARKS INC/CA
866368
6798
2
1
62,400
551,948
930,756,000
12/31/00
BSML INC
866734
3841
2
1
269,595
244,642
30,131,000
12/31/00
HELIX ENERGY SOLUTIONS GROUP INC
866829
1389
5
1
107,500
169,020
347,488,000
12/31/00
MERCURY INTERACTIVE CORP
867058
7372
1
1
347,000
262,000
976,374,976
12/31/00
ELECTRONICS FOR IMAGING INC
867374
3576
1
1
290,100
252,800
654,390,000
12/31/00
ProPhase Labs, Inc.
868278
2834
1
1
77,500
25,496
26,055,601
12/31/00
SUN-TIMES MEDIA GROUP INC
868512
2711
4
1
1,274,320
5,517,210
2,751,000,064
12/31/00
GLACIER BANCORP, INC.
868671
6022
4
1
126,947
151,113
1,056,712,000
12/31/00
Dorman Products, Inc.
868780
3714
5
1
127,850
505,600
159,879,000
12/30/00
XTO ENERGY INC
868809
1311
5
1
200,000
87,175
1,591,900,032
12/31/00
MAVERICK TUBE CORP
869087
3317
2
1
366,000
1,165,000
389,028,992
12/31/00
MERIDIAN RESOURCE CORP
869369
1311
2
1
330,000
152,567
570,921,024
12/31/00
RURAL CELLULAR CORP
869561
4812
5
1
270,000
1,030,000
1,771,800,064
12/31/00
SPSS INC
869570
7372
4
1
304,000
1,277,000
189,499,008
12/31/00
WESTECH CAPITAL CORP
869688
6211
4
1
61,959
148,026
7,299,159
12/31/00
REGAN HOLDING CORP
870069
6311
1
1
197,419
16,036
42,583,401
12/31/00
SYNERGY BRANDS INC
870228
5141
7
0
125,880
26,200
8,840,215
12/31/00
MBNA CORP
870517
6021
2
1
1,059,000
2,586,000
38,678,102,016
12/31/00
NUMEREX CORP /PA/
870753
3669
6
0
139,600
76,400
45,942,000
12/31/00
CYGNUS INC /DE/
870755
9995
2
1
141,000
190,535
32,889,000
12/31/00
NATIONAL ENERGY GROUP INC
870756
1311
2
1
276,426
35,034
118,654,000
12/31/00
ManpowerGroup Inc.
871763
7363
5
1
1,192,400
4,330,000
3,041,600,000
12/31/00
AVALON CORRECTIONAL SERVICES INC
872202
8744
6
0
40,000
0
39,455,000
12/31/00
PETROQUEST ENERGY INC
872248
1311
5
1
63,000
68,000
83,072,000
12/31/00
ATMEL CORP
872448
3674
1
1
935,435
8,218,230
3,824,890,112
12/31/00
REGENERON PHARMACEUTICALS, INC.
872589
2834
1
1
115,000
212,725
208,274,000
12/31/00
WILMINGTON TRUST CORP
872821
6022
2
1
310,000
229,370
7,321,619,968
12/31/00
ESB FINANCIAL CORP
872835
6035
2
1
100,500
241,500
1,200,150,016
12/31/00
RADISYS CORP
873044
3577
1
1
203,689
701,880
334,003,000
12/31/00
CEPHALON INC
873364
2834
5
1
138,000
245,930
308,435,008
12/31/00
CAREY INSTITUTIONAL PROPERTIES INC /MD/
873394
6798
1
1
63,000
72,000
380,208,621
12/31/00
MEDIMMUNE INC /DE
873591
2836
1
1
189,000
246,000
1,006,569,984
12/31/00
EXCEL TECHNOLOGY INC
873603
3690
2
1
120,000
254,900
98,985,669
12/31/00
OCWEN FINANCIAL CORP
873860
6162
1
1
1,449,110
814,915
2,249,420,000
12/31/00
IONIS PHARMACEUTICALS INC
874015
2834
2
1
55,450
28,890
183,256,000
12/31/00
JONES GROUP INC
874016
2330
7
0
679,541
242,188
2,979,200,000
12/31/00
CURATIVE HEALTH SERVICES CO
874212
8093
2
1
114,500
155,250
75,166,000
12/31/00
MEDAREX INC
874255
8731
2
1
114,825
701,975
558,380,032
12/31/00
ICOS CORP
874294
2834
4
1
79,182
140,896
268,174,000
12/31/00
AMERICAN MEDICAL TECHNOLOGIES INC/DE
874388
3843
2
1
109,620
23,641
18,290,997
12/31/00
LIFETIME BRANDS, INC
874396
3420
2
1
142,000
83,000
112,119,000
12/31/00
GENELABS TECHNOLOGIES INC /CA
874443
2834
2
1
124,500
69,000
37,594,000
12/31/00
UNION NATIONAL FINANCIAL CORP / PA
874482
6021
122
0
30,673
6,121
282,680,000
12/31/00
JEFFERSONVILLE BANCORP
874495
6021
4
1
78,000
181,725
273,464,000
12/31/00
GULFPORT ENERGY CORP
874499
1311
794
0
44,000
700
36,178,000
12/31/00
AMBAC FINANCIAL GROUP INC
874501
6351
4
1
789,500
682,193
10,120,300,000
12/31/00
OSI RESTAURANT PARTNERS, LLC
874691
5812
1
1
134,750
183,950
1,022,529,984
12/31/00
IDEXX LABORATORIES INC /DE
874716
2835
5
1
154,500
107,833
335,796,000
12/31/00
MEDIWARE INFORMATION SYSTEMS INC
874733
7373
121
0
226,000
133,000
29,051,000
6/30/00
OSTEOTECH INC
874734
3841
1
1
125,582
68,470
104,438,000
12/31/00
AES CORP
874761
4991
3
1
4,861,900
7,619,550
31,033,000,000
12/31/00
HARTFORD FINANCIAL SERVICES GROUP, INC.
874766
6331
5
1
3,745,000
3,621,530
171,532,000,000
12/12/00
VARSITY BRANDS INC
874786
3949
6
0
176,000
52,000
193,817,000
12/31/00
State Auto Financial CORP
874977
6331
2
1
129,278
132,902
898,106,000
12/31/00
REMINGTON OIL & GAS CORP
874992
1311
5
1
123,500
125,395
192,474,000
12/31/00
BIOGEN INC.
875045
2836
4
1
119,700
248,015
856,406,000
12/31/00
VERTEX PHARMACEUTICALS INC / MA
875320
2834
1
1
116,711
401,414
772,881,000
12/31/00
INSIGNIA SYSTEMS INC/MN
875355
7310
2
1
33,000
10,200
5,065,193
12/31/00
BOK FINANCIAL CORP ET AL
875357
6021
2
1
343,450
312,741
9,748,334,000
12/31/00
MICRO LINEAR CORP /CA/
875359
3674
1
1
135,000
94,289
62,580,000
12/31/00
LASER PACIFIC MEDIA CORP
875738
7819
4
1
94,500
0
30,423,316
12/31/00
SMART & FINAL INC/DE
875751
5140
5
1
440,000
190,000
582,340,992
12/31/00
PROGRESS SOFTWARE CORP /MA
876167
7372
3
1
435,000
387,000
278,805,000
11/30/00
CARDIAC SCIENCE INC
876188
3845
1
1
46,695
17,550
33,335,700
12/31/00
Lineage Cell Therapeutics, Inc.
876343
2836
3
1
56,250
25,980
1,677,484
12/31/00
TRANSENTERIX, INC.
876378
3841
2
1
140,000
27,000
9,774,000
12/31/00
MGIC INVESTMENT CORP
876437
6351
1
1
406,500
468,656
3,857,781,000
12/31/00
FIRSTFED BANCORP INC
876947
6022
5
1
64,000
20,950
157,204,000
12/31/00
ZEBRA TECHNOLOGIES CORP
877212
3560
4
1
353,000
221,000
418,896,000
12/31/00
LANDAMERICA FINANCIAL GROUP INC
877355
6361
2
1
633,000
618,000
1,618,960,000
12/31/00
Sunovion Pharmaceuticals Inc.
877357
2834
1
1
129,880
401,132
750,958,016
12/31/00
AMERICA SERVICE GROUP INC /DE
877476
8090
2
1
198,743
349,436
161,402,000
12/31/00
WTC INDUSTRIES INC
877542
3580
10
0
37,813
7,470
3,661,160
12/31/00
TECHNOLOGY SOLUTIONS COMPANY
877645
7373
1
1
220,000
360,813
127,638,000
12/31/00
NATIONAL HEALTH INVESTORS INC
877860
6798
5
1
79,000
74,000
766,977,000
12/31/00
CITRIX SYSTEMS INC
877890
7372
2
1
680,000
1,770,000
1,112,573,000
12/31/00
NEOSE TECHNOLOGIES INC
877902
2833
5
1
41,000
71,000
114,768,000
12/31/00
PAR PHARMACEUTICAL COMPANIES, INC.
878088
2834
5
1
162,500
78,975
89,150,000
12/31/00
LEGAL ACCESS TECHNOLOGIES INC
878146
7389
661
0
17,500
0
5,310,402
12/31/00
TUT SYSTEMS INC
878436
3661
1
1
276,200
1,172,650
205,588,000
12/31/00
STEWART ENTERPRISES INC
878522
7200
1
1
457,655
316,268
2,337,008,000
10/31/00
PER SE TECHNOLOGIES INC
878556
7374
1
1
477,500
481,355
214,126,000
12/31/00
CalAtlantic Group, Inc.
878560
1531
5
1
168,000
236,790
1,118,790,016
12/31/00
HUMAN PHEROMONE SCIENCES INC
878616
2844
7
0
62,390
12,665
2,204,000
12/31/00
EMBREX INC /NC/
878725
2836
2
1
78,820
50,490
26,770,000
12/31/00
TUESDAY MORNING CORP/DE
878726
5331
5
1
130,000
7,500
243,147,000
12/31/00
MANOR CARE INC
878736
8051
2
1
525,000
1,825,320
2,358,469,888
12/31/00
AMERICAN MORTGAGE ACCEPTANCE CO
878774
6798
3
1
48,500
30,000
70,438,304
12/31/00
WIRELESS TELECOM GROUP INC
878828
3825
111
0
65,318
30,246
37,656,273
12/31/00
AMERICAN MEDICAL SECURITY GROUP INC
878897
6324
2
1
202,000
67,000
471,923,008
12/31/00
Synvista Therapeutics, Inc.
878903
2834
5
1
45,000
15,000
13,389,364
12/31/00
OLD DOMINION FREIGHT LINE, INC.
878927
4213
2
1
69,010
46,320
296,591,000
12/31/00
KIMCO REALTY CORP
879101
6798
1
1
161,000
48,400
3,171,348,000
12/31/00
AUTOIMMUNE INC
879106
2836
1
1
29,750
13,000
9,955,000
12/31/00
INCYTE CORP
879169
8731
2
1
185,000
288,000
886,820,000
12/31/00
AMERICAN HOMEPATIENT INC
879181
8082
5
1
329,000
526,000
378,513,984
12/31/00
AMERIVISION COMMUNICATIONS INC
879385
4813
332
0
304,875
167,279
27,140,000
12/31/00
infoGROUP Inc.
879437
7331
4
1
186,100
306,137
463,544,992
12/31/00
DYNTEK INC
879465
7389
572
0
70,000
60,000
12,525,000
6/30/00
WABASH NATIONAL Corp
879526
3715
5
1
760,000
845,000
781,614,000
12/31/00
CHECKERS DRIVE IN RESTAURANTS INC /DE
879554
5812
4
1
240,000
37,480
125,998,000
1/1/01
MID PENN BANCORP INC
879635
6022
28361
0
47,772
0
315,584,000
12/31/00
VIVEVE MEDICAL, INC.
879682
3845
2
1
100,500
40,301
15,078,000
12/31/00
INFONOW CORP /
879684
5045
3
1
40,500
8,192
8,808,000
12/31/00
APPLIED ENERGETICS, INC.
879911
3812
7
0
107,000
119,000
139,662,000
6/30/00
DUSA PHARMACEUTICALS INC
879993
2834
3
1
123,000
37,000
82,442,400
12/31/00
INSURANCE AUTO AUCTIONS, INC
880026
5010
4
1
104,000
144,000
265,707,008
12/31/00
CLAYTON WILLIAMS ENERGY INC /DE
880115
1311
5
1
83,500
52,500
164,864,000
12/31/00
Southeastern Bank Financial CORP
880116
6022
4
1
87,000
46,350
405,791,008
12/31/00
EASTON BANCORP INC/MD
880209
6022
313
0
25,500
3,400
64,536,500
12/31/00
BIOLARGO, INC.
880242
2800
608
0
33,000
2,975
10,247,986
12/31/00
AGCO CORP /DE
880266
3523
5
1
1,310,130
1,212,270
2,104,200,000
12/31/00
DENDRITE INTERNATIONAL INC
880321
7372
5
1
399,600
320,575
175,903,008
12/31/00
CSB BANCORP INC /OH
880417
6022
8
0
58,750
99,535
325,212,250
12/31/00
FISHER SCIENTIFIC INTERNATIONAL INC
880430
5040
3
1
1,042,580
4,862,340
1,385,699,968
12/31/00
GENAERA CORP
880431
2836
4
1
57,000
35,000
20,701,000
12/31/00
VERTEL CORP
880458
7372
3
1
105,000
176,000
20,809,000
12/31/00
EAGLE FINANCIAL SERVICES INC
880641
6022
152
0
31,774
37,260
196,133,288
12/31/00
GENTA INC DE/
880643
2836
3
1
195,000
32,628
57,207,700
12/31/00
SCICLONE PHARMACEUTICALS INC
880771
2834
2
1
131,370
15,676
36,167,000
12/31/00
PREMIERE GLOBAL SERVICES, INC.
880804
7389
5
1
580,000
98,600
630,932,992
12/31/00
AMYLIN PHARMACEUTICALS INC
881464
2834
2
1
65,705
212,169
90,635,000
12/31/00
SPATIALIGHT INC
881468
3861
7
0
86,489
0
1,800,530
12/31/00
VIVUS INC
881524
2834
5
1
147,000
78,000
69,174,000
12/31/00
PALOMAR MEDICAL TECHNOLOGIES LLC
881695
3845
5
1
105,000
87,000
20,999,700
12/31/00
NEXIQ TECHNOLOGIES INC
881771
3829
5
1
96,750
54,700
13,057,563
9/24/00
YRC REGIONAL TRANSPORTATION, INC.
881791
4213
5
1
259,500
213,600
1,351,069,952
12/31/00
SHOLODGE INC
881924
7011
2
1
239,000
102,400
204,631,008
12/31/00
CUMBERLAND TECHNOLOGIES INC
882087
6331
3
1
98,180
21,500
24,309,600
12/31/00
GILEAD SCIENCES INC
882095
2836
2
1
338,000
624,000
678,099,000
12/31/00
PDL BIOPHARMA, INC.
882104
2836
2
1
110,000
190,000
704,980,000
12/31/00
POWERSECURE INTERNATIONAL, INC.
882154
7389
3
1
115,500
24,300
20,795,900
12/31/00
DAW TECHNOLOGIES INC /UT
882159
1540
6
0
139,466
67,266
31,564,000
12/31/00
APRIA HEALTHCARE GROUP INC
882289
8082
3
1
661,113
1,309,190
616,603,008
12/31/00
I STAT CORPORATION /DE/
882365
3845
1
1
149,132
217,719
59,934,000
12/31/00
OCULAR SCIENCES INC /DE/
882484
3851
4
1
192,472
379,859
264,830,000
12/31/00
QUICKLOGIC Corp
882508
3674
1
1
164,000
105,000
100,307,000
12/31/00
BIOCRYST PHARMACEUTICALS INC
882796
2836
2
1
49,100
19,300
70,826,059
12/31/00
NANOPHASE TECHNOLOGIES Corp
883107
3390
2
1
46,000
11,800
23,830,163
12/31/00
SYNOPSYS INC
883241
7372
4
1
1,409,700
896,600
1,050,993,000
10/31/00
VALASSIS COMMUNICATIONS INC
883293
7310
3
1
92,850
204,915
325,716,992
12/31/00
UMBRELLA BANCORP INC
883502
6035
8
0
74,500
375,077
463,093,000
12/31/00
GLACIER WATER SERVICES INC
883505
5960
5
1
74,000
90,100
74,616,000
12/31/00
Fossil Group, Inc.
883569
3873
3
1
883,569
289,000
307,591,000
12/30/00
LONE STAR STEAKHOUSE & SALOON INC
883670
5812
2
1
168,000
273,000
488,923,008
12/26/00
REGEN BIOLOGICS INC
883697
3841
2
1
100,000
35,000
5,442,000
12/31/00
ZAMBA CORP
883741
7370
4
1
110,800
39,400
17,013,000
12/31/00
USA TRUCK INC
883945
4213
2
1
50,000
39,000
189,918,824
12/31/00
Atlantic Union Bankshares Corp
883948
6022
152
0
56,367
45,335
881,961,000
12/31/00
Microbot Medical Inc.
883975
2836
2
1
119,405
177,404
29,794,979
12/31/00
RARE HOSPITALITY INTERNATIONAL INC
883976
5812
4
1
200,000
292,000
295,380,992
12/31/00
POMEROY IT SOLUTIONS INC
883979
5045
6
0
111,070
10,322
367,832,992
1/5/01
FIRST DATA CORP
883980
7389
2
1
1,900,000
3,900,000
17,295,100,000
12/31/00
ELEVON INC
883983
7372
3
1
220,000
0
27,560,000
12/31/00
ICU MEDICAL INC/DE
883984
3841
5
1
90,000
121,600
92,860,000
12/31/00
OPTION CARE INC/DE
884064
8082
2
1
126,820
187,529
66,825,000
12/31/00
CHROMCRAFT REVINGTON INC
884130
2510
4
1
168,730
13,900
160,092,000
12/31/00
VIAD CORP
884219
7389
3
1
1,025,000
950,000
6,300,231,000
12/31/00
PRIMEDIA INC
884382
2721
3
1
2,075,350
3,721,320
2,677,479,936
12/31/00
MEDQUIST INC
884497
7374
5
1
225,000
859,000
349,900,992
12/31/00
THERMOENERGY CORP
884504
4955
189
0
27,500
3,500
637,858
12/31/00
JPE INC
884637
5013
2
1
168,250
34,127
69,890,000
12/31/00
NYER MEDICAL GROUP INC
884647
5047
443
0
83,877
22,523
12,603,100
12/31/00
FOCUS ENHANCEMENTS INC
884719
3576
176
0
125,000
175,000
9,780,620
12/31/00
ARIAD PHARMACEUTICALS INC
884731
2836
3
1
80,000
51,000
48,813,000
12/31/00
SLIPPERY ROCK FINANCIAL CORP
884782
6021
821
0
41,000
50,000
283,441,984
12/31/00
MZT Holdings, Inc.
884847
2835
5
1
51,000
44,000
6,595,470
12/31/00
PRAXAIR INC
884905
2810
1
1
2,462,000
1,997,000
7,762,000,000
12/31/00
TRANSKARYOTIC THERAPIES INC
885259
2836
2
1
59,000
78,530
272,392,992
12/31/00
WILSON BANK HOLDING CO
885275
6021
337
0
63,050
16,900
602,218,000
12/31/00
STRATUS PROPERTIES INC
885508
6552
5
1
60,000
144,538
111,893,000
12/31/00
PEOPLES BANCORPORATION INC /SC/
885542
6021
41
0
29,900
26,000
259,500,000
12/31/00
CREDIT ACCEPTANCE CORP
885550
6141
3
1
523,200
434,400
671,034,000
12/31/00
NUVEEN INVESTMENTS, INC
885708
6282
4
1
231,247
1,004,460
576,038,976
12/31/00
EXPRESS SCRIPTS INC
885721
5912
1
1
310,000
1,308,000
2,276,644,000
12/31/00
BOSTON SCIENTIFIC CORP
885725
3841
2
1
955,000
2,387,000
3,427,000,000
12/31/00
GLIATECH INC
885741
2836
2
1
83,500
221,000
21,176,000
12/31/00
U S PHYSICAL THERAPY INC /NV
885978
8000
4
1
75,000
64,000
22,970,000
12/31/00
INTEGRAMED AMERICA INC
885988
8011
1
1
90,000
0
41,295,000
12/31/00
GENERAL CABLE CORP /DE/
886035
3357
3
1
679,000
2,247,000
1,319,200,000
12/31/00
SAGA COMMUNICATIONS INC
886136
4832
2
1
178,100
100,510
179,906,000
12/31/00
LIGAND PHARMACEUTICALS INC
886163
2834
3
1
31,800
2,400
113,422,000
12/31/00
ASPECT MEDICAL SYSTEMS INC
886235
3845
5
1
175,000
260,000
79,411,200
12/31/00
KADANT INC
886346
3550
5
1
250,700
92,050
414,215,000
12/30/00
Health Fitness Corp /MN/
886432
7900
6
0
54,260
116,800
10,399,300
12/31/00
DATATRAK INTERNATIONAL INC
886530
7372
2
1
105,500
44,005
14,486,000
12/31/00
GERON CORP
886744
2834
2
1
97,600
144,702
114,030,000
12/31/00
SUPERIOR ENERGY SERVICES INC
886835
1389
4
1
180,000
328,552
430,676,000
12/31/00
ZUNICOM INC
886912
7389
585
0
109,110
43,440
13,427,129
12/31/00
GOLDMAN SACHS GROUP INC
886982
6211
1
1
14,700,000
34,000,000
289,760,000,000
11/24/00
ENCYSIVE PHARMACEUTICALS INC
887023
2834
4
1
77,000
137,000
98,968,400
12/31/00
CITIZENS FINANCIAL CORP /KY/
887136
6321
2
1
75,000
63,200
135,538,006
12/31/00
CROGHAN BANCSHARES INC
887149
6022
12
0
63,350
11,250
347,432,000
12/31/00
HAMPSHIRE GROUP LTD
887150
2253
3
1
206,100
131,000
132,652,000
12/31/00
Capstone Therapeutics Corp.
887151
2834
3
1
135,953
198,247
65,034,996
12/31/00
Adamis Pharmaceuticals Corp
887247
2834
2
1
94,000
114,000
21,258,763
12/31/00
COLUMBIA BANKING SYSTEM, INC.
887343
6022
3
1
121,100
11,700
1,496,495,000
12/31/00
AMPEX CORP /DE/
887433
3663
1
1
252,050
50,500
60,030,000
12/31/00
FIBERMARK INC
887591
2631
4
1
334,130
0
386,212,992
12/31/00
RAILAMERICA INC /DE
887637
4011
1
1
330,000
421,259
839,702,976
12/31/00
CARACO PHARMACEUTICAL LABORATORIES LTD
887708
2834
30
0
40,500
5,250
9,222,750
12/31/00
OCCUPATIONAL HEALTH & REHABILITATION INC
887757
8000
1
1
87,490
15,225
22,148,000
12/31/00
CYBER CARE INC
887904
8071
2
1
239,722
149,786
59,733,000
12/31/00
LTC PROPERTIES INC
887905
6798
2
1
191,887
313,360
676,585,000
12/31/00
PREMIER FINANCIAL BANCORP INC
887919
6022
8
0
149,750
48,835
889,932,000
12/31/00
REVLON INC /DE/
887921
2844
4
1
1,900,000
1,100,000
1,101,500,000
12/31/00
FTI CONSULTING, INC
887936
8742
2
1
158,602
246,042
146,131,000
12/31/00
MRV COMMUNICATIONS INC
887969
3674
5
1
1,000,000
2,200,000
1,097,621,000
12/31/00
INTERACTIVE DATA CORP/MA/
888165
6200
1
1
327,000
719,765
731,677,000
12/31/00
OMEGA HEALTHCARE INVESTORS INC
888491
6798
2
1
185,000
153,300
948,451,000
12/31/00
EPRESENCE INC
888711
7373
1
1
180,500
188,905
244,430,000
12/31/00
FIDELITY NATIONAL INFORMATION SOLUTIONS INC
888793
7389
3
1
221,475
173,500
64,622,000
12/31/00
HCC INSURANCE HOLDINGS INC/DE/
888919
6331
1
1
458,595
698,104
2,742,980,096
12/31/00
ONLINE RESOURCES CORP
888953
7389
2
1
157,000
214,750
35,128,400
12/31/00
Kerr-McGee (Nevada) LLC
889005
1311
5
1
269,000
95,000
657,374,016
12/31/00
TULARIK INC
889057
2834
2
1
114,000
261,256
315,097,984
12/31/00
LITTELFUSE INC /DE
889331
3613
2
1
275,000
433,000
274,378,000
12/30/00
CPI AEROSTRUCTURES INC
889348
3728
107
0
91,769
45,017
25,513,700
12/31/00
Pathfinder Cell Therapy, Inc.
889428
3842
121
0
22,325
0
966,000
12/31/00
HARBOR BANKSHARES CORP
889608
6022
129
0
55,625
0
184,516,773
12/31/00
CONSUMER PORTFOLIO SERVICES INC
889609
6199
4
1
210,000
402,000
175,694,000
12/31/00
PRIVATEBANCORP, INC
889936
6022
5
1
140,000
55,000
829,508,992
12/31/00
Forticell BioScience, Inc.
889992
3841
6
0
64,500
37,571
11,719,800
12/31/00
GLEN BURNIE BANCORP
890066
6022
284
0
85,901
38,906
239,211,180
12/31/00
TAUBMAN CENTERS INC
890319
6798
3
1
862,433
1,140,720
1,907,563,000
12/31/00
NPS PHARMACEUTICALS INC
890465
2836
4
1
91,000
438,600
269,270,000
12/31/00
ASGN Inc
890564
7363
3
1
76,956
0
105,556,000
12/31/00
ALLIED HEALTHCARE INTERNATIONAL INC
890634
8082
2
1
332,000
406,000
183,700,000
9/30/00
RAMP CORP
890784
7370
108
0
92,306
0
5,089,000
12/31/00
McAfee, Inc.
890801
7372
1
1
1,463,220
3,542,760
1,465,619,968
12/31/00
AMERI Holdings, Inc.
890821
3674
199
0
21,250
0
2,457,024
12/31/00
RADIAN GROUP INC
890926
6351
3
1
92,500
568,500
2,272,811,000
12/31/00
MINERALS TECHNOLOGIES INC
891014
2810
4
1
838,000
116,000
799,832,000
12/31/00
STERLING BANCSHARES INC
891098
6022
3
1
221,500
86,527
1,925,129,984
12/31/00
IAC/INTERACTIVECORP
891103
5990
2
1
1,683,000
6,167,000
10,473,870,000
12/31/00
STERLING FINANCIAL CORP /WA/
891106
6036
1
1
186,000
221,787
2,662,779,904
12/31/00
EPICOR SOFTWARE CORP
891178
7372
2
1
836,000
187,000
134,787,008
12/31/00
QUESTCOR PHARMACEUTICALS INC
891288
2834
2
1
196,000
30,300
14,969,000
12/31/00
CTI BIOPHARMA CORP
891293
2834
2
1
215,228
246,382
190,111,453
12/31/00
SPECTRE GAMING INC
891389
7990
16
0
15,395
21,986
2,646,000
12/31/00
FULL HOUSE RESORTS INC
891482
7011
3
1
55,500
1,600
13,452,679
12/31/00
TAPESTRY PHARMACEUTICALS, INC
891504
2833
2
1
78,000
58,000
38,001,000
12/31/00
CENTRUE FINANCIAL CORP
891523
6035
10
0
50,200
79,411
459,894,016
12/31/00
PERMA FIX ENVIRONMENTAL SERVICES INC
891532
4955
7
0
124,290
14,588
72,771,000
12/31/00
MARTEK BIOSCIENCES CORP
892025
2836
2
1
68,438
120,000
45,442,106
10/31/00
SIRNA THERAPEUTICS INC
892112
2834
2
1
46,000
129,375
83,897,000
12/31/00
DERMA SCIENCES, INC.
892160
3841
2
1
77,500
30,000
5,580,610
12/31/00
CRAFT BREW ALLIANCE, INC.
892222
2082
2
1
70,561
0
85,620,502
12/31/00
VENTURE FINANCIAL GROUP INC
892449
6022
848
0
81,425
69,622
324,235,000
12/31/00
Qumu Corp
892482
7372
4
1
103,000
110,000
36,555,464
12/31/00
CHART INDUSTRIES INC
892553
3443
2
1
468,000
375,000
421,489,000
12/31/00
SPORT HALEY INC
892653
2320
74
0
47,802
202,091
26,622,000
6/30/00
GRAPHIC PACKAGING INTERNATIONAL CORP
892793
2650
1
1
315,000
370,000
1,331,450,000
12/31/00
SANDSTON CORP
892832
6770
6
0
53,000
32,000
16,880,162
12/31/00
RENT WAY INC
893046
7359
1
1
3,420,000
272,000
766,311,000
9/30/00
VENTANA MEDICAL SYSTEMS INC
893160
3841
2
1
188,500
205,000
109,582,000
12/31/00
CREDENCE SYSTEMS CORP
893162
3825
2
1
588,455
278,973
879,237,000
10/31/00
NORTHWEST BANCORPORATION INC
893467
6021
13
0
32,000
7,988
173,740,670
12/31/00
SM Energy Co
893538
1311
5
1
77,700
12,375
321,895,000
12/31/00
FC BANC CORP
893539
6022
281
0
31,600
17,700
100,131,000
12/31/00
CARRAMERICA REALTY CORP
893577
6798
4
1
375,500
1,977,440
3,072,841,000
12/31/00
180 DEGREE CAPITAL CORP. /NY/
893739
6799
5
1
63,000
13,500
43,343,423
12/21/00
FRESH CHOICE INC
893741
5812
3
1
128,000
38,000
32,159,000
12/31/00
INFOCROSSING INC
893816
7374
2
1
138,515
181,485
78,449,400
12/31/00
HAWTHORN BANCSHARES, INC.
893847
6021
4
1
100,000
161,234
719,603,346
12/31/00
STUDENT LOAN CORP
893955
6141
4
1
110,325
73,025
16,243,200,000
12/31/00
Synthetic Biologics, Inc.
894158
2834
2
1
42,500
33,450
5,450,657
12/31/00
HAMILTON BANCORP INC
894172
6035
3
1
1,667,940
106,465
1,741,659,000
12/31/00
PEROT SYSTEMS CORP
894253
7374
1
1
375,919
1,220,160
673,152,000
12/31/00
COWLITZ BANCORPORATION
894267
6022
13
0
67,109
8,274
296,897,984
12/31/00
SPECTRALINK CORP
894268
3663
5
1
67,000
77,849
60,070,000
12/31/00
SITE Centers Corp.
894315
6798
1
1
434,657
678,512
2,332,021,000
12/31/00
ARCBEST CORP /DE/
894405
4213
2
1
317,500
376,164
797,124,000
12/31/00
COMMUNITY BANKSHARES INC /SC/
894508
6022
294
0
50,000
14,790
273,323,008
12/31/00
SEGUE SOFTWARE INC
894572
7373
6
0
150,000
71,425
39,901,000
12/31/00
VAALCO ENERGY INC /DE/
894627
1311
3
1
71,000
40,000
19,041,000
12/31/00
GREAT AMERICAN FINANCIAL RESOURCES INC
894651
6399
2
1
495,000
1,029,000
7,975,900,160
12/31/00
OHIO VALLEY BANC CORP
894671
6022
8
0
67,500
24,065
561,658,000
12/31/00
GRILL CONCEPTS INC
895041
5812
1
1
93,000
37,500
12,534,100
12/31/00
CASI Pharmaceuticals, Inc.
895051
2836
2
1
84,500
148,179
31,410,412
12/31/00
INSIGHTFUL CORP
895095
7372
5
1
75,000
179,250
10,505,961
12/31/00
CHESAPEAKE ENERGY CORP
895126
1311
1
1
291,000
223,000
1,440,426,000
12/31/00
ALLEGRO BIODIESEL CORP
895380
2860
4
1
89,500
28,783
27,810,800
12/31/00
ARGOSY GAMING CO
895385
7900
2
1
397,000
143,500
537,235,968
12/31/00
EQUITY LIFESTYLE PROPERTIES INC
895417
6798
2
1
122,500
120,100
1,104,304,000
12/31/00
MORGAN STANLEY
895421
6211
3
1
14,500,000
22,700,000
426,794,000,000
11/30/00
ROCKY BRANDS, INC.
895456
3140
3
1
279,000
120,000
86,051,172
12/31/00
DEARBORN BANCORP INC /MI/
895541
6022
8
0
37,500
15,710
193,878,000
12/31/00
SYNAGRO TECHNOLOGIES INC
895565
4953
5
1
243,180
893,224
443,820,992
12/31/00
GGP, Inc. (fka General Growth Properties Inc. & predecessor to General Growth Properties, Inc.)
895648
6798
1
1
286,100
1,079,940
5,284,100,096
12/31/00
GLOBAL INDUSTRIES LTD
895663
1389
3
1
327,000
501,000
730,187,008
12/31/00
SUPERCONDUCTOR TECHNOLOGIES INC
895665
3663
1
1
111,675
202,977
46,761,000
12/31/00
GATEWAY INC
895812
3571
1
1
1,200,000
6,300,000
4,152,544,000
12/31/00
AMSURG CORP
895930
8011
3
1
89,500
259,040
190,652,000
12/31/00
AMEDISYS INC
896262
8082
5
1
185,100
70,600
38,970,000
12/31/00
USANA HEALTH SCIENCES INC
896264
2833
6
0
105,000
65,000
35,492,000
12/31/00
SOUTHERN ENERGY HOMES INC
896397
2452
5
1
157,940
374,504
95,187,000
12/29/00
EVERI GAMES HOLDING INC.
896400
7900
7
0
172,597
20,103
28,792,000
9/30/00
DPW Holdings, Inc.
896493
3679
74
0
62,000
98,000
12,165,050
12/31/00
APTARGROUP INC
896622
3089
1
1
498,000
478,000
952,239,000
12/31/00
CONCEPTUS INC
896778
3841
2
1
57,000
33,000
14,106,000
12/31/00
AVID TECHNOLOGY, INC.
896841
7372
1
1
661,117
269,953
266,482,000
12/31/00
PLANET TECHNOLOGIES, INC
896861
3564
1
1
44,000
34,500
1,993,250
12/31/00
CYMER INC
897067
3559
4
1
168,000
812,869
533,174,016
12/31/00
REPROS THERAPEUTICS INC.
897075
2836
5
1
83,800
22,900
40,374,000
12/31/00
ALAMO GROUP INC
897077
3523
2
1
369,000
80,000
173,408,000
12/31/00
Resonate Blends, Inc.
897078
7372
1
1
79,500
31,500
9,307,000
12/31/00
FLAG FINANCIAL CORP
897509
6035
240
0
150,000
189,000
559,036,992
12/31/00
FIRST STATE BANCORPORATION
897861
6022
4
1
97,250
38,367
652,729,024
12/31/00
MOUNTAIN BANK HOLDING CO
898018
6021
848
0
51,800
10,316
102,141,000
12/31/00
DIMECO INC
898037
6022
821
0
38,045
140,773
214,993,000
12/31/00
UWHARRIE CAPITAL CORP
898171
6022
29
0
50,000
26,314
228,456,143
12/31/00
O REILLY AUTOMOTIVE INC
898173
5531
2
1
214,000
81,000
715,995,000
12/31/00
REINSURANCE GROUP OF AMERICA INC
898174
6311
3
1
556,337
226,000
6,061,860,000
12/31/00
Anika Therapeutics, Inc.
898437
3841
5
1
48,000
60,000
28,978,501
12/31/00
NSD BANCORP INC
898624
6022
3
1
63,900
25,927
435,619,008
12/31/00
STATION CASINOS INC
898660
7011
5
1
162,000
360,000
1,440,429,952
12/31/00
INTERPOOL INC
898777
7359
5
1
285,000
741,000
2,194,831,000
12/31/00
ADVANCED FIBRE COMMUNICATIONS INC
898805
3661
4
1
185,500
88,275
1,134,450,048
12/31/00
ATA HOLDINGS CORP
898904
4522
2
1
273,500
282,790
1,032,430,016
12/31/00
ALLSTATE CORP
899051
6331
3
1
4,004,800
1,177,230
104,808,000,000
12/31/00
POINT BLANK SOLUTIONS, INC.
899166
3842
630
0
55,000
0
28,056,300
12/31/00
CDW CORP
899171
5961
1
1
198,000
413,985
748,436,992
12/31/00
OPTI INC
899297
3674
2
1
140,000
25,831
61,272,000
12/31/00
Harbor BioSciences, Inc.
899394
2834
7
0
33,000
15,145
35,099,000
12/31/00
CALYPTE BIOMEDICAL CORP
899426
3826
4
1
120,802
43,750
5,006,000
12/31/00
ACADIA REALTY TRUST
899629
6798
2
1
160,000
264,000
523,611,000
12/31/00
RIVIERA HOLDINGS CORP
899647
7011
3
1
185,000
43,350
283,710,016
12/31/00
VORNADO REALTY TRUST
899689
6798
3
1
821,000
1,612,000
6,370,314,000
12/31/00
TANGER FACTORY OUTLET CENTERS, INC
899715
6798
1
1
117,500
307,785
487,408,000
12/31/00
OM GROUP INC
899723
3990
2
1
316,000
874,921
1,357,459,968
12/31/00
HEALTHCARE REALTY TRUST INC
899749
6798
2
1
227,000
0
1,587,076,000
12/31/00
TITAN INTERNATIONAL INC
899751
3312
1
1
395,000
654,000
591,641,000
12/31/00
PROLOGIS
899881
6798
5
1
363,790
1,048,910
5,946,330,112
12/31/00
THOMAS GROUP INC
900017
8742
2
1
221,537
113,171
31,082,000
12/31/00
HYBRID NETWORKS INC
900091
7373
74
0
270,437
12,991
19,664,000
12/31/00
ELCOM INTERNATIONAL INC
900096
7371
4
1
306,500
575,000
95,204,000
12/31/00
BELL MICROPRODUCTS INC
900708
5065
1
1
377,700
1,258,350
661,206,976
12/31/00
HUMAN GENOME SCIENCES INC
901219
2836
2
1
83,090
107,744
1,948,530,048
12/31/00
PAPA JOHNS INTERNATIONAL INC
901491
5812
2
1
196,100
449,449
395,658,000
12/31/00
BACK YARD BURGERS INC
901495
5812
1
1
77,200
20,100
17,779,000
12/30/00
LENOX GROUP INC
902270
3260
3
1
143,700
100,000
277,808,000
12/30/00
ALDILA INC
902272
3949
3
1
101,850
99,050
104,327,000
12/31/00
LIBBEY INC
902274
3220
2
1
245,800
319,416
446,707,000
12/31/00
ELECTROGLAS INC
902281
3559
2
1
279,600
605,000
282,230,016
12/31/00
AKSYS LTD
902600
3845
4
1
52,000
14,250
22,188,020
12/31/00
BARRETT BUSINESS SERVICES INC
902791
7363
1
1
94,500
164,700
61,112,000
12/31/00
POST PROPERTIES INC
903127
6798
1
1
246,407
844,913
2,551,239,936
12/31/00
GENTHERM Inc
903129
3714
1
1
151,000
82,000
8,745,000
12/31/00
INNODATA INC
903651
7374
6
0
72,000
23,000
27,946,037
12/31/00
TALOS PETROLEUM LLC
904080
1311
5
1
117,500
99,680
602,431,000
12/31/00
DISC GRAPHICS INC /DE/
904541
2670
4
1
72,250
71,000
42,143,659
12/31/00
N-VIRO INTERNATIONAL CORP
904896
4950
183
0
65,000
4,000
4,751,977
12/31/00
rEVO Biologics, Inc.
904973
2836
1
1
251,000
404,000
134,403,008
12/31/00
SHILOH INDUSTRIES INC
904979
3460
1
1
212,000
321,580
572,884,774
10/31/00
HOLLYWOOD ENTERTAINMENT CORP
905895
7841
1
1
538,500
275,175
665,113,984
12/31/00
EQUITY RESIDENTIAL
906107
6798
2
1
590,000
1,650,000
12,263,966,000
12/31/00
TOWN & COUNTRY TRUST
906110
6798
2
1
217,700
292,832
498,692,000
12/31/00
NVR INC
906163
1531
4
1
310,450
90,926
841,260,000
12/31/00
PM Liquidating Corp.
906337
7374
1
1
98,000
118,100
27,666,400
12/31/00
CAMDEN PROPERTY TRUST
906345
6798
3
1
342,000
197,000
2,430,881,000
12/31/00
RFS HOTEL INVESTORS INC
906408
6798
1
1
118,000
231,000
673,467,000
12/31/00
QRS CORP
906551
7374
1
1
438,000
29,000
248,120,000
12/31/00
BOYD GAMING CORP
906553
7011
3
1
413,000
114,500
1,577,614,000
12/31/00
NEKTAR THERAPEUTICS
906709
2834
2
1
140,000
360,000
629,540,000
12/31/00
EMPIRE RESORTS INC
906780
5810
33
0
64,475
5,525
13,533,000
12/31/00
SHURGARD STORAGE CENTERS INC
906933
6798
3
1
272,000
203,000
1,230,240,000
12/31/00
AMERICAN STONE INDUSTRIES INC
907033
3281
347
0
22,621
6,000
5,358,600
12/31/00
SUNRISE TELECOM INC
907152
4813
4
1
207,000
467,000
125,556,000
12/31/00
MONARCH CASINO & RESORT INC
907242
7011
5
1
35,000
0
126,390,808
12/31/00
SAUL CENTERS, INC.
907254
6798
5
1
150,700
109,000
334,450,000
12/31/00
ESS TECHNOLOGY INC
907410
3674
1
1
548,000
591,903
400,964,000
12/31/00
DYAX CORP
907562
8731
1
1
124,224
545,235
91,405,000
12/31/00
FX ENERGY INC
907649
1311
1
1
59,325
56,298
10,570,300
12/31/00
ARCA biopharma, Inc.
907654
2835
4
1
145,300
30,000
21,288,000
12/31/00
Plures Technologies, Inc./DE
907686
3674
7
0
51,000
0
4,339,028
9/30/00
ACTEL CORP
907687
3674
2
1
326,900
165,718
312,433,984
12/31/00
PERFORMANCE FOOD GROUP CO
908254
5141
4
1
157,500
267,389
709,696,000
12/30/00
BORGWARNER INC
908255
3714
3
1
878,000
889,000
2,765,900,000
12/31/00
MATEON THERAPEUTICS INC
908259
2834
2
1
130,000
29,700
31,229,242
12/31/00
CIM Commercial Trust Corp
908311
6798
1
1
59,625
19,622
151,399,000
12/31/00
WINMARK CORP
908315
5900
5
1
68,500
10,800
14,720,800
12/30/00
BOGEN COMMUNICATIONS INTERNATIONAL INC
908517
3661
4
1
190,000
330,000
61,112,000
12/31/00
ATRM Holdings, Inc.
908598
2452
1
1
81,200
58,200
44,373,846
12/31/00
CASTELLE \CA\
908605
3577
1
1
108,550
0
8,543,000
12/31/00
LANDRYS RESTAURANTS INC
908652
5812
5
1
182,000
568,700
663,875,008
12/31/00
NB&T FINANCIAL GROUP INC
908837
6029
295
0
84,800
83,325
579,232,000
12/31/00
PHILADELPHIA CONSOLIDATED HOLDING CORP
909109
6331
1
1
113,750
31,000
730,464,000
12/31/00
COLONIAL PROPERTIES TRUST
909111
6798
1
1
190,815
694,126
1,944,099,968
12/31/00
CAPTIVA SOFTWARE CORP
909276
7372
1
1
88,000
51,000
17,801,000
12/31/00
MID ATLANTIC REALTY TRUST
909298
6798
4
1
115,000
136,472
371,080,608
12/31/00
Exterran Energy Corp.
909413
7359
1
1
530,000
896,468
1,246,169,984
12/31/00
TANDY LEATHER FACTORY INC
909724
3100
74
0
35,200
37,493
19,686,079
12/31/00
ULTRATECH INC
909791
3559
2
1
387,000
326,000
264,068,992
12/31/00
NETMANAGE INC
909793
7372
5
1
411,000
188,000
109,981,000
12/31/00
ALLIED SYSTEMS HOLDINGS INC
909950
4213
5
1
258,000
1,317,000
610,539,008
12/31/00
WILD OATS MARKETS INC
909990
5412
1
1
142,500
33,523
372,632,000
12/30/00
EPOCH BIOSCIENCES INC
910057
2835
4
1
52,035
27,161
20,934,800
12/31/00
NEW YORK COMMUNITY BANCORP INC
910073
6036
4
1
293,500
596,000
4,710,785,000
12/31/00
BEDFORD PROPERTY INVESTORS INC/MD
910079
6798
4
1
101,300
220,149
634,166,016
12/31/00
LEXINGTON REALTY TRUST
910108
6798
4
1
88,000
141,333
668,377,000
12/31/00
PENN AMERICA GROUP INC
910110
6351
2
1
75,000
38,000
239,486,000
12/31/00
BELDEN 1993 INC
910134
3357
2
1
300,000
960,000
795,768,000
12/31/00
TITAN PHARMACEUTICALS INC
910267
2836
2
1
86,800
102,090
118,442,000
12/31/00
ASTORIA FINANCIAL CORP
910322
6035
4
1
360,200
371,000
22,336,800,768
12/31/00
HAIN CELESTIAL GROUP INC
910406
2000
2
1
360,000
370,000
416,017,000
6/30/00
FIDELITY FEDERAL BANCORP
910492
6035
18
0
41,000
93,166
166,466,000
12/31/00
DECKERS OUTDOOR CORP
910521
3021
4
1
116,000
161,000
77,712,000
12/31/00
AQUA CARE SYSTEMS INC /DE/
910566
3580
7
0
99,600
92,052
10,571,592
12/31/00
REGENCY CENTERS CORP
910606
6798
4
1
350,000
185,345
3,035,143,740
12/31/00
MNC Corp /DE/
910619
3711
1
1
170,100
174,000
321,609,984
12/30/00
WICKES INC
910620
5211
3
1
273,000
326,500
300,936,000
12/30/00
3D SYSTEMS CORP
910638
7372
3
1
163,275
233,187
109,897,000
12/31/00
NATIONAL RV HOLDINGS INC
910655
3716
1
1
100,600
223,652
155,674,000
12/31/00
J JILL GROUP INC
910721
5961
1
1
126,800
227,008
130,137,000
12/30/00
LODGENET INTERACTIVE CORP
911002
4899
5
1
88,000
144,000
281,604,992
12/31/00
MOBILE MINI INC
911109
3443
5
1
131,000
151,350
279,960,150
12/31/00
ATCHISON CASTING CORP
911115
3320
3
1
610,000
725,000
342,423,000
6/30/00
CENTURY CASINOS INC /CO/
911147
7011
6
0
64,413
42,857
56,122,000
12/31/00
CADUS CORP
911148
6500
4
1
57,000
12,750
25,708,657
12/31/00
MCT INC
911149
3825
3
1
160,500
144,000
51,023,000
12/31/00
EMAK Worldwide, Inc.
911151
7311
5
1
134,000
114,000
110,542,000
12/31/00
SYNAGEVA BIOPHARMA CORP
911326
2836
4
1
55,000
33,000
98,933,000
12/31/00
VESTA INSURANCE GROUP INC
911576
6331
1
1
1,206,500
876,393
1,622,000,000
12/31/00
STEINWAY MUSICAL INSTRUMENTS INC
911583
3931
3
1
463,200
313,600
421,816,000
12/31/00
TRIAD GUARANTY INC
911631
6351
2
1
145,200
46,490
328,376,603
12/31/00
ASSOCIATED ESTATES REALTY CORP
911635
6798
1
1
264,000
182,540
819,558,976
12/31/00
STANDARD DIVERSIFIED INC.
911649
2100
4
1
84,000
26,500
26,508,000
12/31/00
OPINION RESEARCH CORP
911673
8700
2
1
182,000
262,000
115,957,000
12/31/00
PRIME RETAIL INC/BD/
911708
6798
2
1
486,400
3,547,210
1,462,021,000
12/31/00
EARTHSHELL CORP
911801
2650
3
1
80,000
27,200
48,473,600
12/31/00
GREENPOINT FINANCIAL CORP
911935
6162
1
1
1,341,000
3,464,000
15,764,799,488
12/31/00
CORPORATE PROPERTY ASSOCIATES 12 INC
912046
6798
1
1
65,000
57,000
441,208,592
12/31/00
PACIFIC CREST CAPITAL INC
912048
6036
3
1
121,150
55,845
648,660,000
12/31/00
SYMBOLLON CORP
912086
2836
7
0
43,000
3,700
4,060,840
12/31/00
STORAGE USA INC
912116
6798
1
1
168,615
283,983
1,766,770,000
12/31/00
AMERISTAR CASINOS INC
912145
7011
5
1
256,000
479,000
890,921,024
12/31/00
CUBIST PHARMACEUTICALS INC
912183
2834
1
1
97,197
174,967
193,370,000
12/31/00
G&L REALTY CORP
912240
6798
3
1
165,000
210,000
205,466,000
12/31/00
PROGRESSIVE GAMING INTERNATIONAL CORP
912241
3990
5
1
288,000
222,000
166,746,000
12/31/00
MACERICH CO
912242
6798
1
1
276,500
678,729
2,337,242,000
12/31/00
EVERGREEN ENERGY INC
912365
1221
1
1
100,000
87,419
8,471,370
12/31/00
CHATEAU COMMUNITIES INC
912393
6798
1
1
111,000
413,000
1,017,864,000
12/31/00
GUESS INC
912463
2340
4
1
337,000
1,307,000
419,683,000
12/31/00
HOLLYWOOD MEDIA CORP
912544
5990
5
1
158,800
21,368
169,278,082
12/31/00
GIBRALTAR INDUSTRIES, INC.
912562
3310
1
1
132,500
97,850
556,046,000
12/31/00
SUN COMMUNITIES INC
912593
6798
1
1
115,900
40,900
966,628,000
12/31/00
MID AMERICA APARTMENT COMMUNITIES INC.
912595
6798
4
1
183,000
413,000
1,303,771,000
12/31/00
MACE SECURITY INTERNATIONAL INC
912607
2860
6
0
120,475
16,477
106,131,428
12/31/00
NORTH BANCSHARES INC
912623
6035
4
1
68,500
36,650
134,580,992
12/31/00
KONTRON MOBILE COMPUTING INC
912643
3571
5
1
71,500
26,900
7,475,130
12/31/00
FORWARD AIR CORP
912728
4731
2
1
145,210
190,826
115,968,000
12/31/00
FFLC BANCORP INC
912738
6035
179
0
52,500
0
711,492,992
12/31/00
NEWFIELD EXPLORATION CO /DE/
912750
1311
1
1
121,000
231,600
1,023,250,000
12/31/00
SINCLAIR BROADCAST GROUP INC
912752
4833
5
1
270,055
794,298
3,400,640,000
12/31/00
LAUREATE EDUCATION, INC.
912766
8200
2
1
1,060,000
4,681,000
1,016,963,000
12/31/00
UNIVERSAL FOREST PRODUCTS INC
912767
2421
3
1
207,000
91,700
485,320,000
12/30/00
WEST MARINE INC
912833
5500
3
1
307,000
505,000
307,782,016
12/30/00
WITS BASIN PRECIOUS MINERALS INC
912875
1040
1
1
171,600
318,984
45,155,000
12/31/00
VITAL IMAGES INC
912888
7372
1
1
36,000
19,000
7,286,590
12/31/00
CENTERPOINT PROPERTIES TRUST
912893
6798
1
1
242,934
634,300
1,155,229,952
12/31/00
GLIMCHER REALTY TRUST
912898
6798
1
1
135,000
202,500
1,589,539,968
12/31/00
FOAMEX INTERNATIONAL INC.
912908
3086
1
1
1,217,000
352,000
755,480,000
12/9/00
GB HOLDINGS INC
912926
7011
5
1
142,500
409,000
264,247,000
12/31/00
TOWNSQUARE MEDIA, INC.
913015
4832
1
1
168,000
295,600
252,732,992
12/31/00
MONTEREY GOURMET FOODS
913032
2090
7
0
163,000
38,000
25,189,000
12/31/00
MERRILL MERCHANTS BANCSHARES INC
913072
6022
55
0
38,700
13,155
246,412,992
12/31/00
AFFYMETRIX INC
913077
3826
2
1
290,880
562,810
620,780,032
12/31/00
EXACTECH INC
913165
3842
3
1
62,610
11,405
44,367,200
12/31/00
TBA ENTERTAINMENT CORP
913201
7900
5
1
130,000
167,000
40,332,500
12/31/00
STEVEN MADDEN, LTD.
913241
3140
121
0
120,000
236,000
91,733,000
12/31/00
Solexa, Inc.
913275
3826
2
1
106,900
108,775
39,215,000
12/31/00
Clarus Corp
913277
3949
4
1
256,000
227,000
266,904,000
12/31/00
KOALA CORP /CO/
913285
2590
2
1
100,000
63,905
91,429,400
12/31/00
C & F FINANCIAL CORP
913341
6022
152
0
60,600
0
347,471,672
12/31/00
CAMBRIDGE HEART INC
913443
3845
1
1
111,000
26,000
13,975,000
12/31/00
MK RESOURCES CO
913586
1000
1
1
73,450
700
60,323,000
12/31/00
CLST HOLDINGS, INC.
913590
5065
4
1
1,043,340
978,067
858,824,000
11/30/00
SANGSTAT MEDICAL CORP
913610
2836
3
1
367,000
2,013,000
114,316,000
12/31/00
Bactolac Pharmaceutical, Inc.
913614
2834
6
0
214,000
73,900
31,778,335
9/30/00
NATIONAL DENTEX CORP /MA/
913616
8071
5
1
70,500
28,025
55,390,200
12/31/00
TERRESTAR CORP
913665
4899
5
1
264,750
287,000
1,571,714,000
12/31/00
ORTHOVITA INC
913756
3841
5
1
76,000
68,136
10,188,400
12/31/00
GABLES RESIDENTIAL TRUST
913782
6798
5
1
180,000
299,500
1,453,020,032
12/31/00
TRIQUINT SEMICONDUCTOR INC
913885
3674
4
1
180,000
525,000
825,416,000
12/31/00
MIDDLEBURG FINANCIAL CORP
914138
6021
152
0
35,601
16,611
289,461,000
12/31/00
PARKERVISION INC
914139
3663
1
1
142,500
71,500
63,607,894
12/31/00
UFP TECHNOLOGIES INC
914156
3841
5
1
62,750
26,300
40,352,404
12/31/00
3 DIMENSIONAL PHARMACEUTICALS INC
914201
2834
121
0
88,600
197,600
123,244,000
12/31/00
FEI CO
914329
3826
3
1
298,000
371,000
314,823,008
12/31/00
JAMESON INNS INC
914373
6798
2
1
111,945
17,900
346,724,992
12/31/00
SOUTHWEST BANCORP INC
914374
6022
2
1
135,000
41,500
1,203,570,048
12/31/00
DAN RIVER INC /GA/
914384
2200
2
1
268,700
543,131
745,473,000
12/30/00
GREAT LAKES AVIATION LTD
914397
4512
4
1
128,000
24,600
143,179,298
12/31/00
NEUROCRINE BIOSCIENCES INC
914475
2836
2
1
72,250
175,649
185,962,000
12/31/00
COASTCAST CORP
914479
3949
3
1
172,000
75,569
99,350,000
12/31/00
SFN Group Inc.
914536
7363
3
1
1,006,000
1,353,000
2,483,219,968
12/29/00
CORRECTIONAL SERVICES CORPORATION, LLC
914670
8744
6
0
106,000
87,000
96,775,000
12/31/00
MILLS CORP
914713
6798
2
1
400,000
831,000
1,125,689,984
12/31/00
AMLI RESIDENTIAL PROPERTIES TRUST
914724
6798
4
1
211,500
121,400
865,990,976
12/31/00
MALAN LIQUIDATING TRUST
914735
6798
3
1
96,800
63,870
243,983,008
12/31/00
SOUTHERN FINANCIAL BANCORP INC /VA/
914789
6035
4
1
84,600
94,130
609,936,000
12/31/00
CONCORD COMMUNICATIONS INC
915290
7372
5
1
75,000
353,200
102,276,000
12/31/00
EASTMAN CHEMICAL CO
915389
2821
1
1
1,399,270
2,630,440
6,550,000,000
12/31/00
AMB FINANCIAL CORP
915393
6035
319
0
43,300
0
135,699,008
12/30/00
CATALYST INTERNATIONAL INC
915508
7372
2
1
80,000
24,400
38,605,500
12/31/00
STRATASYS INC
915735
3577
33
0
55,283
32,354
37,581,700
12/31/00
SUMMIT PROPERTIES INC
915773
6798
3
1
144,500
868,396
1,340,150,016
12/31/00
RTW INC /MN/
915781
6331
3
1
117,000
50,000
194,535,008
12/31/00
INTEGRA INC
915859
8093
1
1
94,000
15,000
14,693,000
12/31/00
LiveWire Mobile, Inc.
915866
3661
1
1
111,600
746,760
498,778,000
12/31/00
AVALONBAY COMMUNITIES INC
915912
6798
5
1
162,500
1,181,000
4,397,225,000
12/31/00
ALBEMARLE CORP
915913
2821
1
1
674,499
2,716,400
981,803,000
12/31/00
MARTIN MARIETTA MATERIALS INC
916076
1400
2
1
579,000
703,000
1,841,439,000
12/31/00
HEALTH NET INC
916085
6324
3
1
4,709,000
8,082,000
3,670,119,936
12/31/00
TRACTOR SUPPLY CO /DE/
916365
5200
1
1
151,429
45,500
332,296,000
12/30/00
PARADIGM MEDICAL INDUSTRIES INC
916444
3841
198
0
66,000
147,000
10,723,000
12/31/00
CALPINE CORP
916457
4911
5
1
1,584,000
2,796,000
9,737,260,032
12/31/00
GARDNER DENVER INC
916459
3560
5
1
239,500
560,200
403,880,992
12/31/00
W2007 Grace Acquisition I Inc
916530
6798
1
1
76,886
108,965
801,742,976
12/31/00
DARLING INGREDIENTS INC.
916540
2070
4
1
158,500
37,416
174,505,000
12/30/00
TURBOCHEF TECHNOLOGIES INC
916545
3580
7
0
100,169
0
5,722,000
12/31/00
METASOLV INC
916704
7371
4
1
130,000
255,036
197,628,000
12/31/00
BOSS HOLDINGS INC
916802
2300
6
0
88,000
28,000
25,462,000
12/30/00
JDN REALTY CORP
916836
6798
2
1
230,000
471,094
1,083,963,000
12/31/00
QUALITY DINING INC
917126
5812
1
1
145,000
50,500
167,238,000
10/30/00
AGREE REALTY CORP
917251
6798
7
0
27,500
14,600
166,052,090
12/31/00
FINISHMASTER INC
917321
5190
1
1
266,800
45,697
218,317,000
12/31/00
OLYMPIC STEEL INC
917470
5051
5
1
145,000
12,500
224,929,000
12/31/00
INTEGRA LIFESCIENCES HOLDINGS CORP
917520
3841
1
1
268,000
325,500
86,514,000
12/31/00
Revolution Lighting Technologies, Inc.
917523
3640
2
1
64,700
850
12,511,760
12/31/00
DOMINION HOMES INC
917857
1531
1
1
176,000
84,000
201,192,992
12/31/00
PEETS COFFEE & TEA INC
917968
2090
3
1
180,000
450,000
41,409,000
12/31/00
MGI GP, Inc.
918066
2834
4
1
66,500
343,500
135,632,992
12/31/00
AK STEEL HOLDING CORP
918160
3312
3
1
1,063,000
2,421,500
5,239,800,000
12/31/00
NN INC
918541
3562
4
1
177,800
24,500
187,808,000
12/31/00
ROUGE INDUSTRIES INC
918577
3312
1
1
305,500
1,849,570
741,018,000
12/31/00
CMTSU Liquidation, Inc.
918581
7371
4
1
82,155
722,923
326,347,000
12/31/00
ACT TELECONFERENCING INC
918709
4899
2
1
156,000
129,000
31,395,500
12/31/00
BRIGHTPOINT INC
918946
5065
2
1
638,000
601,700
687,787,008
12/31/00
CRESCENT REAL ESTATE EQUITIES CO
918958
6798
5
1
398,800
156,900
4,531,769,856
12/31/00
H E R C PRODUCTS INC
919010
7600
5
1
29,500
29,800
1,545,117
12/31/00
WAVE SYSTEMS CORP
919013
3577
4
1
230,000
58,000
98,084,496
12/31/00
BIOSPHERE MEDICAL INC
919015
3841
5
1
90,492
111,365
19,306,000
12/31/00
MENDOCINO BREWING CO INC
919134
2082
13
0
50,200
51,800
19,770,800
12/31/00
LACROSSE FOOTWEAR INC
919443
3021
10
0
164,000
52,152
97,598,000
12/31/00
XECHEM INTERNATIONAL INC
919611
2836
6
0
51,275
0
1,446,000
12/31/00
QUINTILES TRANSNATIONAL CORP
919623
8731
5
1
1,330,000
8,460,000
1,961,578,000
12/31/00
OHIO STATE BANCSHARES INC
919644
6022
8
0
45,300
56,125
73,040,496
12/31/00
Astex Pharmaceuticals, Inc
919722
2834
2
1
118,000
196,496
163,333,000
12/31/00
Midatech Pharma US Inc.
919745
2834
1
1
54,100
58,855
12,118,000
12/31/00
ENLIVEN MARKETING TECHNOLOGIES CORP
919794
7372
1
1
190,000
197,550
102,399,000
12/31/00
COASTAL BANCORP INC
919805
6036
4
1
242,000
40,725
3,091,610,112
12/31/00
NORTHWEST INDIANA BANCORP
919864
6035
8
0
31,500
10,700
392,313,000
12/31/00
FENTURA FINANCIAL INC
919865
6022
6
0
58,500
23,265
292,890,000
12/31/00
Diversicare Healthcare Services, Inc.
919956
8051
5
1
298,000
60,000
101,756,000
12/31/00
GUARANTY FINANCIAL CORP /VA/
919967
6035
7
0
98,375
22,000
254,022,000
12/31/00
HEARTLAND FINANCIAL USA INC
920112
6022
4
1
83,000
85,700
1,466,387,000
12/31/00
LABORATORY CORP OF AMERICA HOLDINGS
920148
8071
1
1
387,400
411,800
1,666,900,000
12/31/00
U.S. Dry Cleaning Services Corp
920317
7200
1
1
269,573
19,775
46,941,000
12/31/00
CENVEO, INC
920321
2670
2
1
600,000
675,000
1,652,957,000
12/31/00
Simpson Manufacturing Co., Inc.
920371
3420
1
1
186,000
334,000
279,479,716
12/31/00
VIRTU ITG HOLDINGS LLC
920424
6211
4
1
200,000
1,400,000
281,712,000
12/31/00
UNITY BANCORP INC /NJ/
920427
6022
4
1
225,000
30,450
356,003,000
12/31/00
BROADVISION INC
920448
7372
5
1
261,000
272,850
1,143,024,000
12/31/00
LA JOLLA PHARMACEUTICAL CO
920465
2836
2
1
65,000
29,000
43,016,000
12/31/00
ALTERNATIVE RESOURCES CORP
920521
7363
4
1
189,000
169,000
89,619,000
12/31/00
ESSEX PROPERTY TRUST, INC.
920522
6798
4
1
160,000
113,000
1,281,849,000
12/31/00
WINSTON HOTELS INC
920605
6798
1
1
87,500
143,097
394,310,016
12/31/00
TRIPOS INC
920691
7372
2
1
105,000
95,000
57,186,000
12/31/00
MAKEMUSIC, INC.
920707
7372
2
1
85,000
118,000
41,265,000
12/31/00
LENNAR CORP /NEW/
920760
1520
3
1
794,000
440,000
3,777,914,000
11/30/00
WESTERN OHIO FINANCIAL CORP
920769
6035
8
0
77,000
10,450
352,561,984
12/31/00
BOYD BROS TRANSPORTATION INC
920907
4213
3
1
106,350
91,820
95,052,096
12/31/00
METRO ONE TELECOMMUNICATIONS INC
920990
4899
3
1
58,000
0
106,641,000
12/31/00
OWOSSO CORP
921046
3621
3
1
218,000
186,000
46,394,000
10/31/00
TF FINANCIAL CORP
921051
6036
6
0
72,000
0
723,297,024
12/31/00
HIGHWOODS PROPERTIES, INC.
921082
6798
2
1
376,000
237,000
3,701,602,000
12/31/00
LIBERTY PROPERTY TRUST
921112
6798
2
1
256,500
428,421
3,396,355,000
12/31/00
Armata Pharmaceuticals, Inc.
921114
2836
2
1
175,000
80,000
87,974,000
12/31/00
HMN FINANCIAL INC
921183
6035
4
1
75,400
34,500
716,015,875
12/31/00
PDS GAMING CORP
921438
6172
348
0
85,720
59,490
84,301,000
12/31/00
CV THERAPEUTICS INC
921506
2836
2
1
106,000
176,000
311,632,992
12/31/00
HERITAGE OAKS BANCORP
921547
6022
81
0
49,490
6,340
184,088,000
12/31/00
TRICO MARINE SERVICES INC
921549
4400
1
1
175,718
272,634
678,121,984
12/31/00
REPUBLIC BANCORP INC /KY/
921557
6022
8
0
86,810
193,110
1,508,072,000
12/31/00
VALLEY FINANCIAL CORP /VA/
921590
6035
275
0
25,500
26,135
160,164,000
12/31/00
COLE KENNETH PRODUCTIONS INC
921691
3140
2
1
260,000
535,000
212,370,000
12/31/00
PENN NATIONAL GAMING INC
921738
7011
7
0
296,221
330,372
439,900,000
12/31/00
IPI INC
921753
6794
5
1
32,500
5,475
24,918,000
11/30/00
FIRST INDUSTRIAL REALTY TRUST INC
921825
6798
1
1
222,000
429,000
2,618,493,000
12/31/00
HUDSON CITY BANCORP INC
921847
6036
4
1
249,000
380,200
9,380,370,432
12/31/00
PPL Corp
922224
4911
1
1
1,510,560
4,187,150
12,360,000,000
12/31/00
ENOVA SYSTEMS INC
922237
3670
13
0
75,889
0
3,094,000
12/31/00
MAIN STREET BANKS INC /NEW/
922244
6029
2
1
110,000
194,500
1,008,800,000
12/31/00
SEABULK INTERNATIONAL INC
922341
4412
2
1
420,000
795,000
775,475,968
12/31/00
ITT EDUCATIONAL SERVICES INC
922475
8200
1
1
236,000
293,263
150,896,000
12/31/00
ROYAL BANCSHARES OF PENNSYLVANIA INC
922487
6022
6
0
80,700
29,046
630,081,024
12/31/00
ERIE INDEMNITY CO
922621
6411
1422
0
65,600
0
1,680,599,000
12/31/00
TRACK DATA CORP
922811
6200
6
0
97,000
47,000
24,479,000
12/31/00
VIRBAC CORP
922814
2834
1
1
155,000
187,787
49,388,443
12/31/00
APARTMENT INVESTMENT & MANAGEMENT CO
922864
6798
2
1
6,700,000
20,900,000
7,699,874,000
12/31/00
INTEGRITY MEDIA INC
922865
3652
1
1
190,500
114,344
27,232,000
12/31/00
CNL RESTAURANT PROPERTIES INC
922981
6519
1
1
76,531
384,407
1,601,368,100
12/31/00
HOME PROPERTIES INC
923118
6798
1
1
90,675
164,470
1,871,890,048
12/31/00
FLUSHING FINANCIAL CORP
923139
6022
1
1
214,380
101,265
1,338,092,000
12/31/00
MARISA CHRISTINA INC
923149
2253
4
1
132,000
122,000
10,354,700
12/31/00
GEMSTAR TV GUIDE INTERNATIONAL INC
923282
2721
4
1
1,025,000
364,200
10,789,477,000
12/31/00
COOPERATIVE BANKSHARES INC
923529
6036
4
1
50,000
10,000
414,728,000
12/31/00
US XPRESS ENTERPRISES INC
923571
4213
5
1
221,000
371,795
423,461,000
12/31/00
FelCor Lodging Trust Inc
923603
6798
1
1
257,120
671,944
4,103,600,128
12/31/00
GEO GROUP INC
923796
6798
5
1
217,000
129,000
223,571,000
12/31/00
ION MEDIA NETWORKS INC.
923877
4832
1
1
364,500
368,805
1,526,050,048
12/31/00
MEDICALOGIC/MEDSCAPE INC
923899
7374
4
1
289,000
641,000
963,492,000
12/31/00
OSE USA INC
924101
3674
6
0
122,500
2,385
40,677,000
12/31/00
ENERGY FOCUS, INC/DE
924168
3640
1
1
115,399
0
24,619,000
12/31/00
SPORTS CLUB CO INC
924373
7997
4
1
92,002
81,833
222,000,000
12/31/00
GUIDED THERAPEUTICS INC
924515
3845
5
1
63,000
8,000
7,148,000
12/31/00
VERITEQ
924642
5990
1
1
547,600
688,700
319,451,000
12/31/00
MPS GROUP INC
924646
7363
1
1
533,864
3,978,200
1,653,560,064
12/31/00
MACK CALI REALTY CORP
924901
6798
1
1
360,000
340,334
3,676,977,000
12/31/00
FIRST COMMUNITY CORP /TN/
924960
6022
1110
0
22,925
16,300
122,975,620
12/31/00
SUMMIT LIFE CORP
924963
6311
6
0
35,000
0
6,162,682
12/31/00
POTOMAC BANCSHARES INC
925173
6022
152
0
43,300
3,650
148,221,426
12/31/00
MOVIE GALLERY INC
925178
7841
2
1
175,000
155,825
217,536,000
12/31/00
ON TECHNOLOGY CORP
925288
7372
5
1
157,000
274,623
18,371,000
12/31/00
HUDSON TECHNOLOGIES INC /NY
925528
5080
7
0
78,176
1,021
10,996,000
12/31/00
TA DELAWARE, INC.
925548
3460
5
1
723,000
3,105,000
2,892,750,080
12/31/00
SOUTHFIRST BANCSHARES INC
925963
6035
350
0
59,675
11,550
161,025,634
9/30/00
ADTRAN INC
926282
3661
1
1
128,500
608,811
546,336,005
12/31/00
VERMILLION, INC.
926617
2835
1
1
108,630
510,945
118,948,000
12/31/00
CANTERBURY PARK HOLDING CORP
926761
7948
3
1
43,150
0
13,317,511
12/31/00
ASV INC /MN/
926763
3531
6
0
78,000
6,300
55,006,200
12/31/00
CECIL BANCORP INC
926865
6035
129
0
36,500
0
121,960,700
12/31/00
INNKEEPERS USA TRUST/FL
926866
6798
1
1
72,300
5,000
765,155,008
12/31/00
ALABAMA NATIONAL BANCORPORATION
926966
6022
1
1
173,000
651,278
2,235,699,968
12/31/00
ADVANCED ENERGY INDUSTRIES INC
927003
3679
5
1
136,000
147,868
365,835,000
12/31/00
DAVITA INC.
927066
8090
4
1
350,000
540,194
1,596,632,000
12/31/00
AMV LIQUIDATING TRUST
927102
6798
5
1
52,000
34,400
42,363,800
12/31/00
PRI AUTOMATION INC
927362
3559
1
1
355,000
515,000
276,924,000
9/30/00
Allied Security Innovations, Inc.
927454
3060
2
1
68,000
162,350
1,783,044
12/31/00
CAPITAL ONE FINANCIAL CORP
927628
6021
2
1
571,000
5,505,000
18,889,341,000
12/31/00
MYMETICS CORP
927761
2836
193
0
21,892
114,720
587,000
12/31/00
Callon Petroleum Co
928022
1311
5
1
115,000
29,200
301,569,000
12/31/00
FEATHERLITE INC
928064
3715
5
1
110,000
177,500
123,959,000
12/31/00
ADUDDELL INDUSTRIES INC
928373
1700
2227
0
18,452
28,246
3,079,900
12/31/00
COHESANT TECHNOLOGIES INC
928420
3560
5
1
43,410
28,850
8,874,861
11/30/00
MATTSON TECHNOLOGY INC
928421
3559
5
1
350,000
1,119,000
269,668,000
12/31/00
COVENANT TRANSPORTATION GROUP INC
928658
4213
1
1
94,300
196,700
390,513,000
12/31/00
BUSINESS OBJECTS S.A.
928753
7372
2
1
568,968
292,058
369,014,016
12/31/00
PILLARSTONE CAPITAL REIT
928953
6798
1
1
25,880
46,774
28,144,047
12/31/00
WESCO INTERNATIONAL INC
929008
5063
1
1
579,000
109,000
1,170,033,000
12/30/00
PAULA FINANCIAL
929031
6411
4
1
206,850
72,500
225,244,000
12/31/00
YOUNG BROADCASTING INC /DE/
929144
4833
2
1
381,000
917,000
1,554,370,048
12/31/00
MICROTEK MEDICAL HOLDINGS, INC
929299
3842
3
1
129,400
98,000
76,969,000
12/31/00
KNIGHT TRANSPORTATION INC
929452
4213
5
1
115,000
83,000
206,984,019
12/31/00
GLENBOROUGH REALTY TRUST INC
929454
6500
5
1
203,000
1,380,350
1,371,160,064
12/31/00
CONDOR HOSPITALITY TRUST, INC.
929545
6798
19
0
88,028
83,019
173,611,000
12/31/00
ORPHAN MEDICAL INC
929548
2834
2
1
40,200
20,590
15,296,900
12/31/00
PRICE LEGACY CORP
929647
6798
2
1
89,500
104,000
308,368,992
12/31/00
T NETIX INC
929757
4899
4
1
178,000
0
71,495,000
12/31/00
EDEN BIOSCIENCE CORP
930095
5200
5
1
55,000
84,690
98,500,600
12/31/00
VALEANT PHARMACEUTICALS INTERNATIONAL
930184
2834
1
1
2,462,300
1,602,120
1,477,069,952
12/31/00
CKF BANCORP INC
930203
6035
363
0
24,700
14,750
78,115,800
12/31/00
REDWOOD TRUST INC
930236
6798
1
1
145,500
21,500
2,082,115,000
12/31/00
LSB FINANCIAL CORP
930405
6035
8
0
38,000
48,000
282,224,992
12/31/00
KFORCE INC
930420
7363
3
1
152,275
240,323
278,018,000
12/31/00
MONTEREY BAY BANCORP INC
930429
6035
3
1
155,250
202,240
486,190,000
12/31/00
RECKSON ASSOCIATES REALTY CORP
930548
6798
2
1
304,000
610,000
2,998,030,080
12/31/00
ISTA PHARMACEUTICALS INC
930553
2834
2
1
93,350
357,866
28,021,000
12/31/00
WESTERN SIZZLIN CORP
930686
5812
4
1
105,000
0
25,921,700
12/31/00
WESTERN WIRELESS LLC
930738
4812
5
1
191,000
509,000
1,996,470,016
12/31/00
HAMMONS JOHN Q HOTELS INC
930796
7011
5
1
206,458
0
920,883,968
12/29/00
KIRLIN HOLDING CORP
930797
6211
107
0
114,000
73,000
16,100,000
12/31/00
DOCUMENTUM INC
930885
7372
5
1
199,400
130,600
218,460,000
12/31/00
Polaris Inc.
931015
3790
5
1
194,000
874,000
490,186,000
12/31/00
GRAFTECH INTERNATIONAL LTD
931148
3620
4
1
800,000
850,000
908,000,000
12/31/00
DEAN FOODS CO
931336
2020
3
1
1,969,000
9,138,000
3,780,478,000
12/31/00
UNIVERSAL STAINLESS & ALLOY PRODUCTS INC
931584
3312
1
1
96,000
33,000
73,747,000
12/31/00
OCA, INC. / DE /
931702
8000
2
1
207,000
155,000
367,947,008
12/31/00
MAXCOR FINANCIAL GROUP INC
931707
6211
1
1
328,000
293,900
71,799,800
12/31/00
CAPTARIS INC
931784
7372
5
1
117,000
161,000
130,244,000
12/31/00
WESTAFF INC
931911
7363
5
1
200,650
112,400
183,072,000
10/28/00
STILLWATER MINING CO /DE/
931948
1090
4
1
109,000
181,000
679,025,984
12/31/00
RSA SECURITY INC/DE/
932064
3577
3
1
391,200
1,653,980
589,513,984
12/31/00
ILM II LEASE CORP
932092
6798
2
1
53,400
18,000
2,545,000
8/31/00
MICREL INC
932111
3674
3
1
159,976
257,384
359,748,000
12/31/00
APPLIX INC /MA/
932112
7372
1
1
136,657
96,203
33,047,000
12/31/00
For The Earth Corp.
932265
5900
154
0
14,495
6,170
580,096
12/31/00
INSIGHT ENTERPRISES INC
932696
5961
4
1
343,095
594,076
493,900,000
12/31/00
FIRST BELL BANCORP INC
932697
6035
3
1
86,899
2,650
832,680,000
12/31/00
FIRST COMMUNITY CORP /SC/
932781
6022
340
0
17,000
0
111,985,508
12/31/00
RENT A CENTER INC DE
933036
7359
6
0
220,000
140,000
1,486,910,000
12/31/00
CREATIVE HOST SERVICES INC
933098
5812
86
0
49,000
26,000
23,257,300
12/31/00
Mr. Cooper Group Inc.
933136
6199
3
1
2,900,000
7,500,000
194,716,000,000
12/31/00
IBERIABANK CORP
933141
6022
298
0
104,400
72,824
1,396,162,000
12/31/00
ATC Technology CORP
933405
7389
2
1
315,000
352,000
400,020,000
12/31/00
STORAGE COMPUTER CORP
933452
3577
7
0
188,086
59,391
45,118,276
12/31/00
VOXWARE INC
933454
7373
5
1
72,500
0
17,440,000
6/30/00
Your Community Bankshares, Inc.
933590
6022
349
0
119,815
10,965
416,220,992
12/31/00
Marvel Entertainment, Inc.
933730
6794
2
1
273,000
125,000
555,283,968
12/31/00
ENGLOBAL CORP
933738
8711
74
0
77,892
36,571
7,052,265
12/31/00
MIRAVANT MEDICAL TECHNOLOGIES
933745
2834
2
1
85,500
42,500
28,027,000
12/31/00
POWERVERDE, INC.
933972
3621
22
0
14,000
5,000
252,847
12/31/00
CYBERSOURCE CORP
934280
7374
2
1
156,300
991,090
261,855,008
12/31/00
FIRST SOUTHERN BANCSHARES, INC.
934302
6035
590
0
84,000
45,000
167,384,000
12/31/00
Digital Generation, Inc.
934448
7389
4
1
115,000
80,500
36,387,000
12/31/00
GENVEC INC
934473
2834
4
1
92,735
397,739
57,178,800
12/31/00
BANK OF KENTUCKY FINANCIAL CORP
934547
6035
8
0
42,000
71,090
470,128,992
12/31/00
ACACIA RESEARCH CORP
934549
6794
1
1
167,197
123,154
98,516,000
12/31/00
SPEEDWAY MOTORSPORTS LLC
934648
7948
3
1
256,000
227,000
991,957,000
12/31/00
WELLS FINANCIAL CORP
934739
6035
10
0
73,500
0
221,848,000
12/31/00
COMMONWEALTH INDUSTRIES INC/DE/
934747
3350
1
1
284,626
176,676
655,340,032
12/31/00
MEADOW VALLEY CORP
934749
1600
7
0
70,000
10,000
55,386,000
12/31/00
EVERLAST WORLDWIDE INC
934795
2330
185
0
107,700
67,400
66,877,900
12/31/00
SYSTEMONE TECHNOLOGIES INC
934851
3569
4
1
125,000
47,000
6,948,700
12/31/00
DOWNEY FINANCIAL CORP
935063
6035
4
1
200,000
351,648
10,893,899,776
12/31/00
ECOMETRY CORP
935322
7372
4
1
140,000
120,730
50,565,981
12/31/00
RCI HOSPITALITY HOLDINGS, INC.
935419
5812
132
0
31,900
16,870
13,413,657
9/30/00
NATIONAL INSTRUMENTS CORP
935494
7372
1
1
212,000
375,000
389,350,000
12/31/00
DOLLAR TREE, INC.
935703
5331
4
1
283,488
740,243
746,859,000
12/31/00
PMI GROUP INC
935724
6351
2
1
261,000
483,000
2,392,657,000
12/31/00
DTE ENERGY CO
936340
4911
3
1
659,352
5,769,270
12,662,000,000
12/31/00
LOCKHEED MARTIN CORP
936468
3760
2
1
6,000,000
16,300,000
30,349,000,000
12/31/00
SOURCECORP INC
936931
7389
5
1
195,000
130,000
454,708,992
12/31/00
PCM, INC.
937941
5961
1
1
238,400
77,617
137,566,000
12/31/00
PROLOGIC MANAGEMENT SYSTEMS INC
938320
5045
7
0
75,661
18,476
9,893,086
3/31/00
DATASTREAM SYSTEMS INC
938481
7372
4
1
258,000
475,000
85,282,800
12/31/00
EXELIXIS, INC.
939767
8731
1
1
80,000
448,000
204,914,000
12/31/00
LOGANSPORT FINANCIAL CORP
939928
6035
6
0
28,500
6,950
132,612,000
12/31/00
MANUFACTURERS SERVICES LTD
940298
3679
1
1
565,440
1,248,780
933,516,992
12/31/00
ANADIGICS INC
940332
3674
2
1
266,900
450,382
352,472,992
12/31/00
ENDOCARDIAL SOLUTIONS INC
940659
3841
2
1
42,300
28,500
21,356,300
12/31/00
Hub Group, Inc.
940942
4731
5
1
370,000
356,000
467,245,000
12/31/00
UNS Energy Corp
941138
4911
1
1
322,847
234,060
2,671,379,968
12/31/00
CAMERON INTERNATIONAL CORP
941548
3533
2
1
426,532
810,561
1,493,869,952
12/31/00
IMAGEWARE SYSTEMS INC
941685
7372
1
1
174,193
343,037
13,005,210
12/31/00
SMITHWAY MOTOR XPRESS CORP
941914
4213
4
1
45,245
42,150
115,828,000
12/31/00
TAITRON COMPONENTS INC
942126
5065
6
0
40,000
25,000
44,400,000
12/31/00
PLANVISTA CORP
942319
6411
1
1
273,150
766,962
115,730,000
12/31/00
NEOPHARM INC
942788
2836
5
1
40,000
73,000
140,532,000
12/31/00
NORTHEAST INDIANA BANCORP INC
942898
6035
8
0
49,950
9,180
247,094,302
12/31/00
CCF HOLDING CO
943033
6035
240
0
52,996
23,438
228,380,747
12/31/00
IMAGE SENSING SYSTEMS INC
943034
3829
2
1
48,500
7,250
5,282,000
12/31/00
GREAT AMERICAN BANCORP INC
943064
6035
18
0
42,425
4,630
159,677,000
12/31/00
SUREWEST COMMUNICATIONS
943117
4813
2
1
309,000
221,000
528,942,016
12/31/00
FNBH BANCORP INC
943119
6021
4
1
70,000
56,900
348,363,428
12/31/00
TRUMP ENTERTAINMENT RESORTS, INC.
943320
7011
5
1
542,680
807,470
2,199,310,080
12/31/00
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP
943452
3743
5
1
530,000
453,019
984,047,000
12/31/00
PORTLAND BREWING CO /OR/
943658
2082
5
1
39,400
8,900
9,321,465
12/31/00
MED-DESIGN CORP
943736
3841
1
1
119,750
58,600
8,565,570
12/31/00
VCAMPUS CORP
943742
8900
2
1
120,000
92,000
6,651,592
12/31/00
SITEL CORP
943820
7389
4
1
545,000
481,000
380,222,016
12/31/00
GOODRICH PETROLEUM CORP
943861
1311
4
1
83,000
315,000
65,343,594
12/31/00
AVANT CORP
943892
7372
4
1
1,303,000
1,057,000
75,180,562
12/31/00
EZENIA INC
943894
3576
2
1
153,000
86,490
57,403,000
12/31/00
SOCKET MOBILE, INC.
944075
3571
2
1
180,100
67,350
23,921,795
12/31/00
CBIZ, Inc.
944148
7389
4
1
900,000
4,312,000
649,494,000
12/31/00
AIRNET COMMUNICATIONS CORP
944163
3663
3
1
162,550
239,884
92,134,496
12/31/00
TPC LIQUIDATION, INC.
944310
3661
1
1
105,948
38,548
10,352,400
12/31/00
LIFE STORAGE, INC.
944314
6798
2
1
44,230
73,800
547,139,000
12/31/00
Remote Dynamics Inc
944400
4812
5
1
115,000
140,000
81,044,000
12/31/00
THOMASVILLE BANCSHARES INC
944468
6021
123
0
38,500
17,640
141,107,664
12/31/00
GSE SYSTEMS INC
944480
7372
4
1
50,000
96,000
35,949,000
12/31/00
INVENTURE FOODS, INC.
944508
2090
5
1
59,000
29,350
29,990,500
12/31/00
VION PHARMACEUTICALS INC
944522
2836
2
1
85,600
75,100
25,659,700
12/31/00
CET SERVICES INC
944627
4955
6
0
66,446
18,207
13,959,100
12/31/00
HANOVER INSURANCE GROUP, INC.
944695
6331
1
1
1,151,000
2,470,000
31,588,000,000
12/31/00
Capital Financial Holdings, Inc
944696
6211
259
0
26,355
22,365
12,753,359
12/31/00
UNITED WESTERN BANCORP INC
944725
6022
2
1
445,237
118,656
1,418,800,000
12/31/00
KYZEN CORP
944727
2842
1
1
31,868
9,200
2,481,715
12/31/00
TRANSWITCH CORP /DE
944739
3674
4
1
184,500
731,500
741,630,000
12/31/00
CIVISTA BANCSHARES, INC.
944745
6022
8
0
89,350
49,250
489,259,000
12/31/00
ReAble Therapeutics, Inc.
944763
3842
1
1
88,000
61,000
38,494,000
12/31/00
UNITED BANCSHARES INC /PA
944792
6022
6
0
75,500
8,675
93,533,000
12/31/00
Opko Health, Inc.
944809
2834
121
0
97,700
32,400
37,378,000
12/31/00
TARRANT APPAREL GROUP
944948
2330
2
1
470,000
249,000
313,468,992
12/31/00
SYSTEMAX INC
945114
5084
3
1
610,000
137,000
538,018,000
12/31/00
M & F WORLDWIDE CORP
945235
3728
2
1
300,500
49,700
298,800,000
12/31/00
EPL TECHNOLOGIES INC
945269
2890
3
1
150,000
3,200
18,725,113
12/31/00
CICERO INC
945384
7371
3
1
205,000
244,000
169,956,000
12/31/00
Service Properties Trust
945394
6798
5
1
97,000
97,150
2,220,909,000
12/31/00
BNCCORP INC
945434
6021
5
1
92,500
32,700
570,016,000
12/31/00
SUNEDISON, INC.
945436
3674
4
1
580,000
850,000
1,890,569,984
12/31/00
SOS STAFFING SERVICES INC
945437
7363
5
1
198,980
165,320
161,388,000
12/31/00
BELL INDUSTRIES INC /NEW/
945489
5065
1
1
185,000
585,000
74,426,000
12/31/00
SPORTSLINE COM INC
945688
7374
5
1
145,000
139,754
258,171,008
12/31/00
DENBURY RESOURCES INC
945764
1311
3
1
115,000
85,300
457,379,000
12/31/00
POOL CORP
945841
5090
2
1
161,300
234,800
251,905,000
12/31/00
Wayside Technology Group, Inc.
945983
5045
2
1
162,800
72,120
33,855,000
12/31/00
ASTEA INTERNATIONAL INC
945989
7372
5
1
110,000
125,975
21,653,000
12/31/00
CAPITAL TRUST HOLDINGS INC.
946090
6022
129
0
56,000
16,000
677,449,024
12/31/00
WFS FINANCIAL INC
946343
6141
2
1
220,000
860,000
3,575,140,096
12/31/00
OAKLEY INC
946356
3851
3
1
278,752
1,122,180
302,985,984
12/31/00
ORTHOMETRIX INC
946428
3826
3
1
105,000
70,200
3,644,736
12/31/00
BALLANTYNE STRONG, INC.
946454
3861
4
1
58,200
26,760
52,125,940
12/31/00
WINDTREE THERAPEUTICS INC /DE/
946486
2836
2
1
68,449
10,202
19,717,000
12/31/00
RETRACTABLE TECHNOLOGIES INC
946563
3841
1
1
153,963
72,567
20,487,923
12/31/00
TAKE TWO INTERACTIVE SOFTWARE INC
946581
7372
1
1
457,500
1,675,960
330,950,000
10/31/00
AIM ImmunoTech Inc.
946644
2836
7
0
151,265
5,600
13,067,000
12/31/00
FIRST DEFIANCE FINANCIAL CORP
946647
6035
2
1
125,000
248,840
1,072,194,000
12/31/00
BANNER CORP
946673
6022
3
1
236,000
16,000
1,982,831,000
12/31/00
LOUD TECHNOLOGIES INC
946815
3663
4
1
321,500
280,904
165,197,644
12/31/00
VIROPHARMA INC
946840
2834
4
1
72,000
135,600
222,439,008
12/31/00
AMBASSADORS INTERNATIONAL INC
946842
4700
1
1
127,000
62,750
168,390,000
12/31/00
EVERGREEN SOLAR INC
947397
3674
1
1
55,250
219,662
55,783,000
12/31/00
AXS ONE INC
947427
7372
4
1
350,000
27,000
15,184,000
12/31/00
FIRST BANCSHARES INC /MS/
947559
6021
168
0
43,305
9,925
117,581,969
12/31/00
MANGO CAPITAL INC
947969
7373
3
1
63,000
140,000
18,687,425
12/31/00
BIRNER DENTAL MANAGEMENT SERVICES INC
948072
8000
5
1
75,000
7,500
26,333,068
12/31/00
PSB HOLDINGS INC /WI/
948368
6022
26
0
41,352
32,528
306,238,822
12/31/00
BOSTONFED BANCORP INC
948515
6035
4
1
187,500
191,085
1,327,779,968
12/31/00
SMITH MICRO SOFTWARE, INC.
948708
7372
3
1
69,000
65,500
15,314,000
12/31/00
PROLIANCE INTERNATIONAL, INC.
948844
3714
1
1
530,000
100,000
156,967,000
12/31/00
MIDWEST AIR GROUP INC
948845
4512
3
1
128,125
302,530
305,996,992
12/31/00
AIRTRAN HOLDINGS INC
948846
4512
2
1
626,000
452,000
546,254,976
12/31/00
COMSYS IT PARTNERS INC
948850
7363
1
1
184,000
42,000
743,593,000
12/31/00
AMERICAN COIN MERCHANDISING INC
949112
7990
4
1
79,500
67,300
107,907,000
12/31/00
AMERITRUST GROUP, INC.
949156
6331
1
1
270,000
46,917
661,182,976
12/31/00
CENTURY ALUMINUM CO
949157
3334
3
1
317,350
1,474,530
333,770,000
12/31/00
WORLD AIR HOLDINGS, INC.
949240
4522
4
1
243,200
278,000
113,890,000
12/31/00
ALTERNATE MARKETING NETWORKS INC
949244
7310
1
1
55,000
108,300
9,540,375
12/31/00
APAC CUSTOMER SERVICES, INC
949297
7389
5
1
224,000
585,000
231,795,008
12/31/00
ARV ASSISTED LIVING INC
949322
8050
4
1
271,800
135,500
165,940,000
12/31/00
CDTI ADVANCED MATERIALS, INC.
949428
3564
2
1
41,500
6,290
1,057,000
12/31/00
VODAVI TECHNOLOGY INC
949491
3661
5
1
81,500
64,110
24,895,000
12/31/00
PACIFIC NORTHWEST BANCORP
949504
6022
2
1
365,000
94,178
2,882,870,000
12/31/00
HEARST TELEVISION INC.
949536
4833
3
1
458,000
74,000
3,817,989,888
12/31/00
ACHIEVE LIFE SCIENCES, INC.
949858
2835
2
1
67,890
25,214
14,309,820
12/31/00
CFC INTERNATIONAL INC
949859
2891
1
1
155,500
75,000
56,401,200
12/31/00
BOSTON BEER CO INC
949870
2082
5
1
110,000
40,000
98,602,000
12/30/00
YOUNG INNOVATIONS INC
949874
3843
5
1
107,500
142,500
69,592,000
12/31/00
OAK HILL FINANCIAL INC
949953
6022
6
0
67,225
73,420
694,636,992
12/31/00
INCOME OPPORTUNITY REALTY INVESTORS INC /TX/
949961
6798
7
0
49,000
22,000
96,519,000
12/31/00
FREEMARKETS INC
949968
7389
1
1
175,000
1,204,000
462,546,328
12/31/00
META GROUP INC
1000015
8700
3
1
280,000
81,760
152,463,008
12/31/00
TECHNOLOGY FLAVORS & FRAGRANCES INC
1000048
2860
2
1
115,000
25,000
7,659,790
12/31/00
5B TECHNOLOGIES CORP
1000179
7377
7
0
111,000
58,000
7,263,648
12/31/00
SANDISK CORP
1000180
3572
2
1
333,900
365,695
1,107,910,016
12/31/00
MEDALLION FINANCIAL CORP
1000209
6199
5
1
637,500
311,000
560,715,002
12/31/00
TB WOODS CORP
1000227
3569
5
1
117,500
185,754
102,660,000
12/29/00
HENRY SCHEIN INC
1000228
5047
7
0
1,174,000
776,000
1,231,068,000
12/30/00
OPTICAL CABLE CORP
1000230
3357
4
1
151,900
46,810
52,688,177
10/31/00
IMPERIAL CAPITAL BANCORP, INC.
1000234
6022
5
1
143,500
44,059
1,415,139,968
12/31/00
PATRIOT BANK CORP
1000235
6035
4
1
106,083
71,100
1,124,899,968
12/31/00
PACIFICHEALTH LABORATORIES INC
1000278
2833
17
0
17,488
1,862
2,555,080
12/31/00
IMPAC MORTGAGE HOLDINGS INC
1000298
6798
4
1
213,000
401,393
1,898,838,000
12/31/00
VISUAL NETWORKS INC
1000495
7372
5
1
95,000
602,000
70,664,000
12/31/00
SCHWEITZER MAUDUIT INTERNATIONAL INC
1000623
2621
3
1
357,100
72,847
441,700,000
12/31/00
BLONDER TONGUE LABORATORIES INC
1000683
3663
7
0
130,000
52,000
62,834,000
12/31/00
WATERS CORP /DE/
1000697
3826
1
1
346,000
688,000
692,345,000
12/31/00
INSPERITY, INC.
1000753
7363
2
1
121,000
104,000
242,817,000
12/31/00
CD&L INC
1000779
4213
5
1
400,000
140,000
57,785,000
12/31/00
DISH Network CORP
1001082
4841
5
1
200,000
195,000
4,665,950,000
12/31/00
BROADWAY FINANCIAL CORP \DE\
1001171
6035
4
1
76,500
29,890
167,926,000
12/31/00
IDX SYSTEMS CORP
1001185
7373
2
1
260,700
423,646
297,491,008
12/31/00
TRANSMETA CORP
1001193
3674
2
1
215,000
874,500
412,536,000
12/31/00
SANGAMO THERAPEUTICS, INC
1001233
2836
2
1
98,235
276,000
68,925,000
12/31/00
LEXMARK INTERNATIONAL INC /KY/
1001288
3570
1
1
1,933,230
1,511,520
2,073,200,000
12/31/00
NORTHWEST PIPE CO
1001385
3317
1
1
94,000
135,000
283,157,000
12/31/00
EMERITUS CORP\WA\
1001604
8050
4
1
124,500
113,900
178,079,008
12/31/00
BLOUNT INTERNATIONAL INC
1001606
3420
1
1
412,200
731,000
703,900,032
12/31/00
TENGASCO INC
1001614
1311
7
0
134,265
7,500
25,224,724
12/31/00
EGL INC
1001718
4731
1
1
858,000
1,140,000
899,745,984
12/31/00
RIDGESTONE FINANCIAL SERVICES INC
1001791
6022
16
0
56,445
24,005
73,348,896
12/31/00
SOUTHERN COPPER CORP/
1001838
1000
5
1
245,000
24,800
1,770,558,000
12/31/00
COAST CASINOS INC
1001865
7011
1
1
206,000
49,000
567,199,000
12/31/00
FIBERNET TELECOM GROUP INC\
1001868
4813
5
1
150,700
295,300
227,164,992
12/31/00
ILEX ONCOLOGY INC
1001915
2836
5
1
130,150
440,000
216,356,000
12/31/00
SECURE COMPUTING CORP
1001916
3577
2
1
113,250
38,722
44,971,000
12/31/00
PYRAMID BREWERIES INC
1001917
2082
5
1
71,450
61,500
32,109,700
12/31/00
PIXAR \CA\
1002114
7812
4
1
215,500
255,000
479,779,008
12/30/00
SCHLOTZSKYS INC
1002178
5812
6
0
89,082
112,468
112,004,000
12/31/00
ADVENT SOFTWARE INC /DE/
1002225
7371
1
1
135,000
146,794
245,700,992
12/31/00
ACCELRYS, INC.
1002388
7372
2
1
239,000
187,000
284,766,016
12/31/00
America’s Suppliers, Inc.
1002390
7372
1
1
213,050
172,760
22,336,000
12/31/00
MILLION DOLLAR SALOON INC
1002396
7011
113
0
11,563
0
2,702,450
12/31/00
Ceres Ventures, Inc.
1002422
8093
344
0
20,000
475
315,302
12/31/00
Nuance Communications, Inc.
1002517
7372
1
1
287,000
321,000
109,480,000
12/31/00
SPEEDUS CORP
1002520
3841
1
1
101,000
35,500
57,628,184
12/31/00
TOLLGRADE COMMUNICATIONS INC \PA\
1002531
7385
1
1
75,850
124,632
131,275,000
12/31/00
EMERGING VISION INC
1002554
5990
5
1
241,000
168,000
22,531,000
12/31/00
EXTENDED STAY AMERICA INC
1002579
7011
1
1
192,750
51,300
2,121,600,000
12/31/00
MILLENNIUM PHARMACEUTICALS INC
1002637
2834
2
1
281,500
808,300
1,811,920,000
12/31/00
DALEEN TECHNOLOGIES INC
1002658
7372
4
1
265,000
343,000
99,462,000
12/31/00
AMEREN CORP
1002910
4931
1
1
446,500
1,006,430
9,714,430,000
12/31/00
ZORAN CORP \DE\
1003022
3674
1
1
157,200
311,584
359,465,984
12/31/00
MOLECULAR DEVICES CORP
1003113
3826
2
1
207,234
376,000
180,032,992
12/31/00
IMPATH INC
1003114
8071
4
1
160,000
200,000
196,773,416
12/31/00
PHARMACEUTICAL PRODUCT DEVELOPMENT, LLC
1003124
8731
1
1
219,000
652,763
344,915,000
12/31/00
LCA VISION INC
1003130
8093
1
1
126,190
147,329
75,597,000
12/31/00
MMA Capital Holdings, Inc.
1003201
6500
1
1
415,500
248,500
987,882,000
12/31/00
SILICON IMAGE INC
1003214
3670
1
1
137,000
176,200
99,499,000
12/31/00
METROPOLITAN FINANCIAL CORP /OH/
1003233
6035
8
0
100,000
168,438
1,695,280,000
12/31/00
ELOQUENT INC
1003265
7371
1
1
172,000
592,729
49,593,000
12/31/00
INTERNET COMMERCE & COMMUNICATIONS INC
1003282
7370
2
1
226,000
313,524
62,054,698
12/31/00
REUNION INDUSTRIES INC
1003429
3089
1
1
230,000
94,000
116,439,000
12/31/00
ENDOCARE INC
1003464
3845
4
1
39,800
11,950
28,844,790
12/31/00
HINES HORTICULTURE INC
1003515
100
1
1
159,000
313,689
587,972,992
12/31/00
Impax Laboratories, LLC
1003642
2834
1
1
126,050
38,000
67,309,000
12/31/00
VIA Pharmaceuticals, Inc.
1003929
2836
2
1
19,000
35,415
24,444,471
12/31/00
PERFORMANCE TECHNOLOGIES INC \DE\
1003950
3576
1
1
56,000
51,100
44,758,000
12/31/00
DAOU SYSTEMS INC
1003989
5990
2
1
169,900
192,854
26,437,000
12/31/00
KSW INC
1004125
5070
594
0
58,000
17,000
28,263,000
12/31/00
AFFILIATED MANAGERS GROUP, INC.
1004434
6282
1
1
579,218
2,600,000
793,730,000
12/31/00
CONSTELLATION ENERGY GROUP INC
1004440
4911
1
1
767,882
3,177,080
12,384,600,064
12/31/00
PINNACLE DATA SYSTEMS INC
1004608
7371
183
0
58,000
17,000
15,501,100
12/31/00
OCEANFIRST FINANCIAL CORP
1004702
6035
4
1
140,000
51,450
1,640,217,000
12/31/00
CAPITAL CORP OF THE WEST
1004740
6022
4
1
92,850
54,350
683,020,992
12/31/00
CONNETICS CORP
1004960
2834
2
1
140,075
132,915
85,713,000
12/31/00
PG&E Corp
1004980
4931
3
1
3,100,000
11,300,000
36,152,000,000
12/31/00
ARTHROCARE CORP
1005010
3845
1
1
200,000
130,000
140,462,000
12/30/00
MOSSIMO INC
1005181
2320
5
1
75,000
11,000
1,964,000
12/31/00
NORTH CENTRAL BANCSHARES INC
1005188
6035
10
0
50,255
13,973
388,998,016
12/31/00
Assertio Therapeutics, Inc
1005201
2834
2
1
61,950
24,900
8,732,538
12/31/00
SUBURBAN PROPANE PARTNERS LP
1005210
5900
1
1
342,800
672,300
771,116,000
9/30/00
UNIVERSAL DISPLAY CORP \PA\
1005284
3670
5
1
67,500
0
32,079,794
12/31/00
LANDEC CORP \CA\
1005286
2033
2
1
501,320
193,037
133,252,000
10/29/00
GA FINANCIAL INC/PA
1005313
6035
4
1
86,600
34,000
889,169,024
12/31/00
GENSYM CORP
1005387
7372
5
1
70,000
60,000
15,540,000
12/31/00
REPUBLIC BANCSHARES INC
1005501
6022
5
1
245,000
42,000
2,440,600,064
12/31/00
WIRELESS XCESSORIES GROUP INC
1005504
3690
5
1
197,500
47,330
13,939,232
12/31/00
CSG SYSTEMS INTERNATIONAL INC
1005757
7374
5
1
125,050
1,056,460
332,089,000
12/31/00
Radioio, Inc.
1005758
4899
6
0
79,070
24,436
7,333,843
12/31/00
TOMPKINS FINANCIAL CORP
1005817
6022
4
1
178,500
252,850
1,304,894,000
12/31/00
GE INVISION, INC.
1005969
3844
3
1
122,600
10,344
69,332,000
12/31/00
APPLIED GRAPHICS TECHNOLOGIES INC
1006030
7330
3
1
821,000
1,478,000
722,233,000
12/31/00
IRIDEX CORP
1006045
3845
1
1
74,750
33,960
35,025,000
12/30/00
PATINA OIL & GAS CORP
1006264
1311
5
1
80,000
73,000
421,254,016
12/31/00
CITIZENS FIRST FINANCIAL CORP
1006265
6035
18
0
58,500
21,050
329,889,984
12/31/00
LORAL SPACE & COMMUNICATIONS INC.
1006269
3663
3
1
955,000
704,000
4,678,318,000
12/31/00
BEAR STATE FINANCIAL, INC.
1006424
6022
3
1
124,833
32,000
713,902,016
12/31/00
Timios National Corp
1006459
6531
1
1
80,000
22,309
600,000
12/31/00
ONYX ACCEPTANCE CORP
1006614
6141
1
1
179,000
393,000
331,380,000
12/31/00
QUALMARK CORP
1006691
3821
1
1
50,500
9,070
8,939,000
12/31/00
NORTHERN CALIFORNIA BANCORP INC
1006820
6022
139
0
43,100
0
83,871,500
12/31/00
HC2 HOLDINGS, INC.
1006837
3440
3
1
1,074,500
1,293,500
1,748,126,000
12/31/00
LONG ISLAND PHYSICIAN HOLDINGS CORP
1006868
8000
1
1
195,000
479,000
25,279,003
12/31/00
JDA SOFTWARE GROUP INC
1006892
7371
3
1
305,000
441,175
218,472,000
12/31/00
MATRIA HEALTHCARE INC
1007228
8082
4
1
257,500
221,684
268,292,992
12/31/00
BANK OF SOUTH CAROLINA CORP
1007273
6022
4
1
49,000
8,500
159,776,502
12/31/00
PRGX GLOBAL, INC.
1007330
8700
4
1
650,000
533,000
464,831,000
12/31/00
TVC TELECOM INC
1007367
7372
543
0
50,000
0
15,510,026
12/31/00
ELECTRONIC DATA SYSTEMS CORP /DE/
1007456
7370
4
1
6,001,510
9,224,000
12,700,300,288
12/31/00
AFFINITY TECHNOLOGY GROUP INC
1007508
6794
2
1
130,010
43,972
5,638,450
12/31/00
KVH INDUSTRIES INC \DE\
1007587
3663
4
1
89,039
34,514
26,494,836
12/31/00
SIPEX CORP
1007800
3674
4
1
230,000
85,000
148,768,000
12/31/00
HUMBOLDT BANCORP
1008554
6022
321
0
128,000
55,000
607,992,000
12/31/00
HIGHLANDS BANKSHARES INC /VA/
1008579
6022
303
0
46,600
14,000
405,212,000
12/31/00
TUPPERWARE BRANDS CORP
1008654
3089
1
1
1,452,000
3,168,940
849,400,000
12/30/00
SAPIENT CORP
1008817
7373
1
1
239,850
759,014
604,153,984
12/31/00
V ONE CORP/ DE
1008946
7372
2
1
90,000
70,307
5,450,618
12/31/00
FNB BANCSHARES INC /SC/
1009162
6021
226
0
20,755
2,725
44,942,000
12/31/00
MEXICAN RESTAURANTS INC
1009244
5812
4
1
111,000
7,730
31,508,800
12/31/00
I2 TECHNOLOGIES INC
1009304
7372
5
1
345,000
1,162,040
9,225,826,000
12/31/00
SALIX PHARMACEUTICALS LTD
1009356
2834
2
1
55,000
38,000
25,761,000
12/31/00
METROPOLITAN HEALTH NETWORKS INC
1009379
8011
56
0
130,000
40,000
11,765,300
12/31/00
NETOBJECTS INC
1009386
7372
4
1
335,000
0
32,614,000
9/30/00
DIGITAL VIDEO SYSTEMS INC
1009395
3651
297
0
163,977
34,463
30,008,000
12/31/00
HLTH CORP
1009575
7374
2
1
970,000
3,812,000
8,455,629,824
12/31/00
BROCADE COMMUNICATIONS SYSTEMS INC
1009626
3576
5
1
195,000
445,000
683,721,984
10/28/00
BIG BUCK BREWERY & STEAKHOUSE INC
1009652
5810
9
0
41,000
57,000
26,228,366
12/31/00
HALL KINION & ASSOCIATES INC
1009657
7363
3
1
237,545
441,383
139,820,992
12/31/00
CARBO CERAMICS INC
1009672
3290
2
1
94,000
82,000
125,422,000
12/31/00
CAPSTONE TURBINE Corp
1009759
3510
3
1
12,500
716,000
302,018,000
12/31/00
MAJOR AUTOMOTIVE COMPANIES INC
1009779
5500
7
0
389,500
0
86,781,400
12/31/00
JAKKS PACIFIC INC
1009829
3944
646
0
281,229
124,931
248,722,393
12/31/00
AIR INDUSTRIES GROUP
1009891
3728
254
0
39,343
17,602
1,356,984
12/31/00
COMMERCIAL BANCSHARES INC \OH\
1009976
6022
8
0
43,000
63,655
262,842,000
12/31/00
SIGA TECHNOLOGIES INC
1010086
2834
1
1
78,500
55,065
3,210,193
12/31/00
FPIC INSURANCE GROUP INC
1010247
6331
1
1
460,000
349,000
652,369,024
12/31/00
PHYSIOMETRIX INC
1010397
3845
2
1
67,760
11,330
25,096,200
12/31/00
POLYCOM INC
1010552
3661
1
1
267,500
1,976,000
431,868,992
12/31/00
CHINA LONGYI GROUP INTERNATIONAL HOLDINGS LTD
1010566
7389
615
0
3,800
0
676,924
12/31/00
SYKES ENTERPRISES INC
1010612
7373
2
1
400,000
900,000
357,954,000
12/31/00
ZOMAX INC /MN/
1010788
3652
5
1
175,240
153,439
167,935,008
12/29/00
SUNRISE SENIOR LIVING INC
1011064
8050
2
1
300,000
200,000
1,132,349,952
12/31/00
ACRE REALTY INVESTORS INC
1011109
6798
5
1
106,000
85,800
131,529,000
12/31/00
BRE PROPERTIES INC /MD/
1011174
6798
2
1
174,400
822,300
1,718,129,000
12/31/00
99 CENTS ONLY STORES LLC
1011290
5331
5
1
346,000
143,000
277,284,992
12/31/00
ALGIERS BANCORP INC
1011296
6036
328
0
54,023
11,550
48,932,000
12/31/00
FOOTSTAR INC
1011308
2834
4
1
462,000
988,000
813,800,000
12/31/00
UNITED FINANCIAL CORP \MN\
1011309
6022
4
1
96,475
20,340
363,800,992
12/31/00
PACKETEER INC
1011344
7373
4
1
214,553
470,094
144,280,992
12/31/00
Golden Minerals Co
1011509
1040
1
1
53,000
300,000
144,053,551
12/31/00
TITANIUM METALS CORP
1011657
3341
1
1
454,300
198,000
759,145,984
12/31/00
SS&C TECHNOLOGIES INC
1011661
7372
1
1
232,218
259,703
90,858,000
12/31/00
AIRNET SYSTEMS INC
1011696
4512
2
1
159,600
260,000
122,533,000
12/31/00
PRENTISS PROPERTIES TRUST/MD
1011699
6798
1
1
183,500
326,128
2,117,869,952
12/31/00
D&E COMMUNICATIONS INC
1011737
4813
1
1
221,600
106,500
124,221,000
12/31/00
Web Blockchain Media, Inc.
1011901
7373
5
1
95,680
47,405
15,829,079
12/31/00
RUSH ENTERPRISES INC \TX\
1012019
5500
5
1
73,000
5,000
388,874,000
12/31/00
SEALED AIR CORP/DE
1012100
2820
4
1
2,645,000
4,275,000
4,048,098,000
12/31/00
BAYCORP HOLDINGS LTD
1012127
4911
5
1
127,711
321,751
153,594,000
12/31/00
NOVT CORP
1012131
3845
2
1
98,000
90,850
77,072,794
12/31/00
ONYX PHARMACEUTICALS INC
1012140
2836
2
1
80,500
243,600
88,597,000
12/31/00
TIMCO AVIATION SERVICES INC
1012159
4581
5
1
693,200
430,800
300,611,008
12/31/00
COLLAGENEX PHARMACEUTICALS INC
1012270
2834
4
1
73,000
23,500
10,431,000
12/31/00
Firepond, Inc.
1012316
7310
304
0
40,740
5,195
496,711
12/31/00
EP MEDSYSTEMS INC
1012394
3841
1
1
57,000
44,020
8,416,940
12/31/00
GENESEE & WYOMING INC
1012620
4011
5
1
441,440
688,631
342,012,000
12/31/00
FBL FINANCIAL GROUP INC
1012771
6311
2
1
310,000
434,000
3,704,046,000
12/31/00
BOSTON COMMUNICATIONS GROUP INC
1012887
4812
2
1
143,870
0
118,644,000
12/31/00
MERISTAR HOSPITALITY CORP
1012967
6798
4
1
82,500
161,000
3,013,009,920
12/31/00
XYBERNAUT CORP
1013148
3576
6
0
178,849
60,514
20,242,700
12/31/00
ICT GROUP INC
1013149
7363
5
1
131,000
174,000
93,737,296
12/31/00
WELLPOINT HEALTH NETWORKS INC /DE/
1013220
6324
1
1
1,174,300
2,636,000
5,504,710,144
12/31/00
FILM ROMAN INC
1013236
7812
2
1
118,300
29,600
30,399,830
12/31/00
ARADIGM CORP
1013238
3845
2
1
91,775
250,628
71,371,000
12/31/00
AAIPHARMA INC
1013243
8734
2
1
380,000
432,000
112,151,000
12/31/00
YADKIN VALLEY CO
1013266
6311
4
1
17,350
5,250
11,501,901
12/31/00
NORWOOD FINANCIAL CORP
1013272
6022
122
0
45,500
40,800
326,731,000
12/31/00
VALCOM, INC
1013453
7819
390
0
51,956
0
16,008,500
9/30/00
ANSYS INC
1013462
7372
1
1
89,000
199,000
94,225,000
12/31/00
BJs RESTAURANTS INC
1013488
5812
1
1
120,015
0
29,992,368
12/31/00
PARK BANCORP INC
1013554
6035
8
0
39,100
47,270
235,183,008
12/31/00
ENDOLOGIX INC /DE/
1013606
3841
1
1
67,000
177,000
38,454,000
12/31/00
SCPIE HOLDINGS INC
1013609
6399
2
1
264,000
525,000
854,644,992
12/31/00
CHANNELL COMMERCIAL CORP
1013696
3669
6
0
240,650
125,000
116,748,000
12/31/00
SYMONS INTERNATIONAL GROUP INC
1013698
6331
7
0
510,583
0
41,744,000
12/31/00
Wilhelmina International, Inc.
1013706
8742
5
1
158,000
312,000
97,103,000
9/30/00
ZONES INC
1013786
5961
1
1
147,000
92,580
111,270,000
12/31/00
ARDEN REALTY INC
1013794
6798
2
1
497,000
393,000
2,705,600,000
12/31/00
TIB FINANCIAL CORP.
1013796
6022
7
0
110,108
29,517
439,320,000
12/31/00
PEGASYSTEMS INC
1013857
7374
3
1
443,992
217,375
110,493,000
12/31/00
NRG ENERGY, INC.
1013871
4911
1
1
900,000
3,040,000
5,978,992,000
12/31/00
TTEC Holdings, Inc.
1013880
7363
5
1
457,313
1,263,930
589,899,000
12/31/00
Strategic Education, Inc.
1013934
8200
1
1
89,600
138,220
119,139,000
12/31/00
GlassBridge Enterprises, Inc.
1014111
6282
1
1
790,000
590,000
987,900,000
12/31/00
ONYX SOFTWARE CORP/WA
1014383
7372
2
1
220,500
312,500
109,040,000
12/31/00
VERISIGN INC/CA
1014473
7371
4
1
484,475
980,170
19,195,222,000
12/31/00
CALIPER LIFE SCIENCES INC
1014672
3826
2
1
263,800
124,132
212,514,000
12/31/00
Old Point.360
1014733
7819
1
1
86,000
132,000
77,661,000
12/31/00
Option Care Health, Inc.
1014739
8082
5
1
249,000
103,800
120,401,000
12/31/00
U S PLASTIC LUMBER CORP
1014851
4955
4
1
300,000
0
200,411,008
12/31/00
SOUTH STREET FINANCIAL CORP
1014964
6036
10
0
94,640
10,526
198,343,008
12/31/00
CHARLES & COLVARD LTD
1015155
3910
3
1
77,000
75,000
29,607,994
12/31/00
HOUSTON EXPLORATION CO
1015293
1382
5
1
160,000
63,500
837,384,000
12/31/00
WINTRUST FINANCIAL CORP
1015328
6022
2
1
181,500
275,050
2,102,806,000
12/31/00
AVAX TECHNOLOGIES INC
1015441
2836
2
1
19,500
51,425
30,699,626
12/31/00
FLEXIINTERNATIONAL SOFTWARE INC/CT
1015464
7372
3
1
157,540
51,510
6,623,000
12/31/00
CNET NETWORKS INC
1015577
7389
4
1
514,500
1,003,000
2,863,399,000
12/31/00
RIVER VALLEY BANCORP
1015593
6035
18
0
42,800
6,955
162,130,000
12/31/00
GOLD BANC CORP INC
1015610
6021
4
1
250,000
980,352
2,717,600,000
12/31/00
AWARE INC /MA/
1015739
7372
1
1
87,500
25,783
81,450,000
12/31/00
ST JOSEPH CAPITAL CORP
1015856
6022
8
0
55,650
13,080
177,071,008
12/31/00
BOYKIN LODGING CO
1015859
6798
5
1
50,250
94,600
600,593,024
12/31/00
TL ADMINISTRATION CORP
1015868
2833
3
1
924,563
162,108
248,175,000
12/31/00
CLOSURE MEDICAL CORP
1016006
3841
1
1
60,500
10,600
22,139,000
12/31/00
DIGITAL LIGHTWAVE INC
1016100
3663
1
1
149,200
175,982
78,833,000
12/31/00
ULTIMATE SOFTWARE GROUP INC
1016125
7372
5
1
80,000
0
34,440,000
12/31/00
Wi-Tron, Inc.
1016151
3679
6
0
69,440
18,220
3,340,465
12/31/00
CORNELL COMPANIES, INC.
1016152
8744
5
1
171,500
522,000
291,439,008
12/31/00
ANTARES PHARMA, INC.
1016169
3841
4
1
37,550
118,400
2,971,684
12/31/00
DURA AUTOMOTIVE SYSTEMS INC
1016177
3714
5
1
855,000
2,860,000
2,357,050,112
12/31/00
DIAL CORP /NEW/
1016179
2840
3
1
492,000
760,000
1,381,970,048
12/31/00
LCC INTERNATIONAL INC
1016229
4812
4
1
155,000
231,100
110,045,000
12/31/00
NATIONAL PROCESSING INC
1016277
7389
2
1
213,000
656,000
477,471,008
12/31/00
CARRIAGE SERVICES INC
1016281
7200
5
1
194,082
407,057
710,285,000
12/31/00
PYR ENERGY CORP
1016289
1311
397
0
20,500
1,500
19,942,090
8/31/00
SRS LABS INC
1016470
6794
3
1
140,500
234,000
41,569,300
12/31/00
Baron Capital Enterprise Inc.
1016611
5940
188
0
80,238
25,787
2,548,629
12/31/00
LQ CORP INC
1016613
7373
1
1
122,500
69,825
138,210,000
12/31/00
RenovaCare, Inc.
1016708
3841
344
0
8,500
600
1,436,470
12/31/00
DOCUMENT SCIENCES CORP
1016831
7372
2
1
700,000
40,652
31,496,400
12/31/00
R&G FINANCIAL CORP
1016933
6022
1
1
284,000
27,000
3,539,440,128
12/31/00
PROLONG INTERNATIONAL CORP
1016965
2990
3
1
93,242
15,950
17,715,200
12/31/00
UNIVISION COMMUNICATIONS INC
1017008
4833
5
1
553,000
666,000
1,448,310,016
12/31/00
CNL Hotels & Resorts, Inc.
1017022
6519
1
1
31,000
59,255
653,962,058
12/31/00
Prescient Applied Intelligence, Inc.
1017137
7371
4
1
65,000
42,000
9,532,420
12/31/00
STEAKHOUSE PARTNERS INC
1017156
5812
75
0
251,166
0
45,387,251
12/31/00
CAPITAL TITLE GROUP INC
1017158
6361
4
1
80,500
7,000
14,300,500
12/31/00
Authorize.Net Holdings, Inc.
1017172
4812
3
1
137,550
308,000
99,001,000
12/31/00
NMT MEDICAL INC
1017259
3841
5
1
242,000
294,000
19,091,400
12/31/00
TRANSACT TECHNOLOGIES INC
1017303
3577
1
1
85,500
94,000
27,619,000
12/31/00
Access Plans USA, Inc.
1017440
7389
372
0
22,750
15,788
8,150,020
12/31/00
SEELOS THERAPEUTICS, INC.
1017491
2834
1
1
33,092
17,346
39,989,682
12/31/00
TONNER-ONE WORLD HOLDINGS, INC.
1017616
3942
1
1
128,000
10,000
15,153,000
12/31/00
DOVER MOTORSPORTS INC
1017673
7900
4
1
62,000
0
316,778,000
6/30/00
SUN BANCORP INC /NJ/
1017793
6029
3
1
107,500
36,300
2,002,530,048
12/31/00
EDGEWATER TECHNOLOGY INC/DE/
1017968
7370
5
1
185,000
2,854,000
254,700,000
12/31/00
INGRAM MICRO INC
1018003
5045
1
1
1,422,000
1,777,000
6,608,979,968
12/30/00
CARRIER ACCESS CORP
1018074
3661
4
1
102,000
72,560
149,515,008
12/31/00
MILLENNIUM CHEMICALS INC
1018099
2810
1
1
1,531,600
5,679,700
3,220,000,000
12/31/00
WILLIS LEASE FINANCE CORP
1018164
5080
4
1
371,500
165,000
455,930,000
12/31/00
L-1 IDENTITY SOLUTIONS, INC.
1018332
7373
7
0
101,000
35,500
45,273,000
12/31/00
ENTERPRISE BANCORP INC /MA/
1018399
6022
4
1
67,000
12,950
572,814,000
12/31/00
COX RADIO INC
1018522
4832
3
1
336,975
591,905
2,317,822,000
12/31/00
AVIATION DISTRIBUTORS INC
1018645
5080
6
0
285,000
9,720
26,768,453
12/31/00
IXL ENTERPRISES INC
1018705
7373
1
1
707,055
1,164,790
234,435,000
12/31/00
AMAZON COM INC
1018724
5961
2
1
1,500,000
3,000,000
2,135,169,000
12/31/00
QUADRAMED CORP
1018833
7371
464
0
123,500
140,000
155,944,992
12/31/00
HEALTHTRONICS, INC.
1018871
3845
2
1
117,500
26,260
30,432,800
12/31/00
STEINER LEISURE Ltd
1018946
7200
5
1
132,000
170,000
88,227,000
12/31/00
KOS PHARMACEUTICALS INC
1018952
2834
5
1
78,000
62,950
29,648,300
12/31/00
ALLEGHENY TECHNOLOGIES INC
1018963
3317
2
1
919,000
1,556,330
2,776,200,000
12/31/00
EMPIRE RESOURCES INC /NEW/
1019272
5051
121
0
90,000
40,000
69,109,696
12/31/00
WALKING CO HOLDINGS, INC.
1019439
5651
3
1
110,000
0
43,280,000
12/31/00
CENTRUE FINANCIAL CORP
1019650
6021
8
0
92,500
338,000
758,732,992
12/31/00
ARQULE INC
1019695
2834
1
1
152,500
235,780
149,476,000
12/31/00
NAVIGANT CONSULTING INC
1019737
8742
4
1
560,000
171,200
163,482,000
12/31/00
PURADYN FILTER TECHNOLOGIES INC
1019787
3714
2
1
166,000
0
8,834,515
12/31/00
MOONEY AEROSPACE GROUP LTD
1019825
3721
2
1
89,950
101,420
13,274,000
12/31/00
PENSKE AUTOMOTIVE GROUP, INC.
1019849
5500
3
1
348,000
11,000
1,762,695,000
12/31/00
INX Inc
1020017
5045
3
1
134,466
11,350
17,142,000
12/31/00
CERUS CORP
1020214
3841
2
1
103,800
99,300
94,161,490
12/31/00
SABRE HOLDINGS CORP
1020265
4700
2
1
652,000
2,841,000
2,650,354,000
12/31/00
ALLIN CORP
1020391
7373
5
1
90,450
80,555
24,282,000
12/31/00
KROLL INC
1020476
7381
5
1
810,000
2,243,000
261,748,992
12/31/00
IRON MOUNTAIN INC
1020569
6798
5
1
1,241,900
4,886,900
2,659,096,000
12/31/00
OMTOOL LTD
1020579
7372
5
1
102,505
111,587
22,500,000
12/31/00
AT HOME CORP
1020620
7370
2
1
595,000
1,828,000
2,106,700,000
12/31/00
DXP ENTERPRISES INC
1020710
5084
5
1
387,500
0
67,139,000
12/31/00
ROSLYN BANCORP INC
1020828
6036
4
1
300,000
477,000
7,664,269,000
12/31/00
SUPERIOR CONSULTANT HOLDINGS CORP
1020999
8742
6
0
157,000
154,000
78,632,000
12/31/00
EDGE PETROLEUM CORP
1021010
1311
3
1
99,500
9,000
58,533,400
12/31/00
METRIS COMPANIES INC
1021061
6141
4
1
324,000
1,290,500
3,736,029,952
12/31/00
GUITAR CENTER, INC.
1021113
5731
4
1
172,000
704,000
325,568,992
12/31/00
BBQ HOLDINGS, INC.
1021270
5812
16
0
29,606
28,686
52,963,000
12/31/00
hopTo Inc.
1021435
7372
7
0
76,700
40,000
21,039,800
12/31/00
NU SKIN ENTERPRISES, INC.
1021561
5122
1
1
550,000
1,000,000
590,803,000
12/31/00
OGE ENERGY CORP.
1021635
4911
5
1
452,395
541,434
4,319,630,000
12/31/00
INTELIDATA TECHNOLOGIES CORP
1021810
7373
3
1
75,600
112,073
43,278,000
12/31/00
DELTA FINANCIAL CORP
1021848
6163
4
1
194,000
302,892
452,696,992
12/31/00
COMPUTERIZED THERMAL IMAGING INC
1021853
3826
471
0
28,359
0
51,462,670
6/30/00
NATIONAL OILWELL VARCO INC
1021860
3533
2
1
340,000
221,000
1,278,894,000
12/31/00
QUEST DIAGNOSTICS INC
1022079
8071
1
1
428,000
806,000
2,864,536,000
12/31/00
HOME CITY FINANCIAL CORP
1022103
6036
281
0
66,400
48,600
123,445,000
12/31/00
LIGHTHOUSE FAST FERRY INC
1022360
4400
170
0
80,000
0
14,982,441
12/31/00
TRAMMELL CROW CO
1022438
6510
2
1
623,475
307,327
726,433,984
12/31/00
DELTIC TIMBER CORP
1022469
2421
4
1
89,000
294,000
322,632,992
12/31/00
TUMBLEWEED COMMUNICATIONS CORP
1022509
7372
4
1
243,700
452,000
178,900,000
12/31/00
CARDIMA INC
1022570
3842
2
1
67,750
45,975
5,903,000
12/31/00
NCO GROUP INC
1022608
7320
2
1
360,000
569,000
784,006,016
12/31/00
INSEEGO CORP.
1022652
3669
5
1
100,000
637,000
110,824,000
12/31/00
STEEL DYNAMICS INC
1022671
3312
2
1
119,000
528,000
1,067,074,000
12/31/00
NEOMEDIA TECHNOLOGIES INC
1022701
7373
5
1
165,000
92,000
40,594,000
12/31/00
CARDINAL BANKSHARES CORP
1022759
6022
275
0
41,432
20,569
163,240,000
12/31/00
BRILLIANT DIGITAL ENTERTAINMENT INC
1022844
7372
7
0
44,000
0
5,487,000
12/31/00
PANAVISION INC
1022911
3861
2
1
473,000
530,000
284,712,000
12/31/00
SANCHEZ COMPUTER ASSOCIATES INC
1022926
7373
5
1
76,000
278,000
95,320,000
12/31/00
ANI PHARMACEUTICALS INC
1023024
2834
3
1
32,000
34,000
3,066,917
12/31/00
LITHIA MOTORS INC
1023128
5500
4
1
274,200
0
628,003,000
12/31/00
COVANCE INC
1023131
8731
1
1
300,000
1,700,000
771,091,008
12/31/00
Energy Future Holdings Corp /TX/
1023291
4911
3
1
3,170,000
9,676,000
44,990,001,152
12/31/00
FORRESTER RESEARCH, INC.
1023313
8700
5
1
107,000
639,000
303,803,000
12/31/00
POWERWAVE TECHNOLOGIES INC
1023362
3663
3
1
201,982
358,926
393,797,000
12/31/00
BEXIL CORP
1023714
6799
142
0
12,500
69,750
9,840,780
12/31/00
BPZ RESOURCES, INC.
1023734
1311
5
1
115,000
10,000
89,177,000
12/31/00
STEWARDSHIP FINANCIAL CORP
1023860
6022
4
1
53,500
17,000
231,159,000
12/31/00
LARSCOM INC
1024047
3669
1
1
134,000
11,000
66,320,000
12/31/00
POWER EFFICIENCY CORP
1024075
4932
460
0
22,900
0
3,245,624
12/31/00
CRAGAR INDUSTRIES INC /DE
1024125
3714
479
0
20,000
6,000
1,890,190
12/31/00
PERNIX THERAPEUTICS HOLDINGS, INC.
1024126
2834
7
0
134,187
397,291
359,881,000
12/31/00
BEVERLY HILLS BANCORP INC
1024321
6022
3
1
658,000
519,000
696,050,000
12/31/00
VITA FOOD PRODUCTS INC
1024342
2090
7
0
64,500
7,500
12,188,900
12/31/00
ENRON CORP/OR/
1024401
6200
5
1
25,000,000
27,000,000
65,502,998,528
12/31/00
ZAP
1024628
3751
6
0
91,800
15,800
12,827,000
12/31/00
WEST CORP
1024657
7389
3
1
149,100
139,485
553,907,008
12/31/00
TENNECO INC
1024725
3714
5
1
1,931,000
2,948,000
2,886,000,000
12/31/00
IGATE CORP
1024732
7371
5
1
159,893
638,673
364,151,008
12/31/00
MODEM MEDIA INC
1024787
7389
5
1
426,100
563,000
161,504,992
12/31/00
HELIOS TECHNOLOGIES, INC.
1024795
3490
1
1
120,000
67,700
64,374,000
12/30/00
W. P. Carey Inc.
1025378
6798
1
1
150,000
1,312,000
904,242,000
12/31/00
NATROL INC
1025573
2833
2
1
120,000
68,000
87,920,704
12/31/00
ENTERPRISE FINANCIAL SERVICES CORP
1025835
6022
4
1
70,400
140,275
710,938,338
12/31/00
DCB FINANCIAL CORP
1025877
6022
8
0
50,000
14,130
497,144,992
12/31/00
NOVATION COMPANIES, INC.
1025953
6531
4
1
108,000
87,075
494,482,000
12/31/00
KILROY REALTY CORP
1025996
6798
3
1
154,500
5,405
1,457,169,000
12/31/00
FEDERAL HOME LOAN MORTGAGE CORP
1026214
6111
5
1
1,133,850
8,230,390
459,296,997,376
12/31/00
GENERAL BEARING CORP
1026221
3562
7
0
99,800
6,275
55,264,000
12/30/00
RESONATE INC
1026380
7372
1
1
157,000
742,000
121,943,000
12/31/00
ERESEARCHTECHNOLOGY INC /DE/
1026650
8734
5
1
100,000
547,000
53,964,000
12/31/00
CORE MOLDING TECHNOLOGIES INC
1026655
3089
3
1
81,500
119,703
62,785,061
12/31/00
EPIQ SYSTEMS INC
1027207
7371
3
1
85,420
42,383
44,938,500
12/31/00
MID-STATE BANCSHARES
1027324
6022
5
1
200,000
229,744
1,455,879,936
12/31/00
MACROVISION CORP
1027443
7373
4
1
655,955
685,420
296,438,016
12/31/00
AMERIPATH INC
1027532
8071
3
1
230,000
172,570
562,166,000
12/31/00
MICHIGAN HERITAGE BANCORP INC
1027623
6022
9
0
33,460
30,528
120,568,000
12/31/00
EPIX Pharmaceuticals, Inc.
1027702
2834
2
1
87,000
59,000
29,680,600
12/31/00
HEALTH GRADES INC
1027915
7389
2
1
104,615
37,585
14,371,200
12/31/00
PACIFICARE HEALTH SYSTEMS INC /DE/
1027974
6324
2
1
1,800,000
5,900,000
5,323,440,128
12/31/00
ORAPHARMA INC
1028065
2834
5
1
50,000
334,200
80,431,518
12/31/00
AMERICAN DENTAL PARTNERS INC
1028087
8090
4
1
145,000
361,130
132,583,000
12/31/00
VIANT CORP
1028122
7380
1
1
127,795
187,395
168,355,000
12/31/00
FIDELITY BANKSHARES INC
1028336
6035
3
1
155,000
15,969
1,922,899,968
12/31/00
COVANSYS CORP
1028461
7371
5
1
258,000
1,637,000
330,900,992
12/31/00
AMICAS, Inc.
1028584
7372
7
0
402,000
994,000
146,807,008
12/31/00
COBIZ FINANCIAL INC
1028734
6021
3
1
93,100
112,200
633,063,000
12/31/00
CHAMPION COMMUNICATION SERVICES INC
1028921
4899
7
0
61,500
2,000
6,307,330
12/31/00
SB ONE BANCORP
1028954
6022
306
0
39,750
0
161,629,000
12/31/00
Sooner Holdings, Inc.
1029023
1311
5
1
39,000
112,005
139,878,000
12/31/00
SONUS CORP
1029260
8090
4
1
190,000
81,000
37,784,000
7/31/00
HEMLOCK FEDERAL FINANCIAL CORP
1029654
6035
8
0
36,850
27,850
276,663,008
12/31/00
LADENBURG THALMANN FINANCIAL SERVICES INC.
1029730
6211
107
0
90,700
47,252
39,420,003
9/30/00
SONIC FOUNDRY INC
1029744
3663
2
1
183,800
222,915
126,825,000
9/30/00
NATIONWIDE FINANCIAL SERVICES INC/
1029786
6311
4
1
717,769
931,249
93,178,601,472
12/31/00
URSTADT BIDDLE PROPERTIES INC
1029800
6798
5
1
125,400
38,950
181,100,000
10/31/00
UNIVEC INC
1029825
3841
1213
0
102,993
6,840
2,619,144
12/31/00
HILLMAN COMPANIES INC
1029831
5080
1
1
184,000
1,130,000
322,141,000
12/31/00
WORLDGATE COMMUNICATIONS INC
1030058
4841
1
1
100,884
72,837
74,841,000
12/31/00
VASCULAR SOLUTIONS LLC
1030206
3841
2
1
28,500
79,800
49,660,736
12/31/00
NGEN, INC.
1030339
3826
2
1
74,565
228,895
111,168,000
12/31/00
RENAISSANCE LEARNING INC
1030484
7372
5
1
68,000
131,000
118,221,000
12/31/00
CURAGEN CORP
1030653
8731
3
1
52,232
203,840
499,163,008
12/31/00
GULFMARK OFFSHORE INC
1030749
3533
2
1
138,500
17,040
263,914,000
12/31/00
Synovics Pharmaceuticals
1030839
2833
3
1
69,450
0
4,385,989
10/31/00
StarTek, Inc.
1031029
7363
2
1
160,000
90,000
122,283,000
12/31/00
GROUP 1 AUTOMOTIVE INC
1031203
5500
5
1
395,000
456,000
1,099,553,000
12/31/00
PINNACLE BANKSHARES CORP
1031233
6021
4
1
45,900
5,800
179,736,000
12/31/00
Global Self Storage, Inc.
1031235
6798
142
0
18,500
69,750
29,811,344
12/31/00
ENTRUST INC
1031283
7371
3
1
337,835
706,162
734,105,984
12/31/00
FIRSTENERGY CORP
1031296
4911
5
1
893,300
5,301,200
17,941,294,000
12/31/00
RADIOLOGIX INC
1031329
8090
5
1
215,000
458,000
268,636,000
12/31/00
GULF ISLAND FABRICATION INC
1031623
3440
2
1
59,000
86,000
96,062,000
12/31/00
SPACEDEV, INC.
1031833
3760
310
0
48,000
15,000
4,636,650
12/31/00
Echo Therapeutics, Inc.
1031927
3845
177
0
48,700
13,850
7,744,632
12/31/00
COPPER MOUNTAIN NETWORKS INC
1031951
3661
2
1
116,500
220,800
304,885,000
12/31/00
SLM Corp
1032033
6141
5
1
1,043,000
3,480,000
48,791,788,000
12/31/00
SEMPRA ENERGY
1032208
4932
3
1
1,631,000
3,601,000
15,612,000,000
12/31/00
RWD TECHNOLOGIES INC
1032373
7389
5
1
71,000
1,456,000
97,826,000
12/31/00
FF-TSY Holding CO II, LLC
1032462
6798
3
1
230,000
94,932
625,022,976
12/31/00
FLAGSTAR BANCORP INC
1033012
6035
6
0
216,000
302,000
5,763,224,000
12/31/00
PRAECIS PHARMACEUTICALS INC
1033025
2834
2
1
101,500
343,695
195,571,008
12/31/00
LUMINEX CORP
1033905
3841
2
1
74,000
265,000
83,668,000
12/31/00
UNIFIED FINANCIAL SERVICES INC
1033926
6200
1009
0
130,000
20,500
65,634,927
12/31/00
SBA COMMUNICATIONS CORP
1034054
6798
5
1
211,000
520,000
948,818,100
12/31/00
ECLIPSYS CORP
1034088
7373
1
1
251,000
470,432
156,112,000
12/31/00
RC2 CORP
1034239
5090
5
1
175,000
63,455
252,448,992
12/31/00
DSI TOYS INC
1034257
5090
1
1
184,550
99,113
29,999,140
12/31/00
NOBLE INTERNATIONAL, LTD.
1034258
3714
6
0
150,000
251,000
145,208,000
12/31/00
VERSATA INC
1034397
7372
1
1
395,000
1,309,000
45,782,000
12/31/00
OMNICOMM SYSTEMS INC
1034592
7389
283
0
42,500
7,245
744,874
6/30/00
BAY BANKS OF VIRGINIA INC
1034594
6022
330
0
42,483
1,915
225,331,729
12/31/00
WAYPOINT FINANCIAL CORP
1034650
6036
5
1
282,000
377,000
4,758,190,080
12/31/00
FISHER COMMUNICATIONS INC
1034669
4833
1
1
311,854
161,717
646,803,968
12/31/00
BRIGHAM EXPLORATION CO
1034755
1311
1
1
106,750
5,250
146,911,008
12/31/00
RIGEL PHARMACEUTICALS INC
1034842
2834
2
1
96,400
556,070
64,262,000
12/31/00
VALERO ENERGY CORP/TX
1035002
2911
5
1
979,100
732,766
4,307,704,000
12/31/00
SHORE BANCSHARES INC
1035092
6021
129
0
64,250
27,200
553,096,712
12/31/00
iVOW, Inc.
1035181
8090
2
1
61,400
7,000
7,154,511
12/31/00
GEVITY HR INC
1035185
8741
3
1
170,000
163,621
212,338,000
12/31/00
CALIFORNIA WATER SERVICE GROUP
1035201
4941
4
1
178,000
249,000
666,605,000
12/31/00
INTUITIVE SURGICAL INC
1035267
3842
2
1
214,000
304,000
112,421,000
12/31/00
FOX & HOUND RESTAURANT GROUP
1035374
5812
4
1
58,000
0
40,127,600
12/26/00
ALEXANDRIA REAL ESTATE EQUITIES, INC.
1035443
6798
2
1
120,000
225,000
780,984,000
12/31/00
AB WATLEY GROUP INC
1035632
6211
2
1
172,311
207,466
29,032,644
9/30/00
NSTAR/MA
1035675
4911
1
1
641,644
181,168
5,569,514,000
12/31/00
PROVIDIAN FINANCIAL CORP
1035713
6021
2
1
436,000
1,722,400
18,055,299,072
12/31/00
AmNet Mortgage, Inc.
1035744
6798
4
1
99,000
35,000
882,572,992
12/31/00
VAIL BANKS INC
1035770
6022
4
1
93,000
18,000
563,270,976
12/31/00
JOURNAL REGISTER CO
1035815
2711
2
1
465,000
283,000
657,350,016
12/31/00
NETBANK INC
1035826
6036
3
1
187,000
450,000
1,842,690,048
12/31/00
COMMSCOPE INC
1035884
3663
3
1
194,770
1,533,100
721,182,016
12/31/00
CIMNET INC/PA
1035901
7372
6
0
41,640
20,000
3,331,170
12/31/00
FNCB Bancorp, Inc.
1035976
6021
251
0
28,000
10,500
583,852,000
12/31/00
COMFORT SYSTEMS USA INC
1035983
1731
5
1
808,720
634,888
926,410,000
12/31/00
DOBSON COMMUNICATIONS CORP
1035985
4812
5
1
452,500
586,270
2,638,520,064
12/31/00
Identiv, Inc.
1036044
3577
3
1
216,000
550,758
252,395,000
12/31/00
StellarOne CORP
1036070
6022
152
0
46,127
17,252
499,802,250
12/31/00
NEW CENTURY TRS HOLDINGS INC
1036075
6162
4
1
311,000
772,107
837,161,024
12/31/00
SECURITY BANCORP INC /TN
1036124
6035
2316
0
24,500
13,315
81,361,000
12/31/00
INTEST CORP
1036262
3825
4
1
180,063
337,365
46,529,000
12/31/00
BIORELIANCE CORP
1036629
8731
1
1
220,000
236,279
79,674,000
12/31/00
AEROCENTURY CORP
1036848
7359
5
1
45,000
6,500
71,464,630
12/31/00
FAIRCHILD SEMICONDUCTOR INTERNATIONAL INC
1036960
3674
4
1
607,000
1,276,180
1,837,500,032
12/31/00
Diadexus, Inc.
1036968
2834
4
1
72,000
8,000
56,797,000
12/31/00
PEAPOD INC
1036992
7389
4
1
148,000
128,000
45,733,000
12/31/00
ORBIT FR INC
1037115
3825
2
1
134,975
77,870
16,210,000
12/31/00
PEOPLES COMMUNITY CAPITAL CORP
1037249
6022
41
0
14,400
19,925
61,841,500
12/31/00
DIGITAL INSIGHT CORP
1037275
7389
1
1
78,750
600,109
282,225,984
12/31/00
GRIFFIN INDUSTRIAL REALTY, INC.
1037390
6500
1
1
160,000
102,000
126,656,000
12/2/00
BOSTON PROPERTIES INC
1037540
6798
1
1
291,000
1,402,170
6,226,470,000
12/31/00
AMEN PROPERTIES INC
1037599
6798
2
1
30,000
19,100
11,309,553
12/31/00
INTERLEUKIN GENETICS INC
1037649
2835
5
1
40,000
20,000
5,694,510
12/31/00
PELICAN FINANCIAL INC
1037652
6021
8
0
92,000
1,340
201,236,000
12/31/00
ARCH COAL INC
1037676
1221
2
1
476,680
941,826
2,232,614,000
12/31/00
CEPHEID
1037760
3826
2
1
171,000
325,000
47,353,000
12/31/00
AMETEK INC/
1037868
3621
2
1
547,000
616,000
858,988,000
12/31/00
PRIORITY HEALTHCARE CORP
1037975
5122
1
1
125,000
71,987
297,100,992
12/30/00
JONES LANG LASALLE INC
1037976
6531
4
1
600,000
1,900,000
914,045,000
12/31/00
SILICON LABORATORIES INC.
1038074
3674
2
1
130,000
261,000
184,840,000
12/30/00
HESKA CORP
1038133
2835
5
1
100,500
58,950
39,160,000
12/31/00
BANK OF THE OZARKS INC
1038205
6022
2
1
94,250
34,203
826,952,000
12/31/00
TARRAGON CORP
1038217
6798
5
1
185,000
47,000
520,932,000
12/31/00
Reis, Inc.
1038222
7389
2
1
141,000
157,600
375,769,577
12/31/00
CLARIENT, INC
1038223
8071
4
1
82,300
60,560
14,901,500
12/31/00
JLM INDUSTRIES INC
1038237
5160
3
1
252,907
234,355
136,380,000
12/31/00
MAC-GRAY CORP
1038280
7200
1
1
155,000
500,000
174,624,992
12/31/00
EQUITY OFFICE PROPERTIES TRUST
1038339
6798
2
1
590,000
1,930,000
18,794,299,392
12/31/00
PIONEER NATURAL RESOURCES CO
1038357
1311
2
1
420,000
512,228
2,954,435,000
12/31/00
SCHUFF INTERNATIONAL INC
1038368
1700
2
1
227,500
392,000
179,043,000
12/31/00
PRECISION AUTO CARE INC
1038541
7500
2
1
164,100
156,641
46,331,589
6/30/00
SMARTFINANCIAL INC.
1038773
6021
270
0
35,950
4,650
119,378,755
12/31/00
GLOBALSANTAFE CORP
1038914
1381
2
1
444,000
816,000
1,693,639,936
12/31/00
KENDLE INTERNATIONAL INC
1039151
8731
1
1
249,000
207,000
176,519,008
12/31/00
AEROGEN INC
1039160
3841
1
1
57,000
514,000
66,712,000
12/31/00
TRAILER BRIDGE INC
1039184
4400
3
1
82,000
33,053
82,640,096
12/31/00
SCHEID VINEYARDS INC
1039213
100
3
1
55,000
3,000
65,258,000
12/31/00
MERCATOR SOFTWARE INC
1039276
7372
4
1
589,000
1,029,000
160,891,000
12/31/00
ONCURE MEDICAL CORP
1039646
8011
101
0
55,000
20,000
36,658,798
12/31/00
ONEOK INC /NEW/
1039684
4923
4
1
877,000
201,000
7,369,136,000
12/31/00
AMERICAN EQUITY INVESTMENT LIFE HOLDING CO
1039828
6311
2
1
130,000
135,400
2,528,126,000
12/31/00
PANACOS PHARMACEUTICALS, INC.
1040017
2836
4
1
94,000
44,650
63,729,131
12/30/00
PIXELWORKS, INC
1040161
3674
4
1
58,000
184,500
120,294,000
12/31/00
PEGASUS SOLUTIONS INC
1040261
7374
1
1
547,000
1,147,000
357,704,992
12/31/00
INSPIRE PHARMACEUTICALS INC
1040416
2834
1
1
47,500
362,800
82,993,000
12/31/00
SYNTEL INC
1040426
7371
1
1
90,820
29,610
132,898,000
12/31/00
PAN PACIFIC RETAIL PROPERTIES INC
1040454
6798
4
1
100,000
373,161
1,297,689,984
12/31/00
AMERICASBANK CORP
1040491
6035
10
0
44,911
0
23,855,000
12/31/00
CARRIZO OIL & GAS INC
1040593
1311
5
1
98,318
5,401
92,999,913
12/31/00
CHOICEPOINT INC
1040596
7374
5
1
300,000
443,000
704,438,976
12/31/00
DITECH HOLDING Corp
1040719
6162
3
1
170,500
199,775
272,808,000
12/31/00
Helios & Matheson Analytics Inc.
1040792
7380
2
1
126,500
53,200
27,037,539
12/31/00
Ryman Hospitality Properties, Inc.
1040829
6798
5
1
292,000
3,948,120
1,939,553,000
12/31/00
AGRITEK HOLDINGS, INC.
1040850
5960
107
0
49,200
0
11,073,068
12/31/00
INTEGRATED BUSINESS SYSTEMS & SERVICES INC
1040863
7372
191
0
71,000
23,075
3,540,716
12/31/00
Intellicheck, Inc.
1040896
7372
5
1
51,500
0
7,939,907
12/31/00
SL GREEN REALTY CORP
1040971
6798
2
1
253,000
793,000
1,161,154,000
12/31/00
MEDIABAY INC
1040973
5961
3
1
142,000
0
49,932,000
12/31/00
Revolutions Medical CORP
1041009
3841
182
0
4,872
1,261
88,251
12/31/00
ROCKWELL MEDICAL, INC.
1041024
2834
9
0
62,810
10,990
4,051,933
12/31/00
YUM BRANDS INC
1041061
5812
4
1
2,269,000
6,285,000
4,149,000,000
12/30/00
U S LIQUIDS INC
1041095
4955
5
1
385,000
312,000
352,177,000
12/31/00
PASSPORT BRANDS, INC
1041179
2253
7
0
481,000
122,000
36,429,700
12/31/00
HORIZON ORGANIC HOLDING CORP
1041255
2020
4
1
118,987
405,690
132,164,000
12/31/00
CORPORATE PROPERTY ASSOCIATES 14 INC
1041326
6798
1
1
58,000
145,000
645,761,506
12/31/00
INDUS INTERNATIONAL INC
1041333
7372
2
1
380,000
590,000
140,732,000
12/31/00
CORILLIAN CORP
1041403
7372
4
1
134,800
486,200
101,158,000
12/31/00
TRIPATH IMAGING INC
1041426
3826
2
1
87,500
67,125
97,470,704
12/31/00
ANNAPOLIS BANCORP INC
1041429
6021
129
0
29,082
3,728
137,040,000
12/31/00
HOPFED BANCORP INC
1041550
6022
258
0
21,960
3,500
229,958,000
12/31/00
ATMI INC
1041577
2810
2
1
480,000
1,570,000
350,804,992
12/31/00
URBAN ONE, INC.
1041657
4832
5
1
110,000
856,000
1,765,218,000
12/31/00
PMA CAPITAL CORP
1041665
6331
1
1
595,000
188,500
3,469,410,048
12/31/00
NORTHWAY FINANCIAL INC
1041753
6021
293
0
99,000
16,000
485,144,000
12/31/00
RCN CORP /DE/
1041858
4813
1
1
468,730
3,214,820
4,775,549,952
12/31/00
AMERICAN FINANCIAL GROUP INC
1042046
6331
2
1
2,100,000
1,125,000
16,415,541,000
12/31/00
CHORDIANT SOFTWARE INC
1042134
7372
1
1
226,000
852,000
107,448,000
12/31/00
SCIENTIFIC LEARNING CORP
1042173
8200
2
1
111,000
78,000
18,953,000
12/31/00
VIGNETTE CORP
1042185
7372
2
1
173,000
975,000
2,190,949,888
12/31/00
Yunhong CTI Ltd.
1042187
3060
6
0
89,686
99,019
22,218,790
12/31/00
SILVERSTREAM SOFTWARE INC
1042282
7373
2
1
166,600
371,574
313,738,324
12/31/00
INDUSTRIAL DISTRIBUTION GROUP INC
1042351
5080
5
1
275,500
26,500
223,958,000
12/31/00
Inhibitor Therapeutics, Inc.
1042418
8731
10
0
34,400
24,402
10,343,694
12/31/00
INTERWOVEN INC
1042431
7372
1
1
197,000
253,000
524,208,992
12/31/00
FIRST SECURITYFED FINANCIAL CORP
1042534
6035
8
0
37,000
52,430
403,663,008
12/31/00
CORIXA CORP
1042561
2836
2
1
436,000
61,000
504,880,000
12/31/00
DENISON INTERNATIONAL PLC
1042598
3590
2
1
355,000
0
144,394,000
12/31/00
MERCANTILE BANK CORP
1042729
6022
8
0
53,500
110,632
512,746,362
12/31/00
DOT HILL SYSTEMS CORP
1042783
3572
3
1
160,671
653,123
102,879,000
12/31/00
PRIME GROUP REALTY TRUST
1042798
6798
2
1
264,000
703,000
1,439,090,048
12/31/00
STATEN ISLAND BANCORP INC
1042801
6035
5
1
235,000
18,600
5,240,860,160
12/31/00
A.C. Moore Arts & Crafts, Inc.
1042809
5945
1
1
115,500
0
107,392,000
12/31/00
EQUITY ONE, INC.
1042810
6798
3
1
86,000
50,000
239,042,000
12/31/00
POWER ONE INC
1042825
3679
3
1
641,000
1,540,000
782,316,992
12/31/00
DRIL-QUIP INC
1042893
3533
2
1
184,178
54,545
233,341,000
12/31/00
HEARTLAND BANCSHARES INC /IN/
1042905
6022
8
0
30,295
12,950
164,916,000
12/31/00
CAPITAL SENIOR LIVING CORP
1043000
8050
2
1
138,000
155,000
318,544,000
12/31/00
VARIAGENICS INC
1043082
8731
1
1
66,000
321,660
106,244,000
12/31/00
DOCENT INC
1043134
7389
1
1
178,000
647,000
127,816,000
12/31/00
ELINE ENTERTAINMENT GROUP INC
1043150
1520
22
0
29,500
0
373,583
10/31/00
Stabilis Energy, Inc.
1043186
4924
69
0
98,075
0
5,933,362
12/31/00
ANNALY CAPITAL MANAGEMENT INC
1043219
6798
3
1
94,000
12,000
2,035,028,788
12/31/00
ELDERTRUST
1043236
6798
4
1
92,500
10,700
237,687,000
12/31/00
C. H. ROBINSON WORLDWIDE, INC.
1043277
4731
5
1
319,000
316,000
644,207,000
12/31/00
CENTERLINE HOLDING CO
1043325
6500
3
1
160,000
243,800
925,235,968
12/31/00
STONERIDGE INC
1043337
3714
5
1
409,800
146,990
696,995,000
12/31/00
SOLUTIA INC
1043382
2800
3
1
855,389
3,029,720
3,580,999,936
12/31/00
OAO TECHNOLOGY SOLUTIONS INC
1043476
7373
3
1
193,750
84,020
69,577,000
12/31/00
SONIC AUTOMOTIVE INC
1043509
5500
3
1
409,000
699,000
1,789,248,000
12/31/00
ABOVENET INC
1043533
4899
2
1
350,000
820,000
6,252,331,000
12/31/00
IMPROVENET INC
1043561
7389
1
1
267,000
220,021
41,716,000
12/31/00
JUNIPER NETWORKS INC
1043604
3576
2
1
237,000
486,000
2,103,129,000
12/31/00
COVAD COMMUNICATIONS GROUP INC
1043769
4813
2
1
2,861,000
3,972,000
1,511,485,000
12/31/00
ORE PHARMACEUTICAL HOLDINGS INC.
1043914
2835
2
1
62,000
77,200
289,532,992
12/31/00
Precipio, Inc.
1043961
3826
3
1
108,000
497,000
77,863,000
12/31/00
Georgia-Carolina Bancshares, Inc
1044082
6022
24
0
33,163
10,813
116,509,000
12/31/00
CNTV Entertainment Group, Inc.
1044167
5045
6
0
52,000
0
35,270,000
12/31/00
PETER KIEWIT SONS INC /DE/
1044430
1600
1
1
369,450
1,333,160
1,426,000,000
12/31/00
P10 Industries, Inc.
1044435
4911
2
1
54,000
270,000
156,132,000
12/31/00
PACEL CORP
1044490
8741
749
0
16,000
2,775
360,758
12/31/00
CNA SURETY CORP
1044566
6351
3
1
347,200
119,000
950,568,000
12/31/00
Intermec, Inc.
1044590
3577
3
1
1,045,000
609,600
1,720,679,936
12/31/00
OneSpan Inc.
1044777
7373
4
1
125,166
0
29,313,319
12/31/00
Province Healthcare Company, LLC
1044942
8062
2
1
295,000
850,800
530,852,000
12/31/00
GAMETECH INTERNATIONAL INC
1045014
7990
2
1
130,000
209,000
59,324,000
10/31/00
RAIT Financial Trust
1045425
6798
6
0
55,000
20,935
270,120,453
12/31/00
EPR PROPERTIES
1045450
6798
2
1
98,552
238,911
513,534,000
12/31/00
Prologis, Inc.
1045609
6798
5
1
250,700
1,327,800
4,425,626,000
12/31/00
UNITED TENNESSEE BANKSHARES INC
1045689
6035
238
0
40,675
36,810
98,553,433
12/31/00
SHORE FINANCIAL CORP
1045690
6022
35
0
36,600
5,100
139,814,000
12/31/00
ETELOS, INC.
1045739
7372
1
1
181,000
562,000
47,111,000
12/31/00
LIVE VENTURES Inc
1045742
6799
1369
0
35,000
0
11,632,654
9/30/00
HYPERCOM CORP
1045769
3578
2
1
784,000
127,000
369,236,992
12/31/00
SUMMIT BROKERAGE SERVICES INC / FL
1045993
6211
820
0
51,415
0
1,029,220
12/31/00
ALLIANCE BANCORP OF NEW ENGLAND INC
1046002
6036
4
1
61,070
54,505
348,177,984
12/31/00
HERITAGE FINANCIAL CORP /WA/
1046025
6036
4
1
76,500
45,432
573,530,000
12/31/00
LASER MORTGAGE MANAGEMENT INC
1046099
6798
3
1
96,000
7,500
327,928,000
12/31/00
BRASS EAGLE INC
1046112
5990
8
0
175,520
205,634
95,816,000
12/31/00
UNION COMMUNITY BANCORP
1046183
6035
18
0
30,500
26,942
125,383,000
12/31/00
PATHFINDER BANCORP INC
1046188
6036
1
1
72,950
21,960
231,847,008
12/31/00
WARWICK COMMUNITY BANCORP INC
1046209
6036
5
1
94,000
145,400
637,798,976
12/31/00
OMNI ENERGY SERVICES CORP
1046212
1382
5
1
80,000
32,500
34,624,000
12/31/00
Ingredion Inc
1046257
2040
4
1
878,500
393,684
2,339,000,000
12/31/00
BIG CITY RADIO INC
1046284
4832
4
1
129,500
0
129,846,000
12/31/00
CHOICE HOTELS INTERNATIONAL INC /DE
1046311
7011
5
1
165,000
727,501
484,120,000
12/31/00
REALNETWORKS INC
1046327
7371
4
1
183,000
116,904
578,408,000
12/31/00
BUILDING MATERIALS HOLDING Corp
1046356
5211
1
1
383,100
1,051,000
459,633,984
12/31/00
BUCA INC /MN
1046501
5812
3
1
63,650
241,000
123,437,000
12/31/00
PERDOCEO EDUCATION Corp
1046568
8200
5
1
441,500
956,475
280,699,000
12/31/00
TOUSA INC
1046578
1520
7
0
119,000
0
324,144,000
12/31/00
RAINDANCE COMMUNICATIONS INC
1046832
4899
4
1
81,000
352,500
158,824,000
12/31/00
EMAGIN CORP
1046995
3674
5
1
192,000
207,200
62,549,195
12/31/00
RAYTHEON CO/
1047122
3812
1
1
3,000,000
48,000,000
26,777,000,000
12/31/00
LOCAL FINANCIAL CORP /NV
1047125
6021
4
1
237,000
186,000
2,377,009,920
12/31/00
AMKOR TECHNOLOGY, INC.
1047127
3674
1
1
954,000
1,219,000
3,393,284,000
12/31/00
EASTERN VIRGINIA BANKSHARES INC
1047170
6022
152
0
44,000
11,070
407,104,992
12/31/00
PENWEST PHARMACEUTICALS CO
1047188
2834
2
1
236,000
139,000
42,294,000
12/31/00
GETTY IMAGES INC
1047202
7330
1
1
995,000
1,411,000
1,100,640,000
12/31/00
NATIONAL HEALTHCARE CORP
1047335
8051
5
1
245,349
0
273,047,000
12/31/00
COMMUNITY FIRST BANCORP
1047446
6022
316
0
41,594
6,683
181,066,258
12/31/00
NEXPRISE INC
1047499
7372
2
1
350,000
1,315,000
257,308,000
12/31/00
PSB BANCORP INC
1047537
6036
430
0
62,000
10,000
254,819,008
12/31/00
KING PHARMACEUTICALS INC
1047699
2834
1
1
573,799
1,623,400
1,282,400,000
12/31/00
CONSOLIDATED EDISON INC
1047862
4931
1
1
961,000
2,214,600
16,767,245,000
12/31/00
TALON INTERNATIONAL, INC.
1047881
5130
7
0
121,360
100,186
39,099,474
12/31/00
ANWORTH MORTGAGE ASSET CORP
1047884
6798
1
1
36,500
2,800
141,834,000
12/31/00
EFC BANCORP INC
1047947
6036
4
1
69,300
94,575
583,201,024
12/31/00
MARRIOTT INTERNATIONAL INC /MD/
1048286
7011
5
1
1,049,800
30,281,500
8,237,000,000
12/29/00
ACCESS WORLDWIDE COMMUNICATIONS INC
1048422
8742
1
1
180,000
14,000
92,980,398
12/31/00
TARPON COAST BANCORP INC
1048435
6021
46
0
39,260
3,427
63,768,800
12/31/00
XFormity Technologies, Inc.
1048501
7372
13
0
21,270
30,390
10,082,007
6/30/00
FOG CUTTER CAPITAL GROUP INC
1048566
5812
2
1
151,000
182,000
150,304,000
12/31/00
GRANITE CITY FOOD & BREWERY LTD.
1048620
5812
177
0
50,300
19,200
8,458,400
12/31/00
F5 NETWORKS, INC.
1048695
3576
1
1
119,000
85,400
122,420,000
9/30/00
DOLLAR THRIFTY AUTOMOTIVE GROUP INC
1049108
7510
3
1
863,698
593,978
2,100,370,048
12/31/00
VERENIUM CORP
1049210
2860
2
1
95,000
304,000
235,260,992
12/31/00
UNITED PAN AM FINANCIAL CORP
1049231
6162
4
1
113,000
38,500
489,977,984
12/31/00
CAPITAL AUTOMOTIVE REIT
1049316
6798
5
1
89,100
187,640
1,021,589,000
12/31/00
DOUBLECLICK INC
1049480
7372
1
1
475,000
1,800,000
1,298,540,032
12/31/00
MKS INSTRUMENTS INC
1049502
3823
1
1
264,000
1,171,000
266,383,000
12/31/00
CAVALRY BANCORP INC
1049535
6022
258
0
57,500
30,000
384,284,992
12/31/00
FIRST CONSULTING GROUP INC
1049758
8742
6
0
215,000
144,000
141,996,000
12/31/00
BROOKLINE BANCORP INC
1049782
6035
6
0
103,310
88,457
1,036,150,000
12/31/00
BRIGHTSTAR INFORMATION TECHNOLOGY GROUP INC
1050025
7373
6
0
145,000
91,000
21,797,000
12/31/00
SM&A
1050031
8742
4
1
343,000
305,000
75,849,000
12/31/00
ANTHRACITE CAPITAL INC
1050112
6798
3
1
216,000
103,920
1,033,651,000
12/31/00
1 800 CONTACTS INC
1050122
5961
5
1
55,000
25,000
26,107,800
12/30/00
PC CONNECTION INC
1050377
5961
3
1
275,000
313,348
250,413,000
12/31/00
EAGLE BANCORP INC
1050441
6022
129
0
29,100
4,000
164,081,958
12/31/00
MICROSTRATEGY Inc
1050446
7372
1
1
791,742
1,268,060
259,087,000
12/31/00
SALEM MEDIA GROUP, INC. /DE/
1050606
4832
2
1
182,000
187,000
470,668,000
12/31/00
PEAPACK GLADSTONE FINANCIAL CORP
1050743
6029
4
1
96,500
68,250
568,413,000
12/31/00
COLUMBIA SPORTSWEAR CO
1050797
2300
3
1
240,000
639,000
375,086,000
12/31/00
VITRIA TECHNOLOGY INC
1050808
7372
2
1
323,000
69,000
310,192,000
12/31/00
MONTGOMERY REALTY GROUP INC
1050835
6500
3
1
31,000
5,000
10,217,600
12/31/00
QUANTA SERVICES, INC.
1050915
1731
5
1
490,000
1,334,750
1,874,094,000
12/31/00
SHOE PAVILION INC
1051009
5661
3
1
105,450
70,450
46,915,200
12/30/00
W-H ENERGY SERVICES INC
1051034
3533
5
1
175,000
750,000
232,200,000
12/31/00
FIRST SENTINEL BANCORP INC
1051092
6036
4
1
130,000
41,000
1,968,710,016
12/31/00
INNOTRAC CORP
1051114
7389
5
1
88,000
0
97,145,000
12/31/00
TENFOLD CORP /UT
1051118
7371
4
1
920,405
83,554
65,275,000
12/31/00
KUBOO, INC.
1051209
7389
1
1
199,300
0
24,940,000
12/31/00
COMMUNITY WEST BANCSHARES /
1051343
6022
5
1
241,616
86,635
405,255,320
12/31/00
MIDWEST BANC HOLDINGS INC
1051379
6021
8
0
77,000
291,000
1,467,769,984
12/31/00
NATIONAL EQUIPMENT SERVICES INC
1051381
7359
1
1
603,000
700,000
1,248,936,000
12/31/00
HORIZON OFFSHORE INC
1051431
1389
5
1
114,500
55,000
239,424,992
12/31/00
CROWN CASTLE INTERNATIONAL CORP
1051470
6798
4
1
335,000
1,945,000
6,439,841,000
12/31/00
TELEPHONE & DATA SYSTEMS INC /DE/
1051512
4813
5
1
1,153,200
2,751,690
8,634,609,000
12/31/00
AXT INC
1051627
3674
1
1
668,100
119,331
250,220,000
12/31/00
Athene USA Corp
1051717
6311
4
1
652,300
240,278
11,471,500,288
12/31/00
FIRST NIAGARA FINANCIAL GROUP INC
1051741
6021
4
1
161,200
114,500
2,624,689,920
12/31/00
CHAMPIONSHIP LIQUIDATING TRUST
1051825
7948
3
1
42,175
38,650
144,100,992
12/31/00
EVOLVING SYSTEMS INC
1052054
7371
1
1
143,500
85,000
47,934,256
12/31/00
WADDELL & REED FINANCIAL INC
1052100
6211
4
1
204,500
475,447
422,186,000
12/31/00
TOTAL LOGISTICS INC
1052102
4220
5
1
92,700
153,900
129,900,000
12/31/00
TERAYON COMMUNICATION SYSTEMS
1052303
3661
2
1
508,784
974,633
1,426,729,984
12/31/00
CLICK2LEARN INC/DE/
1052327
7371
4
1
92,000
15,050
44,880,000
12/31/00
AMERICAN BANK NOTE HOLOGRAPHICS INC
1052489
7389
3
1
282,000
142,000
29,134,000
12/31/00
VICURON PHARMACEUTICALS INC
1052547
2834
1
1
64,450
386,175
91,596,000
12/31/00
ITA Holdings, Inc.
1052593
7372
4
1
187,500
413,695
60,193,000
12/31/00
Red Lion Hotels CORP
1052595
7011
1
1
142,600
127,600
304,834,000
12/31/00
GETTY REALTY CORP /MD/
1052752
6500
1
1
106,500
8,500
255,725,000
12/31/00
ABGENIX INC
1052837
2836
2
1
130,425
169,142
936,800,000
12/31/00
HORIZON MEDICAL PRODUCTS INC
1052958
5047
1
1
299,880
99,625
86,038,496
12/31/00
CABLEVISION SYSTEMS CORP /NY
1053112
4841
4
1
2,075,000
23,252,000
8,273,290,240
12/31/00
INTERNET SECURITY SYSTEMS INC/GA
1053148
7372
2
1
138,500
425,000
240,240,000
12/31/00
HERITAGE COMMERCE CORP
1053352
6022
3
1
206,340
288,085
846,224,000
12/31/00
CATALYTICA ENERGY SYSTEMS INC
1053361
3510
2
1
254,700
817,600
67,772,000
12/31/00
AMERICAN TOWER CORP /MA/
1053507
6798
3
1
542,000
2,600,000
5,660,679,000
12/31/00
LaSalle Hotel Properties
1053532
6798
4
1
141,500
145,300
531,893,000
12/31/00
MACATAWA BANK CORP
1053584
6022
8
0
46,000
62,935
499,812,500
12/31/00
OMEGA PROTEIN CORP
1053650
2070
1
1
119,443
68,575
160,484,000
12/31/00
SIELOX INC
1053676
7381
1
1
156,880
871,649
93,449,000
12/31/00
CRA INTERNATIONAL, INC.
1053706
8111
2
1
111,400
31,155
79,861,000
11/25/00
APPROVED FINANCIAL CORP
1053924
6163
1
1
133,415
44,320
59,819,000
12/31/00
InPlay Technologies, Inc.
1054070
3570
3
1
44,000
35,202
19,098,200
12/31/00
INTERPACE BIOSCIENCES, INC.
1054102
3841
1
1
246,050
1,138,440
270,225,000
12/31/00
TURNSTONE SYSTEMS INC
1054131
3661
4
1
158,000
387,000
345,997,000
12/31/00
US LEC LLC
1054290
4813
3
1
250,000
290,000
373,159,008
12/31/00
BROADCOM CORP
1054374
3674
2
1
404,000
2,907,000
4,677,819,904
12/31/00
PENSECO FINANCIAL SERVICES CORP
1054508
6022
335
0
45,000
20,000
467,230,016
12/31/00
MAXUS TECHNOLOGY CORP
1054709
5065
5
1
67,768
89,245
4,249,000
11/30/00
BSQUARE CORP /WA
1054721
7389
5
1
78,000
162,700
122,262,000
12/31/00
COVENTRY HEALTH CARE INC
1054833
6324
5
1
1,460,000
3,287,300
1,239,040,000
12/31/00
INTERCEPT INC
1054930
6099
5
1
95,960
266,465
142,100,000
12/31/00
MFA FINANCIAL, INC.
1055160
6798
1
1
80,000
80,700
522,490,312
12/31/00
SONOSITE INC
1055355
3841
4
1
85,000
84,773
58,023,900
12/31/00
NAVIGANT INTERNATIONAL INC
1055455
4700
1
1
153,000
713,000
331,311,008
12/31/00
BLUE RIVER BANCSHARES INC
1055870
6035
3
1
158,891
129,142
161,068,187
12/31/00
CYPRESS COMMUNICATIONS HOLDING CO INC
1056064
4813
7
0
119,545
113,214
10,008,500
12/31/00
MCCLATCHY CO
1056087
2711
3
1
455,440
203,521
2,165,658,000
12/31/00
CentraCore Properties Trust
1056218
6500
5
1
60,500
27,500
213,775,008
12/31/00
L 3 COMMUNICATIONS HOLDINGS INC
1056239
3663
1
1
755,400
1,691,000
2,463,539,968
12/31/00
FEDERATED HERMES, INC.
1056288
6282
2
1
351,000
978,045
704,750,000
12/31/00
MANNATECH INC
1056358
2833
1
1
112,000
494,000
38,902,000
12/31/00
Internap Corp
1056386
7370
1
1
119,205
846,229
650,110,000
12/31/00
RITA MEDICAL SYSTEMS INC
1056421
3845
1
1
113,100
350,300
46,270,000
12/31/00
FACTUAL DATA CORP
1056673
7374
108
0
82,922
74,572
42,800,097
12/31/00
MANHATTAN ASSOCIATES INC
1056696
7372
5
1
121,000
248,000
152,375,000
12/31/00
FIRST KANSAS FINANCIAL CORP
1056811
6035
4
1
40,000
13,000
150,040,000
12/31/00
AMERICAN STATES WATER CO
1056903
4941
5
1
132,000
199,576
616,646,000
12/31/00
DATALINK CORP
1056923
7373
1
1
117,000
340,000
56,472,000
12/31/00
PEOPLES FINANCIAL SERVICES CORP.
1056943
6021
997
0
26,950
0
287,625,056
12/31/00
Waste Connections US, Inc.
1057058
4953
2
1
436,037
247,950
810,104,000
12/31/00
PC TEL INC
1057083
3663
5
1
317,000
390,000
192,956,000
12/31/00
Icoria, Inc.
1057217
8731
1
1
59,000
307,555
75,464,704
12/31/00
INTERPLAY ENTERTAINMENT CORP
1057232
7372
5
1
196,500
219,209
59,081,000
12/31/00
DIGITAL FUSION INC/NJ/
1057257
7370
7
0
140,865
380,000
22,009,000
12/31/00
STARMEDIA NETWORK INC
1057334
7374
2
1
369,000
696,000
215,663,000
12/31/00
COSTAR GROUP, INC.
1057352
7389
2
1
119,424
241,147
145,870,626
12/31/00
SAMARITAN PHARMACEUTICALS INC
1057377
8731
572
0
15,000
5,000
409,328
12/31/00
HACKETT GROUP, INC.
1057379
8742
1
1
178,450
215,094
228,676,000
12/29/00
EARTHCARE CO
1057489
4955
1
1
407,000
104,000
88,605,366
12/31/00
NATCO GROUP INC
1057693
3443
4
1
261,982
196,413
153,126,000
12/31/00
NETWORK 1 FINANCIAL GROUP, INC.
1057695
6211
572
0
55,525
0
4,468,125
12/29/00
FIRST BANCORP /PR/
1057706
6022
1
1
190,800
74,700
5,919,656,581
12/31/00
NEFF CORP
1057725
7359
3
1
104,000
126,000
474,967,000
12/31/00
tw telecom inc.
1057758
4813
2
1
198,000
2,749,000
1,353,340,032
12/31/00
IDACORP INC
1057877
4911
3
1
251,430
501,874
4,639,258,000
12/31/00
STEELCLOUD INC
1058027
3571
2
1
135,000
55,000
23,004,971
10/31/00
MADE IN AMERICA ENTERTAINMENT, INC.
1058056
7812
715
0
19,950
0
402,691
12/31/00
LANDACORP INC
1058177
7389
1
1
237,000
679,000
45,821,000
12/31/00
LEXAR MEDIA INC
1058289
3861
1
1
201,118
581,831
74,848,000
12/31/00
COGNIZANT TECHNOLOGY SOLUTIONS CORP
1058290
7371
1
1
210,000
126,434
109,540,000
12/31/00
LIONBRIDGE TECHNOLOGIES INC /DE/
1058299
7389
1
1
561,000
444,000
62,046,000
12/31/00
S Wind-up CORP
1058425
7372
4
1
515,000
0
46,087,000
12/31/00
BIGSTAR ENTERTAINMENT INC /NY
1058430
5961
5
1
59,000
51,940
7,561,402
12/31/00
CFS BANCORP INC
1058438
6035
2
1
117,000
156,793
1,710,380,032
12/31/00
SAVVIS, Inc.
1058444
7389
3
1
413,645
1,030,300
438,600,000
12/31/00
CUMULUS MEDIA INC
1058623
4832
4
1
477,000
232,000
966,010,000
12/31/00
WASHINGTON BANKING CO
1058690
6022
4
1
75,075
82,416
361,644,992
12/31/00
ALLEGIANCE TELECOM INC
1058703
4813
5
1
645,373
828,893
1,668,839,936
12/31/00
IMMERSION CORP
1058811
3577
3
1
200,000
300,000
57,494,000
12/31/00
SMARTDISK CORP
1058959
3577
2
1
391,000
676,900
125,021,000
12/31/00
FIRST CAPITAL BANCORP, INC.
1058973
6022
78
0
28,350
17,600
64,196,800
12/31/00
PINNACLE HOLDINGS INC
1058986
6798
2
1
1,500,000
0
1,469,607,000
12/31/00
FOCAL COMMUNICATIONS CORP
1059130
4812
5
1
158,000
7,198,000
723,685,000
12/31/00
GoRemote Internet Communications, Inc.
1059155
7372
2
1
535,000
125,980
59,405,000
12/31/00
CONRAD INDUSTRIES INC
1059167
3730
3
1
102,000
44,550
47,964,000
12/31/00
FOREVER ENTERPRISES INC
1059265
6311
3
1
213,000
0
211,119,782
12/31/00
PETROHAWK ENERGY CORP
1059324
1311
74
0
106,252
174,897
58,466,200
12/31/00
INTERSTATE HOTELS & RESORTS INC
1059341
7011
4
1
255,000
143,974
338,214,016
12/31/00
PATH 1 NETWORK TECHNOLOGIES INC
1059404
3669
2
1
42,000
173,800
12,304,000
12/31/00
INTEGRATED INFORMATION SYSTEMS INC
1059421
7389
4
1
83,500
190,900
81,324,000
12/31/00
MOODYS CORP /DE/
1059556
7320
1
1
635,000
8,145,000
398,300,000
12/31/00
LMI AEROSPACE INC
1059562
3728
2
1
130,500
36,150
49,680,000
12/31/00
ADAMS GOLF INC
1059763
3949
4
1
112,000
0
47,786,000
12/31/00
BlackRock Holdco 2, Inc.
1060021
6282
2
1
270,000
1,173,000
537,003,008
12/31/00
AURORA FOODS INC /DE/
1060024
2040
1
1
535,500
810,964
1,794,286,000
12/31/00
SALISBURY BANCORP INC
1060219
6035
293
0
64,600
13,875
249,053,995
12/31/00
GAMCO INVESTORS, INC. ET AL
1060349
6211
2
1
274,000
90,000
317,804,000
12/31/00
REPUBLIC SERVICES, INC.
1060391
4953
5
1
575,000
4,200,000
3,561,500,000
12/31/00
OVERTURE SERVICES INC
1060439
7389
2
1
205,000
957,000
121,413,000
12/31/00
KILLBUCK BANCSHARES INC
1060455
6021
821
0
83,842
22,947
262,000,029
12/31/00
BROADWING CORP
1060490
4813
4
1
145,000
1,663,550
2,381,839,872
12/30/00
CARDINAL FINANCIAL CORP
1060523
6021
4
1
75,000
117,900
207,048,000
12/31/00
BRIGHT HORIZONS FAMILY SOLUTIONS LLC
1060559
8351
5
1
118,620
48,813
136,895,008
12/31/00
KNIGHT CAPITAL GROUP LLC
1060749
6211
1
1
507,250
1,341,060
2,521,410,048
12/31/00
SUPERIOR FINANCIAL CORP /AR/
1060770
6035
2
1
111,217
45,934
1,661,465,000
12/31/00
CRITICAL PATH INC
1060801
7389
1
1
2,346,700
4,041,320
450,855,008
12/31/00
COSINE COMMUNICATIONS INC
1060824
3576
2
1
265,000
1,209,000
353,928,000
12/31/00
QUICKSILVER RESOURCES INC
1060990
1311
3
1
152,000
172,600
440,111,000
12/31/00
BRAVO! BRANDS INC.
1061029
2020
7
0
63,000
36,500
2,100,000
12/31/00
GB&T BANCSHARES INC
1061068
6022
78
0
89,200
83,391
355,856,000
12/31/00
AVALON HOLDINGS CORP
1061069
4953
6
0
60,000
17,299
62,310,000
12/31/00
HOMETOWN AUTO RETAILERS INC
1061117
5500
5
1
302,000
0
85,799,000
12/31/00
MULTEX COM INC
1061310
7374
2
1
292,000
495,000
174,521,000
12/31/00
FUTURELINK CORP
1061399
7371
2
1
825,000
1,400,000
148,704,000
12/31/00
OMI CORP/M I
1061571
4400
3
1
190,000
147,000
591,504,000
12/31/00
UCBH HOLDINGS INC
1061580
6022
1
1
209,580
561,157
2,502,119,936
12/31/00
VERADO HOLDINGS INC
1061583
4813
1
1
169,000
1,024,450
275,816,000
12/31/00
BLACKSTONE MORTGAGE TRUST, INC.
1061630
6798
2
1
137,000
143,500
644,392,000
12/31/00
BINDVIEW DEVELOPMENT CORP
1061646
7372
1
1
125,000
278,000
113,034,000
12/31/00
SEACOAST FINANCIAL SERVICES CORP
1061692
6036
5
1
191,820
346,504
2,890,769,920
12/31/00
DCH TECHNOLOGY INC
1061786
2810
13
0
4,200
56,763
4,154,206
12/31/00
RAILWORKS CORP
1061857
4731
5
1
465,500
853,070
618,846,000
12/31/00
RICEX CO
1061881
2040
13
0
47,000
13,000
4,538,980
12/31/00
ITXC CORP
1061895
4813
2
1
191,700
352,000
385,676,992
12/31/00
IENTERTAINMENT NETWORK INC
1061915
7372
2
1
95,686
117,210
3,010,000
12/31/00
WATCHGUARD TECHNOLOGIES INC
1062019
7372
2
1
172,830
497,504
195,930,000
12/31/00
CONCENTRIX CVG Corp
1062047
7373
1
1
559,200
2,575,270
1,779,500,000
12/31/00
WINK COMMUNICATIONS INC
1062157
3663
1
1
136,010
27,167
146,460,000
12/31/00
24/7 REAL MEDIA INC
1062195
7310
4
1
799,350
679,210
250,300,000
12/31/00
AMERICAN AXLE & MANUFACTURING HOLDINGS INC
1062231
3714
3
1
638,800
977,348
1,902,500,000
12/31/00
XO GROUP INC.
1062292
5960
2
1
245,000
58,000
41,354,025
12/31/00
KEYSPAN CORP
1062379
4924
5
1
1,150,000
960,000
11,550,100,480
12/31/00
PENTON MEDIA INC
1062441
2721
1
1
297,000
476,000
781,756,992
12/31/00
ACTUATE CORP
1062478
7372
2
1
247,619
0
98,322,000
12/31/00
DIGITAL RIVER INC /DE
1062530
5045
5
1
92,500
1,237,500
69,403,000
12/31/00
KNOVA SOFTWARE, INC.
1062606
7372
2
1
81,500
667,358
48,401,500
12/31/00
COBALT CORP
1062780
6324
2
1
213,000
673,000
365,826,000
12/31/00
LEXICON PHARMACEUTICALS, INC.
1062822
2834
5
1
143,000
249,500
220,692,952
12/31/00
CurAegis Technologies, Inc.
1063197
3714
121
0
47,200
29,900
3,562,000
12/31/00
S1 CORP /DE/
1063254
7370
1
1
816,500
7,250,000
606,704,000
12/31/00
HERSHA HOSPITALITY TRUST
1063344
6798
101
0
75,900
9,000
94,531,000
12/31/00
GREAT LAKES REIT
1063393
6798
2
1
69,500
74,663
431,609,984
12/31/00
INFORMATION HOLDINGS INC
1063744
2731
2
1
237,000
361,000
310,996,000
12/31/00
SIMON PROPERTY GROUP INC /DE/
1063761
6798
5
1
580,000
1,617,000
13,911,407,000
12/31/00
MIIX GROUP INC
1064063
6399
2
1
322,500
374,500
1,896,550,016
12/31/00
TUMBLEWEED INC
1064535
5812
2
1
90,000
20,000
39,452,888
12/31/00
LOUDEYE CORP
1064648
7371
5
1
92,000
133,104
132,700,000
12/31/00
RESOURCE BANKSHARES CORP
1065002
6021
35
0
48,915
23,228
404,494,016
12/31/00
LEAP WIRELESS INTERNATIONAL INC
1065049
4812
1
1
624,559
822,865
1,647,410,048
12/31/00
NETWORK 1 TECHNOLOGIES INC
1065078
6794
121
0
99,994
0
6,007,000
12/31/00
ALBANY MOLECULAR RESEARCH INC
1065087
8731
1
1
59,000
196,490
238,566,000
12/31/00
EBAY INC
1065088
7389
1
1
532,449
406,772
1,182,403,000
12/31/00
SUPERIOR BANCORP
1065298
6022
2
1
321,000
356,000
1,029,209,984
12/31/00
NIC INC
1065332
7389
1
1
174,000
299,000
139,569,370
12/31/00
EVCI Career Colleges Holding Corp
1065591
8200
107
0
74,000
15,000
14,751,251
12/31/00
AMERICAN COMMUNITY PROPERTIES TRUST
1065645
6552
5
1
392,100
274,101
124,703,000
12/31/00
ENVIROKARE TECH INC
1065677
3080
180
0
16,591
0
2,141,623
12/31/00
ABLE ENERGY INC
1065728
5990
130
0
76,860
22,742
13,364,508
6/30/00
FIRST NILES FINANCIAL INC
1065823
6035
364
0
54,240
11,230
77,554,000
12/31/00
SKECHERS USA INC
1065837
3140
4
1
227,500
623,827
303,400,000
12/31/00
EXCHANGE APPLICATIONS INC
1065857
7373
5
1
228,605
616,017
162,307,000
12/31/00
LIME ENERGY CO.
1065860
1700
7
0
83,440
51,592
12,134,116
12/31/00
JANUS CAPITAL GROUP INC
1065865
6282
1
1
324,000
274,000
1,580,999,936
12/31/00
EL PASO LLC
1066107
4922
1
1
1,920,000
4,018,000
27,445,000,192
12/31/00
LODGIAN INC
1066138
7011
5
1
1,263,500
0
1,160,300,032
12/31/00
ECB BANCORP INC
1066254
6022
4
1
84,000
19,275
268,388,000
12/31/00
CELL PATHWAYS INC /DE
1066284
2834
5
1
61,870
34,146
54,081,593
12/31/00
HEIDRICK & STRUGGLES INTERNATIONAL INC
1066605
7361
5
1
523,941
2,164,680
523,644,000
12/31/00
WI-FI TV INC
1066624
3577
103
0
92,942
16,536
1,170,724
12/31/00
THEGLOBE COM INC
1066684
7310
4
1
309,806
232,600
54,531,043
12/31/00
DICE INC
1067056
7374
1
1
158,000
326,000
109,604,000
12/31/00
FIRST NATIONAL BANCSHARES INC/ FL/
1067077
6021
158
0
40,200
0
197,043,008
12/31/00
BANK ONE CORP
1067092
6021
5
1
3,997,000
9,179,000
44,640,000,000
12/31/00
MISSION WEST PROPERTIES INC
1067419
6798
1
1
90,000
29,000
826,910,016
12/31/00
ACLARA BIOSCIENCES INC
1067588
3829
1
1
128,300
370,000
203,008,000
12/31/00
ANTHONY & SYLVAN POOLS CORP
1067606
1700
3
1
92,000
9,000
60,142,000
12/31/00
UNITED RENTALS, INC.
1067701
7359
2
1
1,600,000
6,300,000
5,123,933,000
12/31/00
PRIMUS KNOWLEDGE SOLUTIONS INC
1067797
7372
4
1
308,765
46,109
56,938,000
12/31/00
ENTERCOM COMMUNICATIONS CORP
1067837
4832
3
1
205,000
571,678
1,473,928,000
12/31/00
BERKSHIRE HATHAWAY INC
1067983
6331
3
1
2,770,000
1,119,000
135,792,000,000
12/31/00
INSILCO HOLDING CO
1068049
3678
4
1
254,000
888,000
356,488,000
12/31/00
VESTIN GROUP INC
1068132
6162
6
0
90,992
5,798
13,228,600
12/31/00
COMPUCREDIT CORP
1068199
6141
2
1
192,000
214,300
470,505,000
12/31/00
MetroCorp Bancshares, Inc.
1068300
6022
3
1
140,000
310,000
736,756,992
12/31/00
CLARKSTON FINANCIAL CORP
1068366
6021
9
0
29,817
30,367
60,220,000
12/31/00
RTI INTERNATIONAL METALS INC
1068717
3350
1
1
213,650
465,426
386,279,008
12/31/00
MAXYGEN INC
1068796
8731
2
1
225,035
427,211
301,699,008
12/31/00
PULITZER INC
1068848
2711
3
1
340,000
199,000
1,282,870,016
12/31/00
BLUCORA, INC.
1068875
6199
3
1
403,000
1,843,000
1,272,110,000
12/31/00
MICHIGAN COMMUNITY BANCORP LTD
1068901
6022
9
0
89,000
64,000
83,243,000
12/31/00
MARKETWATCH MEDIA INC
1068969
2711
1
1
129,800
62,750
144,240,000
12/31/00
EAST WEST BANCORP INC
1069157
6022
3
1
189,220
64,030
2,485,971,000
12/31/00
CROSS MEDIA MARKETING CORP
1069201
7389
6
0
205,122
98,621
43,944,340
12/31/00
LENNOX INTERNATIONAL INC
1069202
3585
5
1
793,000
794,000
2,055,031,000
12/31/00
KRATOS DEFENSE & SECURITY SOLUTIONS, INC.
1069258
3760
4
1
265,429
808,911
297,100,000
12/31/00
CASSAVA SCIENCES INC
1069530
2834
4
1
82,400
374,300
81,147,046
12/31/00
SALESREPCENTRAL COM INC
1069559
3944
479
0
13,966
0
323,752
6/30/00
BARNESANDNOBLE COM INC
1069665
5735
7
0
250,000
260,000
528,935,008
12/31/00
MONY GROUP INC
1069822
6311
1
1
1,157,000
1,007,360
24,575,299,584
12/31/00
TREX CO INC
1069878
2400
2
1
95,100
193,200
156,595,000
12/31/00
FedNat Holding Co
1069996
6331
246
0
106,555
24,928
55,067,467
12/31/00
AppTech Corp.
1070050
7372
564
0
19,590
0
347,629
12/31/00
ONEIDA FINANCIAL CORP
1070190
6036
1
1
47,801
76,510
319,535,008
12/31/00
LINCOLN BANCORP /IN/
1070259
6035
18
0
64,500
180,621
500,071,008
12/31/00
FIRST CAPITAL INC
1070296
6035
349
0
81,315
41,885
248,582,132
12/31/00
LONG ISLAND FINANCIAL CORP
1070517
6022
4
1
102,500
205,900
332,934,016
12/31/00
NEXTERA ENTERPRISES INC
1070534
2844
2
1
290,000
173,000
234,102,000
12/31/00
CENTRAL FEDERAL CORP
1070680
6021
8
0
52,760
10,375
140,933,000
12/31/00
HORIZON PHARMACEUTICAL LLC
1070698
2834
121
0
37,080
16,400
10,457,000
12/31/00
UAGH INC
1070699
4812
1
1
364,000
287,869
227,022,000
12/31/00
HOST HOTELS & RESORTS, INC.
1070750
6798
5
1
1,200,000
1,100,000
8,396,000,000
12/31/00
INLAND RETAIL REAL ESTATE TRUST INC
1070764
6798
4
1
58,000
117,500
218,187,913
12/31/00
UGC EUROPE INC
1070778
4841
5
1
1,800,000
2,700,000
10,917,193,180
12/31/00
CAESARS ENTERTAINMENT INC
1070794
7011
3
1
655,000
199,000
10,995,000,320
12/31/00
CoreCivic, Inc.
1070985
6798
5
1
862,500
1,953,110
2,176,992,000
12/31/00
COMBANC INC
1071010
6022
18
0
29,900
29,180
223,062,000
12/31/00
GOLDEN ENTERTAINMENT, INC.
1071255
7990
5
1
70,322
223,586
212,809,000
12/31/00
JACKSONVILLE BANCORP INC /FL/
1071264
6022
179
0
20,500
3,000
45,036,100
12/30/00
Pinnacle Summer Investments, Inc.
1071341
6282
1
1
396,942
317,264
99,214,000
12/31/00
PAC-WEST TELECOMM INC
1071598
4813
5
1
244,500
438,726
360,792,000
12/31/00
SOUNDVIEW TECHNOLOGY GROUP INC
1071620
6211
5
1
250,000
490,000
997,732,594
12/31/00
AQUANTIVE INC
1071806
7389
5
1
125,000
590,000
198,304,992
12/31/00
NEXT INC/TN
1071991
7200
199
0
7,635
2,370
344
8/31/00
SPECTRASITE INC
1072048
4899
2
1
207,000
2,385,000
3,054,099,968
12/31/00
PLAYBOY ENTERPRISES INC
1072341
4841
2
1
242,000
112,000
388,488,000
12/31/00
DELPHI CORP
1072342
3714
3
1
6,600,000
50,800,000
18,521,000,000
12/31/00
ARCH CHEMICALS INC
1072343
2800
4
1
939,000
1,502,000
1,073,600,000
12/31/00
PHARMANETICS INC
1072546
3845
1
1
55,500
36,660
18,314,400
12/31/00
WESTERN SIERRA BANCORP
1072688
6022
149
0
125,000
170,000
474,603,008
12/31/00
SUNCOAST BANCORP INC
1072695
6021
179
0
18,500
0
25,247,500
12/31/00
INTERDENT INC
1072765
8090
4
1
372,000
158,000
244,229,000
12/31/00
MEEMIC HOLDINGS INC
1072815
6331
1
1
91,850
15,580
309,474,000
12/31/00
TOWER FINANCIAL CORP
1072847
6022
8
0
14,132
2,729
212,412,992
12/31/00
DAVEL COMMUNICATIONS INC
1072881
4899
5
1
405,000
72,325
93,187,000
12/31/00
WORONOCO BANCORP INC
1072886
6036
176
0
87,500
63,100
642,460,032
12/31/00
FREEREALTIME COM INC
1073091
7389
4
1
186,254
0
5,606,000
3/31/00
U.S. CONCRETE, INC.
1073429
3272
5
1
275,000
1,400,000
355,837,000
12/31/00
Life Technologies Corp
1073431
2836
5
1
443,500
760,200
2,369,215,000
12/31/00
CITIZENS FIRST CORP
1073475
6021
11
0
33,828
0
74,072,470
12/31/00
STUDENT ADVANTAGE INC
1073508
8600
1
1
121,000
272,000
55,662,000
12/31/00
DRKOOP COM INC
1073794
8090
1
1
161,691
224,249
21,211,000
12/31/00
COMMUNITY CAPITAL BANCSHARES INC
1074369
6021
78
0
18,000
28,250
59,169,154
12/31/00
BOYDS COLLECTION LTD
1074530
5190
3
1
206,000
209,100
263,313,000
12/31/00
IVILLAGE INC
1074767
2721
1
1
154,000
176,398
132,459,000
12/31/00
TRIAD HOSPITALS INC
1074771
8062
2
1
424,825
205,039
1,400,499,968
12/31/00
HISTORIC LIFEPOINT HOSPITALS, LLC
1074772
8062
2
1
301,000
302,000
488,000,000
12/31/00
LCNB CORP
1074902
6021
295
0
80,000
115,790
451,000,000
12/31/00
LOG ON AMERICA INC
1074927
7374
2
1
70,000
58,000
43,235,284
12/31/00
PICK UPS PLUS INC
1074961
5531
111
0
42,000
2,772
727,177
12/31/00
CCBT FINANCIAL COMPANIES INC
1074972
6021
6
0
117,451
0
1,403,920,000
12/31/00
VASTERA INC
1075056
7373
5
1
80,000
735,000
185,510,000
12/31/00
MODTECH HOLDINGS INC
1075066
2452
4
1
133,500
0
187,702,176
12/31/00
RAZORFISH INC
1075088
7373
5
1
438,000
3,000
204,955,000
12/31/00
HIGH SPEED ACCESS CORP
1075244
7370
1
1
122,790
33,250
219,707,000
12/31/00
DIVERSIFIED HEALTHCARE TRUST
1075415
6798
2
1
263,500
563,306
530,573,000
12/31/00
Booking Holdings Inc.
1075531
4700
3
1
881,000
1,545,000
195,078,000
12/31/00
iGo, Inc.
1075656
3577
4
1
209,680
336,185
55,674,000
12/31/00
STORAGENETWORKS INC
1075658
7389
2
1
91,923
371,554
602,613,000
12/31/00
CITIZENS HOLDING CO /MS/
1075706
6022
336
0
53,000
15,000
382,800,409
12/31/00
PHAGE THERAPEUTICS INTERNATIONAL INC
1075744
8731
418
0
26,015
0
1,188,377
12/31/00
NEW COMMERCE BANCORP
1075945
6021
41
0
11,500
7,299
40,278,200
12/31/00
ADOLOR CORP
1076167
2834
4
1
433,970
125,917
135,610,159
12/31/00
PEPSI BOTTLING GROUP INC
1076405
2080
4
1
1,300,000
770,000
7,736,000,000
12/30/00
SEQUENOM INC
1076481
3829
2
1
95,066
364,550
166,262,000
12/31/00
OCONEE FINANCIAL CORP
1076691
6022
240
0
43,500
41,710
181,925,159
12/31/00
HERBORIUM
1077050
2833
7
0
137,154
12,553
20,861,100
12/31/00
Prism Technologies Group, Inc.
1077370
7389
1
1
198,000
0
73,008,000
12/31/00
CHEROKEE BANKING CO.
1077535
6021
240
0
19,821
19,435
42,198,200
12/31/00
GENTEK INC
1077552
2800
3
1
1,900,000
1,000,000
1,350,700,032
12/31/00
ASURA DEVELOPMENT GROUP, INC.
1077634
4899
419
0
27,281
4,250
2,132,030
12/31/00
HOOKER FURNITURE CORP
1077688
2510
7
0
83,000
45,000
133,531,000
11/30/00
UMPQUA HOLDINGS CORP
1077771
6035
3
1
100,000
43,000
785,648,262
12/31/00
BLUE MARTINI SOFTWARE INC
1077814
7372
4
1
281,000
927,000
188,298,000
12/31/00
LOOKSMART LTD
1077866
7374
1
1
262,000
225,100
182,396,000
12/31/00
AUDIBLE INC
1077926
7389
4
1
171,000
58,900
20,731,800
12/31/00
MP3 COM INC
1078073
3652
2
1
164,595
606,373
238,599,000
12/31/00
Stamford Industrial Group, Inc.
1078203
3460
1
1
185,000
550,000
211,834,000
12/31/00
NAUTILUS, INC.
1078207
3949
3
1
93,000
70,083
117,126,444
12/31/00
MARIMBA INC
1078295
7372
2
1
157,500
84,590
87,408,000
12/31/00
IPARTY CORP
1078383
5940
5
1
160,000
0
16,343,100
12/30/00
LATITUDE COMMUNICATIONS INC
1078425
7373
1
1
159,000
53,912
63,158,000
12/31/00
TARGITINTERACTIVE INC
1078629
7389
447
0
26,849
0
237,335
12/31/00
SSP SOLUTIONS INC
1078717
7373
4
1
232,500
104,000
11,768,000
12/31/00
FUEL PERFORMANCE SOLUTIONS, INC.
1078723
2911
7
0
56,300
178,097
175,422
12/31/00
CORNERSTONE BANCORP INC
1079385
6021
4
1
85,500
15,600
150,123,008
12/31/00
STANCORP FINANCIAL GROUP INC
1079577
6321
3
1
435,000
404,000
6,859,599,872
12/31/00
ONESOURCE INFORMATION SERVICES INC
1079880
7374
1
1
121,100
177,556
58,832,000
12/31/00
Life Quotes, Inc.
1079996
6321
2
1
146,000
40,400
32,642,763
12/31/00
Dougherty’s Pharmacy, Inc.
1080029
5912
2
1
117,500
20,120
25,482,000
12/31/00
CONVERSANT, INC.
1080034
7311
1
1
246,200
657,900
151,264,000
12/31/00
LIVEWORLD, INC.
1080088
7389
4
1
181,500
129,950
34,779,000
12/31/00
INFORMATICA LLC
1080099
7372
2
1
230,000
890,000
350,983,008
12/31/00
MANHATTAN BRIDGE CAPITAL, INC
1080340
6798
5
1
60,000
50,000
12,652,966
12/31/00
ARENA PHARMACEUTICALS INC
1080709
2834
2
1
53,000
267,000
152,711,929
12/31/00
BANKRATE INC
1080866
7389
4
1
150,000
15,400
12,634,400
12/31/00
KEITH COMPANIES INC
1080922
8711
4
1
111,000
31,410
33,312,000
12/31/00
WOMEN FIRST HEALTHCARE INC
1081004
5122
2
1
129,000
28,000
20,044,400
12/31/00
GLOBESPANVIRATA INC
1081197
3674
1
1
286,502
1,108,420
905,129,000
12/31/00
REDBACK NETWORKS INC
1081290
7373
1
1
235,000
1,266,000
4,770,500,096
12/31/00
HEALTHGATE DATA CORP
1081630
7389
1
1
177,665
127,600
26,966,607
12/31/00
EASYLINK SERVICES CORP
1081661
7389
4
1
520,000
700,000
330,260,992
12/31/00
ALASKA PACIFIC BANCSHARES INC
1081860
6035
3
1
143,000
8,000
135,464,992
12/31/00
DURECT CORP
1082038
2834
2
1
135,000
612,000
120,612,000
12/31/00
E LOAN INC
1082337
6162
1
1
196,500
297,622
99,743,000
12/31/00
RUBIOS RESTAURANTS INC
1082423
5812
3
1
92,550
19,243
52,267,000
12/31/00
TEAM FINANCIAL INC /KS
1082484
6021
4
1
62,000
195,000
539,604,992
12/31/00
UIL HOLDINGS CORP
1082510
4911
1
1
308,300
1,256,320
1,868,554,000
12/31/00
SCIQUEST INC
1082526
7372
1
1
108,110
264,206
203,192,992
12/31/00
UNITED THERAPEUTICS Corp
1082554
2834
4
1
95,000
108,000
250,644,984
12/31/00
GREATER ATLANTIC FINANCIAL CORP
1082735
6036
7
0
65,944
0
296,296,000
9/30/00
STAMPS.COM INC
1082923
7389
5
1
114,000
550,000
486,938,000
12/31/00
TRANSOCEAN INC
1083269
1381
2
1
313,500
1,526,590
6,358,759,936
12/31/00
IKONICS CORP
1083301
3861
3
1
40,800
13,600
6,338,581
12/31/00
INTERACTIVE INTELLIGENCE INC
1083318
7372
2
1
101,500
45,703
33,651,000
12/31/00
FAUQUIER BANKSHARES, INC.
1083643
6022
152
0
42,407
194,841
249,854,828
12/31/00
SOUTHCOAST FINANCIAL CORP
1083689
6022
41
0
16,800
4,300
92,128,304
12/31/00
THERMOVIEW INDUSTRIES INC
1083753
3089
2
1
270,000
97,925
71,710,800
12/31/00
PEPSIAMERICAS INC/IL/
1084230
2086
4
1
885,000
788,000
3,335,600,128
12/30/00
YANKEE CANDLE CO INC
1084242
3990
3
1
299,262
81,718
311,828,000
12/30/00
PERSISTENCE SOFTWARE INC
1084400
7372
3
1
81,208
12,708
33,641,000
12/31/00
VERITAS SOFTWARE CORP /DE/
1084408
7372
2
1
800,000
3,700,000
4,082,830,080
12/31/00
RSTAR CORP
1084561
7370
6
0
141,000
197,000
73,823,000
12/31/00
PACIFIC CONTINENTAL CORP
1084717
6021
353
0
61,049
16,125
294,124,000
12/31/00
BE FREE INC
1084866
7374
1
1
168,175
312,913
300,375,000
12/31/00
W HOLDING CO INC
1084887
6022
3
1
159,000
91,000
4,260,859,904
12/31/00
ENCORE CAPITAL GROUP INC
1084961
6153
2
1
387,000
581,000
71,101,000
12/31/00
DIGEX INC/DE
1085098
4813
2
1
228,000
1,347,000
521,051,000
12/31/00
KELLER MANUFACTURING CO
1085209
2430
3
1
70,915
111,000
41,913,200
12/31/00
SWITCHBOARD INC
1085223
7389
1
1
101,616
319,777
98,557,296
12/31/00
TIBCO SOFTWARE INC
1085280
7372
1
1
185,813
942,910
829,215,000
11/30/00
PUGET ENERGY INC /WA
1085392
4911
1
1
534,000
17,265,000
5,556,669,952
12/31/00
Actua Corp
1085621
7371
4
1
913,100
2,948,500
3,337,220,096
12/31/00
ECOLLEGE COM
1085653
8200
5
1
98,000
74,000
44,747,600
12/31/00
METRO BANCORP, INC.
1085706
6022
122
0
53,000
6,000
480,086,016
12/31/00
NEXTEL PARTNERS INC
1085707
4812
5
1
209,000
139,000
1,793,080,064
12/31/00
BLOCKBUSTER INC
1085734
7841
1
1
595,000
3,634,020
8,548,900,000
12/31/00
MOVE INC
1085770
6531
1
1
249,000
2,652,000
893,350,016
12/31/00
DSL NET INC
1085866
4813
1
1
350,000
876,000
194,806,000
12/31/00
PERFICIENT INC
1085869
7371
2
1
33,000
163,000
54,614,942
12/31/00
FARMERS & MERCHANTS BANCORP
1085913
6021
1
1
68,000
15,000
905,551,000
12/31/00
ART TECHNOLOGY GROUP INC
1086195
7372
5
1
371,000
920,000
259,515,008
12/31/00
AKAMAI TECHNOLOGIES INC
1086222
7389
1
1
343,000
1,400,000
2,790,777,000
12/31/00
JOHN D. OIL & GAS CO
1086411
1381
5
1
49,000
13,000
34,181,700
12/31/00
DRUGSTORE COM INC
1086467
5912
2
1
115,000
323,000
458,523,008
12/31/00
BRAUN CONSULTING INC
1086757
8742
3
1
196,000
322,475
99,263,000
12/31/00
NOVAMED INC
1086939
8090
5
1
130,000
266,000
120,913,000
12/31/00
APTIMUS INC
1087277
7389
1
1
149,796
112,083
35,532,000
12/31/00
INTERMUNE INC
1087432
2834
2
1
128,800
496,000
201,648,992
12/31/00
UNITED BANCSHARES INC/OH
1087456
6021
12
0
45,500
17,800
256,815,207
12/31/00
NETRO CORP
1087779
4899
5
1
160,500
197,893
421,753,000
12/1/00
ATLANTIC BANCGROUP INC
1087790
6035
324
0
38,300
7,275
74,375,000
12/31/00
PRO AFTER INC
1087831
7389
5
1
780,130
60,000
320,222,000
12/31/00
COOLSAVINGS INC
1087875
7389
1
1
184,000
430,782
29,149,800
12/31/00
NETWORK COMMERCE INC
1087879
7374
5
1
155,000
573,404
288,437,000
12/31/00
inContact, Inc.
1087934
7372
5
1
68,854
6,590
4,402,910
12/31/00
VIXEL CORP
1087955
7371
1
1
117,500
77,380
62,931,000
12/31/00
IPIX CORP
1088022
3861
1
1
230,000
781,000
60,614,000
12/31/00
QUEST SOFTWARE INC
1088033
7372
3
1
216,924
536,441
534,172,000
12/31/00
Usio, Inc.
1088034
6099
2
1
66,053
61,069
15,290,542
12/31/00
ISECURETRAC CORP
1088120
4899
10
0
60,361
950
990,386
12/31/00
ROME BANCORP INC
1088144
6035
4
1
71,350
214,900
244,831,008
12/31/00
Intermix Media, Inc.
1088244
5735
112
0
125,000
0
37,778,444
3/31/00
INFORMAX INC
1088724
7371
3
1
175,000
752,000
100,950,467
12/31/00
LYNCH INTERACTIVE CORP
1088771
4813
2
1
659,400
154,000
240,410,000
12/31/00
VIADOR INC
1089026
7372
4
1
265,000
49,628
35,615,000
12/31/00
LABRANCHE & CO INC
1089044
6211
5
1
250,000
806,676
1,004,120,000
12/31/00
DIGIMARC CORP
1089443
7373
4
1
76,500
54,500
142,479,008
12/31/00
INVENTIV HEALTH INC
1089473
8742
5
1
564,354
410,000
251,214,000
12/31/00
COMMUNITY BANCORP INC
1089503
6021
3
1
80,500
21,850
280,457,984
12/31/00
AMERICAN HOME MORTGAGE HOLDINGS INC
1089504
6162
3
1
315,826
195,359
183,532,000
12/31/00
ALASKA COMMUNICATIONS SYSTEMS GROUP INC
1089511
4813
3
1
334,140
920
908,285,000
12/31/00
KINGOLD JEWELRY, INC.
1089531
7389
1896
0
69,000
0
4,507,686
12/31/00
PharmaNet Development Group Inc
1089542
8731
56
0
160,661
123,931
15,768,785
12/31/00
E PIPHANY INC
1089613
7389
5
1
145,000
557,176
2,995,069,952
12/31/00
SPINNAKER EXPLORATION CO
1089697
1311
5
1
125,000
150,000
442,704,000
12/31/00
INTERTRUST TECHNOLOGIES Corp
1089717
7371
2
1
183,000
501,000
226,873,000
12/31/00
COMMUNITY BANCORP OF NEW JERSEY
1089720
6036
6
0
52,170
7,267
182,052,000
12/31/00
Cleco Corporate Holdings LLC
1089819
4911
1
1
377,000
2,597,000
1,845,699,968
12/31/00
WEBSTER CITY FEDERAL BANCORP
1089830
6021
4
1
45,700
13,925
95,429,611
12/31/00
GAIA, INC
1089872
7812
2
1
158,838
80,708
48,477,309
12/31/00
WQN, Inc.
1089932
7389
2
1
125,500
112,026
35,729,906
12/31/00
RADIO UNICA COMMUNICATIONS CORP
1089953
4832
2
1
118,000
43,000
185,871,571
12/31/00
PACTIV LLC
1089976
2673
5
1
1,449,000
4,204,000
4,341,000,192
12/31/00
SOUTHERN FIRST BANCSHARES INC
1090009
6021
41
0
11,170
2,360
61,428,188
12/31/00
DEVON ENERGY CORP/DE
1090012
1311
4
1
565,000
984,000
6,860,478,000
12/31/00
OMNOVA SOLUTIONS INC
1090061
3060
2
1
416,000
154,000
647,500,000
11/30/00
FOUNDRY NETWORKS LLC
1090071
3576
5
1
319,000
561,000
398,465,984
12/31/00
NEW FOCUS INC
1090215
3674
2
1
226,000
620,000
600,944,000
12/31/00
CATALYST HEALTH SOLUTIONS, INC.
1090403
6411
1
1
79,000
19,000
52,044,100
12/31/00
LAMAR ADVERTISING CO/NEW
1090425
6798
4
1
309,500
703,900
3,637,773,000
12/31/00
UNITED PARCEL SERVICE INC
1090727
4210
3
1
987,668
3,724,370
21,662,000,000
12/31/00
NUMERICAL TECHNOLOGIES INC
1091226
7372
1
1
148,000
653,000
240,974,000
12/31/00
REGISTER COM INC
1091284
7389
1
1
282,382
599,471
292,616,992
12/31/00
XM SATELLITE RADIO HOLDINGS INC
1091530
4899
4
1
148,244
774,725
1,293,219,968
12/31/00
ADSTAR INC
1091599
7372
1
1
93,850
16,000
3,863,908
12/31/00
CHARTER COMMUNICATIONS, INC. /MO/
1091667
4841
5
1
750,000
11,103,200
23,043,566,000
12/31/00
IBASIS INC
1091756
4813
5
1
172,450
882,681
447,817,719
12/31/00
MARTHA STEWART LIVING OMNIMEDIA INC
1091801
2721
5
1
300,000
655,023
297,414,016
12/31/00
LANXESS Solutions US Inc.
1091862
2820
4
1
1,700,000
12,300,000
3,528,329,984
12/31/00
CIRCOR INTERNATIONAL INC
1091883
3490
4
1
260,000
1,262,080
347,062,000
12/31/00
CHOICE ONE COMMUNICATIONS INC
1091953
4813
5
1
195,000
485,000
923,830,016
12/31/00
SUNCOM WIRELESS HOLDINGS, INC.
1091973
4812
1
1
115,000
275,000
1,065,889,984
12/31/00
ACME COMMUNICATIONS INC
1092013
4833
4
1
175,000
1,150
399,444,992
12/31/00
INVENDA CORP
1092283
7389
4
1
84,624
224,275
36,376,665
12/31/00
TRIZETTO GROUP INC
1092458
7374
1
1
280,000
880,365
363,751,000
12/31/00
EMERGE INTERACTIVE INC
1092605
7389
4
1
167,000
291,500
148,552,000
12/31/00
HUTTIG BUILDING PRODUCTS INC
1093082
5030
3
1
205,000
600,000
249,200,000
12/31/00
E REX INC
1093159
7372
865
0
20,127
0
677,995
12/31/00
CYSIVE INC
1093193
7371
2
1
99,655
121,985
186,079,705
12/31/00
IMANAGE INC
1093242
7372
1
1
238,789
194,114
73,347,000
12/31/00
NexCen Brands, Inc.
1093434
6794
4
1
463,000
2,168,000
2,677,370,112
12/31/00
STONEPATH GROUP INC
1093546
4731
4
1
177,850
232,562
44,895,503
12/31/00
PEOPLES BANCORP OF NORTH CAROLINA INC
1093672
6022
240
0
92,015
51,454
519,001,787
12/31/00
PLUG POWER INC
1093691
3620
1
1
128,200
80,000
150,829,218
12/31/00
PACIFIC FINANCIAL CORP
1093728
6022
848
0
80,184
63,306
253,313,000
12/31/00
STATS CHIPPAC, INC.
1093779
3674
1
1
500,000
2,225,000
469,244,992
12/31/00
NEXT LEVEL COMMUNICATIONS INC
1093802
3661
3
1
374,000
268,000
275,716,000
12/31/00
COASTAL BANKING CO INC
1093897
6021
226
0
13,400
16,563
24,959,700
12/31/00
RAINMAKER SYSTEMS INC
1094007
8741
2
1
224,000
57,000
42,222,000
12/31/00
NEWTEK BUSINESS SERVICES, INC.
1094019
7389
1
1
210,000
501,900
83,538,896
12/31/00
Marker Therapeutics, Inc.
1094038
2834
167
0
15,000
4,800
120,786
12/31/00
TELKONET INC
1094084
3822
480
0
22,800
0
82,024
12/31/00
JNI CORP
1094087
3674
1
1
94,800
214,319
178,094,000
12/31/00
OURPETS CO
1094139
3089
821
0
43,615
11,860
4,231,366
12/31/00
SOMERA COMMUNICATIONS INC
1094243
5065
1
1
165,800
91,363
143,572,000
12/31/00
TELEDYNE TECHNOLOGIES INC
1094285
3812
2
1
416,000
759,000
350,900,000
12/31/00
WATER PIK TECHNOLOGIES INC
1094286
3634
2
1
259,495
163,600
173,196,000
12/31/00
Mattersight Corp
1094348
7373
1
1
375,066
469,306
184,618,000
12/30/00
RETEK INC
1094360
7372
1
1
150,487
376,858
195,183,008
12/31/00
RUDOLPH TECHNOLOGIES INC
1094392
3823
1
1
109,873
167,797
98,554,000
12/31/00
QUOVADX INC
1094561
7372
1
1
367,000
743,000
96,908,000
12/31/00
M&F BANCORP INC /NC/
1094738
6022
3
1
49,550
11,500
166,960,664
12/31/00
FINISAR CORP
1094739
3674
2
1
149,690
572,500
365,042,000
4/30/00
MAINSTREET BANKSHARES INC
1094742
6021
371
0
40,629
0
13,922,749
12/31/00
MUTUALFIRST FINANCIAL INC
1094810
6022
18
0
90,081
90,251
770,369,602
12/31/00
Cartesian, Inc.
1094814
8742
3
1
105,000
286,000
119,429,000
12/30/00
BGC Partners, Inc.
1094831
6200
3
1
300,500
104,950
155,122,263
12/31/00
SOAPSTONE NETWORKS INC.
1094895
7372
5
1
81,500
521,000
302,088,000
12/31/00
Monogram Biosciences, Inc.
1094961
2835
2
1
100,000
300,000
43,647,000
12/31/00
ARTISTDIRECT INC
1095079
7389
4
1
140,000
114,000
117,762,000
12/31/00
SYMYX TECHNOLOGIES INC
1095330
7372
2
1
131,000
74,250
146,220,992
12/31/00
MCAFEE COM CORP
1095388
7389
1
1
145,000
250,366
98,132,000
12/31/00
NetRatings, LLC
1095480
7389
2
1
119,000
68,000
351,164,992
12/31/00
GLOBALNET INC
1095529
4813
4
1
400,325
132,507
19,732,888
12/31/00
HEALTHSTREAM INC
1095565
7370
2
1
124,785
593,738
70,451,576
12/31/00
ISTAR INC.
1095651
6798
1
1
415,900
565,300
4,034,775,000
12/31/00
EBENX INC
1095825
7370
2
1
45,200
90,200
157,226,000
12/31/00
WILLIAM LYON HOMES
1095996
1531
2
1
299,250
807,434
330,280,000
12/31/00
GLOBAL ENTERTAINMENT HOLDINGS/EQUITIES INC
1096050
7829
282
0
13,595
6,375
4,210,880
12/31/00
ONE VOICE TECHNOLOGIES INC
1096088
7372
86
0
60,706
0
9,330,880
12/31/00
GENTIVA HEALTH SERVICES INC
1096142
8082
1
1
450,000
1,086,300
805,484,000
12/31/00
NEOFORMA INC
1096219
7389
5
1
185,000
218,000
513,937,984
12/31/00
ASIA8, INC.
1096298
5990
1785
0
2,500
0
1,032,710
12/31/00
INTERSIL CORP/DE
1096325
3674
2
1
225,000
956,000
1,229,769,984
12/29/00
MARKEL CORP
1096343
6331
4
1
1,928,270
751,044
5,473,153,000
12/31/00
NUTRI SYSTEM INC /DE/
1096376
5961
5
1
72,000
99,500
5,908,000
12/31/00
VECTREN CORP
1096385
4932
5
1
290,000
545,000
2,909,187,000
12/31/00
EXTENSITY INC
1096473
7372
1
1
155,655
16,700
99,762,000
12/31/00
LENDINGTREE INC
1096479
7389
1
1
190,522
328,971
37,957,000
12/31/00
Trinsic, Inc.
1096509
4813
1
1
150,000
62,420
246,460,992
12/31/00
SULPHCO INC
1096560
1389
2
1
3,000
0
732,287
12/31/00
CENTRA SOFTWARE INC
1096658
7389
5
1
147,000
322,000
75,064,000
12/31/00
1ST CENTENNIAL BANCORP
1097081
6022
139
0
67,000
42,000
94,111,000
12/31/00
ALIGN TECHNOLOGY INC
1097149
3842
1
1
128,000
1,060,620
70,561,000
12/31/00
ALLOS THERAPEUTICS INC
1097264
2834
1
1
50,000
190,582
86,259,200
12/31/00
GRANT PRIDECO INC
1097313
3533
5
1
490,000
218,000
892,563,968
12/31/00
WITNESS SYSTEMS INC
1097338
7372
4
1
113,000
556,446
86,466,000
12/31/00
DIVINE INC
1097516
7389
4
1
388,000
2,709,000
420,181,000
12/31/00
FIRST SOUTH BANCORP INC
1097631
6036
24
0
22,825
2,200
114,680,450
12/31/00
ON SEMICONDUCTOR CORP
1097864
3674
1
1
467,000
6,706,000
2,023,000,000
12/31/00
CONNECTICUT BANCSHARES INC/DE
1097882
6036
5
1
148,570
172,600
1,403,309,952
12/31/00
GENIUS PRODUCTS INC
1098016
7819
194
0
42,200
0
917,008
12/31/00
PATRIOT NATIONAL BANCORP INC
1098146
6021
10
0
93,003
31,377
197,628,127
12/31/00
FIDELITY D & D BANCORP INC
1098151
6021
28361
0
53,305
42,668
491,743,871
12/31/00
WEBSENSE INC
1098277
7389
2
1
110,000
258,000
92,454,000
12/31/00
FIRST MUTUAL BANCSHARES INC
1098337
6022
13
0
72,200
19,115
643,230,976
12/31/00
VIA NET WORKS INC
1098402
7370
1
1
1,290,360
2,604,220
481,148,000
12/31/00
FIREPOND INC
1098574
7371
5
1
170,000
86,000
144,320,000
10/31/00
MEDIACOM COMMUNICATIONS CORP
1098659
4841
5
1
350,000
880,550
1,379,970,048
12/31/00
APROPOS TECHNOLOGY INC
1098803
7372
2
1
125,000
340,000
81,303,000
12/31/00
FARGO ELECTRONICS INC
1098834
7371
1
1
70,000
160,000
48,815,000
12/31/00
AGENUS INC
1098972
2836
4
1
90,000
145,700
127,965,700
12/31/00
BEASLEY BROADCAST GROUP INC
1099160
4832
4
1
94,000
81,000
218,158,564
12/31/00
METLIFE INC
1099219
6311
3
1
12,300,000
15,300,000
255,018,000,000
12/31/00
VIRGINIA COMMERCE BANCORP INC
1099305
6022
152
0
36,074
10,147
371,182,016
12/31/00
TANOX INC
1099414
2834
5
1
103,200
284,700
290,977,984
12/31/00
PORT FINANCIAL CORP
1099517
6035
5
1
132,500
209,279
1,004,669,000
12/31/00
VANTAGEMED CORP
1099531
7372
5
1
147,000
207,000
34,189,000
12/31/00
FIRST OTTAWA BANCSHARES, INC
1099668
6022
8
0
40,675
55,844
225,007,000
12/31/00
MAIN STREET TRUST INC
1099777
6029
10
0
93,000
78,000
1,091,079,936
12/31/00
IPRINT TECHNOLOGIES INC
1099795
7389
5
1
315,000
37,175
34,088,000
12/31/00
Edwards Lifesciences Corp
1099800
3842
1
1
580,000
2,400,000
1,088,000,000
12/31/00
CENTRA FINANCIAL HOLDINGS INC
1099932
6021
2
1
23,700
11,500
76,794,000
12/31/00
INFORTE CORP
1099944
7373
2
1
105,500
299,365
99,903,000
12/31/00
SANTANDER BANCORP
1099958
6021
5
1
609,700
185,592
7,642,670,080
12/31/00
HIGHLAND HOLDINGS INTERNATIONAL INC
1100273
1400
106
0
12,500
0
5,047
12/31/00
LANTE CORP
1100370
7389
1
1
165,000
509,000
124,488,000
12/31/00
AMERICA ONLINE LATIN AMERICA INC
1100395
7370
2
1
552,000
419,000
179,031,008
6/30/00
RTI SURGICAL, INC.
1100441
3842
3
1
253,373
417,201
108,911,000
12/31/00
CHARLES RIVER LABORATORIES INTERNATIONAL, INC.
1100682
8731
1
1
590,000
1,859,000
410,608,000
12/30/00
DIGITAS INC
1100885
7389
5
1
210,000
130,000
331,755,008
12/31/00
ONVIA INC
1100917
7389
3
1
288,788
396,309
241,076,000
12/31/00
ENDO HEALTH SOLUTIONS INC.
1100962
2834
3
1
135,000
789,000
467,840,000
12/31/00
EQUINIX INC
1101239
6798
1
1
163,000
4,973,100
683,485,000
12/31/00
Purple Communications, Inc.
1101268
4812
2
1
200,000
641,000
207,746,000
12/31/00
OTG SOFTWARE INC
1101757
7372
4
1
117,829
536,479
132,404,000
12/31/00
PACWEST BANCORP
1102112
6021
4
1
126,000
238,000
358,287,000
12/31/00
CenterState Bank Corp
1102266
6021
4
1
77,500
115,300
310,662,000
12/31/00
PREMIERWEST BANCORP
1102287
6021
356
0
60,000
40,000
344,246,016
12/31/00
EarthLink Holdings, LLC
1102541
7370
2
1
194,500
232,733
1,486,140,032
12/31/00
NUANCE COMMUNICATIONS
1102556
7372
5
1
208,000
817,000
279,337,984
12/31/00
STEC, INC.
1102741
3572
1
1
118,600
1,129,600
103,286,000
12/31/00
PARTSBASE INC
1102754
7389
3
1
78,535
103,689
37,151,106
12/31/00
KIEWIT MATERIALS CO
1102755
1400
1
1
54,743
147,699
374,408
12/31/00
CABOT MICROELECTRONICS CORP
1102934
3674
1
1
237,800
907,000
136,106,000
9/30/00
LIVEPERSON INC
1102993
7372
4
1
190,000
555,150
47,000,000
12/31/00
PEC SOLUTIONS INC
1103013
7370
1
1
96,050
212,495
61,399,600
12/31/00
BEACON POWER CORP
1103345
4911
3
1
180,280
655,021
67,738,000
12/31/00
Ardea Biosciences, Inc./DE
1103390
2834
2
1
137,500
301,060
108,288,000
12/31/00
SIRENZA MICRODEVICES INC
1103777
3674
2
1
212,500
564,318
82,306,000
12/31/00
CROWN MEDIA HOLDINGS INC
1103837
4841
5
1
265,000
626,600
530,078,016
12/31/00
I MANY INC
1104017
7372
5
1
261,000
639,250
85,388,000
12/31/00
DDI CORP
1104252
3672
1
1
367,000
2,473,000
581,400,000
12/31/00
INSMED Inc
1104506
2834
2
1
93,000
338,000
102,718,000
12/31/00
MATERION Corp
1104657
3460
2
1
357,000
722,000
452,506,000
12/31/00
VYYO INC
1104730
3669
2
1
145,250
501,216
143,167,000
12/31/00
Support.com, Inc.
1104855
7374
2
1
224,000
526,000
70,572,000
12/31/00
PEOPLES FIRST INC
1104901
6021
122
0
49,235
28,431
337,643,008
12/31/00
Sonus, Inc.
1105472
7373
5
1
137,000
320,000
194,835,000
12/31/00
WARNER MEDIA, LLC
1105705
4841
2
1
7,860,000
51,056,000
10,827,000,000
12/31/00
OTIX GLOBAL, INC.
1105982
3842
5
1
74,000
272,600
76,248,000
12/31/00
WESTSTAR FINANCIAL SERVICES CORP
1106181
6035
3
1
37,500
42,730
70,190,400
12/31/00
SCIELE PHARMA, INC.
1106773
2834
5
1
96,000
497,000
50,083,542
12/31/00
SEEBEYOND TECHNOLOGY CORP
1106842
7372
2
1
254,000
369,000
84,958,000
12/31/00
PINNACOR INC
1106917
7389
3
1
200,000
851,000
122,266,527
12/31/00
AMERICAN COMMUNITY BANCSHARES INC
1106980
6022
29
0
27,000
10,000
140,792,000
12/31/00
CLICK COMMERCE INC
1107050
7372
4
1
150,000
578,559
69,795,000
12/31/00
ONI SYSTEMS CORP
1107067
3661
4
1
257,550
1,852,890
1,015,468,000
12/31/00
EMBARCADERO TECHNOLOGIES INC
1107112
7373
1
1
184,000
765,000
69,977,000
12/31/00
CENTILLIUM COMMUNICATIONS INC
1107194
3661
2
1
261,280
644,392
127,943,000
12/31/00
ORCHID CELLMARK INC
1107216
8734
4
1
450,000
1,076,000
142,327,008
12/31/00
FIRST SHARES BANCORP INC
1107257
6022
8
0
35,070
79,700
106,436,000
12/31/00
DENDREON CORP
1107332
2834
2
1
97,000
415,000
109,558,000
12/31/00
ATHEROGENICS INC
1107601
2834
2
1
69,000
330,755
57,599,000
12/31/00
US Energy Initiatives CORP
1107955
3714
1616
0
32,266
1,800
253,127
12/31/00
NEWCOURT HOLDINGS INC
1107961
9995
711
0
1,200
0
4,732
12/31/00
MICROTUNE INC
1108058
3674
2
1
171,000
615,000
153,031,008
12/31/00
COMMUNITY HEALTH SYSTEMS INC
1108109
8062
3
1
314,000
2,448,000
2,213,837,000
12/31/00
BERKSHIRE HILLS BANCORP INC
1108134
6036
176
0
197,850
64,748
1,011,340,000
12/31/00
OCCAM NETWORKS INC/DE
1108185
3576
1
1
202,720
535,080
103,943,000
12/31/00
CURIS INC
1108205
2836
5
1
70,000
137,500
182,681,990
12/31/00
AMERICAN RIVER BANKSHARES
1108236
6022
149
0
73,500
96,400
284,126,000
12/31/00
CARESCIENCE INC
1108782
6770
5
1
55,000
287,600
33,912,565
12/31/00
LARGE SCALE BIOLOGY CORP
1108951
2834
3
1
85,000
869,000
106,943,000
12/31/00
ENTRAVISION COMMUNICATIONS CORP
1109116
4833
10
0
938,000
1,829,000
1,560,493,000
12/31/00
EFUNDS CORP
1109190
7389
3
1
199,575
92,146
389,100,000
12/31/00
MABVAX THERAPEUTICS HOLDINGS, INC.
1109196
2834
2
1
85,000
375,000
42,994,000
12/31/00
HANMI FINANCIAL CORP
1109242
6021
3
1
94,055
115,209
1,034,610,081
12/31/00
BRUKER CORP
1109354
3826
2
1
240,000
610,000
184,554,000
12/31/00
EXELON CORP
1109357
4931
1
1
1,320,840
7,930,750
34,597,000,000
12/31/00
BANCORP RHODE ISLAND INC
1109525
6021
4
1
127,000
84,000
739,420,032
12/31/00
AVOCENT CORP
1109808
3577
1
1
91,175
573,693
815,889,024
12/31/00
BOE FINANCIAL SERVICES OF VIRGINIA INC
1109848
6021
152
0
34,900
38,986
193,932,992
12/31/00
WEBEX COMMUNICATIONS INC
1109935
7389
4
1
339,000
298,175
68,543,000
12/31/00
GENAISSANCE PHARMACEUTICALS INC
1110009
8731
5
1
100,000
405,000
143,892,000
12/31/00
I TRAX INC
1110189
8000
1
1
37,000
33,000
1,278,790
12/31/00
KOSAN BIOSCIENCES INC
1110206
8731
2
1
76,900
357,169
107,571,000
12/31/00
IMAGE PROTECT, INC.
1110648
7372
22
0
35,058
35,058
725,105
12/31/00
AVANTGO INC
1110700
7371
2
1
156,000
684,000
104,308,000
12/31/00
ILLUMINA, INC.
1110803
3826
2
1
283,625
2,450
132,792,679
12/31/00
CORIO INC
1111001
7371
4
1
341,000
902,873
181,284,000
12/31/00
KRAMONT REALTY TRUST
1111205
6798
7
0
133,500
46,150
763,977,024
12/31/00
CytoCore, Inc.
1111312
8731
2
1
96,651
264,700
94,874,000
12/31/00
VISTEON CORP
1111335
3714
1
1
1,500,000
5,400,000
11,325,000,000
12/31/00
SPEECHWORKS INTERNATIONAL INC
1111345
7372
1
1
115,000
734,000
144,374,000
12/31/00
TRADESTATION GROUP INC
1111559
6211
5
1
145,000
295,000
50,354,100
12/31/00
AVISTAR COMMUNICATIONS CORP
1111632
3576
5
1
148,500
397,800
28,303,000
12/31/00
XO HOLDINGS INC
1111634
4813
5
1
405,000
5,100,000
9,085,400,064
12/31/00
TELECOMMUNICATION SYSTEMS INC /FA/
1111665
7372
2
1
139,000
417,000
100,350,000
12/31/00
NISOURCE INC.
1111711
4931
5
1
2,449,650
1,904,710
19,696,800,000
12/31/00
PROXIM CORP
1112263
3669
5
1
124,500
939,883
140,877,000
12/31/00
R-TEC HOLDING INC
1112279
3570
401
0
27,345
0
954,558
12/31/00
ARGONAUT TECHNOLOGIES INC
1112880
2835
2
1
119,000
600,400
83,032,000
12/31/00
CannAwake Corp
1112985
1311
561
0
10,329
0
421
12/31/00
PIONEER BANKSHARES INC/VA
1113026
6021
212
0
33,898
39,434
100,599,607
12/31/00
GENENCOR INTERNATIONAL INC
1113099
2835
1
1
385,000
656,000
642,931,968
12/31/00
FIRST FEDERAL BANCSHARES INC /DE
1113107
6035
8
0
28,500
93,825
237,602,000
12/31/00
INFINITY PHARMACEUTICALS, INC.
1113148
2834
2
1
142,190
381,930
179,780,313
12/31/00
PRICE T ROWE GROUP INC
1113169
6200
1
1
137,000
780,853
1,469,459,000
12/31/00
AXCELIS TECHNOLOGIES INC
1113232
3559
2
1
250,450
160,239
672,331,000
12/31/00
MEDICINES CO /DE
1113481
2834
2
1
100,000
350,000
84,363,130
12/31/00
TELECORP PCS INC /VA/
1113948
3663
1
1
107,000
948,265
5,368,000,000
12/31/00
VALICERT INC
1114040
7371
3
1
159,000
576,000
59,806,000
12/31/00
AMERICAN MEDICAL SYSTEMS HOLDINGS INC
1114200
3842
2
1
188,950
908,043
181,262,000
12/31/00
Integer Holdings Corp
1114483
3690
3
1
110,000
462,925
181,647,000
12/29/00
PROTON ENERGY SYSTEMS INC
1114617
3620
1
1
84,700
480,500
180,752,000
12/31/00
MILLENNIUM CELL INC
1114872
3690
2
1
75,000
295,000
31,396,245
12/31/00
FIRST NORTHERN COMMUNITY BANCORP
1114927
6035
4
1
77,280
22,300
391,628,000
12/31/00
ADVANCED POWER TECHNOLOGY INC
1114973
3674
4
1
85,000
235,000
57,313,000
12/31/00
PINNACLE FINANCIAL PARTNERS INC
1115055
6021
5
1
40,000
23,000
39,042,294
12/31/00
DUN & BRADSTREET CORP/NW
1115222
7320
1
1
1,630,000
655,000
1,423,600,000
12/31/00
HYDRIL CO
1116030
3533
3
1
341,250
741,935
254,646,000
12/31/00
SYNAVANT INC
1116141
8742
1
1
342,300
150,000
156,499,000
12/31/00
INTEGRATED TELECOM EXPRESS INC/ CA
1116201
3661
1
1
170,800
426,200
181,390,000
12/31/00
ORASURE TECHNOLOGIES INC
1116463
3841
5
1
114,781
243,675
37,736,172
12/31/00
TTM TECHNOLOGIES INC
1116942
3672
5
1
102,478
562,935
202,133,000
12/31/00
MBT FINANCIAL CORP
1118237
6021
5
1
82,000
72,500
1,379,386,178
12/31/00
ENDWAVE CORP
1118941
3663
2
1
195,000
660,260
250,664,992
12/31/00
IXIA
1120295
3825
1
1
152,000
580,000
121,682,000
12/31/00
SONOMA VALLEY BANCORP
1120427
6021
321
0
41,505
15,716
140,356,000
12/31/00
AETNA INC /PA/
1122304
6324
4
1
4,018,240
6,694,280
47,445,700,000
12/31/00
ALLIANCE FIBER OPTIC PRODUCTS INC
1122342
3674
1
1
124,000
28,000
88,525,000
12/31/00
NQL INC
1122965
3571
2
1
148,000
110,000
19,644,000
12/31/00
POLYONE CORP
1122976
2821
2
1
779,000
1,548,000
2,460,700,000
12/31/00
BANK MUTUAL CORP
1123270
6035
2
1
152,000
358,965
2,789,530,112
12/31/00
FLORIDAFIRST BANCORP INC
1123276
6035
4
1
91,000
27,000
582,180,000
9/30/00
ANDRX CORP /DE/
1123337
2834
5
1
395,000
1,228,000
667,955,968
12/31/00
HARVARD BIOSCIENCE INC
1123494
3826
4
1
91,800
630,379
58,808,524
12/31/00
BAB, INC.
1123596
2050
37
0
105,000
5,000
11,188,104
11/26/00
EXACT SCIENCES CORP
1124140
8731
5
1
40,000
170,000
29,058,502
12/31/00
ALLSCRIPTS HEALTHCARE SOLUTIONS, INC.
1124804
7373
4
1
120,000
0
305,420,000
12/31/00
WASTE INDUSTRIES USA INC
1125845
4953
3
1
198,774
992,992
307,748,000
12/31/00
GRANDSOUTH BANCORPORATION
1126961
6036
41
0
14,690
4,700
88,391,387
12/31/00
CAROLINA BANK HOLDINGS INC
1127160
6022
24
0
23,425
2,500
112,498,000
12/31/00
CENTRAL VALLEY COMMUNITY BANCORP
1127371
6022
149
0
72,000
114,494
202,166,931
12/31/00
First Federal of Northern Michigan Bancorp, Inc.
1128227
6021
9
0
46,000
17,800
267,008,992
12/31/00
HOPE BANCORP INC
1128361
6021
3
1
70,600
174,863
601,661,892
12/31/00
BLACK HILLS CORP /SD/
1130464
4911
5
1
510,000
1,035,000
1,320,320,000
12/31/00
NORTHROP GRUMMAN CORP /DE/
1133421
3812
3
1
3,690,000
4,606,000
9,622,000,000
12/31/00
ATLAS AIR WORLDWIDE HOLDINGS INC
1135185
4522
5
1
280,000
850,000
2,174,057,000
12/31/00
PEGASUS COMMUNICATIONS CORP /
1135338
4833
1
1
358,000
442,000
2,605,386,000
12/31/00
FMB EQUIBANC INC
1135374
6021
215
0
38,199
0
95,969,176
12/31/00
audit-data1586235832
Company
CIK
SIC2003
Auditor2003
BigN2003
AuditFees2003
NonAuditFees2003
Assets2003
FYE2003
K TRON INTERNATIONAL INC
20
3823
6
0
137,100
0
83,081,000
1/3/04
ABBOTT LABORATORIES
1800
2834
3
1
6,725,000
3,905,000
26,715,342,000
12/31/03
ACMAT CORP
2062
6351
4
1
148,000
0
132,430,000
12/31/03
ACME UNITED CORP
2098
3420
2
1
168,000
74,000
20,022,897
12/31/03
ADAMS RESOURCES & ENERGY, INC.
2178
5172
3
1
415,000
80,350
210,261,000
12/31/03
BK Technologies Corp
2186
3663
7
0
103,000
0
12,229,000
12/31/03
ADVANCED MICRO DEVICES INC
2488
3674
2
1
2,600,000
1,200,000
7,094,345,000
12/28/03
AKORN INC
3116
2834
7
0
233,500
42,400
59,415,000
12/31/03
AMSOUTH BANCORPORATION
3133
6022
2
1
1,195,000
433,400
45,615,501,312
12/31/03
CECO ENVIRONMENTAL CORP
3197
3564
3
1
163,000
68,475
41,154,000
12/31/03
Matson, Inc.
3453
4400
3
1
626,220
174,094
1,760,000,000
12/31/03
ALEXANDERS INC
3499
6798
3
1
488,000
104,000
920,996,000
12/31/03
Cheniere Energy, Inc.
3570
4924
110
0
73,348
71,086
24,590,757
12/31/03
ALLEGHENY ENERGY, INC
3673
4911
1
1
5,195,000
93,520
10,171,899,904
12/31/03
ALLIED DEFENSE GROUP INC
3952
3480
6
0
280,300
58,529
227,236,992
12/31/03
Allis Chalmers Energy Inc.
3982
1389
959
0
79,081
6,545
48,873,000
12/31/03
ALPINE GROUP INC /DE/
4164
3357
3
1
395,000
197,000
107,788,000
12/31/03
RECYCLING ASSET HOLDINGS, INC.
4187
5090
8
0
75,500
13,500
19,988,211
12/31/03
Howmet Aerospace Inc.
4281
3350
1
1
7,900,000
6,000,000
31,711,000,000
12/31/03
HESS CORP
4447
2911
2
1
7,984,000
2,942,000
13,983,000,000
12/31/03
AMERICAN BILTRITE INC
4611
3089
2
1
882,000
625,900
318,933,000
12/31/03
AMERICAN ELECTRIC POWER CO INC
4904
4911
3
1
9,970,000
4,813,000
36,744,000,000
12/31/03
AMERICAN EXPRESS CO
4962
6199
2
1
23,000,000
3,500,000
175,001,000,000
12/31/03
AFLAC INC
4977
6321
4
1
1,872,420
278,102
50,964,000,000
12/31/03
WYETH
5187
2834
1
1
5,940,000
3,504,000
31,031,900,160
12/31/03
AMERICAN INTERNATIONAL GROUP INC
5272
6331
1
1
33,700,000
11,100,000
678,346,000,000
12/31/03
Unum Group
5513
6321
2
1
4,209,760
438,609
49,718,300,000
12/31/03
AT&T CORP
5907
4813
1
1
12,737,000
16,961,000
47,987,998,720
12/31/03
AMERICAN VANGUARD CORP
5981
2870
7
0
187,000
106,000
106,734,000
12/31/03
AMPCO PITTSBURGH CORP
6176
3561
3
1
248,250
116,329
234,123,000
12/31/03
American Airlines Group Inc.
6201
4512
2
1
2,077,000
1,595,000
29,330,000,000
12/31/03
ANALOG DEVICES INC
6281
3674
2
1
1,477,000
795,000
4,092,877,000
11/1/03
ANDREA ELECTRONICS CORP
6494
3663
65
0
124,125
20,323
9,467,160
12/31/03
OUTDOOR SPORTS GEAR, INC.
6720
3949
2
1
1,271,000
808,000
871,870,976
12/31/03
APACHE CORP
6769
1311
2
1
2,176,000
3,422,000
12,416,126,000
12/31/03
COMFORCE CORP
6814
7363
4
1
237,500
135,829
134,312,992
12/28/03
APPLIED MATERIALS INC /DE
6951
3674
1
1
1,325,000
1,011,000
10,311,622,000
10/26/03
TRECORA RESOURCES
7039
2911
462
0
96,874
2,500
52,672,497
12/31/03
SOUTHWESTERN ENERGY CO
7332
1311
1
1
222,680
117,386
890,710,000
12/31/03
ARROW ELECTRONICS INC
7536
5065
2
1
2,605,500
2,086,050
5,332,988,000
12/31/03
ARTS WAY MANUFACTURING CO INC
7623
3523
10
0
51,865
20,260
7,961,837
11/30/03
ASSOCIATED BANC-CORP
7789
6022
4
1
380,120
257,030
15,247,894,000
12/31/03
ASTRONICS CORP
8063
3728
2
1
67,600
17,068
45,474,000
12/31/03
ATLANTIC AMERICAN CORP
8177
6311
3
1
396,800
8,161
443,552,000
12/31/03
AUTO GRAPHICS INC
8598
7374
75
0
58,275
2,387
4,164,336
12/31/03
Avery Dennison Corp
8818
2670
1
1
5,100,000
5,000,000
4,105,300,000
12/27/03
AMERICAN LOCKER GROUP INC
8855
2540
2
1
121,390
56,461
25,873,480
12/31/03
AVON PRODUCTS INC
8868
2844
1
1
4,900,000
1,920,000
3,562,300,000
12/31/03
BADGER METER INC
9092
3824
2
1
306,500
11,800
133,851,000
12/31/03
BADGER PAPER MILLS INC
9096
2621
6
0
85,500
24,550
38,478,000
12/31/03
BKF CAPITAL GROUP INC
9235
6282
2
1
458,250
34,000
160,275,000
12/31/03
MICHAEL BAKER CORP
9263
8741
1
1
406,400
70,000
173,403,008
12/31/03
BALCHEM CORP
9326
2800
4
1
133,920
82,533
56,906,000
12/31/03
BALDOR ELECTRIC CO
9342
3621
2
1
285,150
85,400
476,955,008
1/3/04
Protective Insurance Corp
9346
6331
2
1
252,700
11,150
769,857,000
12/31/03
BALL Corp
9389
3411
1
1
2,202,000
5,351,000
4,069,600,000
12/31/03
BANDAG INC
9534
3011
2
1
1,028,800
194,846
660,529,024
12/31/03
BANK OF NEW YORK CO INC
9626
6022
2
1
4,293,000
5,415,000
92,397,002,752
12/31/03
BANTA CORP
9801
2750
2
1
517,000
283,329
886,022,976
1/3/04
BARD C R INC /NJ/
9892
3841
4
1
1,154,700
1,191,300
1,692,000,000
12/31/03
BARNES GROUP INC
9984
3490
1
1
1,088,580
629,895
830,820,000
12/31/03
BASSETT FURNITURE INDUSTRIES INC
10329
2511
2
1
401,000
140,000
280,380,000
11/29/03
BAUSCH & LOMB INC
10427
3851
1
1
2,681,000
2,353,000
3,006,400,000
12/27/03
BAXTER INTERNATIONAL INC
10456
3841
1
1
5,585,000
7,843,000
13,707,000,000
12/31/03
BEMIS CO INC
11199
2670
1
1
888,508
288,335
2,292,932,000
12/31/03
BERKLEY W R CORP
11544
6331
4
1
2,289,750
108,250
9,334,685,000
12/31/03
BIO-RAD LABORATORIES, INC.
12208
3826
3
1
1,503,800
1,665,400
986,858,000
12/31/03
Aikido Pharma Inc.
12239
8731
6
0
81,300
9,500
14,167,257
12/31/03
BLACK & DECKER CORP
12355
3540
2
1
2,991,000
3,066,000
4,222,500,096
12/31/03
LEXINGTON PRECISION CORP
12570
3060
2
1
199,000
84,458
83,687,000
12/31/03
BOEING CO
12927
3721
3
1
16,300,000
5,400,000
53,035,000,000
12/31/03
MAPLEBY HOLDINGS MERGER Corp
12978
5110
4
1
3,461,690
503,241
7,376,159,744
12/31/03
BRESLER & REINER INC
14073
6513
2
1
283,901
18,098
348,249,000
12/31/03
BRISTOL MYERS SQUIBB CO
14272
2834
1
1
8,160,000
9,360,000
27,471,000,000
12/31/03
BROWN TOM INC /DE
14803
1311
4
1
486,800
88,100
1,568,429,952
12/31/03
BRUNSWICK CORP
14930
3510
2
1
1,744,800
883,080
3,602,500,000
12/31/03
BUREAU OF NATIONAL AFFAIRS INC
15393
2711
4
1
203,000
63,790
338,189,000
12/31/03
BUTLER MANUFACTURING CO
15840
3448
4
1
339,000
213,000
442,705,984
12/31/03
CAMBEX CORP
16590
3572
280
0
58,400
1,500
1,766,475
12/31/03
CAMCO FINANCIAL CORP
16614
6036
6
0
143,125
19,140
1,039,150,016
12/31/03
A. M. Castle & Co.
18172
5051
3
1
467,900
110,130
338,940,000
12/31/03
CATERPILLAR INC
18230
3531
1
1
10,200,000
16,900,000
36,465,000,000
12/31/03
SYNOVUS FINANCIAL CORP
18349
6021
4
1
1,185,000
1,580,000
21,632,629,000
12/31/03
CDI CORP
18396
7363
4
1
737,530
571,772
401,561,984
12/31/03
COMPASS BANCSHARES INC
18568
6021
1
1
672,611
227,575
26,963,099,648
12/31/03
CENTRAL NATURAL RESOURCES INC
18605
6792
4
1
84,690
24,615
7,523,380
12/31/03
CENTRAL VERMONT PUBLIC SERVICE CORP
18808
4911
3
1
321,800
107,500
531,319,008
12/31/03
CENTURY REALTY TRUST
18914
6798
2
1
55,000
44,042
45,549,200
12/31/03
CENTURYLINK, INC
18926
4813
4
1
1,682,000
1,319,000
7,895,852,000
12/31/03
CERADYNE INC
18937
3990
1
1
211,000
114,000
104,207,000
12/31/03
CHAMPION INDUSTRIES INC
19149
2750
2
1
205,000
86,895
58,468,835
10/31/03
CHAPARRAL RESOURCES INC
19252
1311
2
1
261,000
12,000
98,668,000
12/31/03
CHEMED CORP
19584
8082
1
1
614,000
124,600
329,069,000
12/31/03
TCF FINANCIAL CORP
19612
6021
2
1
387,500
11,500
3,708,888,000
12/31/03
JPMORGAN CHASE & CO
19617
6021
1
1
25,000,000
21,700,000
770,912,000,000
12/31/03
CANAL Corp
19731
2650
1
1
900,229
815,108
1,492,800,000
12/28/03
CHESAPEAKE UTILITIES CORP
19745
4923
1
1
208,000
96,546
221,164,664
12/31/03
CHICAGO RIVET & MACHINE CO
19871
3540
1
1
157,200
16,530
28,138,380
12/31/03
CHUBB CORP
20171
6331
2
1
3,755,000
1,300,000
38,360,600,576
12/31/03
CHURCHILL DOWNS Inc
20212
7948
1
1
344,000
98,150
502,910,000
12/31/03
ChyronHego Corp
20232
7330
1
1
329,410
349,175
14,175,000
12/31/03
CINCINNATI FINANCIAL CORP
20286
6331
3
1
1,193,460
2,965,550
15,509,000,000
12/31/03
FRONTIER COMMUNICATIONS CORP
20520
4813
4
1
2,480,600
100,000
7,689,110,000
12/31/03
AMBASE CORP
20639
6512
1
1
52,500
0
41,668,000
12/31/03
CLARCOR INC.
20740
3714
1
1
539,299
27,200
538,236,992
11/30/03
ALL AMERICAN GROUP INC
21212
1520
2
1
218,450
712,836
310,688,000
12/31/03
COCA COLA CO
21344
2080
2
1
16,900,000
13,600,000
27,342,000,000
12/31/03
COHERENT INC
21510
3826
3
1
1,012,000
698,000
709,365,000
9/30/03
COHU INC
21535
3825
2
1
304,000
319,000
220,730,000
12/31/03
COLGATE PALMOLIVE CO
21665
2844
1
1
5,600,000
4,000,000
7,478,800,000
12/31/03
COMMERCE BANCSHARES INC /MO/
22356
6022
4
1
402,790
1,278,820
14,287,164,000
12/31/03
COMMUNICATIONS SYSTEMS INC
22701
3661
3
1
240,369
116,795
79,095,958
12/31/03
COMPUDYNE CORP
22912
3812
3
1
408,000
198,000
113,662,000
12/31/03
COMPUTER HORIZONS CORP
23019
7373
6
0
1,142,000
712,000
179,136,992
12/31/03
ARTESYN TECHNOLOGIES INC
23071
3679
2
1
1,024,200
490,585
316,676,000
12/26/03
COMPUTER TASK GROUP INC
23111
7371
4
1
208,881
0
96,447,000
12/31/03
COMSTOCK RESOURCES INC
23194
1311
2
1
139,450
85,275
760,956,000
12/31/03
CT COMMUNICATIONS INC /NC
23259
4813
4
1
180,550
114,008
321,668,000
12/31/03
CONOLOG CORP
23503
3679
154
0
23,000
0
3,055,380
7/31/03
Con-way Inc.
23675
4213
4
1
1,385,130
1,729,860
2,749,850,112
12/31/03
CONSOLIDATED TOMOKA LAND CO
23795
6500
4
1
62,500
33,450
97,905,978
12/31/03
CITIZENS, INC.
24090
6311
4
1
344,387
85,125
390,093,297
12/31/03
CONTINENTAL MATERIALS CORP
24104
3270
1
1
192,600
50,500
81,826,000
12/31/03
COOPER TIRE & RUBBER CO
24491
3011
2
1
1,775,990
2,163,870
2,868,867,000
12/31/03
MOLSON COORS BEVERAGE CO
24545
2082
1
1
1,165,000
181,000
4,486,226,000
12/28/03
CORNING INC /NY
24741
3357
1
1
4,642,000
2,767,000
10,752,000,000
12/31/03
COUSINS PROPERTIES INC
25232
6798
3
1
361,599
505,536
1,140,414,000
12/31/03
COX COMMUNICATIONS INC /DE/
25305
4841
3
1
3,239,480
5,333,070
24,417,599,488
12/31/03
CRANE CO /DE/
25445
3490
3
1
1,765,000
636,000
1,811,776,000
12/31/03
CRAWFORD & CO
25475
6411
2
1
709,500
244,400
512,998,000
12/31/03
COSTA INC
25793
3950
3
1
609,500
352,000
118,146,000
1/3/04
CTS CORP
26058
3672
1
1
665,000
672,240
482,250,000
12/31/03
CUMMINS INC
26172
3510
1
1
10,300,000
500,000
5,126,000,000
12/31/03
CURTISS WRIGHT CORP
26324
3590
3
1
754,943
226,659
973,665,000
12/31/03
DANA INC
26780
3714
1
1
5,700,000
10,300,000
9,617,000,000
12/31/03
PHOENIX FOOTWEAR GROUP INC
26820
3140
3
1
117,000
151,000
37,913,000
12/27/03
DECORATOR INDUSTRIES INC
27613
2390
225
0
43,200
19,000
21,088,300
1/3/04
DEL LABORATORIES INC
27751
2844
4
1
555,000
209,000
263,212,000
12/31/03
DELTA AIR LINES, INC.
27904
4512
3
1
1,881,900
2,231,980
26,356,000,000
12/31/03
DELUXE CORP
27996
2780
1
1
429,000
349,500
562,960,000
12/31/03
GRISTEDES FOODS INC
28325
5411
7
0
219,000
150,750
129,356,000
11/30/03
COMERICA INC /NEW/
28412
6021
2
1
1,337,400
904,378
52,592,000,000
12/31/03
DEVCON INTERNATIONAL CORP
28452
7381
4
1
273,000
0
64,418,700
12/31/03
DIEBOLD NIXDORF, Inc
28823
3578
4
1
1,312,000
819,000
1,900,502,000
12/31/03
DIODES INC /DEL/
29002
3674
13
0
158,000
116,000
123,795,000
12/31/03
DIXIE GROUP INC
29332
2273
2
1
525,986
71,100
238,954,000
12/27/03
RR Donnelley & Sons Co
29669
2750
3
1
1,469,860
1,504,240
3,188,950,000
12/31/03
DONNKENNY INC
29693
2330
38
0
208,000
149,000
50,705,000
12/31/03
DOVER Corp
29905
3530
1
1
4,571,000
2,532,000
5,133,752,000
12/31/03
DOW CHEMICAL CO /DE/
29915
2821
3
1
13,225,000
6,719,000
41,891,000,320
12/31/03
DOW JONES & CO INC
29924
2711
1
1
1,544,500
3,719,000
1,304,150,016
12/31/03
OMNICOM GROUP INC.
29989
7311
4
1
10,831,200
3,639,440
14,499,456,000
12/31/03
DUCOMMUN INC /DE/
30305
3728
1
1
496,268
258,584
198,041,000
12/31/03
DEX ONE Corp
30419
7310
1
1
638,519
1,513,210
2,538,700,032
12/31/03
DUPONT E I DE NEMOURS & CO
30554
2820
1
1
8,900,000
14,800,000
37,039,000,000
12/31/03
FLOWSERVE CORP
30625
3561
1
1
4,804,090
790,510
2,800,653,000
12/31/03
Wendy’s Co
30697
5810
3
1
1,257,000
1,312,000
3,164,013,000
12/28/03
EASTERN CO
31107
3420
2
1
239,808
44,975
74,617,416
1/3/04
EASTMAN KODAK CO
31235
3861
1
1
8,700,000
6,900,000
14,818,000,000
12/31/03
ECHELON CORP
31347
3576
4
1
202,200
0
214,128,000
12/31/03
EDO CORP
31617
3812
2
1
660,800
435,800
494,696,000
12/31/03
PERKINELMER INC
31791
3826
3
1
2,155,000
1,871,000
2,607,719,000
12/28/03
EL PASO ELECTRIC CO /TX/
31978
4911
4
1
460,000
365,000
1,596,614,000
12/31/03
L-3 COMMUNICATIONS TITAN CORP
32258
7373
4
1
2,053,220
528,162
1,290,640,000
12/31/03
THREE FIVE SYSTEMS INC
32272
3679
3
1
813,000
397,000
167,236,992
12/31/03
EMPIRE DISTRICT ELECTRIC CO
32689
4911
1
1
294,500
160,999
1,009,440,000
12/31/03
EQUIFAX INC
33185
7320
2
1
947,000
476,150
1,553,300,000
12/31/03
EQT Corp
33213
1311
2
1
918,404
520,629
2,939,892,000
12/31/03
EQUITY OIL CO
33325
1311
1
1
89,250
0
76,706,496
12/31/03
ESCALADE INC
33488
3949
11
0
109,655
79,785
134,437,000
12/27/03
KINGSTONE COMPANIES, INC.
33992
6331
299
0
44,400
11,305
24,619,814
12/31/03
DMC Global Inc.
34067
3390
2
1
160,500
11,160
32,381,408
12/31/03
EXXON MOBIL CORP
34088
2911
1
1
23,500,000
18,400,000
174,278,000,000
12/31/03
FAB INDUSTRIES TRUST
34136
2250
7
0
102,000
8,500
58,075,000
11/29/03
RELIABILITY INC
34285
3825
2
1
100,000
39,000
11,704,000
12/31/03
1ST SOURCE CORP
34782
6022
2
1
200,500
106,480
3,330,153,000
12/31/03
FEDERAL MOGUL CORP/MI/
34879
3714
2
1
4,600,000
8,600,000
8,116,700,160
12/31/03
FEDERAL REALTY INVESTMENT TRUST
34903
6798
6
0
180,200
260,100
2,143,435,000
12/31/03
FERRO CORP
35214
2851
4
1
1,862,000
1,157,000
1,751,226,000
12/31/03
FIFTH THIRD BANCORP
35527
6022
3
1
1,327,000
1,583,000
91,143,000,000
12/31/03
FINANCIAL INDUSTRIES CORP
35733
6311
1
1
3,858,880
377,109
1,286,095,000
12/30/03
FIRST FINANCIAL BANKSHARES INC
36029
6022
2
1
191,878
1,495
2,092,571,434
12/31/03
REGIONS FINANCIAL CORP
36032
6021
2
1
1,335,000
2,494,000
48,597,999,616
12/31/03
CORELOGIC, INC.
36047
7374
1
1
1,898,720
662,867
4,892,111,000
12/31/03
US BANCORP \DE\
36104
6021
2
1
2,800,000
6,500,000
189,286,000,000
12/31/03
TRUSTMARK CORP
36146
6021
4
1
260,250
80,175
7,914,321,000
12/31/03
M&T BANK CORP
36270
6022
1
1
943,925
970,736
49,826,081,000
12/31/03
MACKINAC FINANCIAL CORP /MI/
36506
6022
9
0
115,000
197,561
422,539,000
12/31/03
FIRST REAL ESTATE INVESTMENT TRUST OF NEW JERSEY
36840
6798
22
0
46,900
3,400
155,764,000
10/31/03
FIRST HORIZON NATIONAL CORP
36966
6021
4
1
1,031,500
463,838
24,506,690,000
12/31/03
WACHOVIA CORP NEW
36995
6021
4
1
9,745,430
11,311,000
401,031,987,200
12/31/03
FIRST WEST VIRGINIA BANCORP INC
37049
6022
821
0
41,000
8,200
284,111,008
12/31/03
FLORIDA PUBLIC UTILITIES CO
37643
4931
7
0
110,000
0
162,990,000
12/31/03
Alpha Appalachia Holdings, Inc.
37748
1221
2
1
989,000
129,000
2,376,740,096
12/31/03
FMC CORP
37785
2800
4
1
1,140,000
547,000
2,828,800,000
12/31/03
FNB CORP/PA/
37808
6021
2
1
646,519
3,116,640
8,308,310,000
12/31/03
FOODARAMA SUPERMARKETS, INC.
37914
5411
39
0
201,000
49,000
315,246,016
11/1/03
FORD MOTOR CO
37996
3711
1
1
25,300,000
21,700,000
304,594,000,000
12/31/03
SABINE OIL & GAS CORP
38079
1311
4
1
766,768
141,272
2,683,548,000
12/31/03
FRANKLIN ELECTRIC CO INC
38725
3621
3
1
243,000
62,000
281,971,000
1/3/04
Elah Holdings, Inc.
38984
5063
2
1
754,980
523,043
9,521,909,760
12/31/03
FRIENDLY ICE CREAM CORP
39135
5812
2
1
294,408
41,662
252,452,000
12/28/03
CULLEN/FROST BANKERS, INC.
39263
6021
2
1
498,250
279,651
9,672,114,000
12/31/03
FROZEN FOOD EXPRESS INDUSTRIES INC
39273
4213
4
1
119,000
224,000
155,610,000
12/31/03
INDEPENDENT BANK CORP /MI/
39311
6022
4
1
260,000
113,000
2,358,557,000
12/31/03
FULLER H B CO
39368
2891
1
1
1,604,000
441,000
1,007,588,000
11/29/03
MIG, INC.
39547
4812
4
1
2,846,000
351,000
226,966,000
12/31/03
AV Homes, Inc.
39677
1531
2
1
400,000
78,000
362,719,000
12/31/03
TEGNA INC
39899
4833
1
1
1,504,300
411,200
14,706,239,000
12/28/03
GATX CORP
40211
4700
2
1
2,040,080
285,075
6,080,600,000
12/31/03
GENERAL BINDING LLC
40461
3579
1
1
699,500
44,500
530,583,008
12/31/03
GENERAL DYNAMICS CORP
40533
3730
4
1
12,537,500
4,102,380
16,183,000,000
12/31/03
GENERAL ELECTRIC CO
40545
3600
4
1
55,300,000
36,300,000
647,483,000,000
12/31/03
Motors Liquidation Co
40730
3711
3
1
35,000,000
50,000,000
448,819,000,000
12/31/03
AEROJET ROCKETDYNE HOLDINGS, INC.
40888
3760
2
1
4,009,000
570,000
1,907,000,000
11/30/03
GENUINE PARTS CO
40987
5013
2
1
1,800,000
2,669,000
4,116,497,000
12/31/03
GEORESOURCES INC
41023
1311
127
0
24,300
10,213
11,584,300
12/31/03
GEORGIA PACIFIC CORP
41077
2600
2
1
5,760,000
1,551,000
24,405,000,192
1/3/04
GIANT GROUP LTD
41296
9995
86
0
49,000
2,800
11,868,000
12/31/03
GLATFELTER P H CO
41719
2621
3
1
654,653
583,817
1,027,019,000
12/31/03
GOLDEN WEST FINANCIAL CORP /DE/
42293
6035
3
1
727,450
100,954
82,549,899,264
12/31/03
GOLDFIELD CORP
42316
1623
4
1
57,213
2,075
24,094,297
12/31/03
GOODRICH CORP
42542
3760
2
1
3,900,000
2,200,000
5,889,900,032
12/31/03
GOODYEAR TIRE & RUBBER CO /OH/
42582
3011
1
1
11,352,000
6,308,000
15,005,500,000
12/31/03
GORMAN RUPP CO
42682
3561
2
1
343,000
286,000
160,939,000
12/31/03
GRACO INC
42888
3561
3
1
422,000
109,000
397,390,000
12/26/03
GRAY TELEVISION INC
43196
4833
1
1
458,000
220,000
1,325,329,000
12/31/03
GREAT LAKES CHEMICAL CORP
43362
2890
2
1
1,700,000
1,000,000
1,693,200,000
12/31/03
GREEN MOUNTAIN POWER CORP
43704
4911
3
1
192,181
43,577
330,951,008
12/31/03
GREY GLOBAL GROUP INC
43952
7311
2
1
4,497,940
1,802,180
2,525,459,968
12/31/03
HALLIBURTON CO
45012
1389
4
1
13,400,000
11,000,000
15,463,000,000
12/31/03
HARLAND JOHN H CO
45599
2780
3
1
643,500
840,832
566,977,024
12/31/03
HARSCO CORP
45876
8900
1
1
2,717,700
862,000
2,138,035,000
12/31/03
HARTE HANKS INC
45919
7331
4
1
220,000
89,008
759,130,000
12/31/03
HARVEY ELECTRONICS INC
46043
5731
7
0
60,000
16,050
12,324,600
11/1/03
HASBRO, INC.
46080
3944
4
1
3,060,000
1,702,000
3,163,376,000
12/28/03
BANK OF HAWAII CORP
46195
6022
2
1
734,800
201,000
9,461,647,000
12/31/03
HAWTHORNE FINANCIAL CORP
46267
6035
3
1
275,000
366,211
2,673,999,872
12/31/03
HEICO CORP
46619
3724
3
1
256,000
175,000
333,244,000
10/31/03
ABLEST INC
46653
7363
1
1
77,000
30,175
22,579,000
12/28/03
Helmerich & Payne, Inc.
46765
1381
2
1
245,029
160,715
1,415,835,000
9/30/03
HERCULES INC
46989
2890
1
1
3,800,000
1,400,000
2,766,000,128
12/31/03
HERSHEY CO
47111
2060
4
1
1,331,820
642,423
3,582,540,000
12/31/03
Hill-Rom Holdings, Inc.
47518
3841
1
1
1,326,700
3,556,360
5,412,000,000
9/30/03
HILTON HOTELS CORP
47580
7011
2
1
1,240,000
740,000
8,177,999,872
12/31/03
HNI CORP
48287
2522
1
1
638,600
47,700
1,021,826,000
1/3/04
HOUGHTON MIFFLIN CO
48638
2731
1
1
1,369,500
773,053
2,435,386,000
12/31/03
HUBBELL INC
48898
3670
1
1
1,244,300
713,080
1,499,400,000
12/31/03
HUMANA INC
49071
6324
1
1
1,954,250
426,138
5,293,323,000
12/31/03
HUNTINGTON BANCSHARES INC/MD
49196
6021
2
1
1,680,000
337,507
30,483,804,000
12/31/03
Accelerated Technologies Holding Corp.
49397
5063
474
0
35,400
37,100
2,371,622
12/31/03
SAUCONY INC
49401
3021
3
1
231,367
6,014
100,193,000
1/2/04
EASTGROUP PROPERTIES INC
49600
6798
4
1
255,100
101,663
729,267,000
12/31/03
Dine Brands Global, Inc.
49754
5812
1
1
233,612
52,432
843,004,000
12/31/03
ILLINOIS TOOL WORKS INC
49826
3560
3
1
4,653,000
11,279,000
11,193,321,000
12/31/03
IMPERIAL INDUSTRIES INC
49930
3290
1
1
84,850
10,250
14,918,000
12/31/03
ANDEAVOR LLC
50104
2911
3
1
1,494,000
413,000
3,661,300,000
12/31/03
FLEETBOSTON FINANCIAL CORP
50341
6021
1
1
7,800,000
7,100,000
200,235,008,000
12/31/03
INFODATA SYSTEMS INC
50420
7372
6
0
78,000
21,867
3,960,000
12/31/03
INTEL CORP
50863
3674
2
1
7,867,000
3,714,000
47,143,000,000
12/27/03
FBI WIND DOWN, INC.
50957
2510
4
1
880,000
263,000
1,578,259,968
12/31/03
INTERNATIONAL FLAVORS & FRAGRANCES INC
51253
2860
1
1
3,049,400
2,979,300
2,306,892,000
12/31/03
INTERNATIONAL PAPER CO /NEW/
51434
2621
3
1
6,952,000
5,369,000
35,525,000,000
12/31/03
INTERPUBLIC GROUP OF COMPANIES, INC.
51644
7311
1
1
26,540,000
12,827,900
12,234,500,000
12/31/03
CORUS BANKSHARES INC
51939
6021
2
1
209,800
22,000
3,643,830,016
12/31/03
IONICS INC
52466
3559
1
1
2,815,660
597,887
591,977,024
12/31/03
IRWIN FINANCIAL CORP
52617
6022
1
1
821,180
293,151
4,988,360,192
12/31/03
ANIXTER INTERNATIONAL INC
52795
5063
2
1
1,369,000
288,000
1,371,400,000
1/2/04
RAYONIER INC
52827
6798
3
1
786,174
265,473
1,838,680,000
12/31/03
JEFFERSON PILOT CORP
53347
6311
2
1
2,187,200
377,168
32,696,000,512
12/31/03
FURMANITE CORP
54441
1700
4
1
346,000
20,000
104,790,000
12/31/03
KANSAS CITY SOUTHERN
54480
4011
4
1
684,969
179,701
2,152,900,000
12/31/03
EVERGY KANSAS CENTRAL, INC.
54507
4931
3
1
1,422,350
148,647
5,734,499,840
12/31/03
KII Liquidating Inc.
54681
3559
1
1
507,051
85,239
24,368,289
12/31/03
KEANE, INC.
54883
7371
2
1
798,465
759,231
797,987,008
12/31/03
KELLOGG CO
55067
2040
1
1
2,500,000
3,500,000
10,230,800,000
12/27/03
KELLY SERVICES INC
55135
7363
1
1
828,720
390,365
1,137,737,000
12/28/03
KENILWORTH SYSTEMS CORP
55234
7990
247
0
20,000
0
65,292
12/31/03
Investors Heritage Capital Corp
55362
6311
2
1
180,897
34,524
429,475,008
12/31/03
FIRST YEARS INC
55698
3080
3
1
213,000
156,000
84,664,800
12/31/03
KIMBERLY CLARK CORP
55785
2670
3
1
5,677,000
3,865,000
16,779,900,000
12/31/03
NORTH AMERICAN GALVANIZING & COATINGS INC
55805
3470
3
1
134,095
63,399
37,367,000
12/31/03
ENSTAR GROUP INC
55820
6799
3
1
133,500
82,944
152,448,992
12/31/03
KIRBY CORP
56047
4400
4
1
337,500
63,750
854,961,000
12/31/03
LAMSON & SESSIONS CO
57497
3640
2
1
360,000
48,525
208,312,992
1/3/04
SNYDER’S-LANCE, INC.
57528
2052
4
1
203,600
175,630
322,585,000
12/27/03
LEGGETT & PLATT INC
58492
2510
1
1
1,702,500
1,291,310
3,889,700,000
12/31/03
4Licensing Corp
58592
6794
3
1
415,600
212,000
193,280,000
12/31/03
LIBERTY HOMES INC
59240
2452
8
0
50,545
42,800
47,270,000
12/31/03
VALHI INC /DE/
59255
2810
1
1
2,397,640
421,150
2,211,028,000
12/31/03
VECTOR GROUP LTD
59440
2111
1
1
774,000
131,000
628,212,000
12/31/03
ELI LILLY & Co
59478
2834
2
1
3,900,000
3,300,000
21,678,100,000
12/31/03
LINCOLN ELECTRIC HOLDINGS INC
59527
3540
2
1
905,000
366,000
928,866,000
12/31/03
LINCOLN NATIONAL CORP
59558
6311
2
1
5,898,330
2,820,320
106,744,868,000
12/31/03
LOEWS CORP
60086
6331
3
1
10,189,000
7,869,000
77,880,900,000
12/31/03
LOUISIANA-PACIFIC CORP
60519
2400
3
1
1,070,240
323,495
3,204,400,000
12/31/03
LSB INDUSTRIES INC
60714
2810
2
1
737,250
157,600
158,294,000
12/31/03
LUBRIZOL Corp
60751
2860
3
1
1,051,900
491,096
1,942,320,000
12/31/03
LUFKIN INDUSTRIES INC
60849
3560
3
1
335,000
361,589
263,656,000
12/31/03
CYBEX INTERNATIONAL INC
60876
3949
4
1
215,600
51,199
53,388,000
12/31/03
LYDALL INC /DE/
60977
3714
1
1
542,321
338,364
225,838,000
12/31/03
LGL GROUP INC
61004
3679
2
1
262,450
59,958
23,019,000
12/31/03
MANITOWOC CO INC
61986
3531
1
1
1,027,000
266,348
1,660,149,000
12/31/03
MARSH & MCLENNAN COMPANIES, INC.
62709
6411
3
1
9,675,000
5,075,000
15,053,000,000
12/31/03
MARSHALL & ILSLEY CORP/WI/
62741
6021
3
1
852,000
2,395,000
34,372,599,808
12/31/03
MASCO CORP /DE/
62996
2430
1
1
9,500,000
3,200,000
12,149,000,000
12/31/03
MATTEL INC /DE/
63276
3942
1
1
2,920,000
3,045,000
4,510,950,000
12/31/03
MAUI LAND & PINEAPPLE CO INC
63330
6500
3
1
265,000
374,000
161,680,000
12/31/03
MCCORMICK & CO INC
63754
2090
2
1
2,100,000
2,400,000
2,148,200,000
11/30/03
MAXXAM INC
63814
800
3
1
974,910
676,014
1,060,800,000
12/31/03
MCDONALDS CORP
63908
5812
2
1
6,300,000
2,700,000
25,525,100,000
12/31/03
S&P Global Inc.
64040
7320
2
1
3,967,000
3,026,000
5,394,068,000
12/31/03
MORTON INDUSTRIAL GROUP INC
64247
3089
4
1
383,500
68,000
48,822,000
12/31/03
MCMORAN EXPLORATION CO /DE/
64279
1311
2
1
311,880
92,881
169,280,000
12/31/03
MECHANICAL TECHNOLOGY INC
64463
3829
1
1
125,110
52,050
65,838,000
12/31/03
MELLON FINANCIAL CORP
64782
6021
4
1
6,019,000
3,296,000
33,983,000,576
12/31/03
CVS HEALTH Corp
64803
5912
4
1
1,065,000
599,000
10,543,100,000
1/3/04
MERCANTILE BANKSHARES CORP
64908
6022
1
1
557,600
455,642
13,695,500,288
12/31/03
MERCK SHARP & DOHME CORP.
64978
2834
1
1
10,800,000
3,100,000
40,587,501,568
12/31/03
MERCURY GENERAL CORP
64996
6331
4
1
432,500
16,000
3,119,766,000
12/31/03
MESTEK INC
65195
3585
6
0
420,753
84,530
246,670,000
12/31/03
UNITED CAPITAL CORP /DE/
65358
3490
6
0
79,000
132,000
189,714,000
12/31/03
SIEBERT FINANCIAL CORP
65596
6211
121
0
75,000
25,000
40,026,000
12/31/03
MICROVISION, INC.
65770
3679
1
1
272,471
20,620
33,918,000
12/31/03
ALLTEL CORP
65873
4812
1
1
2,070,870
491,202
16,661,099,520
12/31/03
ENTERGY CORP /DE/
65984
4911
3
1
3,244,750
815,467
28,554,210,000
12/31/03
MIDDLESEX WATER CO
66004
4941
3
1
231,000
39,000
263,191,935
12/31/03
MIDLAND CO
66025
6331
3
1
345,500
92,000
1,179,510,016
12/31/03
MILLIPORE CORP /MA
66479
3826
1
1
1,100,000
700,000
951,273,024
12/31/03
MSA Safety Inc
66570
3842
1
1
1,004,800
822,378
643,885,000
12/31/03
3M CO
66740
3841
1
1
7,600,000
2,100,000
17,600,000,000
12/31/03
ALLETE INC
66756
4931
1
1
1,300,000
1,100,000
3,101,300,000
12/31/03
AQUILA INC
66960
4911
4
1
4,260,000
7,680,000
7,719,099,904
12/31/03
MOCON INC
67279
3829
4
1
94,000
49,000
19,978,300
12/31/03
MONARCH CEMENT CO
67517
3270
11
0
55,000
13,000
129,832,431
12/31/03
MONMOUTH CAPITAL CORP
67618
6500
407
0
21,162
11,000
41,569,000
12/31/03
MONMOUTH REAL ESTATE INVESTMENT CORP
67625
6798
4
1
73,000
39,500
183,173,874
9/30/03
MDU RESOURCES GROUP INC
67716
1400
3
1
969,375
294,238
3,380,592,000
12/31/03
Motorola Solutions, Inc.
68505
3663
4
1
7,300,000
5,700,000
32,098,000,000
12/31/03
MUELLER PAUL CO
68726
3443
4
1
103,600
124,350
67,654,860
12/31/03
MYERS INDUSTRIES INC
69488
3089
2
1
593,500
627,175
621,626,806
12/31/03
NASH FINCH CO
69671
5140
2
1
533,400
121,000
886,352,000
1/3/04
NASHUA CORP
69680
2670
2
1
480,000
81,000
151,676,000
12/31/03
NATIONAL CITY CORP
69970
6021
2
1
3,800,000
2,300,000
113,933,000,704
12/31/03
GP STRATEGIES CORP
70415
8200
4
1
917,750
267,030
188,323,000
12/31/03
NATIONAL PROPERTIES CORP
70453
6512
265
0
39,500
3,200
37,288,100
12/31/03
NATIONAL RESEARCH CORP
70487
8731
4
1
70,300
35,398
45,673,176
12/31/03
BANK OF AMERICA CORP /DE/
70858
6021
1
1
17,800,000
19,700,000
736,445,000,000
12/31/03
NCR CORP
70866
3578
1
1
3,949,400
4,345,200
5,480,000,000
12/31/03
NEW BRUNSWICK SCIENTIFIC CO INC
71241
3821
4
1
208,000
84,000
51,321,000
12/31/03
BLAIR CORP
71525
5961
2
1
212,966
210,009
345,976,000
12/31/03
Nuvera Communications, Inc.
71557
4813
218
0
60,622
9,500
53,330,534
12/31/03
NEW YORK TIMES CO
71691
2711
3
1
2,218,000
821,000
3,804,739,000
12/28/03
NEWPARK RESOURCES INC
71829
3533
2
1
340,447
282,400
575,500,000
12/31/03
NOBLE ENERGY INC
72207
1311
4
1
822,900
136,900
2,842,649,000
12/31/03
NOLAND CO
72243
5070
4
1
282,100
79,450
271,260,992
12/31/03
Vaxart, Inc.
72444
2836
2
1
460,652
162,928
387,301,000
12/27/03
NORTH EUROPEAN OIL ROYALTY TRUST
72633
6792
2
1
40,500
0
4,063,767
10/31/03
EVERSOURCE ENERGY
72741
4911
3
1
1,441,700
293,413
11,308,884,000
12/31/03
XCEL ENERGY INC
72903
4931
3
1
2,688,000
4,597,000
20,205,380,000
12/31/03
WELLS FARGO & COMPANY/MN
72971
6021
4
1
13,485,000
13,774,000
387,798,000,000
12/31/03
NORTHWEST NATURAL GAS CO
73020
4924
1
1
209,300
76,472
1,591,332,000
12/31/03
NORTHWESTERN CORP
73088
4931
3
1
2,300,000
1,473,000
2,444,511,000
12/31/03
NORTHERN TRUST CORP
73124
6022
4
1
1,217,000
565,300
41,450,200,000
12/31/03
NUCOR CORP
73309
3312
1
1
499,900
209,200
4,492,353,054
12/31/03
OCEANEERING INTERNATIONAL INC
73756
1389
2
1
592,500
149,000
662,856,000
12/31/03
OI CORP
73773
3826
6
0
98,100
27,800
22,707,400
12/31/03
STRATEGIC DISTRIBUTION INC
73822
5080
4
1
268,500
0
65,503,000
12/31/03
OHIO CASUALTY CORP
73952
6331
2
1
634,554
922,348
5,168,900,096
12/31/03
OILGEAR CO
74058
3590
4
1
305,300
112,200
70,438,704
12/31/03
UDR, Inc.
74208
6798
2
1
809,850
493,247
3,543,643,000
12/31/03
OLD REPUBLIC INTERNATIONAL CORP
74260
6351
1
1
1,772,880
352,308
9,712,300,000
12/31/03
OLIN Corp
74303
2800
4
1
758,000
216,000
1,445,000,000
12/31/03
ACCEPTANCE INSURANCE COMPANIES INC
74783
6331
3
1
127,000
78,000
279,331,000
12/31/03
OSHKOSH B GOSH INC
75042
2300
3
1
144,500
17,053
151,924,992
1/3/04
OTTER TAIL CORP
75129
4911
3
1
469,500
194,666
986,422,976
12/31/03
OVERSEAS SHIPHOLDING GROUP INC
75208
4412
2
1
431,300
571,042
2,000,686,000
12/31/03
OWENS & MINOR INC/VA/
75252
5047
4
1
216,950
42,260
1,045,748,000
12/31/03
P&F INDUSTRIES INC
75340
3540
7
0
247,500
87,245
58,331,924
12/31/03
PACCAR INC
75362
3711
2
1
2,190,000
1,180,000
9,939,600,000
12/31/03
Medite Cancer Diagnostics, Inc.
75439
3841
735
0
129,056
0
7,715,000
12/31/03
PACKAGING CORP OF AMERICA
75677
2650
2
1
400,000
118,748
1,985,126,000
12/31/03
PAXAR CORP
75681
2750
2
1
1,480,200
315,000
714,899,968
12/31/03
PALMETTO REAL ESTATE TRUST
75894
6798
48
0
22,450
10,150
12,835,297
12/31/03
PARADYNE NETWORKS INC
76174
3670
1
1
217,000
1,400
82,442,000
12/31/03
PARK OHIO HOLDINGS CORP
76282
3460
2
1
568,500
115,250
507,452,000
12/31/03
PARKER DRILLING CO /DE/
76321
1381
1
1
645,446
119,565
847,632,000
12/31/03
PATRICK INDUSTRIES INC
76605
2430
10
0
130,388
76,285
81,141,960
12/31/03
PENN ENGINEERING & MANUFACTURING CORP
77106
3452
2
1
568,000
630,000
236,124,000
12/31/03
PENN VIRGINIA CORP
77159
1311
4
1
557,350
76,529
683,733,000
12/31/03
PENNSYLVANIA REAL ESTATE INVESTMENT TRUST
77281
6798
4
1
1,242,500
491,900
2,685,480,000
12/31/03
PEPSICO INC
77476
2080
4
1
10,313,000
2,840,000
25,327,000,000
12/27/03
TUTOR PERINI CORP
77543
1540
3
1
469,300
316,650
565,443,000
12/31/03
PDC ENERGY, INC.
77877
1311
4
1
115,880
288,363
306,722,000
12/31/03
PFIZER INC
78003
2834
4
1
20,162,000
18,255,000
116,775,000,000
12/31/03
Essential Utilities, Inc.
78128
4941
1
1
592,100
90,550
2,069,736,000
12/31/03
SoOum Corp.
78311
5190
16
0
24,700
5,500
3,853,940
12/31/03
PITNEY BOWES INC /DE/
78814
3579
1
1
4,000,000
1,800,000
8,891,388,000
12/31/03
BRINKS CO
78890
4731
4
1
4,335,000
972,000
2,548,600,000
12/31/03
PLYMOUTH RUBBER CO INC
79225
3060
1
1
234,902
60,746
45,300,000
11/28/03
BROWN & BROWN, INC.
79282
6411
3
1
213,409
11,862
865,854,000
12/31/03
PORTA SYSTEMS CORP
79564
3661
7
0
170,200
15,500
12,355,000
12/31/03
POTLATCH CORP (OLD)
79716
2621
4
1
628,950
93,708
1,597,379,968
12/31/03
PPG INDUSTRIES INC
79879
2851
3
1
2,983,750
2,400,700
8,424,000,000
12/31/03
PRESIDENTIAL LIFE CORP
80124
6311
3
1
402,000
170,000
4,529,019,904
12/31/03
NATIONAL PRESTO INDUSTRIES INC
80172
3480
6
0
77,000
36,000
301,393,000
12/31/03
PRIME HOSPITALITY CORP
80293
7011
2
1
175,000
139,640
1,007,310,016
12/31/03
POWELL INDUSTRIES INC
80420
3613
3
1
272,000
56,775
190,340,000
10/31/03
PROGRESSIVE CORP/OH/
80661
6331
1
1
785,437
390,752
16,281,500,000
12/31/03
Chazak Value Corp.
81050
3577
3
1
179,758
11,038
7,399,000
12/31/03
PUBLIX SUPER MARKETS INC
81061
5411
4
1
336,000
101,000
5,150,717,000
12/27/03
Yuma Energy, Inc.
81318
1311
75
0
36,600
0
3,835,100
12/31/03
QUAKER CHEMICAL CORP
81362
2990
1
1
719,000
332,000
287,347,000
12/31/03
UNITED STATES LIME & MINERALS INC
82020
1400
2
1
142,444
23,225
99,500,000
12/31/03
REFAC OPTICAL GROUP
82788
6794
6
0
113,000
133,000
39,023,000
12/31/03
REGAL BELOIT CORP
82811
3621
3
1
259,700
163,245
734,445,000
12/31/03
RESERVE PETROLEUM CO
83350
1311
6
0
38,352
11,035
7,957,250
12/31/03
MAGSTAR TECHNOLOGIES INC
83490
3821
16
0
30,400
13,335
1,936,000
12/31/03
RJ REYNOLDS TOBACCO HOLDINGS INC
83612
2111
4
1
2,615,020
1,097,400
9,676,999,680
12/31/03
RLI CORP
84246
6331
4
1
453,205
102,594
2,134,364,000
12/31/03
ROCK OF AGES CORP
84581
3281
4
1
319,340
155,390
102,461,000
12/31/03
ROGERS CORP
84748
2821
2
1
367,715
436,736
314,440,000
12/28/03
ROHM & HAAS CO
84792
2821
1
1
4,220,000
2,685,000
9,445,000,192
12/31/03
ROLLINS INC
84839
7340
2
1
199,762
55,923
349,904,000
12/31/03
RCLC, INC.
84919
2890
251
0
82,600
16,475
12,603,000
12/31/03
WEBFINANCIAL CORP
85149
6159
6
0
118,000
31,000
26,448,000
12/31/03
ROWE COMPANIES
85417
2510
7
0
175,000
228,000
131,850,000
11/30/03
VALPEY FISHER CORP
85608
3829
6
0
74,500
6,000
12,744,500
12/31/03
RUSSELL CORP
85812
2253
2
1
798,462
756,500
1,023,310,016
1/3/04
RYDER SYSTEM INC
85961
7510
4
1
2,700,000
1,700,000
5,278,603,000
12/31/03
RYLAND GROUP INC
85974
1531
2
1
646,000
141,000
2,007,590,016
12/31/03
SAFECO CORP
86104
6331
2
1
3,475,000
590,339
35,845,099,520
12/31/03
SAFEGUARD SCIENTIFICS INC
86115
6799
4
1
1,243,620
517,081
836,331,000
12/31/03
SAFEWAY INC
86144
5411
3
1
2,809,000
3,341,000
15,096,699,904
12/31/03
TRAVELERS COMPANIES, INC.
86312
6331
4
1
6,145,160
2,593,100
39,563,000,000
12/31/03
SCAN OPTICS INC
87086
3577
2
1
159,000
80,385
26,073,000
12/31/03
SCHLUMBERGER LIMITED/NV
87347
1389
1
1
18,960,000
8,411,000
20,041,326,000
12/31/03
SCIENTIFIC INDUSTRIES INC
87802
3826
454
0
27,250
1,700
2,216,400
6/30/03
SPX CORP
88205
3540
3
1
8,400,220
10,085,800
7,625,000,000
12/31/03
INTRICON CORP
88790
3670
4
1
266,000
39,150
35,063,850
12/31/03
SERVICE CORP INTERNATIONAL
89089
7200
1
1
2,663,620
3,267,870
7,725,204,000
12/31/03
SL INDUSTRIES INC
89270
3679
6
0
326,968
45,657
58,421,000
12/31/03
MUELLER INDUSTRIES INC
89439
3350
2
1
613,133
281,318
1,055,184,000
12/27/03
SHERWIN WILLIAMS CO
89800
5200
2
1
831,198
1,054,990
3,682,608,000
12/31/03
SIBONEY CORP
90057
7389
43
0
59,250
6,750
6,369,750
12/31/03
SIGMA ALDRICH CORP
90185
5160
4
1
939,000
102,000
1,548,240,000
12/31/03
SILICONIX INC
90283
3674
2
1
493,000
168,000
601,169,984
12/31/03
SIMMONS FIRST NATIONAL CORP
90498
6021
11
0
210,975
86,845
2,235,778,000
12/31/03
PERVASIP CORP
90721
4813
454
0
99,651
15,000
1,637,215
11/30/03
SMITH A O CORP
91142
3630
2
1
597,000
591,100
1,279,900,000
12/31/03
Snap-on Inc
91440
3420
3
1
1,934,560
1,232,400
2,138,500,000
1/3/04
KEYCORP /NEW/
91576
6021
2
1
3,339,000
2,716,000
84,487,000,000
12/31/03
HPT SN HOLDING, INC.
91741
7011
2
1
165,650
13,000
110,119,000
12/31/03
SONOCO PRODUCTS CO
91767
2650
1
1
1,314,000
2,026,000
2,520,633,000
12/31/03
SOUTH JERSEY INDUSTRIES INC
91928
4924
3
1
304,500
73,763
1,126,203,000
12/31/03
SOUTHERN CO
92122
4911
3
1
6,342,600
4,187,300
35,045,000,000
12/31/03
TRUIST FINANCIAL CORP
92230
6021
1
1
2,666,660
1,858,670
90,466,613,000
12/31/03
COLONIAL BANCGROUP INC
92339
6022
1
1
587,000
313,000
16,273,300,480
12/31/03
7 ELEVEN INC
92344
5412
1
1
1,338,800
359,092
3,348,900,096
12/31/03
SOUTHWEST AIRLINES CO
92380
4512
2
1
626,351
182,062
9,878,000,000
12/31/03
SOUTHWEST WATER CO
92472
4941
4
1
364,900
93,000
296,222,016
12/31/03
SPECTRUM CONTROL INC
92769
3679
2
1
100,700
28,100
83,371,000
11/30/03
STANDARD MOTOR PRODUCTS, INC.
93389
3714
4
1
1,004,000
195,000
694,525,000
12/31/03
CHEVRON CORP
93410
2911
1
1
15,700,000
9,500,000
81,470,000,000
12/31/03
STERLING BANCORP
93451
6021
4
1
320,000
234,000
1,758,749,952
12/31/03
STANDARD REGISTER CO
93456
2761
358
0
756,000
97,500
628,956,992
12/28/03
ENESCO GROUP INC
93542
5190
4
1
451,513
121,420
202,468,000
12/31/03
STANLEY BLACK & DECKER, INC.
93556
3420
2
1
1,527,000
4,158,000
2,423,800,000
1/3/04
STATE STREET CORP
93751
6022
2
1
4,200,000
5,000,000
87,534,000,000
12/31/03
STEPAN CO
94049
2840
3
1
448,300
214,700
464,217,000
12/31/03
STEWART INFORMATION SERVICES CORP
94344
6361
4
1
534,300
275,863
1,031,867,000
12/31/03
STOCKERYALE INC
94538
3827
3
1
205,000
28,000
32,689,000
12/31/03
STORAGE TECHNOLOGY CORP
94673
3572
1
1
1,500,000
584,000
2,305,250,048
12/26/03
ALSERES PHARMACEUTICALS INC /DE
94784
2834
1
1
72,000
73,990
17,432,894
12/31/03
STRIDE RITE CORP
94887
3140
1
1
394,900
93,200
345,216,992
11/28/03
STURM RUGER & CO INC
95029
3480
4
1
255,000
64,000
170,013,000
12/31/03
SEQUA CORP /DE/
95301
3724
2
1
2,895,000
1,856,000
1,892,819,968
12/31/03
SUNOCO INC
95304
2911
2
1
2,342,770
971,022
6,921,999,872
12/31/03
SUPERIOR INDUSTRIES INTERNATIONAL INC
95552
3714
1
1
213,000
193,000
703,205,000
12/31/03
SUPERIOR GROUP OF COMPANIES, INC.
95574
2300
3
1
162,823
6,400
102,973,933
12/31/03
Jefferies Financial Group Inc.
96223
6211
1
1
2,198,000
329,000
4,397,164,000
12/31/03
RS Legacy Corp
96289
5731
1
1
778,000
442,278
2,243,899,904
12/31/03
TASTY BAKING CO
96412
2050
1
1
335,000
115,662
117,243,000
12/27/03
ADVANTA CORP
96638
6141
4
1
1,275,000
529,000
1,687,619,968
12/31/03
Renewal Fuels, Inc.
96664
6770
1095
0
9,300
2,100
1,731,547
12/31/03
PULSE ELECTRONICS CORP
96763
3679
4
1
1,160,000
357,309
588,894,016
12/26/03
TEJON RANCH CO
96869
6500
2
1
152,410
52,370
100,835,000
12/31/03
TELEFLEX INC
96943
3841
1
1
1,513,680
982,283
2,110,613,000
12/28/03
TELTRONICS INC
97052
3661
2
1
230,628
6,600
16,319,600
12/31/03
TENNANT CO
97134
3580
4
1
545,000
283,600
258,873,000
12/31/03
AMIC Holdings, Inc.
97196
6321
4
1
275,422
25,700
112,091,000
12/31/03
TERADYNE, INC
97210
3825
1
1
1,036,000
557,000
1,785,362,000
12/31/03
TEREX CORP
97216
3537
1
1
4,060,000
705,000
3,723,800,000
12/31/03
TEXAS INSTRUMENTS INC
97476
3674
2
1
4,947,000
3,422,000
15,510,000,000
12/31/03
THERMO FISHER SCIENTIFIC INC.
97745
3829
1
1
4,496,000
625,466
3,388,969,000
12/31/03
THOMAS & BETTS CORP
97854
3640
4
1
2,229,000
1,260,000
1,782,630,016
12/31/03
THOMAS INDUSTRIES INC
97886
3640
2
1
798,900
729,200
575,043,968
12/31/03
TIMKEN CO
98362
3562
2
1
3,262,000
2,995,000
3,689,789,000
12/31/03
TOOTSIE ROLL INDUSTRIES INC
98677
2060
1
1
342,500
188,672
665,297,000
12/31/03
NYFIX INC
99047
7373
3
1
328,000
538,000
152,172,000
12/31/03
TRANS INDUSTRIES INC
99102
3990
6
0
77,030
51,842
21,164,500
12/31/03
REGENCY AFFILIATES INC
99249
3714
154
0
57,736
18,267
22,615,207
12/31/03
21ST CENTURY INSURANCE GROUP
100331
6331
1
1
513,500
244,919
1,737,190,016
12/31/03
United Airlines Holdings, Inc.
100517
4512
3
1
1,323,650
1,776,340
21,979,000,000
12/31/03
SIERRA MONITOR CORP /CA/
100625
3829
134
0
45,550
0
4,230,797
12/31/03
UNICO AMERICAN CORP
100716
6331
4
1
148,000
75,400
161,493,695
12/31/03
UNION PACIFIC CORP
100885
4011
3
1
1,754,070
1,492,330
33,460,000,000
12/31/03
UNION PLANTERS CORP
100893
6021
1
1
1,457,500
1,052,660
31,910,699,008
12/31/03
UNITED INDUSTRIAL CORP /DE/
101271
3690
2
1
550,000
704,703
151,168,000
12/31/03
UNITED GUARDIAN INC
101295
2844
121
0
49,000
0
14,024,944
12/31/03
UMB FINANCIAL CORP
101382
6021
3
1
373,300
232,635
7,748,981,000
12/31/03
MARATHON OIL CORP
101778
1311
1
1
3,676,000
1,534,000
19,482,000,000
12/31/03
UNITED TECHNOLOGIES CORP /DE/
101829
3724
1
1
14,569,000
7,997,000
34,648,000,000
12/31/03
SPRINT Corp
101830
4813
2
1
3,900,000
5,160,000
42,675,000,000
12/31/03
UNIVERSAL ELECTRONICS INC
101984
3651
1
1
287,020
390,000
126,166,992
12/31/03
UNIFAB INTERNATIONAL INC
101990
3730
3
1
156,100
0
40,219,000
12/31/03
UNIVEST FINANCIAL Corp
102212
6022
2
1
444,589
157,156
1,657,168,000
12/31/03
VALMONT INDUSTRIES INC
102729
3440
3
1
287,678
259,445
604,797,000
12/27/03
VSE CORP
102752
8711
2
1
151,500
15,493
40,776,000
12/31/03
VEECO INSTRUMENTS INC
103145
3559
2
1
549,650
120,961
596,464,000
12/31/03
QUAKER FABRIC CORP /DE/
103341
2221
1
1
195,000
614,800
276,278,016
1/3/04
V F CORP
103379
2320
1
1
1,582,000
2,607,000
4,245,552,000
1/3/04
VISHAY INTERTECHNOLOGY INC
103730
3670
2
1
4,000,000
3,600,000
4,572,513,000
12/31/03
VOLT INFORMATION SCIENCES, INC.
103872
7363
2
1
641,700
527,600
540,483,000
11/2/03
ALEXANDERS J CORP
103884
5812
2
1
135,000
103,385
82,537,000
12/28/03
Legacy Vulcan Corp.
103973
1400
3
1
1,066,800
176,479
3,636,859,904
12/31/03
ALTEVA, INC.
104777
4813
1
1
192,000
0
59,493,000
12/31/03
Graham Holdings Co
104889
8200
1
1
1,574,000
1,917,000
3,901,558,000
12/28/03
WASHINGTON REAL ESTATE INVESTMENT TRUST
104894
6798
2
1
408,600
192,700
927,129,000
12/31/03
AVISTA CORP
104918
4931
3
1
1,177,410
549,636
3,661,495,000
12/31/03
WJ COMMUNICATIONS INC
105006
3559
3
1
248,687
202,289
79,820,000
12/31/03
WATSCO INC
105016
5070
2
1
540,300
211,200
535,095,000
12/31/03
WAUSAU PAPER CORP.
105076
2621
3
1
242,038
690,910
858,099,968
12/31/03
WEIS MARKETS INC
105418
5411
2
1
175,000
64,640
744,315,000
12/27/03
AG&E HOLDINGS INC.
105608
3663
37
0
95,000
18,000
21,172,000
12/31/03
EMCOR Group, Inc.
105634
1731
2
1
1,850,000
659,000
1,795,247,000
12/31/03
WENDYS INTERNATIONAL INC
105668
5812
1
1
1,036,650
715,100
3,164,009,984
12/28/03
WEST PHARMACEUTICAL SERVICES INC
105770
3060
1
1
720,267
616,314
623,600,000
12/31/03
NEW VALLEY CORP
106374
6500
1
1
210,000
54,000
161,896,000
12/31/03
WESTMORELAND COAL Co
106455
1221
4
1
409,472
145,155
457,837,000
12/31/03
WEYCO GROUP INC
106532
5130
3
1
115,100
45,678
151,186,255
12/31/03
WEYERHAEUSER CO
106535
6798
4
1
3,287,000
1,177,170
28,109,000,000
12/28/03
HANDY & HARMAN LTD.
106618
3470
1
1
590,000
115,000
406,145,984
12/31/03
WHIRLPOOL CORP /DE/
106640
3630
2
1
4,300,000
4,200,000
7,361,000,000
12/31/03
WHITNEY HOLDING CORP
106926
6021
1
1
395,000
118,100
7,754,979,840
12/31/03
WILLIAMS COMPANIES, INC.
107263
4922
2
1
6,500,000
2,600,000
27,021,800,000
12/31/03
WILSHIRE ENTERPRISES INC
107454
6513
2
1
115,000
0
98,997,000
12/31/03
WISER OIL CO
107874
1311
2
1
229,579
40,664
224,596,000
12/31/03
WRIGLEY WM JR CO
108601
2060
2
1
2,018,000
1,462,000
2,520,410,112
12/31/03
XEROX CORP
108772
3577
1
1
23,000,000
10,100,000
24,591,000,000
12/31/03
Spectrum Brands Holdings, Inc.
109177
3690
1
1
93,000
120,300
359,039,000
12/31/03
ZENITH NATIONAL INSURANCE CORP
109261
6331
1
1
1,127,880
121,252
2,023,699,968
12/31/03
ZIEGLER COMPANIES INC
109312
6211
4
1
176,569
143,480
121,060,000
12/31/03
ZIONS BANCORPORATION, NATIONAL ASSOCIATION /UT/
109380
6021
2
1
1,600,000
2,100,000
28,558,238,000
12/31/03
ARBITRON INC
109758
8700
4
1
189,000
24,000
184,194,000
12/31/03
INAMED CORP
109831
3842
4
1
884,300
85,503
501,000,000
12/31/03
LEAP TECHNOLOGY INC / DE
110027
6500
188
0
42,000
7,500
594,854
12/31/03
FRONTIER OIL CORP /NEW/
110430
2911
3
1
701,250
305,550
642,297,024
12/31/03
WOLVERINE WORLD WIDE INC /DE/
110471
3140
2
1
631,027
631,003
578,881,000
1/3/04
CHITTENDEN CORP /VT/
200138
6022
1
1
348,450
10,000
5,900,640,256
12/31/03
JOHNSON & JOHNSON
200406
2834
1
1
12,550,000
28,280,000
48,263,000,000
12/28/03
CITY NATIONAL CORP
201461
6021
4
1
595,053
565,096
13,018,200,064
12/31/03
Aleris International, Inc.
202890
3341
2
1
968,344
160,119
556,516,992
12/31/03
CAPITAL PROPERTIES INC /RI/
202947
6519
320
0
77,000
35,000
18,411,000
12/31/03
ST JUDE MEDICAL, LLC
203077
3845
2
1
1,923,000
2,797,000
2,556,090,112
12/31/03
WESBANCO INC
203596
6021
2
1
322,350
80,181
3,445,006,000
12/31/03
KNIGHT RIDDER INC
205520
2711
2
1
1,344,000
522,000
4,096,679,936
12/28/03
AXSYS TECHNOLOGIES INC
206030
3827
2
1
180,000
45,316
66,845,000
12/31/03
Voyager Learning CO
215219
2741
4
1
637,800
208,090
724,035,968
1/3/04
CHECKPOINT SYSTEMS INC
215419
3669
1
1
1,383,000
969,000
773,321,984
12/28/03
Coeur Mining, Inc.
215466
1040
4
1
395,543
161,143
259,467,000
12/31/03
HAVERTY FURNITURE COMPANIES INC
216085
5712
2
1
289,500
132,500
433,202,000
12/31/03
ITT Inc.
216228
3561
3
1
4,753,000
2,599,000
5,937,600,000
12/31/03
MEDIA GENERAL INC
216539
4833
2
1
802,000
277,000
2,386,759,936
12/28/03
APPLICA INC
217084
3634
6
0
667,000
463,000
478,836,000
12/31/03
TEXTRON INC
217346
3720
2
1
8,721,000
1,859,000
15,090,000,000
1/3/04
ARDEN GROUP INC
225051
5411
1
1
217,800
146,833
186,972,000
1/3/04
NEWPORT CORP
225263
3821
2
1
420,000
330,000
468,219,008
12/31/03
HUFFY CORP
225463
3949
4
1
460,000
258,518
292,971,008
12/31/03
PASSUR Aerospace, Inc.
225628
3812
2
1
119,000
2,150
4,533,279
10/31/03
COVANTA HOLDING CORP
225648
4991
2
1
844,790
699,594
162,648,000
12/31/03
COMDIAL CORP
230131
3661
2
1
295,976
1,500
30,194,000
12/31/03
SELECTIVE INSURANCE GROUP INC
230557
6331
4
1
646,000
151,000
3,438,782,000
12/31/03
BAYLAKE CORP
275119
6022
165
0
53,407
48,618
975,238,016
12/31/03
CONNECTICUT WATER SERVICE INC / CT
276209
4941
1
1
103,400
40,100
277,546,000
12/31/03
EVANS & SUTHERLAND COMPUTER CORP
276283
3690
4
1
399,000
197,000
93,382,000
12/31/03
BANCINSURANCE CORP
276400
6331
2
1
87,650
59,792
115,870,000
12/31/03
W.W. GRAINGER, INC.
277135
5000
6
0
615,063
202,411
2,624,678,000
12/31/03
SEMCO ENERGY INC
277158
4924
1
1
812,250
113,400
951,219,008
12/31/03
FEDERAL SIGNAL CORP /DE/
277509
3711
2
1
740,000
350,000
1,186,409,000
12/31/03
DAVEY TREE EXPERT CO
277638
700
2
1
220,300
266,400
166,837,000
12/31/03
American Retail Group, Inc.
277905
7372
268
0
12,000
8,215
15,837,800
12/31/03
CSX CORP
277948
4011
2
1
3,430,000
1,014,000
21,760,000,000
12/31/03
INTERNATIONAL SHIPHOLDING CORP
278041
4412
2
1
257,000
69,700
382,451,008
12/31/03
SYMBOL TECHNOLOGIES INC
278352
3577
3
1
3,367,000
10,577,700
1,646,520,064
12/31/03
SENSIENT TECHNOLOGIES CORP
310142
2860
3
1
1,455,000
829,000
1,453,528,000
12/31/03
Merck & Co., Inc.
310158
2834
3
1
4,743,000
1,208,500
15,102,000,000
12/31/03
COMMONWEALTH TELEPHONE ENTERPRISES INC /NEW/
310433
4813
1
1
359,500
64,300
851,652,992
12/31/03
ANHEUSER-BUSCH COMPANIES, LLC
310569
2082
1
1
3,100,000
2,700,000
14,689,500,160
12/31/03
AMERICAN MANAGEMENT SYSTEMS INC
310624
7370
3
1
973,271
1,167,200
611,534,016
12/31/03
STRYKER CORP
310764
3841
2
1
2,567,000
1,112,000
3,159,100,000
12/31/03
OPTICARE HEALTH SYSTEMS INC
311046
8093
3
1
401,200
176,200
45,855,000
12/31/03
WESTAMERICA BANCORPORATION
311094
6021
4
1
385,000
8,000
4,576,385,000
12/31/03
MICRO THERAPEUTICS INC
311407
3841
1
1
499,000
90,000
62,264,000
12/31/03
PRE PAID LEGAL SERVICES INC
311657
7200
6
0
313,531
33,814
131,012,000
12/31/03
HMG COURTLAND PROPERTIES INC
311817
6798
612
0
56,000
23,222
26,299,729
12/31/03
POPE & TALBOT INC /DE/
311871
2611
4
1
360,950
401,950
539,562,000
12/31/03
FLORIDA GAMING CORP
312065
7990
451
0
41,700
10,983
17,107,900
12/31/03
TXCO Resources Inc
313395
1311
221
0
62,950
28,975
84,206,200
12/31/03
DANAHER CORP /DE/
313616
3823
2
1
2,722,690
2,038,200
6,890,050,000
12/31/03
HARDINGE INC
313716
3541
2
1
368,000
222,000
245,707,008
12/31/03
CHURCH & DWIGHT CO INC /DE/
313927
2840
3
1
1,051,080
643,550
1,119,617,000
12/31/03
SECURITY CAPITAL CORP/DE/
314340
6411
2
1
650,150
590,500
123,138,000
12/31/03
FIRST BUSEY CORP /NV/
314489
6022
10
0
126,875
56,584
1,522,084,000
12/31/03
ROBERT HALF INTERNATIONAL INC.
315213
7363
1
1
503,000
22,000
979,903,000
12/31/03
HURCO COMPANIES INC
315374
3823
1
1
301,600
42,600
57,958,000
10/31/03
INTERNATIONAL BANCSHARES CORP
315709
6022
4
1
267,120
221,271
6,578,310,000
12/31/03
SOUTHWEST GEORGIA FINANCIAL CORP
315849
6022
261
0
53,800
19,340
246,152,997
12/31/03
BBX Capital Corp
315858
6500
1
1
64,000
0
5,135,444,000
12/31/03
KENT FINANCIAL SERVICES INC
316028
6211
39
0
33,600
8,000
11,497,000
12/31/03
EXCO RESOURCES INC
316300
1311
1
1
151,000
55,000
505,030,000
12/31/03
Central Pacific Financial Corp.
316312
6022
4
1
273,000
72,450
1,903,660,032
12/31/03
AVOCA INC
316537
6792
382
0
16,862
3,162
5,669,469
12/31/03
TERAFORCE TECHNOLOGY CORP
316672
3576
6
0
97,000
35,000
5,348,000
12/31/03
SCHWAB CHARLES CORP
316709
6211
3
1
4,700,000
3,400,000
45,866,000,000
12/31/03
PROVIDENT FINANCIAL GROUP INC
316770
6022
2
1
1,006,000
253,000
17,017,499,648
12/31/03
Coca-Cola Consolidated, Inc.
317540
2086
1
1
384,733
214,699
1,349,920,000
12/28/03
TELLABS INC
317771
3661
2
1
906,000
391,000
2,607,500,032
1/2/04
Digital Turbine, Inc.
317788
6794
415
0
30,000
0
1,479,000
12/31/03
PRIMA ENERGY CORP
318107
1311
3
1
90,500
19,000
177,216,992
12/31/03
AMGEN INC
318154
2836
2
1
2,215,000
2,390,000
26,176,500,000
12/31/03
MDI, INC.
318259
3861
6
0
319,000
197,000
25,836,000
12/31/03
PEOPLES BANCORP INC
318300
6022
2
1
255,910
142,660
1,736,104,000
12/31/03
ABEONA THERAPEUTICS INC.
318306
2834
6
0
39,000
18,000
11,811,000
12/31/03
PUBLIC STORAGE INC /CA
318380
6798
2
1
369,400
615,700
4,968,070,144
12/31/03
SECURITY NATIONAL FINANCIAL CORP
318673
6199
198
0
224,000
15,000
316,909,584
12/31/03
GENENTECH INC
318771
2834
2
1
837,960
694,560
8,736,169,984
12/31/03
IRIS INTERNATIONAL INC
319240
3826
7
0
119,764
71,253
32,480,400
12/31/03
SEARS ROEBUCK & CO
319256
5311
3
1
4,601,000
5,026,000
27,722,999,808
1/3/04
MAXWELL TECHNOLOGIES INC
319815
3690
3
1
214,000
80,000
63,013,000
12/31/03
TELOS CORP
320121
7373
1
1
198,300
48,431
33,611,000
12/31/03
GREY WOLF INC
320186
1381
4
1
296,140
93,085
529,078,016
12/31/03
Apple Inc.
320193
3571
4
1
3,028,000
1,161,700
6,815,000,000
9/27/03
HANOVER DIRECT INC
320333
5961
4
1
814,500
148,000
114,796,000
12/27/03
GLOBE LIFE INC.
320335
6311
3
1
1,195,540
785,748
13,465,500,000
12/31/03
INTELLIGENT SYSTEMS CORP
320340
7372
7
0
92,905
0
13,742,000
12/31/03
INTER TEL (DELAWARE), INC
350066
3661
2
1
258,000
46,000
359,876,000
12/31/03
UNITED SYSTEMS TECHNOLOGY INC
350194
7372
74
0
21,500
9,800
4,952,080
12/31/03
CACHE INC
350199
5621
4
1
149,500
193,939
104,067,000
12/27/03
PHI Group, Inc./DE
350403
4522
3
1
229,000
1,121,000
377,454,000
12/31/03
PLAINS RESOURCES INC
350426
5172
1
1
95,000
0
176,048,000
12/31/03
TECO ENERGY INC
350563
4911
1
1
1,456,500
234,974
10,462,300,160
12/31/03
DELPHAX TECHNOLOGIES INC
350692
3555
2
1
251,429
37,074
37,072,000
9/30/03
AUTONATION, INC.
350698
5500
4
1
1,955,000
1,805,000
8,823,100,000
12/31/03
OCEAN BIO CHEM INC
350737
2842
211
0
40,300
0
18,303,184
12/31/03
BAIRNCO CORP /DE/
350750
2821
2
1
160,100
46,200
118,229,000
12/31/03
SUPREME INDUSTRIES INC
350846
3713
8
0
140,290
180,318
106,651,000
12/27/03
RIGGS NATIONAL CORP
350847
6021
4
1
443,500
3,915,700
6,369,560,064
12/31/03
COMMUNITY TRUST BANCORP INC /KY/
350852
6022
3
1
184,475
59,525
2,474,039,000
12/31/03
SEI INVESTMENTS CO
350894
6211
1
1
663,000
519,059
592,629,000
12/31/03
THORATEC CORP
350907
3845
3
1
552,000
75,000
476,131,008
1/3/04
CITIZENS REPUBLIC BANCORP, INC.
351077
6021
2
1
672,800
131,843
7,711,070,208
12/31/03
INTERGRAPH CORP
351145
7373
2
1
1,422,000
507,000
572,443,008
12/31/03
Ameris Bancorp
351569
6022
78
0
227,500
104,000
1,168,044,000
12/31/03
ADVANCED NEUROMODULATION SYSTEMS INC
351721
3841
2
1
236,400
156,110
194,806,000
12/31/03
SILVERBOW RESOURCES, INC.
351817
1311
2
1
483,700
201,000
861,054,932
12/31/03
DATA I/O CORP
351998
3825
6
0
132,600
26,775
18,100,000
12/31/03
Kate Spade & Co
352363
2330
3
1
1,828,000
1,381,000
2,607,000,064
12/31/03
NORTH FORK BANCORPORATION INC
352510
6022
4
1
885,550
141,350
20,961,599,488
12/31/03
ALLIANT ENERGY CORP
352541
4931
3
1
2,293,000
821,000
7,775,446,000
12/31/03
UNIGENE LABORATORIES INC
352747
2833
6
0
113,000
0
5,066,629
12/31/03
IOMEGA CORP
352789
3572
2
1
831,172
367,383
292,529,984
12/31/03
FOSTER L B CO
352825
5051
2
1
173,995
98,997
131,159,000
12/31/03
UNIVERSAL HEALTH SERVICES INC
352915
8062
4
1
806,400
449,010
2,772,730,000
12/31/03
ENGELHARD CORP
352947
2810
2
1
3,092,000
3,609,000
2,932,999,936
12/31/03
Teligent, Inc.
352998
2834
4
1
78,500
0
5,024,000
12/31/03
Aegion Corp
353020
1623
1
1
613,975
414,592
508,360,000
12/31/03
NORTH VALLEY BANCORP
353191
6022
149
0
124,900
52,210
677,692,992
12/31/03
OMNICARE INC
353230
5912
1
1
1,599,000
4,899,000
3,395,020,032
12/31/03
SOUTHEASTERN BANKING CORP
353386
6022
78
0
75,500
11,489
374,367,734
12/31/03
ICO INC
353567
3089
1
1
581,000
267,000
145,260,992
9/30/03
QUIDEL CORP /DE/
353569
2835
2
1
539,388
251,725
117,425,000
12/31/03
BWC FINANCIAL CORP
353650
6022
13
0
60,750
14,650
457,156,000
12/31/03
Arthur J. Gallagher & Co.
354190
6411
2
1
919,000
900,000
2,901,600,000
12/31/03
COMMERCIAL BANKSHARES INC
354562
6022
1
1
110,000
21,150
786,179,008
12/31/03
THACKERAY CORP
354639
6500
111
0
45,000
4,000
3,310,000
12/31/03
CVB FINANCIAL CORP
354647
6022
3
1
190,000
14,000
3,854,349,000
12/31/03
HAWAIIAN ELECTRIC INDUSTRIES INC
354707
4911
4
1
1,026,000
378,000
9,201,158,000
12/31/03
INTERNATIONAL LOTTERY & TOTALIZATOR SYSTEMS INC
354813
3578
6
0
153,000
32,000
17,370,000
4/30/03
FIRSTMERIT CORP /OH/
354869
6021
1
1
617,870
8,100
10,473,600,000
12/31/03
FLIR SYSTEMS INC
354908
3812
4
1
712,000
449,000
450,423,000
12/31/03
INTERDIGITAL INC.
354913
6794
1
1
233,000
288,000
205,164,992
12/31/03
SHENANDOAH TELECOMMUNICATIONS CO/VA/
354963
4813
4
1
200,000
65,200
185,364,000
12/31/03
ESSEX CORP
355199
8711
129
0
32,000
52,000
39,725,700
12/28/03
PROTECTIVE LIFE CORP
355429
6311
1
1
1,800,000
1,400,000
24,573,999,104
12/31/03
RYANS RESTAURANT GROUP INC
355622
5812
4
1
86,500
8,400
651,689,024
12/31/03
Hallwood Group Inc
355766
2221
3
1
324,415
92,901
83,554,000
12/31/03
GENTEX CORP
355811
3714
2
1
174,928
67,267
762,529,766
12/31/03
ESSENDANT INC
355999
5110
2
1
617,842
363,890
1,295,010,000
12/31/03
BELO CORP
356080
4833
2
1
523,600
295,730
3,602,599,936
12/31/03
TRICO BANCSHARES /
356171
6022
4
1
177,750
42,400
1,468,755,000
12/31/03
Gold Merger Sub, LLC
356213
7011
3
1
633,529
291,240
957,102,016
12/31/03
NEVADA CHEMICALS INC
356342
2890
198
0
17,000
35,453
25,264,000
12/31/03
PURE WORLD INC
356446
2833
3
1
92,268
0
22,572,000
12/31/03
FIRST REGIONAL BANCORP
356708
6022
3
1
145,000
50,420
775,302,016
12/31/03
ABIGAIL ADAMS NATIONAL BANCORP INC
356809
6021
10
0
65,000
4,500
231,906,000
12/31/03
Fibrocell Science, Inc.
357097
2834
105
0
80,000
3,500
19,644,465
12/31/03
ISC8 INC. /DE
357108
7373
6
0
259,700
7,200
8,455,600
9/28/03
OLD SECOND BANCORP INC
357173
6022
2
1
190,000
122,150
1,838,844,000
12/31/03
PACIFIC CAPITAL BANCORP /CA/
357264
6022
1
1
1,139,060
300,745
4,859,630,080
12/31/03
HOVNANIAN ENTERPRISES INC
357294
1531
2
1
1,006,000
371,000
2,332,371,000
10/31/03
TRUSTCO BANK CORP N Y
357301
6022
4
1
212,000
313,265
2,778,119,000
12/31/03
FULTON FINANCIAL CORP
700564
6021
4
1
372,500
297,224
9,767,288,000
12/31/03
FIRST MID BANCSHARES, INC.
700565
6022
4
1
103,100
29,548
793,645,000
12/31/03
AMERICAN MEDICAL ALERT CORP
700721
7380
49
0
135,000
46,400
17,936,600
12/31/03
NATIONAL PENN BANCSHARES INC
700733
6021
6
0
319,318
32,000
3,512,570,112
12/31/03
RCM TECHNOLOGIES INC
700841
7363
6
0
139,000
63,500
99,703,589
12/31/03
SUSQUEHANNA BANCSHARES INC
700863
6021
1
1
402,975
529,055
5,953,110,016
12/31/03
Cigna Holding Co
701221
6324
1
1
7,108,000
3,758,000
90,992,000,000
12/31/03
ATRION CORP
701288
3841
6
0
91,644
36,845
60,050,000
12/31/03
US AIRWAYS GROUP INC
701345
4512
4
1
2,015,000
1,459,880
8,554,999,808
12/31/03
CENTRAL PACIFIC FINANCIAL CORP
701347
6022
4
1
405,600
152,250
2,170,268,000
12/31/03
Six Flags Entertainment Corp
701374
7990
4
1
941,000
652,800
4,674,716,000
12/31/03
AVIALL INC
701650
5080
1
1
540,654
704,767
691,192,000
12/31/03
Envela Corp
701719
5944
1389
0
54,550
7,500
11,071,529
12/31/03
MENTOR GRAPHICS CORP
701811
7373
4
1
1,080,420
523,195
940,688,000
12/31/03
BANCORPSOUTH INC
701853
6022
4
1
457,650
216,365
10,305,035,000
12/31/03
INDEPENDENCE HOLDING CO
701869
6311
4
1
815,300
57,600
898,302,000
12/31/03
NORFOLK SOUTHERN CORP
702165
4011
4
1
1,446,000
554,616
20,596,000,000
12/31/03
DIAGNOSTIC PRODUCTS CORP
702259
3841
3
1
871,500
972,000
487,582,016
12/31/03
FIRST MIDWEST BANCORP INC
702325
6021
2
1
302,000
187,801
6,906,658,000
12/31/03
Bank of Commerce Holdings
702513
6022
3
1
166,125
0
401,157,652
12/31/03
HARLEYSVILLE NATIONAL CORP
702902
6021
6
0
198,115
191,527
2,510,939,904
12/31/03
FIRST FARMERS & MERCHANTS CORP
703329
6022
325
0
83,854
15,082
828,813,000
12/31/03
LSI CORP
703360
3674
1
1
1,760,000
1,800,000
3,447,899,904
12/31/03
HUDSON UNITED BANCORP
703559
6022
2
1
622,400
455,396
8,100,660,224
12/31/03
LAWSON PRODUCTS INC/NEW/DE/
703604
5080
2
1
360,050
242,258
246,943,000
12/31/03
SOUTHERN BANCSHARES NC INC
703904
6022
4
1
82,700
30,700
1,016,027,000
12/31/03
VBI VACCINES INC.
704159
2836
6
0
71,863
51,134
36,070,132
12/31/03
Onto Innovation Inc.
704532
3829
3
1
263,680
135,190
121,740,000
1/3/04
UNITED BANCORPORATION OF ALABAMA INC
704561
6022
4
1
87,000
30,303
254,979,150
12/31/03
DATAKEY INC
704914
3690
10
0
79,915
10,533
4,817,540
12/31/03
AMERICAN EDUCATION CORP
705003
7372
1115
0
24,000
7,800
9,810,550
12/31/03
PAB BANKSHARES INC
705200
6022
78
0
108,000
44,000
730,740,992
12/31/03
SOUTHSIDE BANCSHARES INC
705432
6022
1
1
137,328
61,096
1,454,952,000
12/31/03
OMEGA FINANCIAL CORP /PA/
705671
6021
2
1
247,540
86,455
1,140,169,984
12/31/03
FILENET CORP
706015
7373
3
1
544,341
223,371
391,848,000
12/31/03
HORIZON BANCORP INC /IN/
706129
6022
11
0
89,700
6,640
757,071,000
12/31/03
AARON’S INC
706688
7359
2
1
296,317
153,570
555,292,000
12/31/03
UTAH MEDICAL PRODUCTS INC
706698
3841
198
0
43,660
26,075
49,694,000
12/31/03
UNION BANKSHARES INC
706863
6022
233
0
54,000
27,245
356,650,026
12/31/03
MERRIMAC INDUSTRIES INC
706864
3679
2
1
261,000
79,000
34,884,600
1/3/04
PALMETTO BANCSHARES INC
706874
6022
41
0
65,395
34,000
898,079,000
12/31/03
OLD NATIONAL BANCORP /IN/
707179
6021
1
1
805,202
12,963
9,353,896,000
12/31/03
REGENERX BIOPHARMACEUTICALS INC
707511
2834
19
0
22,500
12,500
1,109,818
12/31/03
BRITTON & KOONTZ CAPITAL CORP
707604
6021
362
0
27,600
580
374,406,016
12/31/03
AMERISERV FINANCIAL INC /PA/
707605
6021
3
1
287,600
157,400
1,147,886,000
12/31/03
USB HOLDING CO INC
707805
6022
3
1
309,720
51,527
2,906,459,904
12/31/03
PRINCETON NATIONAL BANCORP INC
707855
6021
4
1
111,500
19,900
609,737,000
12/31/03
UNITED COMMUNITY FINANCIAL CORP
707886
6036
8
0
138,400
47,819
2,073,833,000
12/31/03
SCIENTIFIC TECHNOLOGIES INC
708250
3827
1
1
187,000
58,000
37,680,000
12/31/03
CASS INFORMATION SYSTEMS INC
708781
7389
4
1
101,300
69,745
639,696,000
12/31/03
MCDERMOTT INTERNATIONAL INC
708819
3443
1
1
4,368,560
1,830,400
386,257,000
12/31/03
FIRST CITIZENS BANCORPORATION INC
708848
6022
1
1
248,110
91,611
4,301,459,968
12/31/03
FIRST FINANCIAL BANCORP /OH/
708955
6021
2
1
317,148
254,085
3,956,062,000
12/31/03
FARMERS NATIONAL BANC CORP /OH/
709337
6022
8
0
85,500
15,999
812,815,000
12/31/03
CAREMARK ULYSSES HOLDING CORP.
709878
6324
2
1
1,120,000
412,420
1,780,950,016
12/31/03
AXCESS INTERNATIONAL INC/TX
710597
7373
74
0
65,700
10,400
3,417,140
12/31/03
ALPHA TECHNOLOGIES GROUP INC
710807
3443
3
1
119,000
75,000
38,295,000
10/26/03
NIAGARA CORP
710976
3317
3
1
537,887
30,384
186,330,000
12/31/03
MAXTOR CORP
711039
3572
1
1
1,673,530
247,777
2,722,230,016
12/27/03
COOPER COMPANIES, INC.
711404
3851
4
1
873,400
3,349,300
705,564,000
10/31/03
Gadsden Properties, Inc.
711665
6500
4
1
201,000
15,000
22,752,731
12/31/03
FIRST MERCHANTS CORP
712534
6021
11
0
250,626
84,280
3,076,812,000
12/31/03
FIRST COMMONWEALTH FINANCIAL CORP /PA/
712537
6021
2
1
381,000
21,000
5,189,195,000
12/31/03
ONE LIBERTY PROPERTIES INC
712770
6798
2
1
94,750
113,500
259,089,000
12/31/03
ConnectOne Bancorp, Inc.
712771
6022
4
1
81,800
20,400
921,824,000
12/31/03
ELXSI CORP /DE//
712843
5812
459
0
105,000
15,000
74,305,000
12/31/03
FARMERS CAPITAL BANK CORP
713095
6021
8
0
123,500
41,835
1,318,565,000
12/31/03
PHARMOS CORP
713275
2834
1
1
353,000
80,000
69,622,482
12/31/03
DNB FINANCIAL CORP /PA/
713671
6021
4
1
91,000
31,000
409,013,000
12/31/03
PNC FINANCIAL SERVICES GROUP, INC.
713676
6021
3
1
6,972,690
2,734,580
68,168,000,000
12/31/03
SUN BANCORP INC
713975
6022
1
1
108,900
147,958
1,027,840,000
12/31/03
VALLEY NATIONAL BANCORP
714310
6021
2
1
315,100
82,645
9,880,740,000
12/31/03
GERMAN AMERICAN BANCORP, INC.
714395
6022
8
0
105,000
168,906
925,946,000
12/31/03
NEWBRIDGE BANCORP
714530
6022
365
0
90,494
98,034
867,905,984
12/31/03
FIRST FINANCIAL CORP /IN/
714562
6022
8
0
135,675
96,691
2,223,057,000
12/31/03
DST SYSTEMS INC
714603
7374
1
1
1,968,760
3,818,190
3,198,599,936
12/31/03
JUNIATA VALLEY FINANCIAL CORP
714712
6022
122
0
69,002
31,071
387,780,000
12/31/03
AMCORE FINANCIAL INC
714756
6021
4
1
301,200
74,320
4,543,629,824
12/31/03
NATIONAL MERCANTILE BANCORP
714801
6022
2
1
112,808
0
355,206,016
12/31/03
RENASANT CORP
715072
6022
2
1
299,000
162,500
1,415,214,000
12/31/03
COMMERCE BANCORP INC /NJ/
715096
6021
2
1
1,210,500
107,634
22,712,199,168
12/31/03
WYNDHAM INTERNATIONAL INC
715273
7000
1
1
1,690,280
701,331
3,783,130,112
12/31/03
Anixa Biosciences Inc
715446
8071
6
0
120,448
0
2,330,491
10/31/03
ACNB CORP
715579
6022
291
0
153,405
21,780
872,731,000
12/31/03
HYTEK MICROSYSTEMS INC
715593
3674
2
1
120,000
19,000
5,483,060
1/3/04
INTERFACE INC
715787
2273
7
0
1,736,000
312,000
894,274,000
12/28/03
DOMINION ENERGY, INC
715957
4911
3
1
3,230,000
1,180,000
44,186,000,000
12/31/03
UNOCAL CORP
716039
1311
1
1
3,900,000
800,000
11,797,999,616
12/31/03
CYPRESS BIOSCIENCE INC
716054
2836
2
1
126,912
19,509
23,806,700
12/31/03
HYDROGEN POWER INC
716101
2810
271
0
209,000
40,000
26,257,800
12/31/03
CINCINNATI BELL INC
716133
4813
1
1
1,589,360
339,448
2,073,500,000
12/31/03
TEKNOWLEDGE CORP
716214
7371
6
0
152,796
22,552
8,050,670
12/31/03
FRONTIER FINANCIAL CORP /WA/
716457
6022
13
0
117,900
55,385
2,075,389,952
12/31/03
PENNS WOODS BANCORP INC
716605
6022
821
0
63,900
22,100
527,381,000
12/31/03
MICROWAVE FILTER CO INC /NY/
716688
3679
1
1
45,000
8,750
3,901,545
9/30/03
MI 2009 Inc.
716823
3559
2
1
1,408,000
335,000
711,500,032
12/31/03
WEST COAST BANCORP /NEW/OR/
717059
6022
3
1
237,000
83,200
1,662,880,000
12/31/03
CALTON INC
717216
1531
242
0
66,000
0
6,637,000
11/30/03
MSC SOFTWARE CORP
717238
7372
4
1
540,000
55,000
455,365,000
12/31/03
FIRST CHARTER CORP /NC/
717306
6021
4
1
282,480
460,236
4,206,690,048
12/31/03
MURPHY OIL CORP
717423
1311
4
1
698,500
272,072
4,712,647,000
12/31/03
ARROW FINANCIAL CORP
717538
6021
4
1
169,000
109,450
1,373,920,000
12/31/03
HEXCEL CORP /DE/
717605
2821
1
1
1,700,000
385,000
722,700,000
12/31/03
FIRST US BANCSHARES INC
717806
6022
2
1
156,260
33,715
567,187,911
12/31/03
FIRST OAK BROOK BANCSHARES INC
717837
6022
4
1
67,800
128,150
1,847,820,032
12/31/03
INTEGRAL SYSTEMS INC /MD/
718130
7373
2
1
188,900
57,300
122,793,000
9/30/03
COMMUNITY BANCORP /VT
718413
6021
55
0
59,200
27,693
330,742,407
12/31/03
TBC CORP
718449
5010
1
1
936,000
679,000
781,977,024
12/31/03
RADYNE CORP
718573
3663
4
1
213,000
53,000
50,609,000
12/31/03
FOOTHILL INDEPENDENT BANCORP
718903
6022
81
0
97,734
43,376
686,158,016
12/31/03
STAAR SURGICAL CO
718937
3851
7
0
406,000
131,000
47,219,000
1/2/04
INTEGRAL VISION INC
719152
3823
30
0
12,000
0
667,000
12/31/03
SCHAWK INC
719164
2790
2
1
338,000
277,000
159,691,008
12/31/03
ISRAMCO INC
719209
1311
110
0
105,670
66,146
32,614,000
12/31/03
S&T BANCORP INC
719220
6022
2
1
317,723
65,581
2,900,272,000
12/31/03
FIRST CITIZENS BANCSHARES INC /TN/
719264
6022
360
0
58,430
77,100
726,104,000
12/31/03
FIRST NATIONAL CORP /VA/
719402
6022
152
0
41,586
30,796
343,649,677
12/31/03
HECLA MINING CO/DE/
719413
1400
7
0
234,885
99,553
278,195,000
12/31/03
HYCOR BIOMEDICAL INC /DE/
719447
2835
3
1
119,650
84,245
18,632,400
12/31/03
Inrad Optics, Inc.
719494
3679
299
0
74,000
7,500
8,851,121
12/31/03
FIRST MANITOWOC BANCORP INC
719495
6022
26
0
83,735
24,825
581,953,000
12/31/03
CARDIODYNAMICS INTERNATIONAL CORP
719722
3845
4
1
68,500
4,000
26,648,000
11/30/03
HERITAGE BANKSHARES INC /VA
719731
6022
125
0
34,000
19,540
144,968,992
12/31/03
SVB FINANCIAL GROUP
719739
6022
4
1
1,767,710
678,185
4,465,370,000
12/31/03
MAINSOURCE FINANCIAL GROUP
720002
6022
8
0
118,000
180,012
1,442,729,984
12/31/03
LIFELINE SYSTEMS CO
720195
3663
1
1
163,575
155,951
101,467,000
12/31/03
AMTECH SYSTEMS INC
720500
3559
4
1
123,000
0
18,399,042
9/30/03
STIFEL FINANCIAL CORP
720672
6211
3
1
180,000
33,000
412,019,000
12/31/03
INVESTORS TITLE CO
720858
6361
3
1
125,840
35,400
100,471,811
12/31/03
SMITH INTERNATIONAL INC
721083
3533
3
1
1,611,500
105,000
3,097,050,112
12/31/03
TOTAL SYSTEM SERVICES INC
721683
7389
4
1
365,000
1,155,000
1,001,236,497
12/31/03
LAKELAND FINANCIAL CORP
721994
6022
8
0
130,175
44,305
1,271,414,000
12/31/03
NCT GROUP, INC.
722051
3690
121
0
272,000
65,000
12,775,000
12/31/03
TERRA INDUSTRIES INC
722079
2870
3
1
658,371
390,261
1,125,059,968
12/31/03
SAVIENT PHARMACEUTICALS INC
722104
2833
6
0
347,067
296,019
290,540,000
12/31/03
NORTECH SYSTEMS INC
722313
3679
4
1
131,000
0
31,580,790
12/31/03
HANGER, INC.
722723
8093
1
1
595,100
184,034
738,348,000
12/31/03
COMMUNITY BANK SYSTEM, INC.
723188
6021
1
1
252,000
445,546
3,855,397,000
12/31/03
MIDDLETON DOLL CO
723209
3942
16
0
91,275
3,561
102,204,337
12/31/03
HARTMARX CORP/DE
723371
2300
1
1
595,000
63,854
439,375,008
11/30/03
STATE BANCORP INC
723458
6022
3
1
197,450
113,087
1,440,999,936
12/31/03
FIRST CENTURY BANKSHARES INC
723594
6022
1
1
95,938
33,826
363,727,008
12/31/03
AVIS BUDGET GROUP, INC.
723612
7510
3
1
14,400,000
15,600,000
37,693,000,000
12/31/03
FRANKLIN FINANCIAL SERVICES CORP /PA/
723646
6022
122
0
72,687
29,223
549,702,000
12/31/03
MICROFLUIDICS INTERNATIONAL CORP
723889
3821
178
0
40,000
46,000
5,487,090
12/31/03
AMERICAN PHYSICIANS SERVICE GROUP INC
724024
6331
7
0
117,000
8,000
25,638,000
12/31/03
PANERA BREAD CO
724606
5812
1
1
222,000
256,452
245,943,008
12/27/03
MERISEL INC /DE/
724941
7389
3
1
106,525
169,922
67,212,000
12/31/03
CYTOGEN CORP
725058
2834
4
1
211,200
63,484
43,695,000
12/31/03
BELMONT BANCORP
726294
6021
8
0
83,750
110,200
299,475,008
12/31/03
TRIBUNE MEDIA CO
726513
4833
1
1
1,030,000
811,000
14,280,152,000
12/28/03
MERCHANTS BANCSHARES INC
726517
6022
4
1
144,000
52,725
969,902,016
12/31/03
CAPITAL CITY BANK GROUP INC
726601
6022
4
1
208,500
363,366
1,846,502,000
12/31/03
REALTY INCOME CORP
726728
6798
4
1
234,884
81,933
1,360,257,000
12/31/03
CAPITAL GOLD CORP
726845
1040
435
0
39,000
12,000
761,607
7/31/03
CITY HOLDING CO
726854
6021
2
1
321,495
184,086
2,214,430,000
12/31/03
AMERICANWEST BANCORPORATION
726990
6022
13
0
131,282
95,660
1,023,600,000
12/31/03
CADIZ INC
727273
4941
1
1
296,050
0
49,526,000
12/31/03
SAFEGUARD HEALTH ENTERPRISES INC
727303
6324
3
1
309,500
37,500
71,238,000
12/31/03
iSign Solutions Inc.
727634
7372
86
0
214,000
108,000
7,215,000
12/31/03
INTERPHASE CORP
728249
3576
1
1
128,000
0
30,743,000
12/31/03
COAST DISTRIBUTION SYSTEM INC
728303
5013
6
0
144,000
0
62,101,000
12/31/03
HUNT J B TRANSPORT SERVICES INC
728535
4213
4
1
410,077
249,946
1,347,071,000
12/31/03
QMED INC
729213
8090
39
0
80,500
0
12,918,311
11/30/03
PARKWAY PROPERTIES INC
729237
6798
2
1
112,500
105,740
802,307,968
12/31/03
FIRST FINANCIAL BANCORP /CA/
729502
6022
4
1
106,000
27,200
321,812,992
12/31/03
BEL FUSE INC /NJ
729580
3677
3
1
396,625
375,281
181,816,561
12/31/03
UNITED BANKSHARES INC/WV
729986
6022
2
1
433,411
229,966
6,378,999,000
12/31/03
COMM BANCORP INC
730030
6022
166
0
51,425
25,760
509,452,000
12/31/03
ALPHARMA INC
730469
2834
1
1
1,982,000
866,000
2,327,800,064
12/31/03
SEACOAST BANKING CORP OF FLORIDA
730708
6022
1
1
191,500
29,515
1,353,823,000
12/31/03
HEALTHCARE SERVICES GROUP INC
731012
8050
6
0
368,000
64,000
158,328,132
12/31/03
PRESIDENTIAL REALTY CORP/DE/
731245
6798
3
1
98,350
14,625
63,110,768
12/31/03
UNITED BANCORP INC /OH/
731653
6022
6
0
57,575
5,500
385,522,969
12/31/03
UNITEDHEALTH GROUP INC
731766
6324
3
1
6,853,000
3,671,000
17,634,000,000
12/31/03
AMPAL-AMERICAN ISRAEL CORP
731859
6799
1
1
223,000
152,800
354,367,000
12/31/03
TEMPLE INLAND INC
731939
2631
2
1
2,259,000
530,000
21,142,999,040
1/3/04
MULTIBAND CORP
732412
4813
16
0
100,929
18,855
13,902,900
12/31/03
HILLS BANCORPORATION
732417
6022
4
1
93,400
14,000
1,183,521,000
12/31/03
GENZYME CORP
732485
2836
1
1
2,853,000
1,610,000
5,004,530,176
12/31/03
VERIZON COMMUNICATIONS INC
732712
4813
2
1
8,800,000
10,300,000
165,968,000,000
12/31/03
AT&T INC.
732717
4813
2
1
22,200,000
10,700,000
100,166,000,000
12/31/03
TRANSCONTINENTAL REALTY INVESTORS INC
733590
6798
7
0
219,524
61,093
880,990,000
12/31/03
INTRUSION INC
736012
3576
117
0
41,000
124,451
5,760,000
12/31/03
COMPUCOM SYSTEMS INC
736291
5045
4
1
330,000
42,336
460,720,000
12/31/03
CNB FINANCIAL CORP/PA
736772
6022
8
0
81,800
11,100
701,752,000
12/31/03
LNB BANCORP INC
737210
6022
4
1
135,500
57,400
741,220,992
12/31/03
COVER ALL TECHNOLOGIES INC
737300
7372
101
0
93,000
31,542
5,484,960
12/31/03
WASHINGTON TRUST BANCORP INC
737468
6022
4
1
165,000
100,804
1,973,807,000
12/31/03
FIRST KEYSTONE CORP
737875
6022
343
0
71,300
5,700
481,840,000
12/31/03
CITIZENS FINANCIAL SERVICES INC
739421
6022
821
0
69,661
101,557
463,878,000
12/31/03
CANYON RESOURCES CORP
739460
1040
1
1
110,400
0
36,407,600
12/31/03
PENFORD CORP
739608
2040
2
1
329,989
881,504
250,892,992
8/31/03
KID BRANDS, INC
739878
3990
4
1
354,000
105,000
462,748,000
12/31/03
MEDTOX SCIENTIFIC INC
739944
8071
3
1
99,000
64,000
56,518,000
12/31/03
IOWA FIRST BANCSHARES CORP
740155
6022
10
0
83,722
51,806
372,414,000
12/31/03
Ventas, Inc.
740260
6798
2
1
219,725
115,855
812,850,000
12/31/03
R F INDUSTRIES LTD
740664
3678
22
0
76,859
19,418
8,608,090
10/31/03
KAYDON CORP
740694
3562
2
1
543,400
248,300
590,374,016
12/31/03
BROADCAST INTERNATIONAL INC
740726
7389
198
0
27,500
2,600
2,100,190
12/31/03
FLORIDA EAST COAST INDUSTRIES INC
740796
4011
4
1
300,902
34,000
1,008,350,016
12/31/03
F&M BANK CORP
740806
6022
212
0
35,500
4,685
309,126,460
12/31/03
TOWER BANCORP INC
740942
6022
301
0
32,197
32,907
300,737,984
12/31/03
OLD POINT FINANCIAL CORP
740971
6021
1466
0
50,800
30,250
645,915,000
12/31/03
iSatori, Inc.
741114
2020
6
0
43,800
0
1,920,100
6/30/03
MIDWESTONE FINANCIAL GROUP INC
741390
6022
4
1
109,700
112,968
623,305,984
12/31/03
AMISTAR CORP
741559
3559
7
0
61,250
0
10,412,944
12/31/03
HOOPER HOLMES INC
741815
8090
4
1
146,000
216,000
255,296,251
12/31/03
CADENCE FINANCIAL CORP
742054
6021
168
0
133,835
78,513
1,093,219,968
12/31/03
WESTBANK CORP
742070
6022
6
0
105,521
30,601
724,060,032
12/31/03
INVACARE CORP
742112
3842
2
1
1,399,000
1,241,000
1,108,213,000
12/31/03
US Ecology Holdings, Inc.
742126
4953
13
0
125,000
0
66,626,000
12/31/03
FIRST FRANKLIN CORP
742161
6036
57
0
66,811
5,160
273,401,984
12/31/03
RPC INC
742278
1389
2
1
215,500
286,000
226,750,000
12/31/03
XETA TECHNOLOGIES INC
742550
3661
6
0
80,500
0
50,672,700
10/31/03
FNB FINANCIAL SERVICES CORP
742679
6021
1
1
68,250
51,421
780,926,016
12/31/03
SPARTAN MOTORS INC
743238
3711
2
1
271,836
244,700
91,382,094
12/31/03
BAR HARBOR BANKSHARES
743367
6022
55
0
74,815
85,414
583,746,000
12/31/03
BOWATER INC
743368
2621
4
1
1,968,000
779,000
5,615,799,808
12/31/03
FIRST MCMINNVILLE CORP
743397
6021
337
0
92,855
7,595
304,399,000
12/31/03
ALFA CORP
743532
6331
4
1
402,499
1,034,220
2,045,069,952
12/31/03
MACROCHEM CORP
743884
2834
3
1
115,480
0
8,249,650
12/31/03
FIRST CHESTER COUNTY CORP
744126
6021
6
0
115,000
27,300
689,209,984
12/31/03
Celldex Therapeutics, Inc.
744218
2835
1
1
90,300
48,220
31,305,100
12/31/03
NORTHERN STATES FINANCIAL CORP /DE/
744485
6022
8
0
111,000
47,800
689,619,000
12/31/03
COMMERCIAL FEDERAL CORP
744778
6035
3
1
506,000
359,140
12,188,900,352
12/31/03
AMERICAN SHARED HOSPITAL SERVICES
744825
8071
13
0
68,750
61,300
46,304,000
12/31/03
INTERMET CORP
745287
3320
2
1
1,157,590
590,738
686,684,032
12/31/03
ST JOE CO
745308
6552
4
1
643,841
342,013
1,275,730,000
12/31/03
MONROE BANCORP
745456
6022
11
0
33,250
43,248
589,262,976
12/31/03
STATE FINANCIAL SERVICES CORP
745614
6022
2
1
208,225
84,486
1,452,930,048
12/31/03
HYPERFEED TECHNOLOGIES INC
745774
6200
4
1
172,000
35,000
9,714,260
12/31/03
MIDSOUTH BANCORP INC
745981
6021
3
1
57,400
6,600
432,914,305
12/31/03
UNIZAN FINANCIAL CORP
746481
6021
8
0
136,049
159,354
2,730,313,000
12/31/03
EXPEDITORS INTERNATIONAL OF WASHINGTON INC
746515
4731
4
1
951,725
40,000
1,040,847,000
12/31/03
UNISYS CORP
746838
7373
2
1
4,400,000
3,300,000
5,474,600,000
12/31/03
ALUF HOLDINGS, INC.
747435
7374
387
0
48,000
10,700
5,378,000
12/31/03
VERAMARK TECHNOLOGIES INC
747605
7372
3
1
75,270
7,264
9,353,220
12/31/03
MAXUS REALTY TRUST INC.
748580
6798
4
1
50,500
37,000
32,107,000
12/31/03
NTN BUZZTIME INC
748592
4833
4
1
276,000
0
20,630,000
12/31/03
Access to Money, Inc.
749254
7200
1
1
371,000
344,000
112,275,000
12/31/03
Celsion CORP
749647
2834
129
0
52,000
8,250
13,128,301
9/30/03
ICAD INC
749660
3841
7
0
71,550
46,323
62,662,136
12/31/03
BARRY R G CORP /OH/
749872
3140
4
1
433,300
299,730
61,280,000
1/3/04
WINLAND ELECTRONICS INC
749935
3823
10
0
87,000
9,185
9,634,122
12/31/03
SCIENTIFIC GAMES CORP
750004
7373
3
1
845,000
822,000
962,989,000
12/31/03
SUNTRUST BANKS INC
750556
6021
1
1
1,990,000
1,820,000
125,393,153,000
12/31/03
QNB CORP
750558
6022
4
1
88,800
21,165
550,831,000
12/31/03
AUBURN NATIONAL BANCORPORATION, INC
750574
6022
4
1
112,706
15,500
590,114,913
12/31/03
CAMDEN NATIONAL CORP
750686
6021
55
0
89,052
65,043
1,370,363,000
12/31/03
SEITEL INC
750813
1382
2
1
605,000
31,620
367,088,992
12/31/03
FISCHER IMAGING CORP
750901
3844
2
1
923,364
0
32,348,000
12/31/03
NATIONAL RETAIL PROPERTIES, INC.
751364
6798
4
1
151,800
118,800
1,208,310,000
12/31/03
DOMINION QUESTAR CORP
751652
4923
2
1
528,950
86,572
3,309,050,112
12/31/03
VICOR CORP
751978
3679
2
1
392,000
411,000
251,464,000
12/31/03
COMMUNITY BANCSHARES INC /DE/
752195
6022
88
0
300,000
81,103
558,555,008
12/31/03
UMH PROPERTIES, INC.
752642
6798
4
1
46,000
47,250
94,310,212
12/31/03
MCGRATH RENTCORP
752714
7359
6
0
143,050
46,568
323,858,000
12/31/03
AXION INTERNATIONAL HOLDINGS, INC.
753048
3086
4
1
158,000
23,500
11,780,000
9/30/03
NEXTERA ENERGY INC
753308
4911
3
1
1,388,000
2,154,000
26,935,000,000
12/31/03
MERCHANTS & MANUFACTURERS BANCORPORATION INC
753682
6022
10
0
328,434
291,150
1,144,519,936
12/31/03
SIERRA HEALTH SERVICES INC
754009
6324
3
1
948,000
121,000
1,134,119,936
12/31/03
BROOKTROUT INC
754516
3661
3
1
213,200
716,800
96,579,000
12/31/03
HABERSHAM BANCORP
754597
6022
4
1
148,825
32,675
374,977,783
12/31/03
SUFFOLK BANCORP
754673
6021
6
0
189,891
23,701
1,328,760,064
12/31/03
SCANA CORP
754737
4931
3
1
1,153,680
600,308
8,449,000,000
12/31/03
UNITIL CORP
755001
4931
6
0
174,674
63,320
483,877,000
12/31/03
PONIARD PHARMACEUTICALS, INC.
755806
2834
4
1
97,500
99,751
35,691,000
12/31/03
INTERCHANGE FINANCIAL SERVICES CORP /NJ/
755933
6021
3
1
266,020
47,550
1,385,869,952
12/31/03
SKYTERRA COMMUNICATIONS INC
756502
4899
4
1
230,500
117,200
98,099,000
12/31/03
HIGHLANDS BANKSHARES INC /WV/
756862
6022
212
0
49,620
71,230
301,168,000
12/31/03
USG CORP
757011
3270
3
1
1,064,000
1,161,000
3,799,000,000
12/31/03
NOVELL INC
758004
7372
2
1
2,320,000
2,633,000
1,567,650,048
10/31/03
CANANDAIGUA NATIONAL CORP
759458
6021
4
1
110,000
45,400
907,775,000
12/31/03
BERKSHIRE BANCORP INC /DE/
759718
6022
6
0
146,153
78,911
905,669,000
12/31/03
MAI SYSTEMS CORP
760436
7373
7
0
166,000
24,000
6,530,000
12/31/03
BANCFIRST CORP /OK/
760498
6021
2
1
141,000
0
2,921,369,000
12/31/03
CEDAR REALTY TRUST, INC.
761648
6798
2
1
1,669,050
139,000
341,307,000
12/31/03
PEOPLES BANCTRUST CO INC
762128
6022
1
1
175,000
31,000
778,580,992
12/31/03
CHEMUNG FINANCIAL CORP
763563
6022
4
1
144,300
73,930
747,209,483
12/31/03
GALLERY OF HISTORY INC
763730
5990
348
0
30,300
3,039
9,190,350
9/30/03
LCI INDUSTRIES
763744
3714
4
1
322,000
38,650
160,104,000
12/31/03
POPULAR INC
763901
6022
1
1
1,746,990
1,390,470
36,434,715,000
12/31/03
FIRST UNITED CORP/MD/
763907
6021
2
1
250,900
176,515
1,108,241,000
12/31/03
UNIVERSAL DETECTION TECHNOLOGY
763950
3823
385
0
59,138
18,843
1,262,893
12/31/03
SOUTH STATE Corp
764038
6022
294
0
165,886
66,149
1,197,692,000
12/31/03
CLEVELAND-CLIFFS INC.
764065
1000
2
1
627,000
105,000
895,200,000
12/31/03
ALTRIA GROUP, INC.
764180
2111
1
1
19,900,000
31,000,000
96,175,000,000
12/31/03
INTEGRA BANK CORP
764241
6022
1
1
361,500
122,816
2,958,289,920
12/31/03
GREEN BANKSHARES, INC.
764402
6022
8
0
151,440
33,121
1,108,519,936
12/31/03
CAS MEDICAL SYSTEMS INC
764579
3841
1
1
90,650
17,600
9,910,727
12/31/03
PINNACLE WEST CAPITAL CORP
764622
4911
3
1
2,467,660
2,291,820
9,536,378,000
12/31/03
SIONIX CORP
764667
3580
106
0
32,450
3,250
863,061
9/30/03
NORTH PITTSBURGH SYSTEMS INC
764765
4813
4
1
126,000
36,447
150,624,992
12/31/03
CommunityOne Bancorp
764811
6021
4
1
219,500
52,000
773,244,992
12/31/03
SEDONA CORP
764843
7372
10
0
133,919
34,500
832,000
12/31/03
First Bancorp, Inc /ME/
765207
6021
55
0
54,462
47,203
568,812,000
12/31/03
IMCLONE SYSTEMS INC
765258
2836
4
1
539,075
241,055
381,595,008
12/31/03
HEALTHPEAK PROPERTIES, INC.
765880
6798
2
1
674,500
106,000
3,035,957,000
12/31/03
ALASKA AIR GROUP, INC.
766421
4512
3
1
892,302
334,962
3,259,200,000
12/31/03
Enventis Corp
766561
4813
1
1
258,550
45,175
175,712,000
12/31/03
CAPSTEAD MORTGAGE CORP
766701
6798
2
1
190,500
57,083
2,554,322,000
12/31/03
WELLTOWER INC.
766704
6798
2
1
271,945
251,788
2,182,731,000
12/31/03
SJW GROUP
766829
4941
4
1
208,000
37,000
511,717,000
12/31/03
SB FINANCIAL GROUP, INC.
767405
6022
11
0
127,700
115,315
435,311,872
12/31/03
SEROLOGICALS CORP
767673
2836
3
1
503,000
105,000
358,177,984
12/28/03
Logicquest Technology, Inc.
768216
7389
161
0
24,251
3,000
770,573
12/31/03
ALTERA CORP
768251
3674
1
1
650,000
959,000
1,487,609,984
12/31/03
SYBASE INC
768262
7372
2
1
1,760,660
1,083,700
1,151,360,000
12/31/03
CYBEROPTICS CORP
768411
3827
1
1
118,000
149,000
47,926,000
12/31/03
RELIV INTERNATIONAL INC
768710
2834
2
1
212,500
78,480
24,680,916
12/31/03
BPO Management Services, Inc.
768892
7371
2
1
350,775
9,596
27,114,000
12/31/03
TrueBlue, Inc.
768899
7363
1
1
321,152
36,960
363,028,000
1/2/04
MIDDLEBY CORP
769520
3580
3
1
264,900
303,500
194,620,000
1/3/04
PEOPLES FINANCIAL CORP /MS/
770460
6022
323
0
98,000
34,000
579,666,832
12/31/03
BALLY TOTAL FITNESS HOLDING CORP
770944
7997
2
1
1,844,000
88,000
1,460,000,000
12/31/03
REEBOK INTERNATIONAL LTD
770949
3021
2
1
2,143,130
1,144,040
1,989,740,032
12/31/03
KOPIN CORP
771266
3674
3
1
206,208
48,102
174,820,469
12/31/03
ABM INDUSTRIES INC /DE/
771497
7340
4
1
950,170
1,029,700
795,983,000
10/31/03
BRUNSWICK BANCORP
771614
6022
300
0
54,554
24,100
120,768,800
12/31/03
ALABAMA AIRCRAFT INDUSTRIES, INC
771729
3721
2
1
1,543,880
88,576
104,614,000
12/31/03
DIAL GLOBAL, INC. /DE/
771950
4832
1
1
391,000
225,000
1,262,029,952
12/31/03
IVAX CORP
772197
2834
2
1
1,200,000
1,200,000
2,372,930,048
12/31/03
EDAC TECHNOLOGIES CORP
772572
3724
68
0
79,145
0
18,165,800
1/3/04
MDC HOLDINGS INC
773141
1531
2
1
443,171
78,886
1,969,800,000
12/31/03
INDYMAC BANCORP INC
773468
6035
2
1
1,025,000
1,176,000
13,240,399,872
12/31/03
HealthMarkets, Inc.
773660
6321
4
1
1,505,000
913,000
2,140,249,984
12/31/03
HONEYWELL INTERNATIONAL INC
773840
3724
1
1
14,200,000
16,740,000
29,344,000,000
12/31/03
GREATER COMMUNITY BANCORP
773845
6022
6
0
106,980
50,834
753,124,992
12/31/03
ANADARKO PETROLEUM CORP
773910
1311
4
1
1,941,000
1,081,000
20,546,000,000
12/31/03
CORTLAND BANCORP INC
774569
6035
334
0
77,600
22,170
438,392,000
12/31/03
ALLEGHANY CORP /DE
775368
6331
4
1
2,157,900
319,100
3,568,040,000
12/31/03
VIST FINANCIAL CORP
775662
6022
122
0
112,829
68,747
622,252,032
12/31/03
ROCK CREEK PHARMACEUTICALS, INC.
776008
2833
242
0
162,126
242,384
60,305,459
12/31/03
RES CARE INC /KY/
776325
8050
4
1
675,156
18,000
503,025,984
12/31/03
INDEPENDENT BANK CORP
776901
6022
4
1
210,000
113,000
2,436,755,000
12/31/03
BEAR STEARNS COMPANIES INC
777001
6211
3
1
5,800,000
10,000,000
212,167,999,488
11/30/03
CH2M HILL COMPANIES LTD
777491
8711
4
1
798,000
1,291,000
748,666,000
12/31/03
Pacific Ethanol, Inc.
778164
2860
454
0
51,500
1,939
5,481,930
12/31/03
ARLINGTON HOSPITALITY INC
778423
7011
4
1
219,000
78,000
99,713,400
12/31/03
AEGIS COMMUNICATIONS GROUP INC
778426
7389
7
0
197,040
133,054
50,294,000
12/31/03
FIRSTBANK CORP
778972
6022
8
0
101,300
55,275
776,499,968
12/31/03
CNB CORP /MI/
779125
6021
8
0
50,954
8,000
254,406,000
12/31/03
ARK RESTAURANTS CORP
779544
5812
3
1
216,000
95,000
43,635,000
9/27/03
NATIONWIDE HEALTH PROPERTIES, LLC
780053
6798
2
1
350,615
217,730
1,384,560,000
12/31/03
ITRON, INC.
780571
3825
3
1
757,563
2,272,620
303,489,000
12/31/03
GLEACHER & COMPANY, INC.
782842
6211
1
1
274,525
230,179
385,183,000
12/31/03
DUKE REALTY CORP
783280
6798
4
1
661,163
17,000
5,561,249,000
12/31/03
WEC ENERGY GROUP, INC.
783325
4931
3
1
1,032,880
461,226
10,025,700,000
12/31/03
BANCTRUST FINANCIAL GROUP INC
783739
6021
4
1
206,000
184,848
1,076,899,968
12/31/03
CRYOLIFE INC
784199
3841
3
1
240,000
291,000
75,027,000
12/31/03
MID WISCONSIN FINANCIAL SERVICES INC
785024
6022
26
0
65,700
40,210
375,224,992
12/31/03
Encompass Health Corp
785161
8060
1
1
4,356,000
8,461,000
4,196,258,000
12/31/03
DURATEK INC
785186
4955
4
1
330,000
681,000
283,144,000
12/31/03
GAINSCO INC
786344
6331
4
1
257,800
346,039
185,699,813
12/31/03
CIMETRIX INC
786620
7372
198
0
44,380
13,655
3,032,000
12/31/03
BUTLER INTERNATIONAL INC /MD/
786765
7363
3
1
295,000
160,000
98,566,000
12/31/03
ACURA PHARMACEUTICALS, INC
786947
2834
6
0
150,623
87,856
5,680,000
12/31/03
TEXAS REGIONAL BANCSHARES INC
787648
6022
4
1
313,146
189,700
4,217,939,968
12/31/03
AMERICAN RETIREMENT CORP
787784
8051
4
1
365,000
404,100
715,035,008
12/31/03
MIKRON INFRARED INC
787809
3823
7
0
107,000
95,300
19,350,300
10/31/03
YARDVILLE NATIONAL BANCORP
787849
6021
4
1
208,500
67,200
2,431,190,016
12/31/03
WAYNE BANCORP INC /OH/
788134
6022
8
0
68,800
66,960
827,283,008
12/31/03
PUBLIC SERVICE ENTERPRISE GROUP INC
788784
4931
3
1
4,803,280
1,679,080
28,055,000,000
12/31/03
PENNICHUCK CORP
788885
4941
1
1
148,041
34,900
97,210,000
12/31/03
Beam Suntory Inc.
789073
2080
1
1
3,528,000
3,145,000
7,444,899,840
12/31/03
SPECTRANETICS CORP
789132
3845
4
1
100,250
37,200
26,082,000
12/31/03
CALIFORNIA PIZZA KITCHEN, INC.
789356
5812
2
1
155,000
138,500
185,584,992
12/28/03
SUNGARD DATA SYSTEMS INC
789388
7374
1
1
2,802,000
1,627,000
4,000,110,080
12/31/03
MGM Resorts International
789570
7011
3
1
710,000
669,000
10,709,710,000
12/31/03
VITALSTREAM HOLDINGS INC
789851
7389
869
0
63,850
1,250
4,655,020
12/31/03
CAVALIER HOMES INC
789863
2451
3
1
235,000
279,000
98,533,000
12/31/03
SUB SURFACE WASTE MANAGEMENT OF DELAWARE INC
789887
4955
409
0
25,000
28,000
576,563
9/30/03
NACCO INDUSTRIES INC
789933
3630
2
1
2,500,000
300,000
1,839,800,000
12/31/03
Independence Resources PLC
789944
1311
7
0
180,000
54,000
4,627,000
12/31/03
CARLISLE COMPANIES INC
790051
3060
4
1
750,425
12,583
1,436,909,000
12/31/03
EMC CORP
790070
3572
1
1
2,676,700
2,777,120
14,092,900,352
12/31/03
NBT BANCORP INC
790359
6021
4
1
363,000
169,555
4,046,885,000
12/31/03
NATIONAL BANCSHARES CORP /OH/
790362
6021
8
0
60,550
27,830
301,248,992
12/31/03
TEKELEC
790705
3663
1
1
353,000
624,000
614,932,992
12/31/03
AMERON INTERNATIONAL CORP
790730
3270
3
1
1,207,000
985,000
533,492,000
11/30/03
X RITE INC
790818
3861
2
1
290,184
104,171
119,683,000
1/3/04
PENNROCK FINANCIAL SERVICES CORP
790988
6021
333
0
55,686
32,399
1,108,739,968
12/31/03
LONE STAR TECHNOLOGIES INC
791348
3317
3
1
490,556
69,630
575,600,000
12/31/03
SPORTSMANS GUIDE INC
791450
5961
6
0
69,120
38,798
63,822,000
12/31/03
ADVANCED BIOTHERAPY INC
791833
8731
180
0
35,800
1,243
3,090,310
12/31/03
CYPRESS SEMICONDUCTOR CORP /DE/
791915
3674
1
1
962,700
1,295,200
1,567,497,000
12/28/03
HARLEYSVILLE GROUP INC
792013
6331
4
1
505,000
75,938
2,680,389,888
12/31/03
ASTEC INDUSTRIES INC
792987
3531
2
1
574,657
415,505
320,956,465
12/31/03
WERNER ENTERPRISES INC
793074
4213
4
1
82,671
131,668
1,121,527,000
12/31/03
IGENE BIOTECHNOLOGY INC
793160
2870
129
0
25,750
3,000
539,989
12/31/03
BLUE DOLPHIN ENERGY CO
793306
1311
110
0
78,046
36,698
9,971,894
12/31/03
LXU Healthcare, Inc.
793523
3845
3
1
209,700
101,200
31,664,540
6/30/03
RESEARCH FRONTIERS INC
793524
6794
4
1
60,000
20,000
5,690,270
12/31/03
NAVIGATORS GROUP INC
793547
6331
4
1
942,443
504,822
1,379,458,000
12/31/03
HARLEY-DAVIDSON, INC.
793952
3751
2
1
1,015,100
1,348,800
4,923,088,000
12/31/03
ASA INTERNATIONAL LTD
793961
7373
236
0
55,000
0
17,798,600
12/31/03
CANTERBURY CONSULTING GROUP INC
794927
8200
498
0
83,500
24,500
11,938,500
11/30/03
KB HOME
795266
1531
2
1
946,000
222,000
4,235,859,000
11/30/03
WATTS WATER TECHNOLOGIES INC
795403
3490
4
1
1,022,350
317,707
838,643,000
12/31/03
THERAGENICS CORP
795551
3825
6
0
113,600
117,300
152,788,992
12/31/03
ALLIANCE FINANCIAL CORP /NY/
796317
6021
1
1
90,400
42,113
826,254,976
12/31/03
ADOBE INC.
796343
7372
4
1
1,561,100
731,700
1,555,045,000
11/28/03
PIONEER RAILCORP
796374
4011
10
0
116,896
90,383
33,721,900
12/31/03
ADELPHIA COMMUNICATIONS CORP
796486
4841
1
1
21,534,000
496,000
13,196,741,000
12/31/03
NATIONAL BANKSHARES INC
796534
6021
152
0
53,000
21,350
708,560,000
12/31/03
QUIPP INC
796577
3559
4
1
172,987
0
19,793,200
12/31/03
ANTS SOFTWARE INC
796655
7371
297
0
33,000
30,109
921,355
12/31/03
INTEREP NATIONAL RADIO SALES INC
796735
4832
2
1
285,000
10,000
108,241,000
12/31/03
HG Holdings, Inc.
797465
6798
1
1
129,672
173,873
164,203,000
12/31/03
OCCIDENTAL PETROLEUM CORP /DE/
797468
1311
4
1
5,629,000
1,073,000
18,168,000,000
12/31/03
SOUTH FINANCIAL GROUP INC
797871
6022
4
1
988,750
1,103,330
10,719,399,936
12/31/03
PAM TRANSPORTATION SERVICES INC
798287
4213
3
1
122,381
22,016
264,849,000
12/31/03
Centro NP LLC
798288
6798
1
1
291,600
0
3,554,639,872
12/31/03
FISERV INC
798354
7374
3
1
1,670,000
1,044,000
7,214,175,000
12/31/03
APPLIED INNOVATION INC
798399
3661
4
1
109,250
26,625
49,882,900
12/31/03
BRANDPARTNERS GROUP INC
798600
8742
107
0
171,500
0
35,833,700
12/31/03
UNIVERSAL HEALTH REALTY INCOME TRUST
798783
6798
4
1
198,380
151,170
194,291,000
12/31/03
FIRST CITIZENS BANCSHARES INC /DE/
798941
6022
4
1
450,750
312,600
12,559,908,000
12/31/03
UNIT CORP
798949
1311
1
1
177,920
45,700
712,925,000
12/31/03
ASCENTIAL SOFTWARE CORP
799089
7372
1
1
1,019,000
334,000
966,078,976
12/31/03
SAN HOLDINGS INC
799097
3572
6
0
470,000
37,000
60,469,000
12/31/03
DAWSON GEOPHYSICAL CO
799165
1382
163
0
35,600
0
2,758,950
12/31/03
MASSBANK CORP
799166
6022
4
1
146,000
31,000
1,010,249,984
12/31/03
MARTEN TRANSPORT LTD
799167
4213
4
1
202,000
23,000
249,595,000
12/31/03
HEARTLAND EXPRESS INC
799233
4213
4
1
86,486
38,600
448,406,556
12/31/03
M/I HOMES, INC.
799292
1531
3
1
355,000
159,116
746,872,000
12/31/03
ARGONAUT GROUP INC
800082
6331
2
1
1,309,230
97,310
2,766,500,096
12/31/03
OFFICE DEPOT INC
800240
5940
3
1
2,664,000
4,094,470
6,145,242,000
12/27/03
DONEGAL GROUP INC
800457
6331
4
1
227,400
27,500
602,036,042
12/31/03
IBT BANCORP INC
801122
6022
361
0
62,360
42,356
629,529,984
12/31/03
WEBSTER FINANCIAL CORP
801337
6021
4
1
687,100
223,374
14,568,690,000
12/31/03
WARNACO GROUP INC /DE/
801351
2340
3
1
6,169,000
1,475,000
1,087,699,968
1/3/04
HEMACARE CORP /CA/
801748
8090
2
1
100,000
79,000
8,286,000
12/31/03
BRYN MAWR BANK CORP
802681
6022
1
1
185,970
162,631
604,848,000
12/31/03
ASSOCIATED MATERIALS, LLC
802967
3089
2
1
728,000
809,000
718,633,000
1/3/04
MERCHANTS GROUP INC
803027
6331
1
1
97,700
9,250
272,265,984
12/31/03
CHOICEONE FINANCIAL SERVICES INC
803164
6022
8
0
44,400
41,535
215,467,000
12/31/03
Equity Commonwealth
803649
6798
2
1
519,960
49,558
4,013,244,000
12/31/03
COCA-COLA REFRESHMENTS USA, INC.
804055
2086
2
1
3,721,300
1,275,800
25,699,999,744
12/31/03
AMERICAN LAND LEASE INC
804138
6798
2
1
185,000
110,000
247,096,000
12/31/03
Indian Hill Holdings Corp
804331
4813
68
0
38,575
16,350
5,291,000
12/31/03
CENTRAL VIRGINIA BANKSHARES INC
804561
6022
312
0
45,525
9,997
365,835,008
12/31/03
BENCHMARK BANKSHARES INC
804563
6022
339
0
37,050
6,081
283,886,361
12/31/03
CERNER Corp
804753
7373
4
1
326,000
165,000
859,340,000
1/3/04
ENVIRONMENTAL POWER CORP
805012
4991
3
1
149,500
21,590
103,154,368
12/31/03
GUNDLE SLT ENVIRONMENTAL INC
805023
3081
2
1
278,270
215,631
213,503,008
12/31/03
TECHTEAM GLOBAL INC
805054
7370
2
1
310,000
331,000
77,700,000
12/31/03
WEST SUBURBAN BANCORP INC
805080
6022
8
0
133,900
83,041
1,710,695,000
12/31/03
AXIALL CORP/DE/
805264
2821
3
1
419,455
122,874
856,785,024
12/31/03
QUIKSILVER INC
805305
2320
3
1
622,000
994,000
707,969,984
10/31/03
SIZELER PROPERTY INVESTORS INC
805419
6798
4
1
75,000
71,005
315,897,984
12/31/03
PARK NATIONAL CORP /OH/
805676
6021
2
1
148,000
13,186
5,034,956,000
12/31/03
Axogen, Inc.
805928
3845
6
0
78,668
8,240
2,690,650
12/31/03
EQUIFIN INC
806011
6153
22
0
70,460
10,000
16,864,000
12/31/03
LEHMAN BROTHERS HOLDINGS INC. PLAN TRUST
806085
6211
2
1
9,854,000
13,998,000
312,061,000,000
11/30/03
New Leaf Brands, Inc.
806175
2086
292
0
17,430
7,400
433,708
12/31/03
CODORUS VALLEY BANCORP INC
806279
6035
122
0
59,210
8,014
372,547,000
12/31/03
JLM COUTURE INC
806384
2330
107
0
69,114
0
10,551,414
10/31/03
Advanced Materials Group, Inc.
806514
3086
7
0
115,000
52,900
3,607,000
11/30/03
PSYCHEMEDICS CORP
806517
8071
2
1
111,899
49,538
7,266,991
12/31/03
NEWMIL BANCORP INC
807524
6036
1
1
131,424
63,709
704,041,984
12/31/03
VOXX International Corp
807707
5065
6
0
1,213,000
100,000
579,703,000
11/30/03
CASH AMERICA INTERNATIONAL INC
807884
5900
1
1
434,468
293,483
489,532,000
12/31/03
NORTH AMERICAN TECHNOLOGIES GROUP INC /TX/
808013
2860
110
0
77,873
77,873
12,710,600
12/31/03
MERITAGE HOSPITALITY GROUP INC
808219
5812
2
1
60,000
10,795
8,742,586
11/30/03
EMCORE CORP
808326
3674
3
1
209,000
209,000
232,439,000
9/30/03
GCI LIBERTY, INC.
808461
4813
4
1
231,001
64,551
763,020,000
12/31/03
MARGO CARIBE INC
808493
100
3
1
71,260
3,800
9,214,266
12/31/03
EDCI HOLDINGS, INC.
808918
3663
2
1
886,170
78,776
133,355,000
12/31/03
TRANSPORT CORPORATION OF AMERICA INC
809246
4213
4
1
140,500
8,000
165,268,000
12/31/03
FIDELITY NATIONAL FINANCIAL INC /DE/
809398
6361
4
1
2,424,000
1,000,000
7,295,340,032
12/31/03
VINTAGE PETROLEUM INC
809428
1311
2
1
640,808
1,201,940
1,446,840,064
12/31/03
TELENETICS CORP
810018
3661
202
0
85,162
27,780
10,349,600
12/31/03
MARITRANS INC /DE/
810113
4400
2
1
263,500
124,500
220,528,992
12/31/03
PHOTRONICS INC
810136
3674
3
1
545,000
1,173,000
865,540,000
11/2/03
MESA AIR GROUP INC
810332
4512
3
1
463,000
746,000
716,936,000
9/30/03
NAVIDEA BIOPHARMACEUTICALS, INC.
810509
2835
4
1
128,900
18,025
7,385,042
12/31/03
FIRSTFED FINANCIAL CORP
810536
6035
4
1
137,000
28,000
4,825,019,904
12/31/03
BANK OF GRANITE CORP
810689
6022
3
1
166,690
39,460
971,382,976
12/31/03
MINUTEMAN INTERNATIONAL INC
810876
3580
2
1
192,500
28,210
55,584,000
12/31/03
CITIZENS & NORTHERN CORP
810958
6022
28361
0
78,200
16,000
1,066,901,000
12/31/03
CMS ENERGY CORP
811156
4931
2
1
7,052,000
1,646,000
13,838,000,000
12/31/03
UNIVERSITY BANCORP INC /DE/
811211
6022
6
0
78,107
15,770
43,548,540
12/31/03
BIOLASE, INC
811240
3843
1
1
817,297
68,782
44,501,000
12/31/03
Natural Resources USA Corp
811419
1400
471
0
79,798
18,267
39,500,000
6/30/03
REVCARE INC
811510
6199
308
0
130,000
0
14,181,867
9/30/03
FIRST BANCORP /NC/
811589
6022
4
1
135,891
30,800
1,475,769,000
12/31/03
KAISER ALUMINUM CORP
811596
3350
3
1
1,499,630
389,877
1,623,500,000
12/31/03
COMMERCE GROUP INC /MA
811612
6331
1
1
380,000
33,720
3,164,229,888
12/31/03
IMMUCELL CORP /DE/
811641
2835
502
0
36,500
16,180
8,186,632
12/31/03
UST INC
811669
2100
2
1
1,048,000
185,000
1,726,489,984
12/31/03
STERLING FINANCIAL CORP /PA/
811671
6021
2
1
455,500
246,370
2,343,520,000
12/31/03
MultiCell Technologies, Inc.
811779
2834
22
0
52,124
7,504
3,730,653
11/30/03
SUMMIT FINANCIAL GROUP INC
811808
6022
272
0
171,000
29,000
791,465,204
12/31/03
ATLANTIS PLASTICS INC
811828
3081
2
1
326,750
158,793
185,698,000
12/31/03
O-I Glass, Inc. /DE/
812074
3221
2
1
4,960,000
1,496,000
9,531,300,000
12/31/03
REHABCARE GROUP INC
812191
8060
4
1
341,575
579,750
233,626,000
12/31/03
CENTURY BANCORP INC
812348
6022
4
1
136,000
77,450
1,688,911,000
12/31/03
ARCHON CORP
812482
7011
3
1
127,000
21,684
237,390,190
9/30/03
CALGON CARBON Corp
812701
2810
3
1
537,305
315,403
302,195,008
12/31/03
WELLMAN INC
812708
2820
2
1
727,600
904,700
1,117,069,952
12/31/03
MEDIALINK WORLDWIDE INC
812890
4899
4
1
260,000
10,000
36,711,900
12/31/03
FIRST HEALTH GROUP CORP
812910
6324
3
1
711,000
1,275,000
977,411,008
12/31/03
SEMELE GROUP INC
812914
6798
2
1
1,000,000
0
92,663,000
12/31/03
WESTCORP /CA/
813461
6035
2
1
437,000
507,205
14,615,900,160
12/31/03
SOUTHWALL TECHNOLOGIES INC /DE/
813619
3081
1
1
676,311
162,802
41,700,000
12/31/03
AMCOL INTERNATIONAL CORP
813621
1400
4
1
317,132
362,607
258,776,992
12/31/03
CITIZENS BANCSHARES CORP /GA/
813640
6022
3
1
212,403
48,500
360,597,766
12/31/03
CADENCE DESIGN SYSTEMS INC
813672
7372
4
1
2,982,000
1,002,000
2,817,902,000
1/3/04
CRIMSON EXPLORATION INC.
813779
1311
73
0
51,610
0
52,428,800
12/31/03
REPUBLIC BANCORP INC
813808
6022
2
1
370,500
87,250
5,353,690,112
12/31/03
ViacomCBS Inc.
813828
4833
1
1
8,335,350
4,042,860
90,225,500,000
12/31/03
CEC ENTERTAINMENT INC
813920
5812
3
1
257,890
56,000
580,351,000
12/28/03
AVITAR INC /DE/
814008
3842
7
0
118,330
12,350
3,667,844
9/30/03
YOUBET COM INC
814055
7990
7
0
121,231
24,950
18,852,100
12/31/03
PACE MEDICAL INC
814057
3845
3
1
35,500
6,900
2,187,073
12/31/03
CHAMPION ENTERPRISES INC
814068
2451
1
1
458,500
250,000
528,300,000
1/3/04
PROVENA FOODS INC
814139
2013
4
1
54,000
0
25,187,500
12/31/03
PENN TREATY AMERICAN CORP
814181
6321
1
1
670,460
144,750
1,145,479,936
12/31/03
TCF FINANCIAL CORP
814184
6021
4
1
774,000
227,050
11,319,015,000
12/31/03
LADISH CO INC
814250
3460
4
1
102,000
56,000
216,642,000
12/31/03
CNS INC /DE/
814258
3845
4
1
51,500
70,415
65,375,000
3/31/03
ARMANINO FOODS OF DISTINCTION INC /CO/
814339
2030
234
0
49,152
0
8,465,141
12/31/03
TIMBERLAND CO
814361
3140
3
1
912,000
907,800
641,715,968
12/31/03
NEWELL BRANDS INC.
814453
3089
2
1
5,200,000
3,300,000
7,480,700,000
12/31/03
HOME PRODUCTS INTERNATIONAL INC
814457
3089
4
1
218,000
42,000
180,275,000
12/27/03
EBIX INC
814549
7373
4
1
290,000
47,000
11,971,000
12/31/03
MBIA INC
814585
6351
1
1
1,685,000
1,260,000
30,267,734,000
12/31/03
Lifeway Foods, Inc.
814586
2020
92
0
41,500
4,701
17,744,636
12/31/03
BF ENTERPRISES INC
814856
6552
2
1
66,321
0
28,788,000
12/31/03
HILB ROGAL & HOBBS CO
814898
6411
2
1
587,000
167,000
1,049,230,016
12/31/03
PACIFICNET INC
815017
3669
344
0
50,650
3,200
7,173,000
12/31/03
CARNIVAL CORP
815097
4400
1
1
1,400,000
1,100,000
24,491,000,000
11/30/03
BIOPURE CORP
815508
2836
2
1
337,500
41,400
85,625,000
10/31/03
FASTENAL CO
815556
5200
4
1
290,500
17,650
651,543,000
12/31/03
NOVEN PHARMACEUTICALS INC
815838
2834
3
1
209,000
134,000
169,484,000
12/31/03
APPLIED IMAGING CORP
816066
3841
1
1
203,000
51,000
13,415,000
12/31/03
AIR METHODS CORP
816159
4522
4
1
216,500
103,070
214,007,008
12/31/03
CELGENE CORP /DE/
816284
2834
4
1
447,504
271,782
791,336,000
12/31/03
JB OXFORD HOLDINGS INC
816330
6200
2
1
174,026
5,335
262,904,992
12/31/03
CONMED CORP
816956
3845
1
1
368,365
321,529
805,058,000
12/31/03
ALARIS MEDICAL SYSTEMS INC
817161
3841
1
1
932,229
357,387
576,985,024
12/31/03
HERON THERAPEUTICS, INC. /DE/
818033
2834
2
1
149,745
25,000
13,155,000
12/31/03
ALL AMERICAN SEMICONDUCTOR INC
818074
5065
111
0
170,000
75,000
122,373,000
12/31/03
DENTSPLY SIRONA Inc.
818479
3843
1
1
1,544,720
618,635
2,445,587,000
12/31/03
Bitstream Inc.
818813
7371
1
1
105,000
36,400
7,011,000
12/31/03
PROVIDENT BANKSHARES CORP
818969
6022
4
1
280,100
36,150
5,207,849,984
12/31/03
Brickell Biotech, Inc.
819050
2836
4
1
116,041
46,903
110,707,000
12/31/03
CAM COMMERCE SOLUTIONS INC
819334
7373
2
1
74,060
45,100
15,941,000
9/30/03
MICRON SOLUTIONS INC /DE/
819689
3845
7
0
88,500
14,375
9,300,948
12/31/03
CHARTER ONE FINANCIAL INC
819692
6021
3
1
611,000
1,540,000
42,628,100,096
12/31/03
ALBANY INTERNATIONAL CORP /DE/
819793
2221
1
1
1,670,450
1,412,490
1,138,923,000
12/31/03
SUMMIT BANK CORP
820067
6022
4
1
104,600
61,815
477,144,992
12/31/03
CAMBREX CORP
820081
2834
1
1
1,070,960
189,695
778,503,000
12/31/03
AMPHENOL CORP /DE/
820313
3678
3
1
1,466,000
132,000
1,181,384,000
12/31/03
MOSAIC GLOBAL HOLDINGS INC.
820626
2870
2
1
1,263,000
1,986,000
3,670,700,032
12/31/03
ORBITAL SCIENCES CORP /DE/
820736
3663
1
1
654,820
153,048
439,300,000
12/31/03
ASHWORTH INC
820774
2320
4
1
214,459
107,425
106,036,000
10/31/03
Andersons, Inc.
821026
5150
1
1
432,300
557,700
492,619,000
12/31/03
BOSTON PRIVATE FINANCIAL HOLDINGS INC
821127
6022
4
1
623,312
193,860
2,196,297,000
12/31/03
EOG RESOURCES INC
821189
1311
3
1
509,688
185,342
4,749,015,000
12/31/03
WOLVERINE TUBE INC
821407
3350
2
1
764,000
537,000
553,257,984
12/31/03
PAR PACIFIC HOLDINGS, INC.
821483
1311
4
1
108,000
22,500
86,847,000
6/30/03
HUSA Liquidating Corp
821536
5990
7
0
252,600
136,600
66,183,400
12/27/03
BENTLEY PHARMACEUTICALS INC
821616
2834
3
1
349,648
46,000
100,463,000
12/31/03
JUNIPER PHARMACEUTICALS INC
821995
2834
107
0
90,200
0
42,479,649
12/31/03
IDM PHARMA, INC.
822206
2834
2
1
124,000
37,000
12,693,000
12/31/03
PULTEGROUP INC/MI/
822416
1531
2
1
1,518,270
842,402
8,063,352,000
12/31/03
FIDELITY SOUTHERN CORP
822662
6022
2
1
228,375
115,955
1,091,919,000
12/31/03
ZOOM TECHNOLOGIES INC
822708
3661
4
1
108,804
26,500
21,973,978
12/31/03
CLEAN HARBORS INC
822818
4955
1
1
1,391,000
310,595
540,159,000
12/31/03
YBCC, Inc.
822997
5080
879
0
42,095
39,882
395,176
12/31/03
SOTHEBYS
823094
7389
3
1
1,624,470
885,011
901,470,000
12/31/03
WASTE MANAGEMENT INC
823768
4953
2
1
11,100,000
3,800,000
20,656,000,000
12/31/03
APOGEE TECHNOLOGY INC
823876
3841
220
0
65,000
5,000
7,398,690
12/31/03
ATS MEDICAL INC
824068
3842
2
1
157,455
51,210
76,134,000
12/31/03
AAON, INC.
824142
3585
2
1
93,600
0
102,085,000
12/31/03
NEXTEL COMMUNICATIONS INC
824169
4812
3
1
2,978,000
13,931,000
20,509,999,104
12/31/03
CARAUSTAR INDUSTRIES INC
825692
2631
3
1
727,970
480,370
960,545,024
12/31/03
ORRSTOWN FINANCIAL SERVICES INC
826154
6022
301
0
23,175
1,100
472,393,000
12/31/03
DYNEX CAPITAL INC
826675
6798
3
1
302,406
44,050
1,865,235,000
12/31/03
Merriman Holdings, Inc
826683
6211
2
1
177,900
84,600
9,703,946
12/31/03
EDISON INTERNATIONAL
827052
4911
1
1
4,596,000
5,913,000
34,962,000,000
12/31/03
ZEVEX INTERNATIONAL INC
827056
3845
2
1
111,000
0
19,732,100
12/31/03
Sleep Number Corp
827187
2510
4
1
218,920
12,500
150,702,000
1/3/04
ROCKFORD CORP
828064
3651
2
1
371,149
692,404
112,083,000
12/31/03
COMMERCIAL NATIONAL FINANCIAL CORP /MI
828535
6022
8
0
47,200
43,450
239,788,000
12/31/03
FIRSTCITY FINANCIAL CORP
828678
6153
4
1
603,180
0
132,139,000
12/31/03
GSI COMMERCE INC
828750
5961
3
1
398,750
104,274
175,583,008
1/3/04
WEINGARTEN REALTY INVESTORS /TX/
828916
6798
3
1
487,800
354,200
2,923,794,000
12/31/03
WSFS FINANCIAL CORP
828944
6021
4
1
233,000
66,000
2,207,077,000
12/31/03
PICO HOLDINGS INC /NEW
830122
6500
3
1
469,733
334,428
330,897,267
12/31/03
LABONE INC/
830158
8071
4
1
151,350
149,081
237,622,000
12/31/03
OREGON STEEL MILLS INC
830260
3312
4
1
498,000
56,000
763,977,984
12/31/03
COUNTY BANK CORP
830480
6022
9
0
44,500
12,430
248,662,000
12/31/03
SCI Engineered Materials, Inc.
830616
3620
183
0
44,000
300
1,546,207
12/31/03
ALPHA INNOTECH CORP
830736
3826
74
0
25,562
5,150
1,490,000
12/31/03
PACIFIC OFFICE PROPERTIES TRUST, INC.
830748
6798
292
0
16,500
5,000
5,249,095
12/31/03
CITIGROUP INC
831001
6021
4
1
39,800,000
13,700,000
1,264,032,000,000
12/31/03
FRANKLIN CREDIT HOLDING CORP/DE/
831246
6199
3
1
320,000
65,000
476,732,992
12/31/03
FREEPORT-MCMORAN INC
831259
1000
2
1
966,500
394,665
4,718,366,000
12/31/03
SPECTRUM PHARMACEUTICALS INC
831547
2834
146
0
145,700
37,500
27,389,000
12/31/03
PROVIDENCE & WORCESTER RAILROAD CO/RI/
831968
4011
3
1
134,500
23,258
90,619,000
12/31/03
IDEX CORP /DE/
832101
3561
3
1
1,276,000
842,000
960,739,000
12/31/03
E.W. SCRIPPS Co
832428
4833
3
1
950,500
1,574,750
3,009,402,000
12/31/03
UTG INC
832480
6311
93
0
128,909
0
311,557,133
12/31/03
CONCORDE CAREER COLLEGES INC
832483
8200
11
0
68,000
32,000
52,686,000
12/31/03
KCS ENERGY INC
832820
1311
2
1
412,700
0
342,966,016
12/31/03
COMMUNITY CAPITAL CORP /SC/
832847
6021
41
0
71,660
56,170
412,759,008
12/31/03
GENLYTE GROUP INC
833076
3640
2
1
429,922
358,350
773,724,992
12/31/03
Meritage Homes CORP
833079
1531
4
1
459,089
540,491
954,539,000
12/31/03
PRIDE INTERNATIONAL INC
833081
1381
1
1
4,475,000
1,552,000
4,378,429,952
12/31/03
ENPATH MEDICAL, INC.
833140
3841
10
0
109,115
96,910
33,560,900
12/31/03
CIMA LABS INC
833298
2834
2
1
168,475
96,509
230,268,000
12/31/03
POWER INTEGRATIONS INC
833640
3674
4
1
229,650
0
211,162,000
12/31/03
HOMEFED CORP
833795
6500
1
1
87,500
4,000
217,010,000
12/31/03
Boots & Coots, Inc.
833845
3533
110
0
152,000
45,300
19,726,000
12/31/03
COLUMBIA BANCORP
834105
6022
4
1
89,100
40,485
1,029,249,984
12/31/03
MTR GAMING GROUP INC
834162
7011
2
1
402,562
226,429
280,540,992
12/31/03
REPUBLIC FIRST BANCORP INC
834285
6022
6
0
105,144
28,528
654,792,000
12/31/03
ALERE SAN DIEGO, INC.
834306
2835
2
1
265,000
350,000
194,624,000
12/31/03
COMMONWEALTH BANKSHARES INC
835012
6021
1466
0
79,141
49,729
318,295,008
12/31/03
Stock Yards Bancorp, Inc.
835324
6022
4
1
89,000
26,665
1,118,521,000
12/31/03
CLARION TECHNOLOGIES INC/DE/
835409
3714
7
0
127,125
19,900
67,703,000
12/27/03
CRT PROPERTIES INC
835664
6798
3
1
181,674
322,888
848,201,024
12/31/03
PROGENICS PHARMACEUTICALS INC
835887
2834
1
1
470,000
70,660
72,886,204
12/31/03
AMERICAN POWER CONVERSION CORP
835910
3620
4
1
1,759,450
76,663
1,805,970,048
12/31/03
NOVELLUS SYSTEMS INC
836106
3559
2
1
913,000
1,733,000
2,338,899,968
12/31/03
STRATFORD AMERICAN CORP
836435
1311
4
1
58,000
19,000
27,502,000
12/31/03
INNOVATIVE SOLUTIONS & SUPPORT INC
836690
7371
3
1
170,000
69,411
69,876,625
9/30/03
CORDIA CORP
837342
4813
200
0
64,760
0
1,637,217
12/31/03
CALLAWAY GOLF CO
837465
3949
3
1
730,000
579,000
748,566,000
12/31/03
VISX INC
837991
3845
4
1
259,000
673,000
163,963,008
12/31/03
TELVUE CORP
839443
3661
137
0
46,693
7,561
3,034,960
12/31/03
FMS FINANCIAL CORP
839845
6035
1
1
99,000
26,750
1,225,560,064
12/31/03
Warrior Energy Services CORP
839871
1389
6
0
239,671
57,009
41,401,429
12/31/03
CNB BANCORP INC /NY/
839928
6021
4
1
92,000
44,905
395,556,000
12/31/03
REDWOOD EMPIRE BANCORP
840007
6021
8
0
95,140
34,985
528,900,000
12/31/03
CALIFORNIA COASTAL COMMUNITIES INC
840216
1531
3
1
89,186
44,497
198,100,000
12/31/03
VINEYARD NATIONAL BANCORP
840256
6021
81
0
101,787
14,305
887,800,000
12/31/03
CAPITOL BANCORP LTD
840264
6021
7
0
376,206
74,860
2,737,060,096
12/31/03
GREAT LAKES BANCORP, INC.
840387
6036
3
1
520,800
782,769
363,936,000
12/31/03
BECKMAN COULTER INC
840467
3826
4
1
1,923,000
1,119,000
2,558,200,064
12/31/03
FIRSTCASH, INC
840489
5900
3
1
140,000
0
140,064,000
12/31/03
BTU INTERNATIONAL INC
840883
3559
257
0
91,000
31,150
25,654,000
12/31/03
FIRST LITCHFIELD FINANCIAL CORP
840886
6021
10
0
87,433
19,875
393,771,008
12/31/03
DORAL FINANCIAL CORP
840889
6029
1
1
815,000
470,000
10,394,000,384
12/31/03
AMS HEALTH SCIENCES INC
841866
5099
6
0
62,360
9,915
12,204,000
12/31/03
NTS MORTGAGE INCOME FUND
841942
6798
2
1
100,000
16,000
42,431,017
12/31/03
LEAR CORP
842162
3714
2
1
4,707,000
4,414,000
8,570,999,808
12/31/03
RPT Realty
842183
6798
3
1
349,745
317,726
826,979,000
12/31/03
AB HOLDING GROUP, INC.
842289
3089
13
0
102,928
31,565
11,544,300
12/31/03
TOR MINERALS INTERNATIONAL INC
842295
2810
2
1
186,802
6,950
25,542,000
12/31/03
LYONDELL CHEMICAL CO
842635
2860
1
1
1,896,000
1,168,000
7,632,999,936
12/31/03
FEDERAL TRUST CORP
842640
6035
179
0
62,500
9,000
468,198,016
12/31/03
YORK INTERNATIONAL CORP /DE/
842662
3585
4
1
4,851,000
2,396,000
2,673,139,968
12/31/03
PLAYTEX PRODUCTS INC
842699
2300
4
1
495,000
195,160
993,297,984
12/27/03
TETRA TECHNOLOGIES INC
844965
1311
2
1
484,363
54,879
309,599,000
12/31/03
PECO II INC
845072
1700
6
0
185,000
62,245
65,524,000
12/31/03
HARVEST NATURAL RESOURCES, INC.
845289
1311
1
1
498,000
374,800
374,348,000
12/31/03
CELL ROBOTICS INTERNATIONAL INC
845291
3826
6
0
57,000
13,850
1,088,060
12/31/03
INFOCUS CORP
845434
3577
4
1
677,000
460,000
366,097,984
12/31/03
ARMOR HOLDINGS INC
845752
3842
1
1
2,011,780
958,711
585,625,984
12/31/03
ABATIX CORP
845779
5084
4
1
61,800
0
16,341,800
12/31/03
RADIANT SYSTEMS INC
845818
7373
3
1
183,000
304,000
92,704,000
12/31/03
FEDERAL AGRICULTURAL MORTGAGE CORP
845877
6111
3
1
260,700
277,990
4,299,650,000
12/31/03
BREMER FINANCIAL CORP
846616
6021
3
1
313,150
131,900
5,671,289,000
12/31/03
BRIDGE BANCORP, INC.
846617
6021
8
0
59,000
0
511,613,000
12/31/03
SIMTROL INC
846775
7372
65
0
55,000
0
229,299
12/31/03
COLLINS & AIKMAN CORP
846815
3714
4
1
1,100,000
300,000
3,191,200,000
12/31/03
PRESSTEK INC /DE/
846876
3555
7
0
349,654
0
106,528,000
1/3/04
LAKELAND BANCORP INC
846901
6022
6
0
227,673
85,376
1,585,290,000
12/31/03
FIFTH THIRD BANK /TN/
846903
6021
3
1
490,541
24,000
953,564,992
12/31/03
SEA PINES ASSOCIATES INC
846926
7011
2
1
97,934
36,464
52,814,000
10/31/03
DUQUESNE LIGHT HOLDINGS INC
846930
4911
3
1
497,200
1,454,090
2,540,800,000
12/31/03
Lake Sunapee Bank Group
846931
6035
293
0
85,570
8,550
526,246,016
12/31/03
CRIIMI MAE INC
847322
6798
2
1
1,030,850
808,628
1,069,209,984
12/31/03
NYMAGIC INC
847431
6351
4
1
436,073
152,460
875,124,992
12/31/03
VULCAN INTERNATIONAL CORP
848446
3060
295
0
104,690
42,014
85,539,936
12/31/03
Allied Waste Industries, LLC
848865
4953
1
1
1,874,400
873,300
13,860,899,840
12/31/03
NEUROGEN CORP
849043
2834
1
1
118,620
35,950
95,369,000
12/31/03
Heritage Global Inc.
849145
7389
1
1
767,000
358,000
39,054,000
12/31/03
PLUM CREEK TIMBER CO INC
849213
6798
2
1
489,707
741,632
4,386,999,808
12/31/03
HAWK CORP
849240
3728
2
1
350,000
300,454
193,548,992
12/31/03
LIFECELL CORP
849448
3841
1
1
161,750
28,925
58,273,000
12/31/03
RAMTRON INTERNATIONAL CORP
849502
3674
4
1
117,500
24,500
29,645,000
12/31/03
ADVANCED ENVIRONMENTAL RECYCLING TECHNOLOGIES INC
849706
2430
352
0
80,250
7,500
36,406,600
12/31/03
CYTYC CORP
849778
3826
3
1
358,000
630,000
390,900,000
12/31/03
SILGAN HOLDINGS INC
849869
3411
2
1
1,800,000
200,000
1,621,084,000
12/31/03
HORACE MANN EDUCATORS CORP /DE/
850141
6331
4
1
831,600
87,000
4,972,988,000
12/31/03
SAFENET INC
850313
3663
2
1
689,000
908,000
208,156,000
12/31/03
TREDEGAR CORP
850429
3350
1
1
462,908
50,866
753,025,000
12/31/03
ENCORE WIRE CORP
850460
3350
2
1
158,565
76,552
225,299,232
12/31/03
REXHALL INDUSTRIES INC
850476
3716
147
0
155,000
12,000
27,999,000
12/31/03
GTSI CORP
850483
5045
2
1
369,833
87,162
268,760,992
12/31/03
PLX TECHNOLOGY INC
850579
3674
2
1
340,890
27,820
81,803,000
12/31/03
FULTON BANCSHARES CORP
850626
6021
301
0
30,192
33,955
147,743,008
12/31/03
Victor Technologies Group, Inc.
850660
3541
2
1
1,130,000
350,000
509,476,992
12/31/03
ALLERGAN INC
850693
2834
4
1
1,459,710
1,150,440
1,754,899,968
12/31/03
HARMONIC INC
851310
3663
1
1
817,000
366,800
224,726,000
12/31/03
COST U LESS INC
851368
5331
6
0
132,227
103,313
40,940,000
12/28/03
EXPONENT INC
851520
8742
4
1
283,000
108,000
121,842,000
1/2/04
TARANTELLA INC
851560
7372
3
1
236,951
434,965
12,388,000
9/30/03
LASERSCOPE
851737
3845
1
1
228,000
84,000
37,028,000
12/31/03
MOHAWK INDUSTRIES INC
851968
2273
4
1
902,000
855,000
4,163,575,000
12/31/03
PW EAGLE INC
852426
3080
1
1
524,444
297,524
165,178,000
12/31/03
CNB FLORIDA BANCSHARES INC
852618
6021
1
1
115,000
20,600
819,934,976
12/31/03
DENNY’S Corp
852772
5812
4
1
260,000
58,770
506,652,000
12/31/03
AZTAR CORP
852807
7990
1
1
888,041
88,030
1,347,769,984
1/1/04
WESTPOINT STEVENS INC
852952
2390
2
1
908,547
2,999,530
1,279,779,968
12/31/03
BORLAND SOFTWARE CORP
853273
7372
1
1
1,006,020
1,048,970
511,788,992
12/31/03
APPLEBEES INTERNATIONAL INC
853665
5812
3
1
339,000
365,000
644,001,024
12/28/03
DRI CORP
853695
3669
10
0
290,531
104,319
34,551,900
12/31/03
LANDSTAR SYSTEM INC
853816
4213
4
1
508,000
102,250
438,457,000
12/27/03
STANDARD MANAGEMENT CORP
853971
5912
2
1
296,260
425,967
1,973,869,952
12/31/03
PAMRAPO BANCORP INC
854071
6036
306
0
85,000
75,150
636,894,976
12/31/03
INTERPORE INTERNATIONAL INC /DE/
854093
3842
2
1
210,350
179,596
90,818,000
12/31/03
MAGNUM HUNTER RESOURCES INC
854271
1311
3
1
135,000
189,339
1,265,890,048
12/31/03
PREMIER COMMUNITY BANKSHARES INC
854399
6021
152
0
60,850
58,140
462,899,008
12/31/03
GREAT SOUTHERN BANCORP, INC.
854560
6022
11
0
101,075
50,960
1,540,723,000
12/31/03
MAF BANCORP INC
854662
6035
4
1
294,400
107,664
8,933,579,776
12/31/03
EMRISE Corp
854852
3679
6
0
232,000
62,000
17,169,000
12/31/03
CORNERSTONE REALTY INCOME TRUST INC
854875
6798
2
1
360,680
52,000
1,124,440,064
12/31/03
MidgardXXI, Inc.
855109
3572
1
1
215,000
55,000
46,129,000
12/31/03
IBIS TECHNOLOGY CORP
855182
3674
4
1
98,000
0
35,343,000
12/31/03
AMERIANA BANCORP
855574
6035
11
0
79,569
66,693
402,452,992
12/31/03
FONIX CORP
855585
4813
172
0
124,271
29,528
3,173,000
12/31/03
ZIX CORP
855612
7374
2
1
233,660
29,027
26,419,000
12/31/03
LATTICE SEMICONDUCTOR CORP
855658
3674
1
1
659,400
195,700
851,628,000
12/31/03
MILESTONE SCIENTIFIC INC.
855683
3842
22
0
98,892
40,000
1,716,490
12/31/03
COMMUNITY FINANCIAL CORP /MD/
855874
6022
129
0
49,973
11,367
351,729,992
12/31/03
SKY FINANCIAL GROUP INC
855876
6021
3
1
385,744
331,257
12,896,499,712
12/31/03
SILICON STORAGE TECHNOLOGY INC
855906
3674
1
1
623,000
114,000
396,360,992
12/31/03
PROCYTE CORP /WA/
856072
2834
3
1
110,794
0
20,003,000
12/31/03
SUMMIT FINANCIAL CORP
856223
6021
4
1
41,000
2,800
343,920,992
12/31/03
GEHL CO
856386
3523
1
1
219,000
277,100
203,354,000
12/31/03
Giant Industries, Inc.
856465
2911
3
1
632,175
176,821
707,353,984
12/31/03
ENCORIUM GROUP INC
856569
8731
3
1
279,000
71,000
20,385,000
12/31/03
WESTERN GAS RESOURCES INC
856716
4924
1
1
311,000
0
1,460,519,936
12/31/03
MERIT MEDICAL SYSTEMS INC
856982
3841
3
1
157,000
195,100
107,300,514
12/31/03
COMMUNITY FIRST BANKSHARES INC
857593
6022
2
1
425,000
365,000
5,465,110,016
12/31/03
I FLOW CORP /DE/
857728
3841
3
1
190,813
9,500
51,896,000
12/31/03
BLACKHAWK BANCORP INC
857853
6035
10
0
67,171
36,783
425,185,000
12/31/03
UNITED COMMUNITY BANKS INC
857855
6022
240
0
400,000
189,000
4,068,834,000
12/31/03
JMAR TECHNOLOGIES INC
857953
3829
6
0
224,738
112,446
13,493,200
12/31/03
PROTEIN POLYMER TECHNOLOGIES INC
858155
3841
289
0
50,122
18,650
1,691,760
12/31/03
CAESARS ENTERTAINMENT Corp
858339
7011
3
1
2,238,000
1,499,000
6,578,840,064
12/31/03
TRANSCEND SERVICES INC
858452
7389
331
0
44,922
52,364
3,346,000
12/31/03
CABOT OIL & GAS CORP
858470
1311
1
1
382,550
162,346
1,055,056,000
12/31/03
TROVER SOLUTIONS INC
858629
6411
1
1
143,713
67,127
78,496,000
12/31/03
EMCLAIRE FINANCIAL CORP
858800
6021
8
0
43,790
25,950
262,512,000
12/31/03
FIRST COMMUNITY BANKSHARES INC /VA/
859070
6022
2
1
274,290
3,390
1,672,727,000
12/31/03
DELPHI FINANCIAL GROUP, INC.
859139
6311
2
1
834,000
187,000
4,177,530,112
12/31/03
BAY BANCORP, INC.
859222
6022
313
0
70,379
20,639
302,409,984
12/31/03
SEACOR HOLDINGS INC /NEW/
859598
4412
2
1
404,394
123,122
1,402,611,000
12/31/03
TRANSBOTICS CORP
859621
3620
10
0
61,120
7,840
1,689,531
11/30/03
VARCO INTERNATIONAL INC /DE/
860097
1389
2
1
1,438,000
579,000
1,764,339,968
12/31/03
Wave Sync Corp.
860131
2860
221
0
48,000
0
2,517,586
12/31/03
BIOSOURCE INTERNATIONAL INC
860451
2835
4
1
191,000
97,000
44,333,000
12/31/03
ITEX CORP
860518
7389
108
0
45,000
19,485
1,920,000
7/31/03
SAVANNAH BANCORP INC
860519
6021
7
0
122,748
12,175
476,864,992
12/31/03
CORPORATE OFFICE PROPERTIES TRUST
860546
6798
1
1
491,962
126,840
1,332,076,000
12/31/03
HCA Healthcare, Inc.
860730
8062
2
1
5,900,000
3,703,000
21,063,000,000
12/31/03
TYLER TECHNOLOGIES INC
860731
7372
2
1
461,000
58,000
182,252,000
12/31/03
KEMPER Corp
860748
6331
3
1
1,327,000
126,270
8,536,800,000
12/31/03
SYLVAN INC
861291
100
2
1
226,250
13,154
113,865,000
12/28/03
GRANITE CONSTRUCTION INC
861459
1600
1
1
404,000
157,397
1,060,410,000
12/31/03
NUEVO ENERGY CO
861819
1311
4
1
383,000
70,000
844,976,000
12/31/03
IDERA PHARMACEUTICALS, INC.
861838
2836
2
1
167,538
79,332
14,409,521
12/31/03
CATHAY GENERAL BANCORP
861842
6022
4
1
361,500
380,600
5,541,915,000
12/31/03
STERICYCLE INC
861878
4955
2
1
335,000
16,000
707,462,000
12/31/03
RELIANCE STEEL & ALUMINUM CO
861884
5051
2
1
1,046,000
884,000
1,369,424,000
12/31/03
CIB MARINE BANCSHARES INC
861955
6022
4
1
1,541,000
571,000
3,186,237,000
12/31/03
FINANCIAL INSTITUTIONS INC
862831
6021
4
1
170,500
127,750
2,173,732,000
12/31/03
JanOne Inc.
862861
5700
10
0
73,400
36,400
20,833,000
1/3/04
BENCHMARK ELECTRONICS INC
863436
3672
4
1
563,576
364,539
1,038,038,000
12/31/03
HECTOR COMMUNICATIONS CORP
863437
4813
79
0
225,619
150,925
123,059,000
12/31/03
ADAM INC
863650
7372
1
1
74,000
28,000
10,496,000
12/31/03
VERU INC.
863894
2834
10
0
130,218
15,643
5,035,570
9/30/03
O CHARLEYS INC
864233
5812
4
1
458,000
785,219
620,235,008
12/28/03
SYPRIS SOLUTIONS INC
864240
3823
2
1
267,090
115,090
263,495,000
12/31/03
SIMON WORLDWIDE INC
864264
2300
7
0
87,000
74,000
26,123,000
12/31/03
BRADLEY PHARMACEUTICALS INC
864268
2834
6
0
848,000
115,000
203,412,992
12/31/03
TRIMBLE INC.
864749
3829
2
1
1,058,150
1,348,000
544,903,000
1/2/04
SENTIGEN HOLDING CORP
864890
8731
3
1
70,000
28,500
13,123,400
12/31/03
JUNIPER GROUP INC
864921
1731
159
0
37,894
1,075
3,691,220
12/31/03
CELL GENESYS INC
865231
2834
2
1
211,500
16,980
460,502,016
12/31/03
SAUER DANFOSS INC
865754
3590
4
1
1,045,000
719,000
1,101,750,016
12/31/03
VITAL SIGNS INC
865846
3841
107
0
264,000
251,000
223,078,000
9/30/03
VERSANT CORP
865917
7372
6
0
222,630
30,310
11,069,000
10/31/03
COMMERCIAL NATIONAL FINANCIAL CORP /PA
866054
6022
122
0
58,144
9,707
385,028,000
12/31/03
PS BUSINESS PARKS INC/CA
866368
6798
2
1
215,000
146,000
1,358,861,000
12/31/03
BSML INC
866734
3841
3
1
358,952
194,143
38,016,000
12/27/03
HELIX ENERGY SOLUTIONS GROUP INC
866829
1389
2
1
543,000
131,000
882,842,000
12/31/03
MERCURY INTERACTIVE CORP
867058
7372
1
1
1,155,000
855,000
1,983,720,000
12/31/03
ELECTRONICS FOR IMAGING INC
867374
3576
1
1
902,274
318,553
1,013,661,000
12/31/03
ProPhase Labs, Inc.
868278
2834
1
1
274,800
15,826
26,269,759
12/31/03
SUN-TIMES MEDIA GROUP INC
868512
2711
4
1
6,730,050
2,914,640
1,800,179,968
12/31/03
GLACIER BANCORP, INC.
868671
6022
4
1
209,813
17,000
2,739,633,000
12/31/03
Dorman Products, Inc.
868780
3714
4
1
162,390
99,360
176,606,000
12/27/03
XTO ENERGY INC
868809
1311
4
1
434,303
20,500
3,611,130,112
12/31/03
MAVERICK TUBE CORP
869087
3317
2
1
820,000
521,000
670,726,016
12/31/03
RURAL CELLULAR CORP
869561
4812
3
1
422,300
144,360
1,521,059,968
12/31/03
SPSS INC
869570
7372
4
1
1,756,000
340,297
229,007,000
12/31/03
REGAN HOLDING CORP
870069
6311
1
1
296,148
56,869
57,115,000
12/31/03
SYNERGY BRANDS INC
870228
5141
6
0
134,000
26,500
10,992,645
12/31/03
MBNA CORP
870517
6021
2
1
4,063,000
2,538,000
59,113,398,272
12/31/03
NUMEREX CORP /PA/
870753
3669
6
0
166,694
85,033
33,970,000
12/31/03
CYGNUS INC /DE/
870755
9995
2
1
255,749
65,349
37,707,000
12/31/03
NATIONAL ENERGY GROUP INC
870756
1311
4
1
185,000
73,000
99,684,096
12/31/03
ManpowerGroup Inc.
871763
7363
1
1
2,517,200
427,910
4,384,900,000
12/31/03
AVALON CORRECTIONAL SERVICES INC
872202
8744
6
0
76,000
4,500
39,701,000
12/31/03
PETROQUEST ENERGY INC
872248
1311
2
1
100,000
17,800
176,384,000
12/31/03
ATMEL CORP
872448
3674
1
1
1,424,000
339,000
2,154,690,048
12/31/03
REGENERON PHARMACEUTICALS, INC.
872589
2834
1
1
182,250
205,780
479,555,000
12/31/03
WILMINGTON TRUST CORP
872821
6022
4
1
646,546
428,294
8,820,200,448
12/31/03
ESB FINANCIAL CORP
872835
6035
2
1
227,819
95,175
1,365,779,968
12/31/03
RADISYS CORP
873044
3577
1
1
212,200
369,441
365,562,000
12/31/03
CEPHALON INC
873364
2834
1
1
668,607
1,204,150
2,381,659,904
12/31/03
CAREY INSTITUTIONAL PROPERTIES INC /MD/
873394
6798
1
1
111,400
217,000
148,211,130
12/31/03
MEDIMMUNE INC /DE
873591
2836
1
1
888,386
470,850
2,794,670,080
12/31/03
EXCEL TECHNOLOGY INC
873603
3690
4
1
227,000
178,000
133,738,000
12/31/03
OCWEN FINANCIAL CORP
873860
6162
1
1
1,035,120
669,370
1,240,118,000
12/31/03
IONIS PHARMACEUTICALS INC
874015
2834
2
1
134,647
50,661
334,942,000
12/31/03
JONES GROUP INC
874016
2330
7
0
1,315,280
577,974
4,187,699,968
12/31/03
MEDAREX INC
874255
8731
2
1
278,000
141,000
557,726,016
12/31/03
ICOS CORP
874294
2834
4
1
153,109
15,515
524,854,016
12/31/03
AMERICAN MEDICAL TECHNOLOGIES INC/DE
874388
3843
74
0
70,000
6,760
8,051,433
12/31/03
LIFETIME BRANDS, INC
874396
3420
2
1
253,000
84,940
136,736,000
12/31/03
GENELABS TECHNOLOGIES INC /CA
874443
2834
2
1
307,466
59,230
29,866,000
12/31/03
UNION NATIONAL FINANCIAL CORP / PA
874482
6021
122
0
57,184
5,792
351,892,000
12/31/03
JEFFERSONVILLE BANCORP
874495
6021
4
1
111,500
94,650
352,204,000
12/31/03
GULFPORT ENERGY CORP
874499
1311
794
0
50,000
0
58,980,000
12/31/03
AMBAC FINANCIAL GROUP INC
874501
6351
4
1
1,486,000
218,000
16,747,314,000
12/31/03
OSI RESTAURANT PARTNERS, LLC
874691
5812
1
1
288,000
20,000
1,474,790,016
12/31/03
IDEXX LABORATORIES INC /DE
874716
2835
1
1
315,419
206,434
521,875,000
12/31/03
MEDIWARE INFORMATION SYSTEMS INC
874733
7373
121
0
227,500
78,040
38,806,000
6/30/03
OSTEOTECH INC
874734
3841
1
1
292,175
60,400
127,213,000
12/31/03
AES CORP
874761
4991
3
1
8,485,770
5,430,470
29,904,000,000
12/31/03
HARTFORD FINANCIAL SERVICES GROUP, INC.
874766
6331
3
1
7,242,500
611,278
225,853,000,000
12/12/03
State Auto Financial CORP
874977
6331
2
1
451,527
19,411
1,836,667,000
12/31/03
REMINGTON OIL & GAS CORP
874992
1311
2
1
196,470
92,504
359,384,992
12/31/03
VERTEX PHARMACEUTICALS INC / MA
875320
2834
1
1
310,100
85,500
724,411,000
12/31/03
BOK FINANCIAL CORP ET AL
875357
6021
2
1
573,400
230,945
13,581,743,000
12/31/03
MICRO LINEAR CORP /CA/
875359
3674
1
1
170,000
48,000
27,438,000
12/31/03
SMART & FINAL INC/DE
875751
5140
2
1
820,000
263,000
595,524,992
12/28/03
PROGRESS SOFTWARE CORP /MA
876167
7372
3
1
577,000
604,000
367,770,000
11/30/03
CARDIAC SCIENCE INC
876188
3845
1
1
293,000
146,000
203,000,992
12/31/03
Lineage Cell Therapeutics, Inc.
876343
2836
7
0
130,398
2,565
1,071,545
12/31/03
MGIC INVESTMENT CORP
876437
6351
1
1
503,000
194,940
5,917,387,000
12/31/03
FIRSTFED BANCORP INC
876947
6022
4
1
69,700
19,500
194,211,008
12/31/03
ZEBRA TECHNOLOGIES CORP
877212
3560
4
1
447,788
450,450
701,611,000
12/31/03
LANDAMERICA FINANCIAL GROUP INC
877355
6361
2
1
1,635,220
316,268
2,717,459,968
12/31/03
Sunovion Pharmaceuticals Inc.
877357
2834
1
1
319,182
192,751
1,020,230,016
12/31/03
AMERICA SERVICE GROUP INC /DE
877476
8090
2
1
308,000
99,070
158,423,008
12/31/03
WTC INDUSTRIES INC
877542
3580
10
0
58,000
11,000
18,406,200
12/31/03
TECHNOLOGY SOLUTIONS COMPANY
877645
7373
6
0
125,000
18,278
60,169,000
12/31/03
NATIONAL HEALTH INVESTORS INC
877860
6798
2
1
121,000
0
624,366,000
12/31/03
CITRIX SYSTEMS INC
877890
7372
2
1
1,583,000
2,217,000
1,344,939,000
12/31/03
NEOSE TECHNOLOGIES INC
877902
2833
4
1
120,000
33,350
94,845,000
12/31/03
PAR PHARMACEUTICAL COMPANIES, INC.
878088
2834
3
1
668,894
624,300
762,812,000
12/31/03
LEGAL ACCESS TECHNOLOGIES INC
878146
7389
348
0
15,127
15,272
977,732
4/30/03
TUT SYSTEMS INC
878436
3661
1
1
195,860
26,575
32,046,000
12/31/03
STEWART ENTERPRISES INC
878522
7200
1
1
521,174
217,726
2,898,990,080
10/31/03
PER SE TECHNOLOGIES INC
878556
7374
2
1
1,199,130
523,034
171,652,992
12/31/03
CalAtlantic Group, Inc.
878560
1531
2
1
551,048
113,286
2,460,699,904
12/31/03
HUMAN PHEROMONE SCIENCES INC
878616
2844
75
0
70,026
5,199
2,068,000
12/31/03
EMBREX INC /NC/
878725
2836
2
1
171,000
261,000
59,717,000
12/31/03
TUESDAY MORNING CORP/DE
878726
5331
2
1
196,500
28,869
253,394,000
12/31/03
MANOR CARE INC
878736
8051
2
1
1,011,900
2,479,580
2,396,709,888
12/31/03
AMERICAN MORTGAGE ACCEPTANCE CO
878774
6798
3
1
196,500
42,000
327,107,008
12/31/03
WIRELESS TELECOM GROUP INC
878828
3825
111
0
91,604
34,079
33,624,211
12/31/03
AMERICAN MEDICAL SECURITY GROUP INC
878897
6324
2
1
349,821
56,304
444,087,008
12/31/03
Synvista Therapeutics, Inc.
878903
2834
4
1
82,700
15,250
17,254,985
12/31/03
OLD DOMINION FREIGHT LINE, INC.
878927
4213
2
1
168,000
65,000
434,559,000
12/31/03
KIMCO REALTY CORP
879101
6798
1
1
500,000
30,000
4,603,925,000
12/31/03
AUTOIMMUNE INC
879106
2836
1
1
60,700
13,700
10,779,000
12/31/03
INCYTE CORP
879169
8731
2
1
517,000
38,000
379,545,000
12/31/03
infoGROUP Inc.
879437
7331
4
1
257,067
160,797
366,345,984
12/31/03
DYNTEK INC
879465
7389
65
0
212,320
106,380
53,127,000
6/30/03
WABASH NATIONAL Corp
879526
3715
2
1
858,000
1,095,000
397,036,000
12/31/03
CHECKERS DRIVE IN RESTAURANTS INC /DE
879554
5812
4
1
230,000
4,600
129,435,000
12/29/03
MID PENN BANCORP INC
879635
6022
28361
0
52,800
7,520
373,466,000
12/31/03
VIVEVE MEDICAL, INC.
879682
3845
2
1
104,990
36,644
9,849,000
12/31/03
INFONOW CORP /
879684
5045
3
1
92,500
21,900
6,039,000
12/31/03
APPLIED ENERGETICS, INC.
879911
3812
7
0
29,000
0
96,559,000
6/30/03
DUSA PHARMACEUTICALS INC
879993
2834
3
1
92,000
20,000
44,697,500
12/31/03
INSURANCE AUTO AUCTIONS, INC
880026
5010
4
1
355,000
17,000
287,792,992
12/28/03
CLAYTON WILLIAMS ENERGY INC /DE
880115
1311
4
1
195,000
43,000
224,432,992
12/31/03
Southeastern Bank Financial CORP
880116
6022
4
1
93,400
153,440
630,633,024
12/31/03
EASTON BANCORP INC/MD
880209
6022
313
0
35,510
8,650
102,143,000
12/31/03
BIOLARGO, INC.
880242
2800
202
0
40,050
8,205
671
12/31/03
AGCO CORP /DE
880266
3523
4
1
3,566,000
222,000
2,839,400,000
12/31/03
DENDRITE INTERNATIONAL INC
880321
7372
2
1
1,100,500
383,600
262,456,992
12/31/03
CSB BANCORP INC /OH
880417
6022
12
0
61,100
23,300
306,179,789
12/31/03
FISHER SCIENTIFIC INTERNATIONAL INC
880430
5040
3
1
4,154,140
1,864,370
2,859,399,936
12/31/03
GENAERA CORP
880431
2836
4
1
191,660
8,950
14,553,000
12/31/03
EAGLE FINANCIAL SERVICES INC
880641
6022
152
0
47,250
39,089
352,226,712
12/31/03
GENTA INC DE/
880643
2836
3
1
376,875
302,533
114,675,000
12/31/03
SCICLONE PHARMACEUTICALS INC
880771
2834
2
1
392,250
0
83,822,000
12/31/03
ACORN ENERGY, INC.
880984
8711
4
1
146,000
65,000
17,784,000
12/31/03
AMYLIN PHARMACEUTICALS INC
881464
2834
2
1
222,996
42,000
311,044,992
12/31/03
SPATIALIGHT INC
881468
3861
7
0
166,500
29,000
8,349,700
12/31/03
VIVUS INC
881524
2834
4
1
185,900
2,925
65,697,000
12/31/03
PALOMAR MEDICAL TECHNOLOGIES LLC
881695
3845
2
1
162,750
65,500
21,660,300
12/31/03
YRC REGIONAL TRANSPORTATION, INC.
881791
4213
3
1
528,600
1,513,900
1,358,089,984
12/31/03
SHOLODGE INC
881924
7011
2
1
290,656
16,000
122,020,000
12/28/03
GILEAD SCIENCES INC
882095
2836
2
1
1,290,000
630,000
1,554,722,000
12/31/03
PDL BIOPHARMA, INC.
882104
2836
2
1
507,000
81,000
742,030,000
12/31/03
POWERSECURE INTERNATIONAL, INC.
882154
7389
3
1
139,000
0
23,326,500
12/31/03
APRIA HEALTHCARE GROUP INC
882289
8082
3
1
811,984
137,253
1,043,440,000
12/31/03
OCULAR SCIENCES INC /DE/
882484
3851
4
1
835,266
1,077,300
399,308,000
12/31/03
QUICKLOGIC Corp
882508
3674
1
1
185,500
91,600
58,363,000
12/31/03
BIOCRYST PHARMACEUTICALS INC
882796
2836
2
1
77,500
2,500
30,095,554
12/31/03
NANOPHASE TECHNOLOGIES Corp
883107
3390
10
0
127,420
7,840
16,242,819
12/31/03
SYNOPSYS INC
883241
7372
4
1
2,558,000
752,000
2,307,353,000
10/31/03
VALASSIS COMMUNICATIONS INC
883293
7310
3
1
184,341
410,547
692,753,984
12/31/03
GLACIER WATER SERVICES INC
883505
5960
4
1
75,000
60,000
65,730,000
12/28/03
Fossil Group, Inc.
883569
3873
3
1
568,000
139,680
587,541,000
1/3/04
LONE STAR STEAKHOUSE & SALOON INC
883670
5812
2
1
297,317
322,308
488,495,008
12/30/03
REGEN BIOLOGICS INC
883697
3841
2
1
177,389
80,000
9,029,000
12/31/03
ZAMBA CORP
883741
7370
4
1
85,000
26,900
1,887,000
12/31/03
USA TRUCK INC
883945
4213
2
1
148,273
27,955
222,549,065
12/31/03
Microbot Medical Inc.
883975
2836
6
0
125,000
10,000
19,786,414
12/31/03
RARE HOSPITALITY INTERNATIONAL INC
883976
5812
4
1
216,500
163,500
464,542,016
12/28/03
POMEROY IT SOLUTIONS INC
883979
5045
6
0
141,535
118,423
269,199,008
1/5/04
FIRST DATA CORP
883980
7389
2
1
4,300,000
6,600,000
25,585,600,512
12/31/03
ICU MEDICAL INC/DE
883984
3841
3
1
190,360
19,250
164,288,000
12/31/03
OPTION CARE INC/DE
884064
8082
2
1
267,000
142,000
166,534,000
12/31/03
CHROMCRAFT REVINGTON INC
884130
2510
4
1
201,250
68,406
85,900,000
12/31/03
VIAD CORP
884219
7389
3
1
1,727,000
1,112,000
9,222,155,000
12/31/03
PRIMEDIA INC
884382
2721
3
1
4,991,000
1,706,000
1,636,120,064
12/31/03
MEDQUIST INC
884497
7374
4
1
386,000
276,000
526,468,000
12/31/03
THERMOENERGY CORP
884504
4955
189
0
33,000
500
62,303
12/31/03
NYER MEDICAL GROUP INC
884647
5047
443
0
138,235
22,500
14,300,400
6/30/03
FOCUS ENHANCEMENTS INC
884719
3576
3
1
175,655
2,050
16,100,000
12/31/03
ARIAD PHARMACEUTICALS INC
884731
2836
3
1
148,325
50,628
74,284,000
12/31/03
SLIPPERY ROCK FINANCIAL CORP
884782
6021
821
0
55,332
38,260
335,030,016
12/31/03
MZT Holdings, Inc.
884847
2835
1
1
120,000
49,300
10,418,300
12/31/03
PRAXAIR INC
884905
2810
1
1
2,937,000
1,073,000
8,305,000,000
12/31/03
TRANSKARYOTIC THERAPIES INC
885259
2836
2
1
354,986
53,960
289,168,992
12/31/03
WILSON BANK HOLDING CO
885275
6021
337
0
127,090
26,290
852,619,000
12/31/03
STRATUS PROPERTIES INC
885508
6552
1
1
78,870
54,131
142,430,000
12/31/03
PEOPLES BANCORPORATION INC /SC/
885542
6021
41
0
47,215
18,440
421,756,000
12/31/03
CREDIT ACCEPTANCE CORP
885550
6141
3
1
764,000
337,000
943,780,000
12/31/03
VALENCE TECHNOLOGY INC
885551
3690
3
1
188,485
200,320
36,154,000
3/31/03
NUVEEN INVESTMENTS, INC
885708
6282
4
1
299,500
134,900
954,393,024
12/31/03
EXPRESS SCRIPTS INC
885721
5912
1
1
820,208
592,095
3,409,169,920
12/31/03
BOSTON SCIENTIFIC CORP
885725
3841
2
1
2,284,000
1,459,000
5,699,000,000
12/31/03
U S PHYSICAL THERAPY INC /NV
885978
8000
4
1
169,000
28,300
52,473,000
12/31/03
INTEGRAMED AMERICA INC
885988
8011
1
1
150,000
0
55,609,000
12/31/03
GENERAL CABLE CORP /DE/
886035
3357
3
1
947,000
678,160
1,049,500,032
12/31/03
SAGA COMMUNICATIONS INC
886136
4832
2
1
275,706
346,941
262,343,000
12/31/03
LIGAND PHARMACEUTICALS INC
886163
2834
3
1
150,185
59,970
301,255,000
12/31/03
ASPECT MEDICAL SYSTEMS INC
886235
3845
2
1
233,000
66,300
47,740,100
12/31/03
KADANT INC
886346
3550
2
1
481,000
426,000
271,713,000
1/3/04
Health Fitness Corp /MN/
886432
7900
6
0
51,479
62,119
19,808,100
12/31/03
DATATRAK INTERNATIONAL INC
886530
7372
2
1
158,425
20,601
6,376,534
12/31/03
GERON CORP
886744
2834
2
1
283,835
11,050
118,115,000
12/31/03
SUPERIOR ENERGY SERVICES INC
886835
1389
4
1
274,017
88,735
832,863,000
12/31/03
ZUNICOM INC
886912
7389
117
0
120,975
46,950
20,236,471
12/31/03
GOLDMAN SACHS GROUP INC
886982
6211
1
1
20,500,000
4,200,000
403,799,000,000
11/28/03
ENCYSIVE PHARMACEUTICALS INC
887023
2834
4
1
281,035
22,000
94,398,000
12/31/03
CITIZENS FINANCIAL CORP /KY/
887136
6321
2
1
185,000
3,000
158,880,332
12/31/03
CROGHAN BANCSHARES INC
887149
6022
12
0
69,325
27,150
402,773,000
12/31/03
HAMPSHIRE GROUP LTD
887150
2253
3
1
174,698
73,048
133,174,000
12/31/03
Capstone Therapeutics Corp.
887151
2834
3
1
171,300
649,079
130,106,000
12/31/03
COLUMBIA BANKING SYSTEM, INC.
887343
6022
3
1
189,685
28,070
1,744,347,000
12/31/03
AMPEX CORP /DE/
887433
3663
1
1
289,342
231,526
35,197,000
12/31/03
FIBERMARK INC
887591
2631
4
1
813,000
457,000
399,707,008
12/31/03
RAILAMERICA INC /DE
887637
4011
1
1
579,700
254,768
1,232,489,984
12/31/03
CARACO PHARMACEUTICAL LABORATORIES LTD
887708
2834
30
0
95,500
29,325
28,424,300
12/31/03
OCCUPATIONAL HEALTH & REHABILITATION INC
887757
8000
1
1
167,000
57,000
24,099,000
12/31/03
LTC PROPERTIES INC
887905
6798
2
1
219,500
160,207
574,924,000
12/31/03
PREMIER FINANCIAL BANCORP INC
887919
6022
8
0
248,250
41,470
622,392,000
12/31/03
REVLON INC /DE/
887921
2844
4
1
3,000,000
400,000
892,200,000
12/31/03
FTI CONSULTING, INC
887936
8742
2
1
562,000
496,000
660,565,000
12/31/03
MRV COMMUNICATIONS INC
887969
3674
2
1
628,000
242,000
254,763,008
12/31/03
INTERACTIVE DATA CORP/MA/
888165
6200
1
1
542,000
615,150
910,321,984
12/31/03
OMEGA HEALTHCARE INVESTORS INC
888491
6798
2
1
172,000
40,000
725,054,000
12/31/03
ISCO INTERNATIONAL INC
888693
3825
6
0
114,683
34,739
17,723,000
12/31/03
EPRESENCE INC
888711
7373
2
1
428,000
135,000
100,779,000
12/31/03
HCC INSURANCE HOLDINGS INC/DE/
888919
6331
1
1
1,600,000
403,000
4,864,300,032
12/31/03
ONLINE RESOURCES CORP
888953
7389
2
1
239,000
110,000
26,852,000
12/31/03
Kerr-McGee (Nevada) LLC
889005
1311
4
1
314,924
68,213
2,617,260,032
12/31/03
TULARIK INC
889057
2834
1
1
247,950
5,000
244,407,008
12/31/03
LITTELFUSE INC /DE
889331
3613
2
1
585,000
747,500
311,570,000
1/3/04
CPI AEROSTRUCTURES INC
889348
3728
107
0
164,261
29,024
23,939,090
12/31/03
Pathfinder Cell Therapy, Inc.
889428
3842
121
0
33,200
0
1,014,000
12/31/03
HARBOR BANKSHARES CORP
889608
6022
129
0
58,000
7,700
219,546,760
12/31/03
CONSUMER PORTFOLIO SERVICES INC
889609
6199
4
1
360,200
1,829,240
492,470,000
12/31/03
PRIVATEBANCORP, INC
889936
6022
2
1
244,000
0
1,984,920,064
12/31/03
Forticell BioScience, Inc.
889992
3841
6
0
110,000
33,550
2,732,270
12/31/03
GLEN BURNIE BANCORP
890066
6022
284
0
81,320
41,325
302,252,466
12/31/03
TAUBMAN CENTERS INC
890319
6798
3
1
912,550
1,195,380
2,186,970,000
12/31/03
NPS PHARMACEUTICALS INC
890465
2836
4
1
451,000
357,000
327,508,000
12/31/03
ASGN Inc
890564
7363
3
1
325,000
3,200
131,981,000
12/31/03
ALLIED HEALTHCARE INTERNATIONAL INC
890634
8082
3
1
650,497
499,316
311,668,000
9/30/03
RAMP CORP
890784
7370
7
0
380,000
200,000
9,673,000
12/31/03
McAfee, Inc.
890801
7372
1
1
7,116,730
947,947
2,120,499,968
12/31/03
AMERI Holdings, Inc.
890821
3674
199
0
27,500
6,250
1,205,145
12/31/03
RADIAN GROUP INC
890926
6351
3
1
1,321,360
688,358
6,445,767,000
12/31/03
MINERALS TECHNOLOGIES INC
891014
2810
4
1
1,410,000
251,000
1,035,500,000
12/31/03
STERLING BANCSHARES INC
891098
6022
3
1
466,500
321,600
3,204,400,128
12/31/03
IAC/INTERACTIVECORP
891103
5990
2
1
4,524,000
2,264,000
21,586,588,000
12/31/03
STERLING FINANCIAL CORP /WA/
891106
6036
7
0
317,384
113,220
4,276,910,080
12/31/03
EPICOR SOFTWARE CORP
891178
7372
3
1
426,245
770,011
102,223,000
12/31/03
QUESTCOR PHARMACEUTICALS INC
891288
2834
2
1
277,890
2,500
22,929,000
12/31/03
CTI BIOPHARMA CORP
891293
2834
2
1
736,000
322,000
146,090,000
12/31/03
SPECTRE GAMING INC
891389
7990
16
0
9,575
17,314
364,136
12/31/03
FULL HOUSE RESORTS INC
891482
7011
3
1
82,500
0
11,446,122
12/31/03
TAPESTRY PHARMACEUTICALS, INC
891504
2833
2
1
102,000
34,000
57,766,000
12/31/03
CENTRUE FINANCIAL CORP
891523
6035
10
0
185,920
79,580
609,208,000
12/31/03
MARTEK BIOSCIENCES CORP
892025
2836
2
1
277,056
118,215
295,523,008
10/31/03
SIRNA THERAPEUTICS INC
892112
2834
2
1
213,197
31,342
42,684,000
12/31/03
DERMA SCIENCES, INC.
892160
3841
2
1
138,500
46,400
9,926,170
12/31/03
CRAFT BREW ALLIANCE, INC.
892222
2082
2
1
111,500
0
77,131,042
12/31/03
VENTURE FINANCIAL GROUP INC
892449
6022
13
0
85,000
11,560
513,900,000
12/31/03
Qumu Corp
892482
7372
4
1
148,398
62,725
61,024,357
12/31/03
CHART INDUSTRIES INC
892553
3443
2
1
509,700
602,800
299,637,000
12/31/03
SPORT HALEY INC
892653
2320
74
0
54,000
19,000
21,545,000
6/30/03
SANDSTON CORP
892832
6770
6
0
75,000
30,000
10,129,541
12/31/03
RENT WAY INC
893046
7359
1
1
1,170,280
123,590
457,859,008
9/30/03
VENTANA MEDICAL SYSTEMS INC
893160
3841
2
1
463,000
76,000
141,214,000
12/31/03
CREDENCE SYSTEMS CORP
893162
3825
2
1
967,000
648,000
698,492,992
10/31/03
NORTHWEST BANCORPORATION INC
893467
6021
13
0
36,899
4,550
210,543,868
12/31/03
SM Energy Co
893538
1311
3
1
130,000
53,887
735,854,000
12/31/03
FC BANC CORP
893539
6022
821
0
42,881
9,302
149,064,000
12/31/03
CARRAMERICA REALTY CORP
893577
6798
4
1
595,850
356,467
2,836,019,968
12/31/03
180 DEGREE CAPITAL CORP. /NY/
893739
6799
1
1
98,800
13,450
44,115,128
12/31/03
FRESH CHOICE INC
893741
5812
6
0
92,000
7,362
30,900,000
12/28/03
INFOCROSSING INC
893816
7374
2
1
420,700
136,945
66,662,000
12/31/03
HAWTHORN BANCSHARES, INC.
893847
6021
4
1
86,800
39,800
875,595,992
12/31/03
STUDENT LOAN CORP
893955
6141
4
1
210,000
560,750
23,705,100,288
12/31/03
PEROT SYSTEMS CORP
894253
7374
1
1
1,546,960
864,104
1,010,600,000
12/31/03
COWLITZ BANCORPORATION
894267
6022
13
0
97,400
32,200
268,799,008
12/31/03
SPECTRALINK CORP
894268
3663
4
1
145,000
108,645
81,171,000
12/31/03
SITE Centers Corp.
894315
6798
1
1
1,071,650
664,900
3,941,151,000
12/31/03
ARCBEST CORP /DE/
894405
4213
2
1
365,738
160,822
697,225,000
12/31/03
COMMUNITY BANKSHARES INC /SC/
894508
6022
294
0
92,050
23,100
466,580,000
12/31/03
SEGUE SOFTWARE INC
894572
7373
6
0
194,922
142,832
17,637,000
12/31/03
VAALCO ENERGY INC /DE/
894627
1311
3
1
128,000
50,600
46,367,000
12/31/03
GREAT AMERICAN FINANCIAL RESOURCES INC
894651
6399
2
1
1,062,360
30,850
10,194,299,904
12/31/03
OHIO VALLEY BANC CORP
894671
6022
8
0
117,510
26,650
707,327,000
12/31/03
GRILL CONCEPTS INC
895041
5812
1
1
109,000
47,500
13,887,000
12/28/03
CASI Pharmaceuticals, Inc.
895051
2836
2
1
119,000
23,500
40,153,764
12/31/03
INSIGHTFUL CORP
895095
7372
2
1
644,000
29,190
13,456,000
12/31/03
CHESAPEAKE ENERGY CORP
895126
1311
1
1
814,000
129,000
4,572,291,000
12/31/03
ALLEGRO BIODIESEL CORP
895380
2860
4
1
112,160
84,514
5,193,000
12/31/03
ARGOSY GAMING CO
895385
7900
2
1
984,000
300,000
1,411,869,952
12/31/03
EQUITY LIFESTYLE PROPERTIES INC
895417
6798
2
1
261,750
36,200
1,473,915,000
12/31/03
MORGAN STANLEY
895421
6211
3
1
21,800,000
9,000,000
602,843,000,000
11/30/03
ROCKY BRANDS, INC.
895456
3140
3
1
326,000
146,885
86,174,836
12/31/03
DEARBORN BANCORP INC /MI/
895541
6022
8
0
56,000
14,000
446,075,008
12/31/03
SYNAGRO TECHNOLOGIES INC
895565
4953
1
1
227,949
262,434
492,024,000
12/31/03
GGP, Inc. (fka General Growth Properties Inc. & predecessor to General Growth Properties, Inc.)
895648
6798
3
1
894,000
1,447,000
9,582,900,224
12/31/03
GLOBAL INDUSTRIES LTD
895663
1389
3
1
618,000
306,700
620,830,976
12/31/03
SUPERCONDUCTOR TECHNOLOGIES INC
895665
3663
1
1
211,247
25,750
68,123,000
12/31/03
GATEWAY INC
895812
3571
1
1
1,185,000
429,000
2,028,440,064
12/31/03
AMSURG CORP
895930
8011
3
1
212,000
182,000
356,188,992
12/31/03
AMEDISYS INC
896262
8082
4
1
467,991
166,454
92,473,000
12/31/03
USANA HEALTH SCIENCES INC
896264
2833
6
0
179,244
178,797
65,127,000
1/3/04
EVERI GAMES HOLDING INC.
896400
7900
7
0
364,568
103,815
143,730,000
9/30/03
DPW Holdings, Inc.
896493
3679
2
1
95,000
0
5,136,000
12/31/03
APTARGROUP INC
896622
3089
1
1
820,000
219,000
1,264,343,000
12/31/03
CONCEPTUS INC
896778
3841
1
1
106,000
1,000
41,850,000
12/31/03
AVID TECHNOLOGY, INC.
896841
7372
1
1
978,000
569,000
348,119,000
12/31/03
PLANET TECHNOLOGIES, INC
896861
3564
22
0
21,850
0
377,875
12/31/03
CYMER INC
897067
3559
4
1
422,753
853,255
803,220,992
12/31/03
REPROS THERAPEUTICS INC.
897075
2836
1
1
127,150
79,550
24,028,000
12/31/03
ALAMO GROUP INC
897077
3523
2
1
541,500
62,500
194,224,000
12/31/03
Resonate Blends, Inc.
897078
7372
24
0
49,018
53,671
11,807,000
12/31/03
FLAG FINANCIAL CORP
897509
6035
240
0
159,953
71,600
703,857,024
12/31/03
FIRST STATE BANCORPORATION
897861
6022
4
1
173,000
105,000
1,646,739,968
12/31/03
DIMECO INC
898037
6022
821
0
63,804
78,439
304,304,000
12/31/03
UWHARRIE CAPITAL CORP
898171
6022
1436
0
61,515
25,613
300,528,525
12/31/03
O REILLY AUTOMOTIVE INC
898173
5531
2
1
267,247
182,190
1,187,592,000
12/31/03
REINSURANCE GROUP OF AMERICA INC
898174
6311
3
1
1,422,620
240,186
12,113,374,000
12/31/03
Anika Therapeutics, Inc.
898437
3841
1
1
101,000
30,000
21,873,000
12/31/03
NSD BANCORP INC
898624
6022
821
0
75,800
19,400
506,620,000
12/31/03
INTERPOOL INC
898777
7359
4
1
1,630,000
14,000
2,372,213,000
12/31/03
ADVANCED FIBRE COMMUNICATIONS INC
898805
3661
4
1
507,613
12,712
1,317,720,064
12/31/03
ATA HOLDINGS CORP
898904
4522
2
1
770,541
406,926
869,987,008
12/31/03
ALLSTATE CORP
899051
6331
3
1
8,094,320
1,061,590
134,142,000,000
12/31/03
CDW CORP
899171
5961
1
1
404,302
132,823
1,311,629,952
12/31/03
OPTI INC
899297
3674
2
1
120,500
26,680
15,393,000
3/31/03
Harbor BioSciences, Inc.
899394
2834
7
0
103,189
6,500
85,381,000
12/31/03
ACADIA REALTY TRUST
899629
6798
2
1
215,000
257,000
388,184,000
12/31/03
RIVIERA HOLDINGS CORP
899647
7011
3
1
208,700
124,300
221,538,000
12/31/03
VORNADO REALTY TRUST
899689
6798
3
1
3,001,000
2,845,000
9,518,928,000
12/31/03
TANGER FACTORY OUTLET CENTERS, INC
899715
6798
1
1
264,265
329,427
987,437,000
12/31/03
OM GROUP INC
899723
3990
2
1
6,595,300
3,982,380
1,211,440,000
12/31/03
HEALTHCARE REALTY TRUST INC
899749
6798
2
1
262,098
168,116
1,525,710,000
12/31/03
TITAN INTERNATIONAL INC
899751
3312
1
1
555,000
434,000
523,084,000
12/31/03
PROLOGIS
899881
6798
4
1
941,471
259,619
6,369,200,128
12/31/03
THOMAS GROUP INC
900017
8742
74
0
173,262
122,161
7,440,000
12/31/03
BELL MICROPRODUCTS INC
900708
5065
1
1
770,000
140,000
712,998,976
12/31/03
HUMAN GENOME SCIENCES INC
901219
2836
2
1
202,232
220,047
1,466,200,064
12/31/03
PAPA JOHNS INTERNATIONAL INC
901491
5812
2
1
235,604
256,765
347,214,000
12/28/03
BACK YARD BURGERS INC
901495
5812
1
1
100,400
39,600
24,500,000
1/3/04
LENOX GROUP INC
902270
3260
3
1
230,600
65,760
142,304,000
1/3/04
LIBBEY INC
902274
3220
2
1
453,895
104,911
551,116,000
12/31/03
ELECTROGLAS INC
902281
3559
2
1
421,000
191,000
110,672,000
12/31/03
AKSYS LTD
902600
3845
4
1
149,130
136,510
29,638,151
12/31/03
BARRETT BUSINESS SERVICES INC
902791
7363
1
1
163,500
54,000
54,673,000
12/31/03
POST PROPERTIES INC
903127
6798
1
1
353,150
642,408
2,215,450,112
12/31/03
GENTHERM Inc
903129
3714
1
1
129,000
11,000
11,234,000
12/31/03
INNODATA INC
903651
7374
6
0
150,000
10,000
25,146,000
12/31/03
TALOS PETROLEUM LLC
904080
1311
2
1
198,000
53,914
1,434,277,000
12/31/03
rEVO Biologics, Inc.
904973
2836
1
1
231,000
75,286
71,072,000
12/28/03
SHILOH INDUSTRIES INC
904979
3460
1
1
570,000
174,000
388,772,000
10/31/03
HOLLYWOOD ENTERTAINMENT CORP
905895
7841
1
1
722,874
80,450
997,457,024
12/31/03
EQUITY RESIDENTIAL
906107
6798
2
1
827,800
941,391
11,466,893,000
12/31/03
TOWN & COUNTRY TRUST
906110
6798
2
1
260,000
349,000
588,990,016
12/31/03
NVR INC
906163
1531
4
1
273,700
122,692
1,363,105,000
12/31/03
PM Liquidating Corp.
906337
7374
1
1
281,000
128,000
73,130,000
12/31/03
CAMDEN PROPERTY TRUST
906345
6798
3
1
466,500
67,600
2,625,561,000
12/31/03
QRS CORP
906551
7374
1
1
535,000
318,656
72,779,000
12/31/03
BOYD GAMING CORP
906553
7011
3
1
522,000
191,000
1,872,997,000
12/31/03
NEKTAR THERAPEUTICS
906709
2834
2
1
478,200
112,500
616,788,000
12/31/03
EMPIRE RESORTS INC
906780
5810
77
0
176,000
134,000
8,017,000
12/31/03
AMERICAN STONE INDUSTRIES INC
907033
3281
347
0
36,517
6,000
4,572,600
12/31/03
SUNRISE TELECOM INC
907152
4813
4
1
251,500
31,300
116,607,000
12/31/03
MONARCH CASINO & RESORT INC
907242
7011
2
1
76,000
12,000
115,877,125
12/31/03
SAUL CENTERS, INC.
907254
6798
2
1
296,900
122,000
471,616,000
12/31/03
ESS TECHNOLOGY INC
907410
3674
1
1
379,950
1,229,440
352,592,992
12/31/03
DYAX CORP
907562
8731
1
1
432,585
95,066
69,286,000
12/31/03
FX ENERGY INC
907649
1311
1
1
129,745
14,067
23,768,500
12/31/03
ARCA biopharma, Inc.
907654
2835
4
1
383,726
57,000
57,809,000
12/31/03
Plures Technologies, Inc./DE
907686
3674
7
0
57,500
8,285
1,193,514
9/30/03
ACTEL CORP
907687
3674
2
1
380,562
388,154
316,756,992
1/4/04
PERFORMANCE FOOD GROUP CO
908254
5141
4
1
526,000
59,687
1,736,470,016
1/3/04
BORGWARNER INC
908255
3714
3
1
1,529,000
1,118,000
3,038,900,000
12/31/03
MATEON THERAPEUTICS INC
908259
2834
2
1
246,000
27,000
20,205,000
12/31/03
CIM Commercial Trust Corp
908311
6798
1
1
225,430
32,351
132,292,000
12/31/03
WINMARK CORP
908315
5900
4
1
101,000
48,725
19,159,400
12/27/03
ATRM Holdings, Inc.
908598
2452
1
1
80,135
31,018
16,469,090
12/31/03
CASTELLE \CA\
908605
3577
1
1
124,000
12,000
7,803,000
12/31/03
LANDRYS RESTAURANTS INC
908652
5812
2
1
596,300
215,501
1,102,790,016
12/31/03
NB&T FINANCIAL GROUP INC
908837
6029
11
0
81,940
31,525
664,928,000
12/31/03
PHILADELPHIA CONSOLIDATED HOLDING CORP
909109
6331
1
1
220,230
0
1,869,030,016
12/31/03
COLONIAL PROPERTIES TRUST
909111
6798
1
1
478,853
86,716
2,194,929,920
12/31/03
CAPTIVA SOFTWARE CORP
909276
7372
1
1
233,545
22,400
43,254,000
12/31/03
Exterran Energy Corp.
909413
7359
1
1
2,193,000
1,193,000
2,918,469,888
12/31/03
ULTRATECH INC
909791
3559
2
1
455,271
340,226
220,748,000
12/31/03
NETMANAGE INC
909793
7372
3
1
477,612
104,143
41,851,000
12/31/03
ALLIED SYSTEMS HOLDINGS INC
909950
4213
4
1
640,000
74,000
455,735,008
12/31/03
WILD OATS MARKETS INC
909990
5412
1
1
445,000
95,000
336,591,008
12/27/03
BEARD CO /OK
909992
2810
332
0
42,000
7,790
2,380,000
12/31/03
EPOCH BIOSCIENCES INC
910057
2835
4
1
78,000
22,426
10,172,700
12/31/03
NEW YORK COMMUNITY BANCORP INC
910073
6036
4
1
972,250
1,545,860
23,441,337,000
12/31/03
BEDFORD PROPERTY INVESTORS INC/MD
910079
6798
1
1
159,600
145,500
773,619,008
12/31/03
LEXINGTON REALTY TRUST
910108
6798
4
1
136,000
230,505
1,207,411,000
12/31/03
BELDEN 1993 INC
910134
3357
2
1
528,231
611,754
673,555,008
12/31/03
TITAN PHARMACEUTICALS INC
910267
2836
2
1
175,500
73,800
49,008,000
12/31/03
ASTORIA FINANCIAL CORP
910322
6035
4
1
622,500
138,500
22,457,700,352
12/31/03
HAIN CELESTIAL GROUP INC
910406
2000
2
1
583,167
632,432
581,548,000
6/30/03
FIDELITY FEDERAL BANCORP
910492
6035
11
0
61,125
45,388
175,390,000
12/31/03
DECKERS OUTDOOR CORP
910521
3021
4
1
170,000
271,000
121,026,000
12/31/03
REGENCY CENTERS CORP
910606
6798
4
1
877,986
165,152
3,098,228,713
12/31/03
MNC Corp /DE/
910619
3711
1
1
309,144
72,091
478,668,992
1/3/04
3D SYSTEMS CORP
910638
7372
7
0
380,000
659,000
131,465,000
12/31/03
NATIONAL RV HOLDINGS INC
910655
3716
1
1
251,160
30,801
130,449,000
12/31/03
J JILL GROUP INC
910721
5961
1
1
284,000
183,000
253,970,000
12/27/03
LODGENET INTERACTIVE CORP
911002
4899
1
1
227,697
28,930
283,268,000
12/31/03
MOBILE MINI INC
911109
3443
2
1
413,500
72,200
515,079,858
12/31/03
CADUS CORP
911148
6500
4
1
64,500
18,500
26,806,983
12/31/03
EMAK Worldwide, Inc.
911151
7311
1
1
264,000
47,000
128,330,000
12/31/03
SYNAGEVA BIOPHARMA CORP
911326
2836
4
1
143,960
10,325
98,600,000
12/31/03
VESTA INSURANCE GROUP INC
911576
6331
1
1
1,870,720
211,227
1,912,409,984
12/31/03
STEINWAY MUSICAL INSTRUMENTS INC
911583
3931
3
1
565,122
431,571
445,664,992
12/31/03
TRIAD GUARANTY INC
911631
6351
2
1
216,500
47,910
575,579,000
12/31/03
ASSOCIATED ESTATES REALTY CORP
911635
6798
1
1
327,420
105,110
704,793,024
12/31/03
STANDARD DIVERSIFIED INC.
911649
2100
4
1
154,000
61,450
33,275,000
12/31/03
OPINION RESEARCH CORP
911673
8700
2
1
305,995
344,038
95,711,000
12/31/03
GREENPOINT FINANCIAL CORP
911935
6162
1
1
1,855,000
330,750
22,985,000,960
12/31/03
CORPORATE PROPERTY ASSOCIATES 12 INC
912046
6798
1
1
89,000
158,600
462,191,000
12/31/03
AMERISTAR CASINOS INC
912145
7011
3
1
572,122
665,535
1,155,250,048
12/31/03
CUBIST PHARMACEUTICALS INC
912183
2834
1
1
275,875
54,930
222,558,000
12/31/03
G&L REALTY CORP
912240
6798
3
1
205,200
168,746
188,216,992
12/31/03
PROGRESSIVE GAMING INTERNATIONAL CORP
912241
3990
7
0
299,000
108,000
109,172,000
12/31/03
MACERICH CO
912242
6798
1
1
850,533
3,002,520
4,145,593,000
12/31/03
GUESS INC
912463
2340
4
1
634,000
386,000
362,765,000
12/31/03
HOLLYWOOD MEDIA CORP
912544
5990
2
1
315,000
0
56,881,021
12/31/03
GIBRALTAR INDUSTRIES, INC.
912562
3310
1
1
297,000
286,179
777,743,000
12/31/03
MID AMERICA APARTMENT COMMUNITIES INC.
912595
6798
4
1
368,500
333,700
1,406,533,000
12/31/03
MACE SECURITY INTERNATIONAL INC
912607
2860
6
0
158,983
20,260
90,602,000
12/31/03
NORTH BANCSHARES INC
912623
6035
8
0
29,186
7,705
133,746,000
12/31/03
FORWARD AIR CORP
912728
4731
2
1
315,290
136,311
175,087,000
12/31/03
FFLC BANCORP INC
912738
6035
179
0
68,500
8,000
947,913,984
12/31/03
NEWFIELD EXPLORATION CO /DE/
912750
1311
1
1
729,600
374,646
2,733,089,000
12/31/03
SINCLAIR BROADCAST GROUP INC
912752
4833
2
1
716,660
1,234,620
2,564,582,000
12/31/03
LAUREATE EDUCATION, INC.
912766
8200
2
1
2,000,000
2,200,000
1,149,914,000
12/31/03
UNIVERSAL FOREST PRODUCTS INC
912767
2421
2
1
261,425
207,052
684,757,000
12/27/03
WEST MARINE INC
912833
5500
3
1
313,000
554,000
493,257,984
1/3/04
WITS BASIN PRECIOUS MINERALS INC
912875
1040
16
0
49,230
32,245
6,984,090
12/31/03
VITAL IMAGES INC
912888
7372
1
1
141,472
37,050
53,257,200
12/31/03
CENTERPOINT PROPERTIES TRUST
912893
6798
1
1
371,512
539,849
1,419,239,936
12/31/03
GLIMCHER REALTY TRUST
912898
6798
1
1
247,233
248,175
1,837,420,032
12/31/03
FOAMEX INTERNATIONAL INC.
912908
3086
3
1
4,202,000
1,251,000
789,905,984
12/9/03
GB HOLDINGS INC
912926
7011
4
1
410,000
32,300
227,563,000
12/31/03
TOWNSQUARE MEDIA, INC.
913015
4832
1
1
243,010
32,703
373,300,992
12/31/03
MONTEREY GOURMET FOODS
913032
2090
7
0
131,000
43,000
44,203,600
12/28/03
MERRILL MERCHANTS BANCSHARES INC
913072
6022
55
0
45,700
11,925
342,188,992
12/31/03
AFFYMETRIX INC
913077
3826
2
1
730,514
338,378
700,163,968
12/31/03
EXACTECH INC
913165
3842
3
1
93,518
13,190
70,338,000
12/31/03
TBA ENTERTAINMENT CORP
913201
7900
7
0
109,500
61,500
20,656,300
12/31/03
STEVEN MADDEN, LTD.
913241
3140
121
0
196,000
183,000
177,870,000
12/31/03
Solexa, Inc.
913275
3826
2
1
224,160
74,964
18,796,000
12/31/03
Clarus Corp
913277
3949
4
1
232,552
158,245
89,445,000
12/31/03
C & F FINANCIAL CORP
913341
6022
152
0
77,200
59,546
573,545,632
12/31/03
CAMBRIDGE HEART INC
913443
3845
1
1
116,800
44,350
8,519,550
12/31/03
MK RESOURCES CO
913586
1000
1
1
175,000
41,000
90,158,000
12/31/03
Bactolac Pharmaceutical, Inc.
913614
2834
271
0
120,262
27,600
20,473,124
9/30/03
NATIONAL DENTEX CORP /MA/
913616
8071
1
1
97,500
37,600
72,232,600
12/31/03
TERRESTAR CORP
913665
4899
486
0
695,193
110,088
157,028,000
12/31/03
ORTHOVITA INC
913756
3841
4
1
112,000
37,125
33,550,600
12/31/03
GABLES RESIDENTIAL TRUST
913782
6798
3
1
343,400
347,825
1,725,080,064
12/31/03
TRIQUINT SEMICONDUCTOR INC
913885
3674
4
1
498,000
20,850
792,800,000
12/31/03
MIDDLEBURG FINANCIAL CORP
914138
6021
152
0
48,419
40,575
508,939,008
12/31/03
PARKERVISION INC
914139
3663
1
1
173,900
0
42,482,810
12/31/03
UFP TECHNOLOGIES INC
914156
3841
1
1
88,200
32,100
36,749,072
12/31/03
FEI CO
914329
3826
3
1
1,031,380
863,324
749,057,984
12/31/03
JAMESON INNS INC
914373
6798
2
1
203,724
306,390
309,271,008
12/31/03
SOUTHWEST BANCORP INC
914374
6022
2
1
205,500
73,089
1,580,720,000
12/31/03
DAN RIVER INC /GA/
914384
2200
2
1
523,630
83,700
432,466,000
1/3/04
GREAT LAKES AVIATION LTD
914397
4512
4
1
164,500
170,018
117,777,769
12/31/03
NEUROCRINE BIOSCIENCES INC
914475
2836
2
1
200,949
83,712
554,955,000
12/31/03
SFN Group Inc.
914536
7363
3
1
849,000
1,069,900
864,833,984
12/26/03
CORRECTIONAL SERVICES CORPORATION, LLC
914670
8744
6
0
205,000
130,000
147,123,008
12/31/03
MILLS CORP
914713
6798
2
1
1,804,000
2,816,000
3,294,629,888
12/31/03
AMLI RESIDENTIAL PROPERTIES TRUST
914724
6798
4
1
769,600
292,900
1,163,330,048
12/31/03
MALAN LIQUIDATING TRUST
914735
6798
1
1
100,275
71,490
113,949,000
12/31/03
SOUTHERN FINANCIAL BANCORP INC /VA/
914789
6035
4
1
119,000
125,750
1,094,390,016
12/31/03
CONCORD COMMUNICATIONS INC
915290
7372
1
1
380,500
83,132
218,426,000
12/31/03
EASTMAN CHEMICAL CO
915389
2821
1
1
2,722,250
1,797,780
6,230,000,000
12/31/03
AMB FINANCIAL CORP
915393
6035
319
0
52,175
5,000
145,964,797
12/31/03
CATALYST INTERNATIONAL INC
915508
7372
2
1
169,400
98,530
18,011,300
12/31/03
STRATASYS INC
915735
3577
33
0
86,165
27,058
84,100,200
12/31/03
SUMMIT PROPERTIES INC
915773
6798
3
1
380,000
766,000
1,350,259,968
12/31/03
RTW INC /MN/
915781
6331
2
1
190,000
23,935
202,168,000
12/31/03
LiveWire Mobile, Inc.
915866
3661
1
1
405,264
206,118
86,328,000
12/31/03
AVALONBAY COMMUNITIES INC
915912
6798
2
1
203,750
348,350
4,909,582,000
12/31/03
ALBEMARLE CORP
915913
2821
1
1
949,000
1,358,000
1,387,291,000
12/31/03
MARTIN MARIETTA MATERIALS INC
916076
1400
2
1
792,000
446,000
2,330,093,000
12/31/03
HEALTH NET INC
916085
6324
3
1
4,250,000
1,150,000
3,549,280,000
12/31/03
TRACTOR SUPPLY CO /DE/
916365
5200
2
1
268,974
730,756
536,209,000
12/27/03
PARADIGM MEDICAL INDUSTRIES INC
916444
3841
198
0
51,000
35,000
2,922,000
12/31/03
CALPINE CORP
916457
4911
1
1
6,400,000
5,300,000
27,303,899,136
12/31/03
GARDNER DENVER INC
916459
3560
4
1
391,500
549,000
589,732,992
12/31/03
W2007 Grace Acquisition I Inc
916530
6798
1
1
296,532
18,645
724,281,024
12/31/03
DARLING INGREDIENTS INC.
916540
2070
4
1
199,000
143,000
174,649,000
1/3/04
TURBOCHEF TECHNOLOGIES INC
916545
3580
7
0
165,000
12,000
11,431,000
12/31/03
METASOLV INC
916704
7371
4
1
188,000
110,696
79,444,000
12/31/03
QUALITY DINING INC
917126
5812
1
1
206,700
61,730
145,407,008
10/26/03
AGREE REALTY CORP
917251
6798
7
0
56,500
17,850
191,685,714
12/31/03
OLYMPIC STEEL INC
917470
5051
1
1
186,000
8,900
249,002,000
12/31/03
FARO TECHNOLOGIES INC
917491
3829
2
1
464,245
663,723
81,913,888
12/31/03
INTEGRA LIFESCIENCES HOLDINGS CORP
917520
3841
1
1
520,000
416,000
412,526,000
12/31/03
Revolution Lighting Technologies, Inc.
917523
3640
239
0
68,575
6,650
9,622,648
12/31/03
DOMINION HOMES INC
917857
1531
1
1
265,335
85,400
356,142,016
12/31/03
PEETS COFFEE & TEA INC
917968
2090
3
1
208,991
51,187
110,455,000
12/28/03
MGI GP, Inc.
918066
2834
4
1
150,900
114,710
221,323,008
12/31/03
AK STEEL HOLDING CORP
918160
3312
3
1
1,502,300
1,845,740
5,025,600,000
12/31/03
NN INC
918541
3562
1
1
554,836
505,162
266,417,000
12/31/03
CMTSU Liquidation, Inc.
918581
7371
4
1
656,818
558,814
573,323,000
12/31/03
ACT TELECONFERENCING INC
918709
4899
74
0
261,554
261,554
54,623,000
12/31/03
BRIGHTPOINT INC
918946
5065
2
1
1,041,520
550,070
444,689,984
12/31/03
CRESCENT REAL ESTATE EQUITIES CO
918958
6798
2
1
1,342,500
1,510,500
4,318,519,808
12/31/03
H E R C PRODUCTS INC
919010
7600
10
0
77,171
11,430
1,684,883
12/31/03
WAVE SYSTEMS CORP
919013
3577
4
1
206,333
106,417
18,160,400
12/31/03
BIOSPHERE MEDICAL INC
919015
3841
2
1
149,807
45,752
17,002,000
12/31/03
MENDOCINO BREWING CO INC
919134
2082
13
0
85,119
21,981
23,471,700
12/31/03
LACROSSE FOOTWEAR INC
919443
3021
10
0
228,406
37,091
55,241,000
12/31/03
XECHEM INTERNATIONAL INC
919611
2836
52
0
42,000
6,000
16,762,000
12/31/03
QUINTILES TRANSNATIONAL CORP
919623
8731
1
1
1,700,000
3,242,000
2,054,195,000
12/31/03
OHIO STATE BANCSHARES INC
919644
6022
8
0
36,000
39,325
110,862,000
12/31/03
Astex Pharmaceuticals, Inc
919722
2834
2
1
232,500
121,100
54,736,000
12/31/03
Midatech Pharma US Inc.
919745
2834
2
1
115,000
29,000
14,836,600
12/31/03
ENLIVEN MARKETING TECHNOLOGIES CORP
919794
7372
1
1
233,000
277,000
45,743,000
12/31/03
COASTAL BANCORP INC
919805
6036
4
1
250,500
56,815
2,682,990,080
12/31/03
NORTHWEST INDIANA BANCORP
919864
6035
8
0
63,100
53,070
508,775,000
12/31/03
FENTURA FINANCIAL INC
919865
6022
8
0
61,750
34,600
419,966,000
12/31/03
Diversicare Healthcare Services, Inc.
919956
8051
7
0
432,000
77,000
94,934,000
12/31/03
GUARANTY FINANCIAL CORP /VA/
919967
6035
7
0
84,000
30,000
198,976,992
12/31/03
HEARTLAND FINANCIAL USA INC
920112
6022
4
1
111,250
8,600
2,018,366,000
12/31/03
LABORATORY CORP OF AMERICA HOLDINGS
920148
8071
1
1
664,469
42,046
3,414,900,000
12/31/03
U.S. Dry Cleaning Services Corp
920317
7200
1
1
362,000
0
20,109,000
12/31/03
CENVEO, INC
920321
2670
2
1
946,807
198,000
1,111,446,000
12/31/03
Simpson Manufacturing Co., Inc.
920371
3420
1
1
370,000
562,000
460,248,950
12/31/03
VIRTU ITG HOLDINGS LLC
920424
6211
4
1
505,000
295,000
649,848,000
12/31/03
UNITY BANCORP INC /NJ/
920427
6022
4
1
110,000
102,100
467,419,000
12/31/03
BROADVISION INC
920448
7372
7
0
385,996
220,720
195,082,000
12/31/03
LA JOLLA PHARMACEUTICAL CO
920465
2836
2
1
124,000
31,000
41,944,000
12/31/03
ALTERNATIVE RESOURCES CORP
920521
7363
4
1
307,000
160,000
33,813,000
12/31/03
ESSEX PROPERTY TRUST, INC.
920522
6798
4
1
623,740
195,748
1,728,564,000
12/31/03
WINSTON HOTELS INC
920605
6798
1
1
249,935
122,518
387,260,992
12/31/03
TRIPOS INC
920691
7372
2
1
378,358
112,318
71,695,000
12/31/03
MAKEMUSIC, INC.
920707
7372
2
1
76,850
32,016
8,756,000
12/31/03
LENNAR CORP /NEW/
920760
1520
3
1
1,079,000
1,938,000
6,775,432,000
11/30/03
WESTERN OHIO FINANCIAL CORP
920769
6035
8
0
71,583
32,425
399,540,000
12/31/03
BOYD BROS TRANSPORTATION INC
920907
4213
7
0
135,276
0
79,870,096
12/31/03
METRO ONE TELECOMMUNICATIONS INC
920990
4899
3
1
152,500
32,600
164,884,000
12/31/03
TF FINANCIAL CORP
921051
6036
6
0
89,309
79,506
606,752,000
12/31/03
HIGHWOODS PROPERTIES, INC.
921082
6798
2
1
486,720
251,571
3,543,023,000
12/31/03
LIBERTY PROPERTY TRUST
921112
6798
2
1
540,600
347,879
3,834,008,000
12/31/03
Armata Pharmaceuticals, Inc.
921114
2836
2
1
166,000
101,000
57,672,000
12/31/03
HMN FINANCIAL INC
921183
6035
4
1
110,000
64,974
866,436,027
12/31/03
PDS GAMING CORP
921438
6172
348
0
100,750
32,885
123,833,000
12/31/03
CV THERAPEUTICS INC
921506
2836
2
1
302,237
44,218
471,395,008
12/31/03
HERITAGE OAKS BANCORP
921547
6022
81
0
85,840
37,810
441,948,000
12/31/03
TRICO MARINE SERVICES INC
921549
4400
1
1
281,250
209,055
585,190,976
12/31/03
REPUBLIC BANCORP INC /KY/
921557
6022
8
0
134,550
148,059
2,127,771,000
12/31/03
VALLEY FINANCIAL CORP /VA/
921590
6035
275
0
34,852
10,565
309,008,992
12/31/03
COLE KENNETH PRODUCTIONS INC
921691
3140
2
1
413,000
114,000
273,840,992
12/31/03
PENN NATIONAL GAMING INC
921738
7011
7
0
1,263,400
327,536
1,609,599,000
12/31/03
FIRST INDUSTRIAL REALTY TRUST INC
921825
6798
1
1
392,537
310,005
2,648,023,000
12/31/03
HUDSON CITY BANCORP INC
921847
6036
4
1
309,000
172,800
17,033,400,320
12/31/03
PPL Corp
922224
4911
1
1
2,238,000
983,000
17,123,000,000
12/31/03
MAIN STREET BANKS INC /NEW/
922244
6029
2
1
247,161
70,879
1,971,769,984
12/31/03
SEABULK INTERNATIONAL INC
922341
4412
2
1
1,082,170
86,417
694,440,000
12/31/03
ITT EDUCATIONAL SERVICES INC
922475
8200
1
1
397,400
197,286
363,270,000
12/31/03
ROYAL BANCSHARES OF PENNSYLVANIA INC
922487
6022
6
0
87,000
23,600
1,154,409,984
12/31/03
ERIE INDEMNITY CO
922621
6411
2
1
718,847
6,000
2,754,607,000
12/31/03
TRACK DATA CORP
922811
6200
6
0
145,000
30,000
73,498,000
12/31/03
VIRBAC CORP
922814
2834
1
1
279,500
150,477
65,145,000
12/31/03
APARTMENT INVESTMENT & MANAGEMENT CO
922864
6798
2
1
6,200,000
8,300,000
10,113,362,000
12/31/03
INTEGRITY MEDIA INC
922865
3652
1
1
370,000
125,000
51,505,000
12/31/03
CNL RESTAURANT PROPERTIES INC
922981
6519
1
1
168,000
650,000
1,298,116,000
12/31/03
HOME PROPERTIES INC
923118
6798
1
1
428,000
157,000
2,513,319,936
12/31/03
FLUSHING FINANCIAL CORP
923139
6022
1
1
250,000
77,050
1,910,751,000
12/31/03
MARISA CHRISTINA INC
923149
2253
4
1
89,500
38,500
16,476,100
12/31/03
GEMSTAR TV GUIDE INTERNATIONAL INC
923282
2721
2
1
2,922,000
377,000
1,334,169,984
12/31/03
COOPERATIVE BANKSHARES INC
923529
6036
1436
0
73,000
24,500
502,305,984
12/31/03
US XPRESS ENTERPRISES INC
923571
4213
2
1
203,363
116,546
441,794,000
12/31/03
FelCor Lodging Trust Inc
923603
6798
1
1
337,000
694,944
3,590,889,984
12/31/03
GEO GROUP INC
923796
6798
2
1
1,711,740
257,420
507,290,000
12/28/03
ION MEDIA NETWORKS INC.
923877
4832
2
1
1,620,870
238,027
1,283,680,000
12/31/03
OSE USA INC
924101
3674
6
0
155,259
42,776
5,602,000
12/31/03
SPORTS CLUB CO INC
924373
7997
4
1
161,500
3,000
183,959,000
12/31/03
VERITEQ
924642
5990
121
0
467,546
291,691
111,931,000
12/31/03
MPS GROUP INC
924646
7363
1
1
641,663
173,934
893,150,976
12/31/03
MACK CALI REALTY CORP
924901
6798
1
1
510,500
231,700
3,749,570,000
12/31/03
FIRST COMMUNITY CORP /TN/
924960
6022
8
0
58,000
4,000
188,754,340
12/31/03
POTOMAC BANCSHARES INC
925173
6022
152
0
37,600
18,288
206,643,000
12/31/03
MOVIE GALLERY INC
925178
7841
2
1
267,253
121,709
464,288,992
1/4/04
HUDSON TECHNOLOGIES INC /NY
925528
5080
7
0
142,000
0
7,796,000
12/31/03
TA DELAWARE, INC.
925548
3460
3
1
1,556,010
947,107
2,846,409,984
12/31/03
SOUTHFIRST BANCSHARES INC
925963
6035
350
0
91,988
37,522
133,654,453
9/30/03
ADTRAN INC
926282
3661
1
1
385,220
415,730
593,900,000
12/31/03
VERMILLION, INC.
926617
2835
1
1
512,000
102,000
102,026,000
12/31/03
CANTERBURY PARK HOLDING CORP
926761
7948
3
1
71,200
8,500
22,297,464
12/31/03
ASV INC /MN/
926763
3531
6
0
95,775
18,025
82,624,200
12/31/03
CECIL BANCORP INC
926865
6035
129
0
50,750
7,500
149,599,795
12/31/03
INNKEEPERS USA TRUST/FL
926866
6798
1
1
184,636
52,079
706,739,968
12/31/03
ALABAMA NATIONAL BANCORPORATION
926966
6022
1
1
370,349
217,765
3,820,110,080
12/31/03
ADVANCED ENERGY INDUSTRIES INC
927003
3679
4
1
417,024
37,464
414,731,000
12/31/03
DAVITA INC.
927066
8090
4
1
505,000
155,000
1,945,530,000
12/31/03
AMV LIQUIDATING TRUST
927102
6798
4
1
198,341
82,500
240,500,000
12/31/03
Allied Security Innovations, Inc.
927454
3060
52
0
33,855
12,400
553,946
12/31/03
CAPITAL ONE FINANCIAL CORP
927628
6021
2
1
2,900,000
5,600,000
46,283,706,000
12/31/03
MYMETICS CORP
927761
2836
193
0
30,461
20,547
463,000
12/31/03
Callon Petroleum Co
928022
1311
2
1
157,000
24,900
496,032,000
12/31/03
FEATHERLITE INC
928064
3715
3
1
133,750
46,775
86,600,000
12/31/03
ADUDDELL INDUSTRIES INC
928373
1700
182
0
24,984
18,361
8,239,660
12/31/03
COHESANT TECHNOLOGIES INC
928420
3560
2
1
63,455
28,225
12,282,000
11/30/03
MATTSON TECHNOLOGY INC
928421
3559
1
1
876,000
281,000
207,387,008
12/31/03
COVENANT TRANSPORTATION GROUP INC
928658
4213
4
1
217,500
305,097
354,281,000
12/31/03
BUSINESS OBJECTS S.A.
928753
7372
2
1
2,441,000
249,000
1,775,059,968
12/31/03
PILLARSTONE CAPITAL REIT
928953
6798
98
0
56,400
4,100
6,744,806
12/31/03
WESCO INTERNATIONAL INC
929008
5063
1
1
506,600
754,280
1,161,205,000
12/31/03
YOUNG BROADCASTING INC /DE/
929144
4833
2
1
854,900
834,300
1,061,660,032
12/31/03
MICROTEK MEDICAL HOLDINGS, INC
929299
3842
4
1
189,000
10,363
118,299,000
12/31/03
KNIGHT TRANSPORTATION INC
929452
4213
4
1
108,700
302,707
321,225,984
12/31/03
GLENBOROUGH REALTY TRUST INC
929454
6500
4
1
354,518
53,000
1,405,240,064
12/31/03
CONDOR HOSPITALITY TRUST, INC.
929545
6798
4
1
96,400
96,050
124,949,000
12/31/03
ORPHAN MEDICAL INC
929548
2834
2
1
144,900
53,068
29,322,000
12/31/03
PRICE LEGACY CORP
929647
6798
1
1
218,124
196,201
1,170,889,984
12/31/03
EDEN BIOSCIENCE CORP
930095
5200
4
1
97,855
50,884
40,702,600
12/31/03
VALEANT PHARMACEUTICALS INTERNATIONAL
930184
2834
1
1
2,738,000
1,155,000
1,976,940,032
12/31/03
CKF BANCORP INC
930203
6035
438
0
31,775
4,143
144,984,000
12/31/03
REDWOOD TRUST INC
930236
6798
1
1
284,500
269,237
17,626,770,000
12/31/03
LSB FINANCIAL CORP
930405
6035
8
0
63,500
35,354
319,272,000
12/31/03
KFORCE INC
930420
7363
3
1
201,500
71,378
160,317,000
12/31/03
RECKSON ASSOCIATES REALTY CORP
930548
6798
2
1
476,000
591,000
2,746,990,080
12/31/03
ISTA PHARMACEUTICALS INC
930553
2834
2
1
264,872
13,191
50,182,000
12/31/03
WESTERN SIZZLIN CORP
930686
5812
4
1
120,000
22,785
16,894,100
12/31/03
WESTERN WIRELESS LLC
930738
4812
1
1
1,209,000
291,000
2,521,679,872
12/31/03
HAMMONS JOHN Q HOTELS INC
930796
7011
3
1
290,068
91,910
822,182,976
1/2/04
KIRLIN HOLDING CORP
930797
6211
65
0
66,000
53,000
14,220,400
12/31/03
Polaris Inc.
931015
3790
2
1
300,000
433,000
671,352,000
12/31/03
GRAFTECH INTERNATIONAL LTD
931148
3620
3
1
1,600,000
700,000
967,000,000
12/31/03
DEAN FOODS CO
931336
2020
3
1
3,815,000
4,373,000
6,992,536,000
12/31/03
UNIVERSAL STAINLESS & ALLOY PRODUCTS INC
931584
3312
54
0
86,800
13,500
84,925,000
12/31/03
OCA, INC. / DE /
931702
8000
2
1
684,680
520,200
660,302,976
12/31/03
MAXCOR FINANCIAL GROUP INC
931707
6211
1
1
420,362
329,408
1,663,129,984
12/31/03
CAPTARIS INC
931784
7372
3
1
542,777
96,120
144,755,008
12/31/03
WESTAFF INC
931911
7363
3
1
355,000
70,000
113,147,000
11/1/03
STILLWATER MINING CO /DE/
931948
1090
4
1
322,159
82,470
690,588,032
12/31/03
RSA SECURITY INC/DE/
932064
3577
3
1
598,500
131,000
529,576,992
12/31/03
MICREL INC
932111
3674
1
1
203,350
104,084
337,439,008
12/31/03
For The Earth Corp.
932265
5900
154
0
14,800
4,015
353,352
12/31/03
INSIGHT ENTERPRISES INC
932696
5961
4
1
642,232
244,006
792,124,000
12/31/03
FIRST COMMUNITY CORP /SC/
932781
6022
340
0
21,300
650
215,028,689
12/31/03
RENT A CENTER INC DE
933036
7359
6
0
348,645
386,764
1,831,302,000
12/31/03
CREATIVE HOST SERVICES INC
933098
5812
3
1
152,375
2,500
32,351,100
12/31/03
Mr. Cooper Group Inc.
933136
6199
3
1
6,089,000
9,163,000
275,178,000,000
12/31/03
IBERIABANK CORP
933141
6022
298
0
127,480
79,065
2,115,811,000
12/31/03
ATC Technology CORP
933405
7389
2
1
425,160
176,175
451,862,016
12/31/03
VOXWARE INC
933454
7373
52
0
128,000
30,000
9,128,000
6/30/03
Your Community Bankshares, Inc.
933590
6022
8
0
82,800
20,613
521,315,008
12/31/03
Marvel Entertainment, Inc.
933730
6794
2
1
420,000
295,000
741,857,024
12/31/03
ENGLOBAL CORP
933738
8711
74
0
114,500
70,407
42,530,390
12/31/03
MIRAVANT MEDICAL TECHNOLOGIES
933745
2834
2
1
120,000
29,000
2,405,000
12/31/03
POWERVERDE, INC.
933972
3621
22
0
17,300
1,600
33,637
12/31/03
CYBERSOURCE CORP
934280
7374
2
1
267,500
1,500
54,807,000
12/31/03
FIRST SOUTHERN BANCSHARES, INC.
934302
6035
325
0
84,000
29,000
97,045,000
12/31/03
Digital Generation, Inc.
934448
7389
4
1
221,000
210,000
92,933,000
12/31/03
GENVEC INC
934473
2834
4
1
219,750
134,536
52,684,000
12/31/03
BANK OF KENTUCKY FINANCIAL CORP
934547
6035
8
0
88,200
58,421
815,976,000
12/31/03
ACACIA RESEARCH CORP
934549
6794
1
1
363,000
105,000
90,040,000
12/31/03
SPEEDWAY MOTORSPORTS LLC
934648
7948
3
1
470,000
175,000
1,190,556,000
12/31/03
WELLS FINANCIAL CORP
934739
6035
10
0
112,677
17,985
223,804,992
12/31/03
COMMONWEALTH INDUSTRIES INC/DE/
934747
3350
1
1
518,500
134,900
379,326,016
12/31/03
EVERLAST WORLDWIDE INC
934795
2330
185
0
149,681
99,144
64,256,700
12/31/03
SYSTEMONE TECHNOLOGIES INC
934851
3569
7
0
120,000
41,000
11,272,300
12/31/03
DOWNEY FINANCIAL CORP
935063
6035
4
1
281,600
265,538
11,646,000,128
12/31/03
SHELLS SEAFOOD RESTAURANTS INC
935066
5812
169
0
51,550
22,800
11,616,200
12/28/03
RCI HOSPITALITY HOLDINGS, INC.
935419
5812
131
0
30,891
0
12,255,512
9/30/03
NATIONAL INSTRUMENTS CORP
935494
7372
1
1
325,000
200,000
525,151,000
12/31/03
DOLLAR TREE, INC.
935703
5331
4
1
679,100
349,650
1,480,310,016
2/1/03
PMI GROUP INC
935724
6351
2
1
2,042,000
1,413,000
4,794,289,000
12/31/03
DTE ENERGY CO
936340
4911
3
1
4,528,830
5,120,010
20,753,000,000
12/31/03
LOCKHEED MARTIN CORP
936468
3760
2
1
8,300,000
8,500,000
26,175,000,000
12/31/03
SOURCECORP INC
936931
7389
3
1
334,600
267,000
470,272,992
12/31/03
PCM, INC.
937941
5961
1
1
304,000
41,900
189,170,000
12/31/03
DATASTREAM SYSTEMS INC
938481
7372
4
1
290,974
228,630
84,038,600
12/31/03
EXELIXIS, INC.
939767
8731
2
1
274,940
7,800
357,794,000
12/31/03
LOGANSPORT FINANCIAL CORP
939928
6035
6
0
29,450
10,150
156,824,000
12/31/03
ANADIGICS INC
940332
3674
2
1
355,860
90,390
207,898,000
12/31/03
ENDOCARDIAL SOLUTIONS INC
940659
3841
2
1
88,750
60,078
30,275,600
12/31/03
Hub Group, Inc.
940942
4731
2
1
519,000
2,500
389,567,000
12/31/03
UNS Energy Corp
941138
4911
1
1
903,566
745,987
3,092,130,048
12/31/03
CAMERON INTERNATIONAL CORP
941548
3533
2
1
1,108,400
515,000
2,140,690,048
12/31/03
IMAGEWARE SYSTEMS INC
941685
7372
86
0
65,000
54,349
10,816,334
12/31/03
SMITHWAY MOTOR XPRESS CORP
941914
4213
4
1
94,000
16,055
76,680,000
12/31/03
TAITRON COMPONENTS INC
942126
5065
202
0
42,000
13,900
29,108,000
12/31/03
NEOPHARM INC
942788
2836
4
1
272,852
15,600
46,080,600
12/31/03
NORTHEAST INDIANA BANCORP INC
942898
6035
8
0
53,550
1,550
227,394,532
12/31/03
CCF HOLDING CO
943033
6035
240
0
68,045
16,875
295,784,663
12/31/03
IMAGE SENSING SYSTEMS INC
943034
3829
6
0
42,100
9,374
9,587,000
12/31/03
GREAT AMERICAN BANCORP INC
943064
6035
11
0
40,100
7,856
159,450,000
12/31/03
SUREWEST COMMUNICATIONS
943117
4813
2
1
1,385,000
179,000
435,208,992
12/31/03
FNBH BANCORP INC
943119
6021
4
1
74,000
11,500
449,818,408
12/31/03
TRUMP ENTERTAINMENT RESORTS, INC.
943320
7011
2
1
1,674,000
1,558,000
2,031,430,016
12/31/03
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP
943452
3743
2
1
1,021,800
471,819
656,305,000
12/31/03
MED-DESIGN CORP
943736
3841
1
1
181,569
29,832
28,546,400
12/31/03
SITEL CORP
943820
7389
4
1
651,000
392,000
404,755,008
12/31/03
GOODRICH PETROLEUM CORP
943861
1311
4
1
160,000
123,280
89,182,568
12/31/03
SOCKET MOBILE, INC.
944075
3571
2
1
251,263
166,882
23,265,627
12/31/03
CBIZ, Inc.
944148
7389
4
1
582,500
18,169
402,145,000
12/31/03
AIRNET COMMUNICATIONS CORP
944163
3663
3
1
200,000
121,273
30,056,700
12/31/03
LIFE STORAGE, INC.
944314
6798
2
1
102,242
82,990
683,457,000
12/31/03
Remote Dynamics Inc
944400
4812
3
1
176,682
91,150
56,100,000
8/31/03
THOMASVILLE BANCSHARES INC
944468
6021
123
0
69,200
31,080
205,490,172
12/31/03
GSE SYSTEMS INC
944480
7372
4
1
149,000
109,200
16,536,000
12/31/03
INVENTURE FOODS, INC.
944508
2090
3
1
100,000
10,000
36,580,300
12/27/03
VION PHARMACEUTICALS INC
944522
2836
2
1
104,750
35,560
16,376,000
12/31/03
CET SERVICES INC
944627
4955
6
0
45,378
23,536
5,530,950
12/31/03
HANOVER INSURANCE GROUP, INC.
944695
6331
1
1
1,869,000
713,000
25,112,500,000
12/31/03
Capital Financial Holdings, Inc
944696
6211
259
0
53,335
17,155
15,643,560
12/31/03
UNITED WESTERN BANCORP INC
944725
6022
4
1
525,999
97,225
1,723,920,000
12/31/03
KYZEN CORP
944727
2842
4
1
33,500
9,000
2,365,200
12/31/03
TRANSWITCH CORP /DE
944739
3674
4
1
254,576
560,103
206,306,000
12/31/03
CIVISTA BANCSHARES, INC.
944745
6022
8
0
101,050
153,289
636,423,000
12/31/03
ReAble Therapeutics, Inc.
944763
3842
4
1
517,000
125,000
136,380,000
12/31/03
UNITED BANCSHARES INC /PA
944792
6022
6
0
83,500
22,750
74,717,000
12/31/03
Opko Health, Inc.
944809
2834
7
0
113,000
63,000
11,342,000
12/31/03
TARRANT APPAREL GROUP
944948
2330
6
0
492,000
71,000
253,104,992
12/31/03
SYSTEMAX INC
945114
5084
3
1
777,000
57,000
446,719,000
12/31/03
M & F WORLDWIDE CORP
945235
3728
2
1
520,100
385,200
382,400,000
12/31/03
Service Properties Trust
945394
6798
2
1
298,790
29,225
2,761,601,000
12/31/03
BNCCORP INC
945434
6021
4
1
132,000
43,000
621,477,000
12/31/03
SUNEDISON, INC.
945436
3674
4
1
785,000
716,000
726,752,000
12/31/03
BELL INDUSTRIES INC /NEW/
945489
5065
1
1
185,000
23,500
46,633,000
12/31/03
SPORTSLINE COM INC
945688
7374
2
1
811,150
66,906
75,600,000
12/31/03
DENBURY RESOURCES INC
945764
1311
3
1
294,116
29,758
982,621,000
12/31/03
POOL CORP
945841
5090
2
1
265,000
123,656
450,272,000
12/31/03
Wayside Technology Group, Inc.
945983
5045
39
0
71,905
43,320
20,489,000
12/31/03
ASTEA INTERNATIONAL INC
945989
7372
7
0
145,500
71,200
10,096,000
12/31/03
CAPITAL TRUST HOLDINGS INC.
946090
6022
129
0
80,250
27,250
1,057,849,984
12/31/03
WFS FINANCIAL INC
946343
6141
2
1
437,000
507,205
9,768,760,320
12/31/03
OAKLEY INC
946356
3851
3
1
524,206
1,059,600
434,884,000
12/31/03
ORTHOMETRIX INC
946428
3826
419
0
28,500
0
754,335
12/31/03
BALLANTYNE STRONG, INC.
946454
3861
4
1
102,208
26,107
37,234,767
12/31/03
WINDTREE THERAPEUTICS INC /DE/
946486
2836
2
1
135,000
29,000
32,715,000
12/31/03
RETRACTABLE TECHNOLOGIES INC
946563
3841
1389
0
115,415
10,000
23,630,506
12/31/03
TAKE TWO INTERACTIVE SOFTWARE INC
946581
7372
1
1
2,927,930
1,887,140
707,298,000
10/31/03
AIM ImmunoTech Inc.
946644
2836
7
0
264,917
43,580
13,404,000
12/31/03
FIRST DEFIANCE FINANCIAL CORP
946647
6035
2
1
123,970
55,587
1,040,599,000
12/31/03
BANNER CORP
946673
6022
3
1
399,000
11,900
2,635,313,000
12/31/03
LOUD TECHNOLOGIES INC
946815
3663
4
1
386,900
390,879
50,422,000
12/31/03
VIROPHARMA INC
946840
2834
4
1
173,000
117,880
132,845,000
12/31/03
AMBASSADORS INTERNATIONAL INC
946842
4700
2
1
214,500
78,500
125,050,000
12/31/03
EVERGREEN SOLAR INC
947397
3674
1
1
109,600
20,000
45,976,000
12/31/03
AXS ONE INC
947427
7372
4
1
375,000
17,000
12,150,000
12/31/03
FIRST BANCSHARES INC /MS/
947559
6021
168
0
48,695
24,090
164,941,380
12/31/03
MANGO CAPITAL INC
947969
7373
1218
0
35,500
0
1,339,212
12/31/03
BIRNER DENTAL MANAGEMENT SERVICES INC
948072
8000
74
0
46,597
7,000
22,209,705
12/31/03
PSB HOLDINGS INC /WI/
948368
6022
26
0
52,205
34,710
408,933,000
12/31/03
BOSTONFED BANCORP INC
948515
6035
4
1
255,000
107,267
1,694,979,968
12/31/03
TALK AMERICA HOLDINGS INC
948545
4812
1
1
358,600
9,020
245,923,008
12/31/03
SMITH MICRO SOFTWARE, INC.
948708
7372
3
1
119,000
37,000
6,587,000
12/31/03
PROLIANCE INTERNATIONAL, INC.
948844
3714
1
1
394,973
83,840
157,178,000
12/31/03
MIDWEST AIR GROUP INC
948845
4512
3
1
254,000
203,000
396,239,008
12/31/03
AIRTRAN HOLDINGS INC
948846
4512
2
1
815,000
188,500
808,364,032
12/31/03
COMSYS IT PARTNERS INC
948850
7363
1
1
259,875
600,101
194,360,000
12/28/03
AMERICAN COIN MERCHANDISING INC
949112
7990
4
1
115,681
151,508
184,760,000
12/31/03
AMERITRUST GROUP, INC.
949156
6331
1
1
603,024
78,976
692,265,984
12/31/03
CENTURY ALUMINUM CO
949157
3334
3
1
925,000
514,000
810,326,000
12/31/03
WORLD AIR HOLDINGS, INC.
949240
4522
4
1
542,000
517,000
157,300,992
12/31/03
APAC CUSTOMER SERVICES, INC
949297
7389
3
1
266,572
183,732
134,592,992
12/28/03
CDTI ADVANCED MATERIALS, INC.
949428
3564
121
0
51,500
0
7,441,000
12/31/03
VODAVI TECHNOLOGY INC
949491
3661
308
0
74,500
31,905
18,523,000
12/31/03
HEARST TELEVISION INC.
949536
4833
3
1
1,032,000
197,000
3,799,089,920
12/31/03
ACHIEVE LIFE SCIENCES, INC.
949858
2835
2
1
114,850
10,000
21,468,240
12/31/03
CFC INTERNATIONAL INC
949859
2891
1
1
275,384
131,052
65,514,800
12/31/03
BOSTON BEER CO INC
949870
2082
3
1
126,500
1,456
87,354,000
12/27/03
YOUNG INNOVATIONS INC
949874
3843
4
1
167,000
114,588
101,484,000
12/31/03
OAK HILL FINANCIAL INC
949953
6022
6
0
97,130
48,525
938,281,024
12/31/03
FREEMARKETS INC
949968
7389
1
1
288,300
427,400
183,148,992
12/31/03
META GROUP INC
1000015
8700
3
1
680,583
146,882
86,712,000
12/31/03
TECHNOLOGY FLAVORS & FRAGRANCES INC
1000048
2860
7
0
42,000
52,000
10,391,200
12/31/03
SANDISK CORP
1000180
3572
2
1
482,000
693,000
2,023,510,016
12/28/03
MEDALLION FINANCIAL CORP
1000209
6199
1
1
160,850
163,911
456,494,457
12/31/03
TB WOODS CORP
1000227
3569
6
0
189,500
25,169
76,407,000
1/2/04
HENRY SCHEIN INC
1000228
5047
7
0
1,562,900
875,081
1,819,370,000
12/27/03
OPTICAL CABLE CORP
1000230
3357
4
1
160,500
66,318
30,185,163
10/31/03
IMPERIAL CAPITAL BANCORP, INC.
1000234
6022
2
1
225,250
171,000
1,818,220,032
12/31/03
PATRIOT BANK CORP
1000235
6035
4
1
187,922
302,468
1,043,649,984
12/31/03
PACIFICHEALTH LABORATORIES INC
1000278
2833
121
0
44,500
5,500
3,624,377
12/31/03
IMPAC MORTGAGE HOLDINGS INC
1000298
6798
4
1
605,000
362,000
10,577,957,000
12/31/03
VISUAL NETWORKS INC
1000495
7372
1
1
152,200
0
26,039,000
12/31/03
SCHWEITZER MAUDUIT INTERNATIONAL INC
1000623
2621
3
1
513,609
444,727
635,900,000
12/31/03
BLONDER TONGUE LABORATORIES INC
1000683
3663
7
0
178,075
88,315
47,990,000
12/31/03
NOVAVAX INC
1000694
2836
2
1
263,628
54,885
84,159,000
12/31/03
WATERS CORP /DE/
1000697
3826
1
1
1,343,620
642,985
1,130,861,000
12/31/03
CAREMARK RX INC
1000736
5912
4
1
847,961
1,018,250
2,473,629,952
12/31/03
INSPERITY, INC.
1000753
7363
2
1
222,160
272,865
348,071,000
12/31/03
CD&L INC
1000779
4213
3
1
227,000
166,000
40,352,000
12/31/03
DISH Network CORP
1001082
4841
4
1
584,008
281,433
7,585,018,000
12/31/03
BROADWAY FINANCIAL CORP \DE\
1001171
6035
4
1
148,500
55,750
229,815,000
12/31/03
IDX SYSTEMS CORP
1001185
7373
2
1
819,779
6,900
338,568,992
12/31/03
TRANSMETA CORP
1001193
3674
2
1
623,014
122,692
171,590,000
12/31/03
SANGAMO THERAPEUTICS, INC
1001233
2836
2
1
209,055
33,200
46,232,000
12/31/03
LEXMARK INTERNATIONAL INC /KY/
1001288
3570
1
1
2,107,820
1,265,930
3,450,400,000
12/31/03
NORTHWEST PIPE CO
1001385
3317
1
1
140,000
38,750
280,010,000
12/31/03
EMERITUS CORP\WA\
1001604
8050
4
1
361,100
177,000
178,587,008
12/31/03
BLOUNT INTERNATIONAL INC
1001606
3420
1
1
571,000
817,000
400,400,000
12/31/03
TENGASCO INC
1001614
1311
7
0
209,310
7,250
30,604,240
12/31/03
EGL INC
1001718
4731
1
1
1,575,300
700,168
944,238,016
12/31/03
RIDGESTONE FINANCIAL SERVICES INC
1001791
6022
26
0
43,850
3,810
88,322,704
12/31/03
SOUTHERN COPPER CORP/
1001838
1000
1
1
290,000
12,830
1,930,752,000
12/31/03
FIBERNET TELECOM GROUP INC\
1001868
4813
3
1
170,000
119,400
99,618,000
12/31/03
INTEVAC INC
1001902
3559
6
0
179,000
82,000
55,975,000
12/31/03
ILEX ONCOLOGY INC
1001915
2836
2
1
322,876
200,755
275,095,008
12/31/03
SECURE COMPUTING CORP
1001916
3577
2
1
236,505
45,128
108,475,000
12/31/03
PYRAMID BREWERIES INC
1001917
2082
4
1
83,000
37,000
27,784,000
12/31/03
PIXAR \CA\
1002114
7812
4
1
238,767
93,953
1,000,950,016
1/3/04
SCHLOTZSKYS INC
1002178
5812
6
0
179,139
65,524
125,786,000
12/31/03
ADVENT SOFTWARE INC /DE/
1002225
7371
1
1
463,025
343,020
344,945,984
12/31/03
ACCELRYS, INC.
1002388
7372
2
1
383,518
9,123
239,667,008
12/31/03
MILLION DOLLAR SALOON INC
1002396
7011
113
0
11,718
0
5,080,560
12/31/03
Nuance Communications, Inc.
1002517
7372
1
1
1,438,000
1,614,000
401,940,000
12/31/03
SPEEDUS CORP
1002520
3841
1
1
166,200
70,000
28,510,060
12/31/03
TOLLGRADE COMMUNICATIONS INC \PA\
1002531
7385
1
1
190,850
201,378
153,828,992
12/31/03
EMERGING VISION INC
1002554
5990
415
0
92,500
9,532
6,639,000
12/31/03
EXTENDED STAY AMERICA INC
1002579
7011
1
1
273,413
185,286
2,511,960,064
12/31/03
MILLENNIUM PHARMACEUTICALS INC
1002637
2834
2
1
671,086
583,926
3,010,259,968
12/31/03
DALEEN TECHNOLOGIES INC
1002658
7372
4
1
188,000
32,360
13,026,000
12/31/03
AMEREN CORP
1002910
4931
1
1
780,400
1,080,380
14,233,000,000
12/31/03
ZORAN CORP \DE\
1003022
3674
1
1
487,048
271,311
617,862,016
12/31/03
MOLECULAR DEVICES CORP
1003113
3826
2
1
260,000
428,000
166,912,992
12/31/03
PHARMACEUTICAL PRODUCT DEVELOPMENT, LLC
1003124
8731
3
1
582,000
859,000
775,467,008
12/31/03
LCA VISION INC
1003130
8093
2
1
165,000
80,071
90,037,000
12/31/03
MMA Capital Holdings, Inc.
1003201
6500
1
1
1,976,000
557,000
2,249,619,000
12/31/03
SILICON IMAGE INC
1003214
3670
1
1
407,750
561,069
87,742,000
12/31/03
ENDOCARE INC
1003464
3845
2
1
1,915,740
21,831
71,996,915
12/31/03
HINES HORTICULTURE INC
1003515
100
1
1
220,450
263,605
402,208,000
12/31/03
VIA Pharmaceuticals, Inc.
1003929
2836
2
1
71,500
128,326
10,534,035
12/31/03
PERFORMANCE TECHNOLOGIES INC \DE\
1003950
3576
1
1
67,000
32,000
51,660,000
12/31/03
DAOU SYSTEMS INC
1003989
5990
2
1
190,000
53,000
25,228,000
12/31/03
AFFILIATED MANAGERS GROUP, INC.
1004434
6282
1
1
1,210,000
2,517,000
1,519,205,000
12/31/03
CONSTELLATION ENERGY GROUP INC
1004440
4911
1
1
3,431,000
2,405,900
15,800,699,904
12/31/03
PINNACLE DATA SYSTEMS INC
1004608
7371
3
1
41,710
12,415
8,939,550
12/31/03
OCEANFIRST FINANCIAL CORP
1004702
6035
4
1
171,400
104,600
1,717,409,000
12/31/03
CAPITAL CORP OF THE WEST
1004740
6022
4
1
148,500
21,970
1,234,540,032
12/31/03
CONNETICS CORP
1004960
2834
2
1
421,000
375,500
145,896,992
12/31/03
PG&E Corp
1004980
4931
3
1
6,500,000
1,800,000
30,175,000,000
12/31/03
ARTHROCARE CORP
1005010
3845
1
1
326,088
420,101
138,138,000
12/31/03
MOSSIMO INC
1005181
2320
4
1
84,000
93,000
26,413,000
12/31/03
NORTH CENTRAL BANCSHARES INC
1005188
6035
10
0
64,800
37,310
424,008,992
12/31/03
Assertio Therapeutics, Inc
1005201
2834
2
1
265,000
16,000
47,692,649
12/31/03
SUBURBAN PROPANE PARTNERS LP
1005210
5900
1
1
599,000
796,000
665,630,000
9/27/03
UNIVERSAL DISPLAY CORP \PA\
1005284
3670
4
1
118,000
7,500
46,201,646
12/31/03
LANDEC CORP \CA\
1005286
2033
2
1
411,263
107,962
96,887,000
5/25/03
GA FINANCIAL INC/PA
1005313
6035
4
1
152,728
73,800
890,273,984
12/31/03
GENSYM CORP
1005387
7372
1
1
133,820
12,885
8,286,000
12/31/03
REPUBLIC BANCSHARES INC
1005501
6022
3
1
300,000
35,390
2,832,120,064
12/31/03
WIRELESS XCESSORIES GROUP INC
1005504
3690
207
0
45,000
2,000
4,342,284
12/31/03
CSG SYSTEMS INTERNATIONAL INC
1005757
7374
4
1
640,529
464,545
724,775,000
12/31/03
TOMPKINS FINANCIAL CORP
1005817
6022
4
1
215,500
103,325
1,864,446,000
12/31/03
GE INVISION, INC.
1005969
3844
3
1
445,723
1,010,860
486,068,000
12/31/03
IRIDEX CORP
1006045
3845
1
1
140,000
54,000
35,839,000
1/3/04
PATINA OIL & GAS CORP
1006264
1311
3
1
152,000
90,000
1,196,290,048
12/31/03
CITIZENS FIRST FINANCIAL CORP
1006265
6035
11
0
62,090
14,862
349,515,008
12/31/03
LORAL SPACE & COMMUNICATIONS INC.
1006269
3663
3
1
2,789,000
1,340,000
2,455,741,000
12/31/03
BEAR STATE FINANCIAL, INC.
1006424
6022
3
1
180,230
31,500
690,652,992
12/31/03
Timios National Corp
1006459
6531
65
0
52,500
0
5,507,140
12/31/03
ONYX ACCEPTANCE CORP
1006614
6141
1
1
220,000
222,000
413,815,008
12/31/03
QUALMARK CORP
1006691
3821
271
0
40,715
6,000
3,781,000
12/31/03
NORTHERN CALIFORNIA BANCORP INC
1006820
6022
139
0
55,800
2,100
107,872,000
12/31/03
HC2 HOLDINGS, INC.
1006837
3440
3
1
1,833,910
1,375,460
751,164,000
12/31/03
LONG ISLAND PHYSICIAN HOLDINGS CORP
1006868
8000
1
1
205,000
83,300
45,994,743
12/31/03
JDA SOFTWARE GROUP INC
1006892
7371
3
1
472,192
535,676
320,624,992
12/31/03
MATRIA HEALTHCARE INC
1007228
8082
4
1
373,950
36,635
333,481,984
12/31/03
BANK OF SOUTH CAROLINA CORP
1007273
6022
4
1
45,000
11,185
187,342,649
12/31/03
PRGX GLOBAL, INC.
1007330
8700
4
1
886,029
752,613
426,049,000
12/31/03
TVC TELECOM INC
1007367
7372
56
0
68,000
0
1,099,801
12/31/03
ELECTRONIC DATA SYSTEMS CORP /DE/
1007456
7370
4
1
10,500,000
8,600,000
18,279,999,488
12/31/03
AFFINITY TECHNOLOGY GROUP INC
1007508
6794
191
0
27,500
0
618,002
12/31/03
KVH INDUSTRIES INC \DE\
1007587
3663
4
1
258,000
79,340
34,071,202
12/31/03
HUMBOLDT BANCORP
1008554
6022
4
1
280,788
165,225
1,044,560,000
12/31/03
HIGHLANDS BANKSHARES INC /VA/
1008579
6022
303
0
69,000
29,251
543,416,000
12/31/03
TUPPERWARE BRANDS CORP
1008654
3089
1
1
1,894,320
1,509,130
889,900,000
12/27/03
SAPIENT CORP
1008817
7373
1
1
562,518
131,567
226,900,000
12/31/03
V ONE CORP/ DE
1008946
7372
44
0
45,000
24,000
885,471
12/31/03
FNB BANCSHARES INC /SC/
1009162
6021
29
0
26,835
19,691
76,552,704
12/31/03
MEXICAN RESTAURANTS INC
1009244
5812
4
1
115,000
156,370
25,861,000
12/28/03
I2 TECHNOLOGIES INC
1009304
7372
3
1
6,625,260
804,098
430,374,000
12/31/03
SALIX PHARMACEUTICALS LTD
1009356
2834
2
1
145,000
43,500
90,852,000
12/31/03
METROPOLITAN HEALTH NETWORKS INC
1009379
8011
56
0
285,513
81,724
9,223,730
12/31/03
DIGITAL VIDEO SYSTEMS INC
1009395
3651
297
0
271,800
60,000
58,771,000
12/31/03
HLTH CORP
1009575
7374
2
1
2,449,280
482,360
2,135,309,952
12/31/03
BROCADE COMMUNICATIONS SYSTEMS INC
1009626
3576
4
1
304,000
708,000
1,323,949,952
10/25/03
HALL KINION & ASSOCIATES INC
1009657
7363
3
1
356,441
329,632
55,043,000
12/28/03
CARBO CERAMICS INC
1009672
3290
2
1
225,350
97,253
235,124,000
12/31/03
MAJOR AUTOMOTIVE COMPANIES INC
1009779
5500
7
0
452,000
0
87,612,896
12/31/03
JAKKS PACIFIC INC
1009829
3944
646
0
656,792
347,669
529,997,000
12/31/03
AIR INDUSTRIES GROUP
1009891
3728
254
0
50,000
10,437
1,754,887
12/31/03
COMMERCIAL BANCSHARES INC \OH\
1009976
6022
9
0
23,000
0
272,840,000
12/31/03
SIGA TECHNOLOGIES INC
1010086
2834
1
1
203,150
62,700
6,099,580
12/31/03
FPIC INSURANCE GROUP INC
1010247
6331
1
1
675,000
346,000
1,183,129,984
12/31/03
PHYSIOMETRIX INC
1010397
3845
2
1
103,500
13,370
8,772,200
12/31/03
POLYCOM INC
1010552
3661
1
1
819,000
721,000
1,103,789,952
12/31/03
CHINA LONGYI GROUP INTERNATIONAL HOLDINGS LTD
1010566
7389
615
0
45,000
10,000
2,547,027
12/31/03
SYKES ENTERPRISES INC
1010612
7373
3
1
1,000,660
1,125,830
313,254,000
12/31/03
ZOMAX INC /MN/
1010788
3652
3
1
208,590
203,051
181,632,992
12/26/03
SUNRISE SENIOR LIVING INC
1011064
8050
2
1
1,000,000
1,090,000
1,009,800,000
12/31/03
ACRE REALTY INVESTORS INC
1011109
6798
3
1
149,000
86,525
177,739,008
12/31/03
BRE PROPERTIES INC /MD/
1011174
6798
2
1
447,229
460,183
2,227,960,064
12/31/03
99 CENTS ONLY STORES LLC
1011290
5331
1
1
263,100
229,525
553,238,016
12/31/03
FOOTSTAR INC
1011308
2834
4
1
900,000
16,800
664,700,000
1/3/04
UNITED FINANCIAL CORP \MN\
1011309
6022
13
0
71,645
14,264
304,724,000
12/31/03
PACKETEER INC
1011344
7373
4
1
327,915
141,330
104,699,000
12/31/03
Golden Minerals Co
1011509
1040
1
1
97,400
138,000
146,167,000
12/31/03
TITANIUM METALS CORP
1011657
3341
1
1
552,000
68,900
567,409,024
12/31/03
SS&C TECHNOLOGIES INC
1011661
7372
1
1
180,412
199,382
82,585,000
12/31/03
AIRNET SYSTEMS INC
1011696
4512
2
1
191,485
53,390
153,272,992
12/31/03
PRENTISS PROPERTIES TRUST/MD
1011699
6798
1
1
338,900
86,366
2,196,470,016
12/31/03
D&E COMMUNICATIONS INC
1011737
4813
1
1
360,000
452,000
574,248,000
12/31/03
Web Blockchain Media, Inc.
1011901
7373
2
1
126,900
14,888
2,693,975
12/31/03
RUSH ENTERPRISES INC \TX\
1012019
5500
2
1
190,375
100,500
366,878,000
12/31/03
SEALED AIR CORP/DE
1012100
2820
4
1
3,931,000
1,851,000
4,704,100,000
12/31/03
BAYCORP HOLDINGS LTD
1012127
4911
257
0
40,600
21,600
12,904,000
12/31/03
NOVT CORP
1012131
3845
2
1
502,000
325,000
61,407,000
12/31/03
ONYX PHARMACEUTICALS INC
1012140
2836
2
1
260,000
54,000
109,138,000
12/31/03
TIMCO AVIATION SERVICES INC
1012159
4581
4
1
457,000
9,000
152,891,008
12/31/03
COLLAGENEX PHARMACEUTICALS INC
1012270
2834
4
1
191,500
43,870
43,305,000
12/31/03
GENESEE & WYOMING INC
1012620
4011
1
1
689,200
280,300
627,173,000
12/31/03
FBL FINANCIAL GROUP INC
1012771
6311
2
1
602,000
82,000
7,949,070,000
12/31/03
BOSTON COMMUNICATIONS GROUP INC
1012887
4812
2
1
185,200
9,000
154,591,008
12/31/03
MERISTAR HOSPITALITY CORP
1012967
6798
4
1
250,975
315,612
2,487,940,096
12/31/03
XYBERNAUT CORP
1013148
3576
6
0
127,000
127,322
20,820,100
12/31/03
ICT GROUP INC
1013149
7363
4
1
206,000
261,000
135,712,000
12/31/03
WELLPOINT HEALTH NETWORKS INC /DE/
1013220
6324
1
1
3,806,820
1,077,470
14,788,700,160
12/31/03
ARADIGM CORP
1013238
3845
2
1
247,000
6,000
95,218,000
12/31/03
AAIPHARMA INC
1013243
8734
2
1
1,905,870
1,174,670
534,596,992
12/31/03
YADKIN VALLEY CO
1013266
6311
4
1
23,100
7,000
23,886,064
12/31/03
NORWOOD FINANCIAL CORP
1013272
6022
122
0
68,903
15,420
387,483,000
12/31/03
ANSYS INC
1013462
7372
3
1
178,000
237,000
179,346,000
12/31/03
BJs RESTAURANTS INC
1013488
5812
2
1
155,500
3,500
83,705,000
12/28/03
PARK BANCORP INC
1013554
6035
8
0
50,250
18,275
266,063,008
12/31/03
ENDOLOGIX INC /DE/
1013606
3841
1
1
150,360
0
35,343,000
12/31/03
SCPIE HOLDINGS INC
1013609
6399
2
1
465,000
235,800
991,249,984
12/31/03
CHANNELL COMMERCIAL CORP
1013696
3669
6
0
353,167
495,310
53,965,000
12/31/03
Wilhelmina International, Inc.
1013706
8742
224
0
82,381
0
13,036,000
12/31/03
ZONES INC
1013786
5961
1
1
212,590
116,722
92,885,000
12/31/03
ARDEN REALTY INC
1013794
6798
2
1
545,000
188,000
2,741,430,016
12/31/03
PEGASYSTEMS INC
1013857
7374
3
1
473,000
173,000
184,728,000
12/31/03
NRG ENERGY, INC.
1013871
4911
1
1
4,245,930
685,037
9,244,987,000
12/31/03
TTEC Holdings, Inc.
1013880
7363
2
1
1,711,000
836,000
554,816,000
12/31/03
Strategic Education, Inc.
1013934
8200
1
1
174,620
38,842
182,556,000
12/31/03
GlassBridge Enterprises, Inc.
1014111
6282
1
1
1,083,240
287,564
1,172,800,000
12/31/03
ONYX SOFTWARE CORP/WA
1014383
7372
4
1
331,500
93,000
41,425,000
12/31/03
VERISIGN INC/CA
1014473
7371
4
1
1,585,000
1,756,000
2,100,217,000
12/31/03
CALIPER LIFE SCIENCES INC
1014672
3826
2
1
713,000
216,000
168,036,000
12/31/03
Old Point.360
1014733
7819
75
0
84,595
9,293
64,744,000
12/31/03
Option Care Health, Inc.
1014739
8082
2
1
260,000
124,590
171,191,000
12/31/03
SOUTH STREET FINANCIAL CORP
1014964
6036
1436
0
67,000
7,500
220,154,000
12/31/03
CHARLES & COLVARD LTD
1015155
3910
3
1
100,000
23,000
46,447,288
12/31/03
HOUSTON EXPLORATION CO
1015293
1382
3
1
474,568
77,845
1,509,059,968
12/31/03
WINTRUST FINANCIAL CORP
1015328
6022
2
1
413,385
166,215
4,747,398,000
12/31/03
AVAX TECHNOLOGIES INC
1015441
2836
2
1
56,670
0
3,620,197
12/31/03
CNET NETWORKS INC
1015577
7389
4
1
732,896
296,281
351,843,008
12/31/03
RIVER VALLEY BANCORP
1015593
6035
11
0
46,794
30,363
255,076,000
12/31/03
GOLD BANC CORP INC
1015610
6021
4
1
345,000
384,000
4,322,630,144
12/31/03
AWARE INC /MA/
1015739
7372
1
1
119,500
18,237
51,024,000
12/31/03
ST JOSEPH CAPITAL CORP
1015856
6022
9
0
55,125
32,435
288,257,984
12/31/03
CLOSURE MEDICAL CORP
1016006
3841
1
1
85,000
22,500
53,768,000
12/31/03
ULTIMATE SOFTWARE GROUP INC
1016125
7372
4
1
195,000
52,800
35,812,000
12/31/03
Wi-Tron, Inc.
1016151
3679
461
0
18,000
0
584,199
12/31/03
CORNELL COMPANIES, INC.
1016152
8744
1
1
302,000
174,875
448,156,992
12/31/03
ANTARES PHARMA, INC.
1016169
3841
4
1
205,395
41,143
5,954,853
12/31/03
DURA AUTOMOTIVE SYSTEMS INC
1016177
3714
3
1
3,889,000
2,454,000
2,115,430,016
12/31/03
DIAL CORP /NEW/
1016179
2840
3
1
723,000
433,000
1,264,259,968
12/31/03
LCC INTERNATIONAL INC
1016229
4812
4
1
571,000
321,000
118,591,000
12/31/03
NATIONAL PROCESSING INC
1016277
7389
2
1
375,000
65,000
621,974,016
12/31/03
CARRIAGE SERVICES INC
1016281
7200
4
1
204,500
4,500
699,611,000
12/31/03
PYR ENERGY CORP
1016289
1311
397
0
28,352
2,150
9,089,900
8/31/03
SRS LABS INC
1016470
6794
7
0
193,337
16,272
31,491,300
12/31/03
LQ CORP INC
1016613
7373
33
0
42,500
12,780
9,269,000
12/31/03
DOCUMENT SCIENCES CORP
1016831
7372
2
1
216,576
0
17,623,600
12/31/03
R&G FINANCIAL CORP
1016933
6022
1
1
650,000
154,000
8,198,880,256
12/31/03
PROLONG INTERNATIONAL CORP
1016965
2990
202
0
84,380
12,150
11,587,300
12/31/03
UNIVISION COMMUNICATIONS INC
1017008
4833
2
1
1,737,000
457,000
7,642,919,936
12/31/03
CNL Hotels & Resorts, Inc.
1017022
6519
1
1
508,776
339,689
3,876,978,000
12/31/03
Prescient Applied Intelligence, Inc.
1017137
7371
4
1
132,000
0
1,431,660
12/31/03
STEAKHOUSE PARTNERS INC
1017156
5812
75
0
102,500
1,500
17,763,206
12/30/03
CAPITAL TITLE GROUP INC
1017158
6361
4
1
326,000
72,910
101,686,000
12/31/03
Authorize.Net Holdings, Inc.
1017172
4812
3
1
290,000
133,000
177,836,000
12/31/03
NMT MEDICAL INC
1017259
3841
2
1
148,000
110,000
44,122,400
12/31/03
TRANSACT TECHNOLOGIES INC
1017303
3577
1
1
144,700
67,225
26,361,000
12/31/03
SEELOS THERAPEUTICS, INC.
1017491
2834
1
1
151,344
113,084
23,133,679
12/31/03
TONNER-ONE WORLD HOLDINGS, INC.
1017616
3942
161
0
65,500
14,000
6,697,000
12/31/03
DOVER MOTORSPORTS INC
1017673
7900
4
1
264,173
8,602
257,485,000
12/31/03
SUN BANCORP INC /NJ/
1017793
6029
3
1
307,000
108,000
2,599,490,048
12/31/03
EDGEWATER TECHNOLOGY INC/DE/
1017968
7370
3
1
169,162
314,467
86,531,000
12/31/03
INGRAM MICRO INC
1018003
5045
1
1
2,290,770
1,216,300
5,474,160,128
1/3/04
CARRIER ACCESS CORP
1018074
3661
4
1
186,000
105,860
107,542,000
12/31/03
MILLENNIUM CHEMICALS INC
1018099
2810
1
1
2,134,440
1,110,820
2,398,000,128
12/31/03
WILLIS LEASE FINANCE CORP
1018164
5080
4
1
370,440
50,200
560,022,000
12/31/03
L-1 IDENTITY SOLUTIONS, INC.
1018332
7373
7
0
178,500
333,445
54,480,000
12/31/03
ENTERPRISE BANCORP INC /MA/
1018399
6022
4
1
137,000
58,798
751,545,000
12/31/03
COX RADIO INC
1018522
4832
3
1
333,500
434,365
2,277,029,888
12/31/03
AMAZON COM INC
1018724
5961
2
1
1,700,000
550,000
2,162,033,000
12/31/03
QUADRAMED CORP
1018833
7371
7
0
410,600
16,500
133,155,000
12/31/03
HEALTHTRONICS, INC.
1018871
3845
2
1
341,500
332,575
106,883,000
12/31/03
STEINER LEISURE Ltd
1018946
7200
2
1
354,000
3,000
165,604,992
12/31/03
KOS PHARMACEUTICALS INC
1018952
2834
2
1
346,511
18,137
337,614,016
12/31/03
ALLEGHENY TECHNOLOGIES INC
1018963
3317
2
1
1,538,000
676,000
1,884,900,000
12/31/03
EMPIRE RESOURCES INC /NEW/
1019272
5051
121
0
108,500
96,475
74,504,000
12/31/03
WALKING CO HOLDINGS, INC.
1019439
5651
3
1
135,000
0
42,582,000
12/31/03
CENTRUE FINANCIAL CORP
1019650
6021
8
0
123,800
78,788
793,422,016
12/31/03
ARQULE INC
1019695
2834
1
1
173,500
200,620
128,424,000
12/31/03
NAVIGANT CONSULTING INC
1019737
8742
4
1
555,000
105,000
255,316,000
12/31/03
PURADYN FILTER TECHNOLOGIES INC
1019787
3714
2
1
111,221
39,384
3,999,440
12/31/03
MOONEY AEROSPACE GROUP LTD
1019825
3721
86
0
165,000
10,000
17,813,000
12/31/03
CERUS CORP
1020214
3841
2
1
240,500
123,100
118,463,000
12/31/03
SABRE HOLDINGS CORP
1020265
4700
2
1
1,549,210
1,058,640
2,956,150,016
12/31/03
ALLIN CORP
1020391
7373
305
0
50,000
32,864
9,156,000
12/31/03
KROLL INC
1020476
7381
3
1
1,356,780
430,080
679,609,024
12/31/03
IRON MOUNTAIN INC
1020569
6798
3
1
847,000
814,000
3,892,099,000
12/31/03
OMTOOL LTD
1020579
7372
1
1
135,000
60,075
10,491,900
12/31/03
DXP ENTERPRISES INC
1020710
5084
74
0
97,500
40,890
48,375,000
12/31/03
SUPERIOR CONSULTANT HOLDINGS CORP
1020999
8742
6
0
153,611
46,360
53,853,000
12/31/03
EDGE PETROLEUM CORP
1021010
1311
4
1
317,500
0
118,012,000
12/31/03
METRIS COMPANIES INC
1021061
6141
4
1
3,124,580
496,177
1,392,400,000
12/31/03
GUITAR CENTER, INC.
1021113
5731
4
1
399,000
221,000
460,871,008
12/31/03
BBQ HOLDINGS, INC.
1021270
5812
6
0
58,250
92,056
73,767,000
12/28/03
hopTo Inc.
1021435
7372
7
0
104,100
17,000
2,562,000
12/31/03
NU SKIN ENTERPRISES, INC.
1021561
5122
1
1
946,608
1,676,350
591,059,000
12/31/03
OGE ENERGY CORP.
1021635
4911
2
1
789,326
1,120,140
4,584,700,000
12/31/03
INTELIDATA TECHNOLOGIES CORP
1021810
7373
3
1
182,500
30,000
44,336,000
12/31/03
DELTA FINANCIAL CORP
1021848
6163
4
1
467,625
373,908
256,991,008
12/31/03
NATIONAL OILWELL VARCO INC
1021860
3533
2
1
1,162,000
1,273,000
2,242,736,000
12/31/03
QUEST DIAGNOSTICS INC
1022079
8071
1
1
1,210,020
349,689
4,301,418,000
12/31/03
HOME CITY FINANCIAL CORP
1022103
6036
11
0
60,600
19,185
151,784,000
12/31/03
TRAMMELL CROW CO
1022438
6510
2
1
820,355
225,189
630,126,016
12/31/03
DELTIC TIMBER CORP
1022469
2421
4
1
115,400
113,690
314,310,016
12/31/03
TUMBLEWEED COMMUNICATIONS CORP
1022509
7372
4
1
390,500
0
56,346,000
12/31/03
NCO GROUP INC
1022608
7320
2
1
505,000
1,000,000
946,110,976
12/31/03
INSEEGO CORP.
1022652
3669
4
1
260,500
0
24,421,000
12/31/03
STEEL DYNAMICS INC
1022671
3312
2
1
280,000
217,000
1,448,439,000
12/31/03
NEOMEDIA TECHNOLOGIES INC
1022701
7373
86
0
119,000
0
3,876,000
12/31/03
CARDINAL BANKSHARES CORP
1022759
6022
275
0
55,912
36,368
186,412,000
12/31/03
BRILLIANT DIGITAL ENTERTAINMENT INC
1022844
7372
7
0
76,000
2,600
5,443,000
12/31/03
PANAVISION INC
1022911
3861
2
1
1,220,000
73,000
621,921,984
12/31/03
SANCHEZ COMPUTER ASSOCIATES INC
1022926
7373
4
1
196,500
134,224
101,738,000
12/31/03
ANI PHARMACEUTICALS INC
1023024
2834
3
1
36,000
38,425
9,565,470
12/31/03
LITHIA MOTORS INC
1023128
5500
4
1
355,000
13,190
1,102,782,000
12/31/03
COVANCE INC
1023131
8731
2
1
649,748
176,320
807,625,024
12/31/03
Energy Future Holdings Corp /TX/
1023291
4911
3
1
5,462,000
2,185,000
31,686,000,640
12/31/03
FORRESTER RESEARCH, INC.
1023313
8700
3
1
205,000
5,000
310,975,000
12/31/03
POWERWAVE TECHNOLOGIES INC
1023362
3663
3
1
265,925
689,054
466,256,992
12/28/03
BEXIL CORP
1023714
6799
142
0
11,750
6,700
20,542,300
12/31/03
BPZ RESOURCES, INC.
1023734
1311
74
0
65,420
8,460
1,154,000
12/31/03
STEWARDSHIP FINANCIAL CORP
1023860
6022
4
1
61,000
20,500
401,768,000
12/31/03
LARSCOM INC
1024047
3669
1
1
162,000
134,780
23,700,000
12/31/03
POWER EFFICIENCY CORP
1024075
4932
460
0
44,100
3,275
2,842,190
12/31/03
PERNIX THERAPEUTICS HOLDINGS, INC.
1024126
2834
7
0
181,038
106,861
61,548,000
12/31/03
BEVERLY HILLS BANCORP INC
1024321
6022
3
1
407,000
561,000
975,282,000
12/31/03
VITA FOOD PRODUCTS INC
1024342
2090
7
0
158,444
14,500
29,084,400
12/31/03
ZAP
1024628
3751
885
0
71,500
0
7,154,000
12/31/03
WEST CORP
1024657
7389
3
1
268,350
744,499
1,015,859,968
12/31/03
TENNECO INC
1024725
3714
3
1
2,971,000
2,743,000
2,795,000,000
12/31/03
IGATE CORP
1024732
7371
1
1
386,000
406,000
180,940,000
12/31/03
MODEM MEDIA INC
1024787
7389
1
1
421,000
128,500
142,935,008
12/31/03
HELIOS TECHNOLOGIES, INC.
1024795
3490
1
1
153,550
4,860
63,302,000
12/27/03
W. P. Carey Inc.
1025378
6798
1
1
508,900
1,147,300
906,505,000
12/31/03
NATROL INC
1025573
2833
3
1
261,875
109,134
51,439,000
12/31/03
ENTERPRISE FINANCIAL SERVICES CORP
1025835
6022
4
1
127,200
115,658
907,726,204
12/31/03
NOVATION COMPANIES, INC.
1025953
6531
3
1
408,047
718,082
1,399,957,000
12/31/03
KILROY REALTY CORP
1025996
6798
3
1
385,667
501,755
1,512,635,000
12/31/03
FEDERAL HOME LOAN MORTGAGE CORP
1026214
6111
1
1
46,105,600
1,837,980
803,449,012,224
12/31/03
GENERAL BEARING CORP
1026221
3562
233
0
246,000
89,000
70,247,000
1/3/04
ERESEARCHTECHNOLOGY INC /DE/
1026650
8734
4
1
193,000
121,245
91,978,000
12/31/03
CORE MOLDING TECHNOLOGIES INC
1026655
3089
3
1
184,740
44,245
56,151,523
12/31/03
EPIQ SYSTEMS INC
1027207
7371
3
1
97,040
244,916
141,927,008
12/31/03
MID-STATE BANCSHARES
1027324
6022
1
1
261,000
153,110
2,208,829,952
12/31/03
MACROVISION CORP
1027443
7373
4
1
586,350
449,261
385,566,016
12/31/03
AMERIPATH INC
1027532
8071
2
1
597,981
1,074,920
912,753,000
12/31/03
MICHIGAN HERITAGE BANCORP INC
1027623
6022
9
0
58,530
17,444
145,383,008
12/31/03
EPIX Pharmaceuticals, Inc.
1027702
2834
2
1
182,320
33,320
81,874,704
12/31/03
HEALTH GRADES INC
1027915
7389
6
0
61,988
0
8,821,240
12/31/03
PACIFICARE HEALTH SYSTEMS INC /DE/
1027974
6324
2
1
3,242,000
1,453,000
4,619,299,840
12/31/03
AMERICAN DENTAL PARTNERS INC
1028087
8090
1
1
253,800
16,000
149,072,000
12/31/03
FIDELITY BANKSHARES INC
1028336
6035
3
1
248,700
83,300
3,048,219,904
12/31/03
COVANSYS CORP
1028461
7371
1
1
905,000
593,000
316,271,008
12/31/03
AMICAS, Inc.
1028584
7372
7
0
309,900
395,400
132,576,000
12/31/03
COBIZ FINANCIAL INC
1028734
6021
3
1
221,244
110,725
1,403,877,000
12/31/03
CHAMPION COMMUNICATION SERVICES INC
1028921
4899
151
0
49,600
8,207
2,980,749
12/31/03
SB ONE BANCORP
1028954
6022
122
0
55,376
10,508
240,617,000
12/31/03
Sooner Holdings, Inc.
1029023
1311
6
0
181,415
243,815
67,235,000
12/31/03
HEMLOCK FEDERAL FINANCIAL CORP
1029654
6035
8
0
57,250
24,976
318,774,016
12/31/03
LADENBURG THALMANN FINANCIAL SERVICES INC.
1029730
6211
121
0
178,000
78,000
44,644,000
12/31/03
SONIC FOUNDRY INC
1029744
3663
2
1
157,650
33,380
22,801,000
9/30/03
NATIONWIDE FINANCIAL SERVICES INC/
1029786
6311
4
1
3,035,780
647,666
111,027,003,392
12/31/03
URSTADT BIDDLE PROPERTIES INC
1029800
6798
2
1
187,500
159,994
392,718,000
10/31/03
UNIVEC INC
1029825
3841
380
0
98,794
14,199
4,692,691
12/31/03
HILLMAN COMPANIES INC
1029831
5080
1
1
145,000
84,296
355,833,000
12/31/03
VASCULAR SOLUTIONS LLC
1030206
3841
2
1
66,000
6,574
12,992,200
12/31/03
NGEN, INC.
1030339
3826
2
1
144,740
146,360
43,849,000
12/31/03
RENAISSANCE LEARNING INC
1030484
7372
3
1
126,000
36,727
159,431,008
12/31/03
CURAGEN CORP
1030653
8731
3
1
120,000
55,800
376,956,992
12/31/03
GULFMARK OFFSHORE INC
1030749
3533
2
1
187,000
95,885
574,675,000
12/31/03
StarTek, Inc.
1031029
7363
2
1
192,950
8,050
153,607,000
12/31/03
GROUP 1 AUTOMOTIVE INC
1031203
5500
2
1
873,328
142,735
1,488,165,000
12/31/03
PINNACLE BANKSHARES CORP
1031233
6021
4
1
55,800
11,900
206,344,000
12/31/03
Global Self Storage, Inc.
1031235
6798
142
0
16,250
4,250
28,780,107
12/31/03
ENTRUST INC
1031283
7371
2
1
262,372
130,443
148,752,000
12/31/03
FIRSTENERGY CORP
1031296
4911
1
1
4,432,640
431,766
32,909,948,000
12/31/03
RADIOLOGIX INC
1031329
8090
2
1
452,700
452,700
279,136,000
12/31/03
GULF ISLAND FABRICATION INC
1031623
3440
2
1
88,000
69,000
140,316,000
12/31/03
SPACEDEV, INC.
1031833
3760
2520
0
55,025
12,943
1,084,820
12/31/03
Echo Therapeutics, Inc.
1031927
3845
176
0
55,700
17,180
6,889,242
12/31/03
COPPER MOUNTAIN NETWORKS INC
1031951
3661
3
1
103,464
10,375
30,004,000
12/31/03
SLM Corp
1032033
6141
1
1
2,813,340
3,820,670
64,610,651,000
12/31/03
SEMPRA ENERGY
1032208
4932
3
1
6,043,000
2,736,000
22,009,000,000
12/31/03
FF-TSY Holding CO II, LLC
1032462
6798
3
1
414,500
24,700
554,529,024
12/31/03
FLAGSTAR BANCORP INC
1033012
6035
6
0
425,000
37,735
10,570,193,000
12/31/03
PRAECIS PHARMACEUTICALS INC
1033025
2834
2
1
133,000
52,230
212,478,000
12/31/03
LUMINEX CORP
1033905
3841
2
1
106,000
15,750
53,294,000
12/31/03
SBA COMMUNICATIONS CORP
1034054
6798
2
1
1,654,000
314,000
982,982,000
12/31/03
ECLIPSYS CORP
1034088
7373
1
1
714,870
105,942
295,783,008
12/31/03
RC2 CORP
1034239
5090
4
1
374,641
62,639
381,828,992
12/31/03
NOBLE INTERNATIONAL, LTD.
1034258
3714
3
1
175,500
779,352
142,983,008
12/31/03
OMNICOMM SYSTEMS INC
1034592
7389
283
0
35,000
5,000
287,629
6/30/03
BAY BANKS OF VIRGINIA INC
1034594
6022
152
0
40,000
22,600
290,710,625
12/31/03
WAYPOINT FINANCIAL CORP
1034650
6036
4
1
518,770
289,300
5,329,900,032
12/31/03
FISHER COMMUNICATIONS INC
1034669
4833
1
1
437,571
107,448
396,684,992
12/31/03
BRIGHAM EXPLORATION CO
1034755
1311
1
1
272,300
0
224,216,000
12/31/03
RIGEL PHARMACEUTICALS INC
1034842
2834
2
1
303,000
5,000
55,524,000
12/31/03
VALERO ENERGY CORP/TX
1035002
2911
2
1
2,429,530
1,285,580
15,664,200,000
12/31/03
SHORE BANCSHARES INC
1035092
6021
129
0
82,181
22,200
705,378,995
12/31/03
iVOW, Inc.
1035181
8090
2
1
96,000
13,000
2,991,161
12/31/03
GEVITY HR INC
1035185
8741
3
1
361,652
287,517
321,564,000
12/31/03
CALIFORNIA WATER SERVICE GROUP
1035201
4941
4
1
379,000
0
873,035,000
12/31/03
INTUITIVE SURGICAL INC
1035267
3842
2
1
1,341,000
99,000
314,994,000
12/31/03
FOX & HOUND RESTAURANT GROUP
1035374
5812
4
1
87,200
8,500
67,612,496
12/30/03
ALEXANDRIA REAL ESTATE EQUITIES, INC.
1035443
6798
2
1
218,000
245,000
1,272,577,000
12/31/03
AB WATLEY GROUP INC
1035632
6211
65
0
174,000
30,000
6,941,680
9/30/03
NSTAR/MA
1035675
4911
1
1
912,035
123,894
6,320,659,968
12/31/03
PROVIDIAN FINANCIAL CORP
1035713
6021
2
1
1,972,000
653,000
14,275,300,352
12/31/03
AmNet Mortgage, Inc.
1035744
6798
1
1
290,000
0
502,196,000
12/31/03
VAIL BANKS INC
1035770
6022
900
0
89,000
72,000
575,609,984
12/31/03
JOURNAL REGISTER CO
1035815
2711
2
1
663,300
465,500
693,059,968
12/28/03
NETBANK INC
1035826
6036
2
1
803,471
239,407
4,716,899,840
12/31/03
COMMSCOPE INC
1035884
3663
3
1
343,561
618,606
739,780,992
12/31/03
CIMNET INC/PA
1035901
7372
122
0
37,912
29,625
4,182,470
12/31/03
FNCB Bancorp, Inc.
1035976
6021
251
0
42,800
13,361
816,303,000
12/31/03
COMFORT SYSTEMS USA INC
1035983
1731
2
1
592,100
82,200
351,110,000
12/31/03
DOBSON COMMUNICATIONS CORP
1035985
4812
4
1
923,000
85,750
3,478,939,904
12/31/03
Identiv, Inc.
1036044
3577
3
1
816,874
318,500
96,442,000
12/31/03
StellarOne CORP
1036070
6022
152
0
76,775
59,095
1,387,209,984
12/31/03
NEW CENTURY TRS HOLDINGS INC
1036075
6162
4
1
705,900
920,059
8,934,880,256
12/31/03
INTEST CORP
1036262
3825
4
1
216,784
38,112
29,977,000
12/31/03
AEROCENTURY CORP
1036848
7359
1
1
90,000
14,020
73,659,210
12/31/03
FAIRCHILD SEMICONDUCTOR INTERNATIONAL INC
1036960
3674
4
1
814,353
133,547
2,258,500,096
12/28/03
Diadexus, Inc.
1036968
2834
4
1
675,000
4,000
94,464,000
12/31/03
ORBIT FR INC
1037115
3825
741
0
75,539
12,500
11,260,000
12/31/03
PEOPLES COMMUNITY CAPITAL CORP
1037249
6022
41
0
16,200
5,375
109,128,000
12/31/03
DIGITAL INSIGHT CORP
1037275
7389
1
1
290,625
679,085
348,812,000
12/31/03
GRIFFIN INDUSTRIAL REALTY, INC.
1037390
6500
1
1
187,687
99,798
145,721,000
11/29/03
BOSTON PROPERTIES INC
1037540
6798
1
1
783,165
806,938
8,551,100,000
12/31/03
AMEN PROPERTIES INC
1037599
6798
260
0
71,219
8,069
15,056,891
12/31/03
INTERLEUKIN GENETICS INC
1037649
2835
6
0
39,000
14,850
5,458,440
12/31/03
PELICAN FINANCIAL INC
1037652
6021
8
0
115,745
10,500
221,516,000
12/31/03
ARCH COAL INC
1037676
1221
2
1
1,072,940
55,012
2,387,649,000
12/31/03
CEPHEID
1037760
3826
2
1
257,118
17,500
41,558,000
12/31/03
AMETEK INC/
1037868
3621
2
1
1,191,000
267,000
1,214,847,000
12/31/03
PRIORITY HEALTHCARE CORP
1037975
5122
1
1
182,200
77,440
514,008,992
1/3/04
JONES LANG LASALLE INC
1037976
6531
4
1
2,796,000
961,000
942,940,000
12/31/03
SILICON LABORATORIES INC.
1038074
3674
2
1
239,700
205,300
378,095,000
1/3/04
HESKA CORP
1038133
2835
4
1
246,244
87,130
38,896,000
12/31/03
BANK OF THE OZARKS INC
1038205
6022
2
1
151,280
36,500
1,386,529,000
12/31/03
TARRAGON CORP
1038217
6798
6
0
298,771
24,152
623,817,024
12/31/03
Reis, Inc.
1038222
7389
2
1
369,220
125,000
285,827,126
12/31/03
CLARIENT, INC
1038223
8071
4
1
148,625
46,800
11,051,000
12/31/03
MAC-GRAY CORP
1038280
7200
1
1
187,200
23,000
162,004,992
12/31/03
EQUITY OFFICE PROPERTIES TRUST
1038339
6798
2
1
710,250
1,057,200
24,188,999,680
12/31/03
PIONEER NATURAL RESOURCES CO
1038357
1311
2
1
505,642
92,238
3,951,572,000
12/31/03
SCHUFF INTERNATIONAL INC
1038368
1700
3
1
418,675
33,000
130,282,000
12/31/03
PRECISION AUTO CARE INC
1038541
7500
6
0
157,448
88,763
11,590,300
6/30/03
SMARTFINANCIAL INC.
1038773
6021
270
0
45,100
28,570
200,996,717
12/31/03
GLOBALSANTAFE CORP
1038914
1381
1
1
1,520,900
537,832
6,149,700,096
12/31/03
KENDLE INTERNATIONAL INC
1039151
8731
3
1
424,274
223,075
154,415,008
12/31/03
AEROGEN INC
1039160
3841
1
1
159,933
21,407
9,576,000
12/31/03
SCHEID VINEYARDS INC
1039213
100
3
1
100,575
2,175
67,502,000
12/31/03
ONEOK INC /NEW/
1039684
4923
4
1
1,522,990
116,175
6,314,048,000
12/31/03
AMERICAN EQUITY INVESTMENT LIFE HOLDING CO
1039828
6311
2
1
613,913
63,657
8,989,177,000
12/31/03
PANACOS PHARMACEUTICALS, INC.
1040017
2836
4
1
82,366
37,000
17,278,900
12/27/03
PIXELWORKS, INC
1040161
3674
4
1
334,753
203,014
233,317,000
12/31/03
PEGASUS SOLUTIONS INC
1040261
7374
1
1
503,528
95,832
366,560,000
12/31/03
INSPIRE PHARMACEUTICALS INC
1040416
2834
1
1
78,500
80,400
79,678,000
12/31/03
SYNTEL INC
1040426
7371
2
1
239,725
365,264
186,081,000
12/31/03
PAN PACIFIC RETAIL PROPERTIES INC
1040454
6798
4
1
184,177
114,750
1,863,350,016
12/31/03
AMERICASBANK CORP
1040491
6035
313
0
24,677
20,681
27,065,000
12/31/03
CARRIZO OIL & GAS INC
1040593
1311
2
1
472,033
2,500
156,803,000
12/31/03
CHOICEPOINT INC
1040596
7374
3
1
439,000
617,601
1,021,280,000
12/31/03
DITECH HOLDING Corp
1040719
6162
3
1
765,600
44,570
188,991,000
12/31/03
FOUR OAKS FINCORP INC
1040799
6022
1436
0
55,175
7,750
341,720,992
12/31/03
Ryman Hospitality Properties, Inc.
1040829
6798
2
1
1,218,890
746,720
2,577,263,000
12/31/03
AGRITEK HOLDINGS, INC.
1040850
5960
1805
0
128,251
7,500
17,993,031
12/31/03
INTEGRATED BUSINESS SYSTEMS & SERVICES INC
1040863
7372
191
0
84,971
6,524
1,005,796
12/31/03
Intellicheck, Inc.
1040896
7372
6
0
252,660
0
10,731,554
12/31/03
SL GREEN REALTY CORP
1040971
6798
2
1
1,006,000
894,000
2,261,841,000
12/31/03
MEDIABAY INC
1040973
5961
39
0
103,000
13,000
36,893,000
12/31/03
Revolutions Medical CORP
1041009
3841
182
0
6,849
1,418
86,221
12/31/03
ROCKWELL MEDICAL, INC.
1041024
2834
9
0
74,700
15,000
7,044,786
12/31/03
YUM BRANDS INC
1041061
5812
4
1
3,400,000
2,600,000
5,620,000,000
12/27/03
PASSPORT BRANDS, INC
1041179
2253
7
0
255,605
39,525
20,089,800
12/31/03
CORPORATE PROPERTY ASSOCIATES 14 INC
1041326
6798
1
1
130,000
219,000
1,345,747,000
12/31/03
INDUS INTERNATIONAL INC
1041333
7372
2
1
353,000
477,000
122,061,000
3/31/03
CORILLIAN CORP
1041403
7372
4
1
159,000
111,000
42,818,000
12/31/03
TRIPATH IMAGING INC
1041426
3826
2
1
197,200
24,300
65,928,000
12/31/03
ANNAPOLIS BANCORP INC
1041429
6021
129
0
40,489
4,250
231,338,000
12/31/03
HOPFED BANCORP INC
1041550
6022
258
0
85,700
18,100
531,465,000
12/31/03
ATMI INC
1041577
2810
2
1
508,000
321,000
414,441,984
12/31/03
URBAN ONE, INC.
1041657
4832
2
1
359,700
15,300
2,017,871,000
12/31/03
PMA CAPITAL CORP
1041665
6331
3
1
2,077,100
388,998
4,187,960,064
12/31/03
NORTHWAY FINANCIAL INC
1041753
6021
293
0
84,900
17,000
609,216,000
12/31/03
RCN CORP /DE/
1041858
4813
1
1
805,000
690,000
1,529,360,000
12/31/03
AMERICAN FINANCIAL GROUP INC
1042046
6331
2
1
2,713,000
345,000
20,197,258,000
12/31/03
CHORDIANT SOFTWARE INC
1042134
7372
1
1
475,655
66,623
83,811,000
12/31/03
SCIENTIFIC LEARNING CORP
1042173
8200
2
1
140,000
48,000
15,597,000
12/31/03
VIGNETTE CORP
1042185
7372
2
1
340,000
501,558
366,116,000
12/31/03
INDUSTRIAL DISTRIBUTION GROUP INC
1042351
5080
2
1
311,100
402,267
133,145,000
12/31/03
INTERWOVEN INC
1042431
7372
4
1
485,422
178,041
421,824,992
12/31/03
CORIXA CORP
1042561
2836
2
1
314,000
132,000
250,566,000
12/31/03
MERCANTILE BANK CORP
1042729
6022
8
0
89,500
112,500
1,202,832,000
12/31/03
DOT HILL SYSTEMS CORP
1042783
3572
3
1
497,220
176,935
218,443,008
12/31/03
PRIME GROUP REALTY TRUST
1042798
6798
2
1
433,000
753,132
948,780,992
12/31/03
STATEN ISLAND BANCORP INC
1042801
6035
1
1
477,000
296,000
7,486,159,872
12/31/03
A.C. Moore Arts & Crafts, Inc.
1042809
5945
1
1
213,500
53,491
231,794,000
12/31/03
EQUITY ONE, INC.
1042810
6798
3
1
251,550
1,305,000
1,677,389,952
12/31/03
POWER ONE INC
1042825
3679
3
1
952,807
1,026,980
349,876,992
12/31/03
DRIL-QUIP INC
1042893
3533
2
1
237,550
120,000
278,181,000
12/31/03
HEARTLAND BANCSHARES INC /IN/
1042905
6022
8
0
43,700
11,200
167,928,992
12/31/03
CAPITAL SENIOR LIVING CORP
1043000
8050
2
1
567,350
90,880
421,333,000
12/31/03
DOCENT INC
1043134
7389
2
1
391,000
88,000
42,854,000
12/31/03
ELINE ENTERTAINMENT GROUP INC
1043150
1520
1098
0
9,288
0
1,751,943
10/31/03
Stabilis Energy, Inc.
1043186
4924
69
0
62,466
5,000
6,069,671
12/31/03
ANNALY CAPITAL MANAGEMENT INC
1043219
6798
3
1
277,750
187,000
12,990,286,000
12/31/03
C. H. ROBINSON WORLDWIDE, INC.
1043277
4731
3
1
492,547
609,552
908,149,000
12/31/03
CENTERLINE HOLDING CO
1043325
6500
3
1
711,000
747,100
2,583,269,888
12/31/03
STONERIDGE INC
1043337
3714
2
1
568,000
560,000
579,667,000
12/31/03
SOLUTIA INC
1043382
2800
3
1
1,372,000
1,671,000
2,446,000,128
12/31/03
SONIC AUTOMOTIVE INC
1043509
5500
3
1
923,000
74,500
2,686,229,000
12/31/03
IMPROVENET INC
1043561
7389
479
0
62,660
18,612
820,520
12/31/03
JUNIPER NETWORKS INC
1043604
3576
2
1
498,000
655,000
2,411,097,000
12/31/03
COVAD COMMUNICATIONS GROUP INC
1043769
4813
2
1
1,952,000
260,500
334,711,008
12/31/03
ORE PHARMACEUTICAL HOLDINGS INC.
1043914
2835
2
1
320,241
98,231
227,366,000
12/31/03
Precipio, Inc.
1043961
3826
3
1
227,200
79,860
57,306,000
12/31/03
Georgia-Carolina Bancshares, Inc
1044082
6022
24
0
38,050
28,961
266,024,992
12/31/03
PETER KIEWIT SONS INC /DE/
1044430
1600
4
1
729,555
628,530
1,859,000,000
12/27/03
P10 Industries, Inc.
1044435
4911
2
1
132,000
28,150
90,261,000
12/31/03
PACEL CORP
1044490
8741
749
0
70,875
6,500
3,345,020
12/31/03
CNA SURETY CORP
1044566
6351
3
1
942,234
141,193
1,169,120,000
12/31/03
Intermec, Inc.
1044590
3577
3
1
1,461,300
191,975
1,090,819,968
12/31/03
OneSpan Inc.
1044777
7373
4
1
221,050
122,670
13,383,180
12/31/03
Province Healthcare Company, LLC
1044942
8062
2
1
857,000
751,000
1,009,120,000
12/31/03
GAMETECH INTERNATIONAL INC
1045014
7990
2
1
371,000
81,000
60,175,000
10/31/03
RAIT Financial Trust
1045425
6798
6
0
275,136
80,823
534,554,750
12/31/03
EPR PROPERTIES
1045450
6798
4
1
129,150
106,404
965,918,000
12/31/03
Prologis, Inc.
1045609
6798
1
1
872,339
373,936
5,409,559,000
12/31/03
UNITED TENNESSEE BANKSHARES INC
1045689
6035
238
0
49,975
17,700
116,982,136
12/31/03
SHORE FINANCIAL CORP
1045690
6022
35
0
32,550
5,635
196,550,000
12/31/03
ETELOS, INC.
1045739
7372
7
0
239,500
15,000
19,468,000
12/31/03
LIVE VENTURES Inc
1045742
6799
292
0
53,000
15,035
22,387,691
9/30/03
HYPERCOM CORP
1045769
3578
2
1
719,000
93,000
264,568,000
12/31/03
ALLIANCE BANCORP OF NEW ENGLAND INC
1046002
6036
4
1
231,000
51,000
438,548,000
12/31/03
HERITAGE FINANCIAL CORP /WA/
1046025
6036
4
1
120,007
33,925
640,920,000
12/31/03
LASER MORTGAGE MANAGEMENT INC
1046099
6798
3
1
71,000
10,000
12,502,900
12/31/03
UNION COMMUNITY BANCORP
1046183
6035
11
0
46,860
6,645
261,576,992
12/31/03
WARWICK COMMUNITY BANCORP INC
1046209
6036
4
1
148,500
155,000
759,996,032
12/31/03
OMNI ENERGY SERVICES CORP
1046212
1382
379
0
122,075
63,386
50,289,000
12/31/03
Ingredion Inc
1046257
2040
4
1
1,074,540
153,735
2,210,000,000
12/31/03
CHOICE HOTELS INTERNATIONAL INC /DE
1046311
7011
1
1
281,185
102,527
267,272,000
12/31/03
REALNETWORKS INC
1046327
7371
4
1
517,957
165,114
580,939,000
12/31/03
BUILDING MATERIALS HOLDING Corp
1046356
5211
1
1
784,615
343,920
604,198,976
12/31/03
BUCA INC /MN
1046501
5812
3
1
232,250
92,670
215,359,008
12/28/03
PERDOCEO EDUCATION Corp
1046568
8200
2
1
750,000
2,181,000
1,125,998,000
12/31/03
TOUSA INC
1046578
1520
2
1
957,000
4,006,000
1,605,030,016
12/31/03
RAINDANCE COMMUNICATIONS INC
1046832
4899
4
1
187,000
56,686
122,557,000
12/31/03
RAYTHEON CO/
1047122
3812
1
1
7,300,000
7,900,000
23,668,000,000
12/31/03
AMKOR TECHNOLOGY, INC.
1047127
3674
1
1
1,549,000
114,000
2,571,874,000
12/31/03
EASTERN VIRGINIA BANKSHARES INC
1047170
6022
152
0
53,575
12,345
677,171,968
12/31/03
PENWEST PHARMACEUTICALS CO
1047188
2834
2
1
216,000
169,500
78,503,000
12/31/03
GETTY IMAGES INC
1047202
7330
1
1
912,950
219,217
1,224,080,000
12/31/03
NATIONAL HEALTHCARE CORP
1047335
8051
2
1
187,000
19,000
352,393,000
12/31/03
COMMUNITY FIRST BANCORP
1047446
6022
294
0
33,242
5,230
280,526,279
12/31/03
NEXPRISE INC
1047499
7372
2
1
153,000
0
7,913,000
12/31/03
PSB BANCORP INC
1047537
6036
6
0
111,165
133,813
470,329,984
12/31/03
KING PHARMACEUTICALS INC
1047699
2834
1
1
919,761
1,158,640
3,177,730,048
12/31/03
CONSOLIDATED EDISON INC
1047862
4931
1
1
2,070,000
449,786
20,966,000,000
12/31/03
TALON INTERNATIONAL, INC.
1047881
5130
7
0
120,500
53,522
67,770,314
12/31/03
EFC BANCORP INC
1047947
6036
4
1
117,800
26,045
897,092,992
12/31/03
MARRIOTT INTERNATIONAL INC /MD/
1048286
7011
2
1
3,709,910
2,143,040
8,177,000,000
1/2/04
TARPON COAST BANCORP INC
1048435
6021
8
0
63,041
24,013
122,557,000
12/31/03
XFormity Technologies, Inc.
1048501
7372
13
0
85,158
19,738
137,851
6/30/03
FOG CUTTER CAPITAL GROUP INC
1048566
5812
2
1
470,000
300,000
108,976,000
12/31/03
GRANITE CITY FOOD & BREWERY LTD.
1048620
5812
177
0
47,003
7,705
17,322,167
12/28/03
F5 NETWORKS, INC.
1048695
3576
1
1
206,500
80,750
148,173,000
9/30/03
DOLLAR THRIFTY AUTOMOTIVE GROUP INC
1049108
7510
3
1
950,536
766,319
3,412,499,968
12/31/03
VERENIUM CORP
1049210
2860
2
1
113,000
18,000
221,323,008
12/31/03
UNITED PAN AM FINANCIAL CORP
1049231
6162
4
1
301,500
349,544
1,670,720,000
12/31/03
CAPITAL AUTOMOTIVE REIT
1049316
6798
2
1
204,500
294,886
1,861,585,000
12/31/03
DOUBLECLICK INC
1049480
7372
1
1
900,000
400,000
877,897,024
12/31/03
MKS INSTRUMENTS INC
1049502
3823
1
1
815,000
763,000
692,862,000
12/31/03
CAVALRY BANCORP INC
1049535
6022
258
0
94,500
22,000
515,172,000
12/31/03
FIRST CONSULTING GROUP INC
1049758
8742
6
0
274,500
23,000
157,400,992
12/26/03
BROOKLINE BANCORP INC
1049782
6035
4
1
170,000
49,680
1,524,034,000
12/31/03
SM&A
1050031
8742
2
1
171,000
185,592
31,803,000
12/31/03
ANTHRACITE CAPITAL INC
1050112
6798
3
1
380,000
73,250
2,398,846,000
12/31/03
1 800 CONTACTS INC
1050122
5961
4
1
410,000
192,000
86,931,000
1/3/04
PC CONNECTION INC
1050377
5961
3
1
450,000
166,000
309,286,000
12/31/03
EAGLE BANCORP INC
1050441
6022
129
0
60,800
6,750
442,997,000
12/31/03
MICROSTRATEGY Inc
1050446
7372
1
1
862,949
535,907
114,793,000
12/31/03
SALEM MEDIA GROUP, INC. /DE/
1050606
4832
2
1
325,500
16,000
560,011,000
12/31/03
EBANK FINANCIAL SERVICES INC
1050725
6021
240
0
82,700
30,000
111,566,454
12/31/03
PEAPACK GLADSTONE FINANCIAL CORP
1050743
6029
4
1
130,500
56,000
968,126,000
12/31/03
COLUMBIA SPORTSWEAR CO
1050797
2300
3
1
438,618
482,923
783,766,000
12/31/03
VITRIA TECHNOLOGY INC
1050808
7372
2
1
367,000
86,000
114,125,000
12/31/03
MONTGOMERY REALTY GROUP INC
1050835
6500
3
1
50,100
5,300
13,299,900
12/31/03
QUANTA SERVICES, INC.
1050915
1731
1
1
886,317
0
1,466,435,000
12/31/03
SHOE PAVILION INC
1051009
5661
3
1
135,000
35,315
36,309,300
1/3/04
W-H ENERGY SERVICES INC
1051034
3533
1
1
224,800
44,705
501,324,992
12/31/03
FIRST SENTINEL BANCORP INC
1051092
6036
4
1
144,500
62,900
2,204,669,952
12/31/03
INNOTRAC CORP
1051114
7389
3
1
203,000
23,000
70,962,000
12/31/03
TENFOLD CORP /UT
1051118
7371
198
0
98,634
12,161
14,417,000
12/31/03
COMMUNITY WEST BANCSHARES /
1051343
6022
2
1
140,500
107,100
304,250,000
12/31/03
MIDWEST BANC HOLDINGS INC
1051379
6021
10
0
344,207
26,324
2,264,150,016
12/31/03
HORIZON OFFSHORE INC
1051431
1389
1
1
328,100
0
409,540,992
12/31/03
CROWN CASTLE INTERNATIONAL CORP
1051470
6798
4
1
1,446,000
1,067,000
6,737,591,000
12/31/03
TELEPHONE & DATA SYSTEMS INC /DE/
1051512
4813
1
1
2,082,250
153,156
10,193,338,000
12/31/03
AXT INC
1051627
3674
1
1
312,100
11,700
107,023,000
12/31/03
Athene USA Corp
1051717
6311
2
1
1,408,370
1,362,700
21,542,199,296
12/31/03
FIRST NIAGARA FINANCIAL GROUP INC
1051741
6021
4
1
206,000
293,625
3,589,509,888
12/31/03
CHAMPIONSHIP LIQUIDATING TRUST
1051825
7948
3
1
281,437
46,941
20,045,000
12/31/03
EVOLVING SYSTEMS INC
1052054
7371
1
1
167,640
118,048
41,701,000
12/31/03
WADDELL & REED FINANCIAL INC
1052100
6211
4
1
241,375
538,135
565,804,000
12/31/03
TOTAL LOGISTICS INC
1052102
4220
3
1
120,962
170,490
124,333,000
12/31/03
TERAYON COMMUNICATION SYSTEMS
1052303
3661
2
1
606,922
97,356
215,240,000
12/31/03
CLICK2LEARN INC/DE/
1052327
7371
4
1
320,000
76,500
25,473,000
12/31/03
AMERICAN BANK NOTE HOLOGRAPHICS INC
1052489
7389
2
1
245,700
1,250
21,020,000
12/31/03
VICURON PHARMACEUTICALS INC
1052547
2834
1
1
672,861
36,500
258,498,000
12/31/03
ITA Holdings, Inc.
1052593
7372
4
1
382,000
124,000
20,886,000
12/31/03
Red Lion Hotels CORP
1052595
7011
7
0
211,123
84,150
353,225,000
12/31/03
GETTY REALTY CORP /MD/
1052752
6500
1
1
120,000
109,625
272,003,000
12/31/03
ABGENIX INC
1052837
2836
2
1
340,400
306,898
780,193,024
12/31/03
HORIZON MEDICAL PRODUCTS INC
1052958
5047
6
0
110,755
89,061
35,186,400
12/31/03
CABLEVISION SYSTEMS CORP /NY
1053112
4841
4
1
7,496,000
4,888,000
11,189,199,872
12/31/03
INTERNET SECURITY SYSTEMS INC/GA
1053148
7372
2
1
456,000
141,000
581,281,984
12/31/03
HERITAGE COMMERCE CORP
1053352
6022
3
1
266,000
109,000
1,003,201,000
12/31/03
CATALYTICA ENERGY SYSTEMS INC
1053361
3510
2
1
200,000
0
61,685,000
12/31/03
AMERICAN TOWER CORP /MA/
1053507
6798
3
1
2,282,000
2,152,000
5,290,654,000
12/31/03
LaSalle Hotel Properties
1053532
6798
4
1
606,200
135,600
707,904,000
12/31/03
MACATAWA BANK CORP
1053584
6022
8
0
90,000
75,020
1,401,111,000
12/31/03
OMEGA PROTEIN CORP
1053650
2070
1
1
153,100
160,445
186,168,000
12/31/03
SIELOX INC
1053676
7381
33
0
83,081
0
16,630,000
12/31/03
CRA INTERNATIONAL, INC.
1053706
8111
2
1
334,800
196,000
164,216,000
11/29/03
InPlay Technologies, Inc.
1054070
3570
3
1
72,000
23,872
6,243,300
12/31/03
INTERPACE BIOSCIENCES, INC.
1054102
3841
1
1
281,300
172,574
219,623,000
12/31/03
TURNSTONE SYSTEMS INC
1054131
3661
4
1
130,000
34,600
217,825,000
12/31/03
US LEC LLC
1054290
4813
3
1
495,000
191,300
285,299,008
12/31/03
BROADCOM CORP
1054374
3674
2
1
1,471,000
596,000
2,017,619,968
12/31/03
PENSECO FINANCIAL SERVICES CORP
1054508
6022
335
0
50,000
24,500
584,590,016
12/31/03
BSQUARE CORP /WA
1054721
7389
2
1
165,000
15,000
30,113,000
12/31/03
COVENTRY HEALTH CARE INC
1054833
6324
2
1
2,266,600
459,500
1,981,740,032
12/31/03
INTERCEPT INC
1054930
6099
3
1
430,912
208,685
324,052,000
12/31/03
MFA FINANCIAL, INC.
1055160
6798
2
1
184,000
20,000
4,564,930,000
12/31/03
SONOSITE INC
1055355
3841
4
1
249,000
64,000
109,090,000
12/31/03
NAVIGANT INTERNATIONAL INC
1055455
4700
1
1
333,000
600,000
452,887,008
12/28/03
BLUE RIVER BANCSHARES INC
1055870
6035
3
1
85,905
93,775
198,810,458
12/31/03
CYPRESS COMMUNICATIONS HOLDING CO INC
1056064
4813
3
1
190,000
63,000
35,595,000
12/31/03
MCCLATCHY CO
1056087
2711
3
1
500,000
277,859
1,875,298,000
12/28/03
CentraCore Properties Trust
1056218
6500
2
1
202,126
36,600
274,628,000
12/31/03
L 3 COMMUNICATIONS HOLDINGS INC
1056239
3663
1
1
2,844,000
2,694,000
6,492,890,112
12/31/03
FEDERATED HERMES, INC.
1056288
6282
2
1
880,393
189,768
879,228,000
12/31/03
MANNATECH INC
1056358
2833
1
1
261,000
213,000
60,023,000
12/31/03
Internap Corp
1056386
7370
1
1
441,439
92,353
142,451,000
12/31/03
RITA MEDICAL SYSTEMS INC
1056421
3845
1
1
191,300
24,246
22,033,000
12/31/03
MANHATTAN ASSOCIATES INC
1056696
7372
2
1
292,000
690,000
264,019,000
12/31/03
FIRST KANSAS FINANCIAL CORP
1056811
6035
4
1
44,250
21,370
151,380,000
12/31/03
AMERICAN STATES WATER CO
1056903
4941
1
1
234,188
858,604
757,475,000
12/31/03
DATALINK CORP
1056923
7373
4
1
121,000
41,500
36,094,000
12/31/03
PEOPLES FINANCIAL SERVICES CORP.
1056943
6021
122
0
37,800
7,290
371,289,000
12/31/03
Waste Connections US, Inc.
1057058
4953
2
1
840,000
45,000
1,395,949,952
12/31/03
PC TEL INC
1057083
3663
1
1
357,965
260,525
143,241,000
12/31/03
Icoria, Inc.
1057217
8731
1
1
99,000
8,050
39,453,700
12/31/03
INTERPLAY ENTERTAINMENT CORP
1057232
7372
134
0
100,860
56,000
5,486,000
12/31/03
DIGITAL FUSION INC/NJ/
1057257
7370
227
0
50,000
0
4,584,000
12/31/03
COSTAR GROUP, INC.
1057352
7389
2
1
368,000
110,590
183,900,000
12/31/03
SAMARITAN PHARMACEUTICALS INC
1057377
8731
148
0
27,000
0
674,821
12/31/03
HACKETT GROUP, INC.
1057379
8742
1
1
215,650
115,933
135,223,000
1/2/04
NATCO GROUP INC
1057693
3443
4
1
543,547
122,858
237,728,000
12/31/03
NETWORK 1 FINANCIAL GROUP, INC.
1057695
6211
65
0
73,800
0
4,100,689
12/26/03
FIRST BANCORP /PR/
1057706
6022
1
1
307,500
35,000
12,667,910,369
12/31/03
tw telecom inc.
1057758
4813
2
1
221,500
0
2,005,880,064
12/31/03
IDACORP INC
1057877
4911
3
1
531,470
452,736
3,101,726,000
12/31/03
STEELCLOUD INC
1058027
3571
6
0
98,000
80,000
19,760,800
10/31/03
MADE IN AMERICA ENTERTAINMENT, INC.
1058056
7812
715
0
45,360
3,000
101,161
12/31/03
LEXAR MEDIA INC
1058289
3861
1
1
487,000
77,000
320,355,008
12/31/03
COGNIZANT TECHNOLOGY SOLUTIONS CORP
1058290
7371
1
1
565,500
458,000
360,589,000
12/31/03
LIONBRIDGE TECHNOLOGIES INC /DE/
1058299
7389
1
1
858,000
390,000
105,990,000
12/31/03
S Wind-up CORP
1058425
7372
4
1
239,000
335,000
7,767,000
12/31/03
CFS BANCORP INC
1058438
6035
2
1
175,000
88,000
1,569,430,016
12/31/03
SAVVIS, Inc.
1058444
7389
2
1
498,076
170,839
124,623,000
12/31/03
CUMULUS MEDIA INC
1058623
4832
4
1
549,749
253,572
1,477,630,000
12/31/03
WASHINGTON BANKING CO
1058690
6022
13
0
120,671
45,747
581,740,992
12/31/03
ALLEGIANCE TELECOM INC
1058703
4813
4
1
712,500
210,225
1,135,520,000
12/31/03
IMMERSION CORP
1058811
3577
3
1
262,000
127,000
37,913,000
12/31/03
FIRST CAPITAL BANCORP, INC.
1058973
6022
78
0
54,750
10,459
143,063,008
12/31/03
GoRemote Internet Communications, Inc.
1059155
7372
2
1
615,125
16,560
91,128,000
12/31/03
CONRAD INDUSTRIES INC
1059167
3730
3
1
168,100
60,565
53,916,000
12/31/03
INTERSTATE HOTELS & RESORTS INC
1059341
7011
4
1
376,565
75,381
277,923,008
12/31/03
PATH 1 NETWORK TECHNOLOGIES INC
1059404
3669
213
0
107,770
185,940
9,277,000
12/31/03
MOODYS CORP /DE/
1059556
7320
1
1
1,000,000
503,000
941,400,000
12/31/03
LMI AEROSPACE INC
1059562
3728
7
0
344,800
4,220
70,519,000
12/31/03
ADAMS GOLF INC
1059763
3949
4
1
118,500
11,766
30,054,000
12/31/03
BlackRock Holdco 2, Inc.
1060021
6282
3
1
1,052,500
454,250
967,222,976
12/31/03
SALISBURY BANCORP INC
1060219
6035
293
0
76,625
20,217
311,100,269
12/31/03
GAMCO INVESTORS, INC. ET AL
1060349
6211
2
1
650,000
273,500
736,511,000
12/31/03
REPUBLIC SERVICES, INC.
1060391
4953
2
1
669,491
56,644
4,554,100,000
12/31/03
KILLBUCK BANCSHARES INC
1060455
6021
821
0
40,470
8,000
284,139,375
12/31/03
BROADWING CORP
1060490
4813
4
1
1,458,680
714,031
528,615,008
12/31/03
CARDINAL FINANCIAL CORP
1060523
6021
4
1
108,000
109,000
636,248,000
12/31/03
BRIGHT HORIZONS FAMILY SOLUTIONS LLC
1060559
8351
1
1
211,867
12,200
247,064,992
12/31/03
KNIGHT CAPITAL GROUP LLC
1060749
6211
1
1
713,346
484,557
3,957,819,904
12/31/03
CRITICAL PATH INC
1060801
7389
1
1
628,283
536,104
67,725,000
12/31/03
COSINE COMMUNICATIONS INC
1060824
3576
2
1
264,208
56,361
73,426,000
12/31/03
QUICKSILVER RESOURCES INC
1060990
1311
3
1
348,000
34,400
666,934,016
12/31/03
BRAVO! BRANDS INC.
1061029
2020
7
0
119,325
0
492,858
12/31/03
GB&T BANCSHARES INC
1061068
6022
78
0
206,346
56,947
944,278,016
12/31/03
AVALON HOLDINGS CORP
1061069
4953
6
0
110,000
6,600
49,054,000
12/31/03
HOMETOWN AUTO RETAILERS INC
1061117
5500
7
0
137,000
0
65,264,000
12/31/03
GLOBAL LEADERSHIP INSTITUTE INC.
1061169
3669
86
0
40,000
0
9,949
12/31/03
OMI CORP/M I
1061571
4400
3
1
479,000
49,000
1,153,820,032
12/31/03
UCBH HOLDINGS INC
1061580
6022
1
1
913,201
620,455
5,585,189,888
12/31/03
BLACKSTONE MORTGAGE TRUST, INC.
1061630
6798
2
1
232,234
640,724
397,144,000
12/31/03
BINDVIEW DEVELOPMENT CORP
1061646
7372
1
1
251,942
72,663
63,278,000
12/31/03
SEACOAST FINANCIAL SERVICES CORP
1061692
6036
4
1
417,550
244,675
4,385,140,224
12/31/03
RICEX CO
1061881
2040
13
0
59,125
10,350
4,068,810
12/31/03
ITXC CORP
1061895
4813
2
1
370,000
304,000
135,539,008
12/31/03
WATCHGUARD TECHNOLOGIES INC
1062019
7372
2
1
300,589
93,688
171,119,008
12/31/03
CONCENTRIX CVG Corp
1062047
7373
2
1
897,405
986,424
1,810,200,000
12/31/03
24/7 REAL MEDIA INC
1062195
7310
107
0
195,340
32,396
46,180,000
12/31/03
AMERICAN AXLE & MANUFACTURING HOLDINGS INC
1062231
3714
3
1
833,505
1,219,400
2,397,800,000
12/31/03
XO GROUP INC.
1062292
5960
2
1
308,500
136,540
38,707,030
12/31/03
KEYSPAN CORP
1062379
4924
3
1
3,263,330
2,912,770
14,626,799,616
12/31/03
PENTON MEDIA INC
1062441
2721
1
1
433,000
506,000
318,889,984
12/31/03
ACTUATE CORP
1062478
7372
2
1
873,990
43,956
101,406,000
12/31/03
DIGITAL RIVER INC /DE
1062530
5045
2
1
277,400
326,854
189,658,000
12/31/03
KNOVA SOFTWARE, INC.
1062606
7372
1
1
113,550
3,500
8,084,190
12/31/03
LEXICON PHARMACEUTICALS, INC.
1062822
2834
2
1
194,180
74,055
284,199,000
12/31/03
CurAegis Technologies, Inc.
1063197
3714
121
0
70,000
7,500
2,806,000
12/31/03
S1 CORP /DE/
1063254
7370
1
1
752,200
455,300
337,088,000
12/31/03
GREAT LAKES REIT
1063393
6798
2
1
136,000
78,400
537,281,984
12/31/03
INFORMATION HOLDINGS INC
1063744
2731
2
1
674,000
272,000
374,670,016
12/31/03
SIMON PROPERTY GROUP INC /DE/
1063761
6798
2
1
1,336,000
2,935,900
15,684,721,000
12/31/03
MIIX GROUP INC
1064063
6399
2
1
818,600
0
1,278,639,000
12/31/03
LOUDEYE CORP
1064648
7371
1
1
245,800
42,380
27,044,000
12/31/03
RESOURCE BANKSHARES CORP
1065002
6021
35
0
58,950
62,631
867,292,992
12/31/03
NETWORK 1 TECHNOLOGIES INC
1065078
6794
121
0
88,000
0
1,169,000
12/31/03
ALBANY MOLECULAR RESEARCH INC
1065087
8731
1
1
234,140
84,132
392,631,008
12/31/03
EBAY INC
1065088
7389
1
1
1,548,000
785,000
5,820,134,000
12/31/03
SUPERIOR BANCORP
1065298
6022
2
1
668,800
203,714
1,171,629,952
12/31/03
NIC INC
1065332
7389
1
1
192,000
208,000
85,739,872
12/31/03
EVCI Career Colleges Holding Corp
1065591
8200
107
0
134,433
57,900
13,309,328
12/31/03
AMERICAN COMMUNITY PROPERTIES TRUST
1065645
6552
2
1
500,750
138,975
141,246,000
12/31/03
ENVIROKARE TECH INC
1065677
3080
180
0
27,967
0
359,504
12/31/03
ABLE ENERGY INC
1065728
5990
130
0
136,757
36,888
12,612,582
6/30/03
FIRST NILES FINANCIAL INC
1065823
6035
364
0
54,000
8,100
100,033,000
12/31/03
SKECHERS USA INC
1065837
3140
4
1
581,000
1,192,000
466,533,000
12/31/03
LIME ENERGY CO.
1065860
1700
7
0
100,638
5,800
7,353,627
12/31/03
JANUS CAPITAL GROUP INC
1065865
6282
3
1
523,000
768,000
4,332,199,936
12/31/03
EL PASO LLC
1066107
4922
1
1
17,151,700
3,560,000
37,084,000,256
12/31/03
LODGIAN INC
1066138
7011
3
1
771,000
635,590
709,174,016
12/31/03
ECB BANCORP INC
1066254
6022
4
1
113,200
46,460
434,964,000
12/31/03
HEIDRICK & STRUGGLES INTERNATIONAL INC
1066605
7361
4
1
801,537
181,277
304,032,000
12/31/03
THEGLOBE COM INC
1066684
7310
69
0
202,977
94,353
7,172,078
12/31/03
FIRST NATIONAL BANCSHARES INC/ FL/
1067077
6021
158
0
49,000
43,505
277,232,000
12/31/03
BANK ONE CORP
1067092
6021
4
1
4,722,580
3,435,040
326,563,004,416
12/31/03
ACLARA BIOSCIENCES INC
1067588
3829
1
1
150,300
64,350
99,006,000
12/31/03
UNITED RENTALS, INC.
1067701
7359
2
1
2,657,000
870,000
4,722,141,000
12/31/03
PRIMUS KNOWLEDGE SOLUTIONS INC
1067797
7372
4
1
428,803
38,500
35,663,000
12/31/03
ENTERCOM COMMUNICATIONS CORP
1067837
4832
1
1
323,150
78,470
1,577,052,000
12/31/03
BERKSHIRE HATHAWAY INC
1067983
6331
3
1
6,700,000
3,500,000
180,559,000,000
12/31/03
VESTIN GROUP INC
1068132
6162
2
1
77,445
506,746
21,115,400
12/31/03
COMPUCREDIT CORP
1068199
6141
7
0
450,000
240,000
761,355,008
12/31/03
MetroCorp Bancshares, Inc.
1068300
6022
1
1
225,890
1,500
864,772,992
12/31/03
CLARKSTON FINANCIAL CORP
1068366
6021
9
0
61,250
21,000
142,617,000
12/31/03
RTI INTERNATIONAL METALS INC
1068717
3350
1
1
340,675
543,298
389,934,016
12/31/03
MAXYGEN INC
1068796
8731
2
1
357,753
140,390
232,627,008
12/31/03
PULITZER INC
1068848
2711
3
1
419,175
271,465
1,309,670,016
12/28/03
BLUCORA, INC.
1068875
6199
3
1
696,916
226,971
492,315,000
12/31/03
EAST WEST BANCORP INC
1069157
6022
3
1
203,500
65,310
4,055,433,000
12/31/03
LENNOX INTERNATIONAL INC
1069202
3585
4
1
2,915,000
833,000
1,726,600,000
12/31/03
KRATOS DEFENSE & SECURITY SOLUTIONS, INC.
1069258
3760
4
1
715,000
317,000
278,800,000
12/31/03
CASSAVA SCIENCES INC
1069530
2834
2
1
198,520
8,600
80,513,000
12/31/03
BARNESANDNOBLE COM INC
1069665
5735
7
0
315,000
31,000
197,958,000
12/31/03
MONY GROUP INC
1069822
6311
1
1
2,500,000
1,500,000
21,321,799,680
12/31/03
TREX CO INC
1069878
2400
2
1
252,500
210,900
210,455,000
12/31/03
AppTech Corp.
1070050
7372
564
0
116,854
3,196
185,596
12/28/03
ONEIDA FINANCIAL CORP
1070190
6036
1
1
68,250
42,400
428,188,992
12/31/03
LINCOLN BANCORP /IN/
1070259
6035
11
0
68,087
46,750
591,684,992
12/31/03
FIRST CAPITAL INC
1070296
6035
349
0
69,025
40,555
409,138,382
12/31/03
LONG ISLAND FINANCIAL CORP
1070517
6022
4
1
125,000
71,500
524,671,008
12/31/03
NEXTERA ENTERPRISES INC
1070534
2844
2
1
190,000
160,813
23,066,000
12/31/03
CENTRAL FEDERAL CORP
1070680
6021
8
0
50,500
13,500
107,011,000
12/31/03
HORIZON PHARMACEUTICAL LLC
1070698
2834
121
0
75,000
15,400
28,815,000
12/31/03
UAGH INC
1070699
4812
1
1
212,000
50,000
35,083,000
12/31/03
HOST HOTELS & RESORTS, INC.
1070750
6798
4
1
1,679,500
528,106
8,592,000,000
12/31/03
INLAND RETAIL REAL ESTATE TRUST INC
1070764
6798
4
1
573,000
308,000
4,070,027,532
12/31/03
CAESARS ENTERTAINMENT INC
1070794
7011
3
1
1,086,450
233,111
9,541,999,616
12/31/03
CoreCivic, Inc.
1070985
6798
2
1
889,795
629,538
1,959,028,000
12/31/03
COMBANC INC
1071010
6022
11
0
43,240
8,965
207,732,992
12/31/03
GOLDEN ENTERTAINMENT, INC.
1071255
7990
3
1
104,000
387,194
170,060,000
12/28/03
JACKSONVILLE BANCORP INC /FL/
1071264
6022
179
0
33,000
4,000
261,816,000
12/31/03
Pinnacle Summer Investments, Inc.
1071341
6282
4
1
390,300
54,250
137,002,000
12/31/03
PAC-WEST TELECOMM INC
1071598
4813
4
1
288,136
43,899
173,675,008
12/31/03
AQUANTIVE INC
1071806
7389
4
1
168,377
287,907
200,759,008
12/31/03
NEXT INC/TN
1071991
7200
744
0
65,000
101,448
17,422,300
11/30/03
SPECTRASITE INC
1072048
4899
2
1
853,252
294,530
1,512,610,048
12/31/03
PLAYBOY ENTERPRISES INC
1072341
4841
2
1
715,000
468,000
418,060,000
12/31/03
DELPHI CORP
1072342
3714
3
1
9,200,000
2,100,000
20,903,999,488
12/31/03
ARCH CHEMICALS INC
1072343
2800
4
1
1,348,000
478,000
976,400,000
12/31/03
PHARMANETICS INC
1072546
3845
1
1
80,000
34,320
15,267,500
12/31/03
WESTERN SIERRA BANCORP
1072688
6022
149
0
192,800
115,000
1,035,710,016
12/31/03
SUNCOAST BANCORP INC
1072695
6021
179
0
19,500
3,400
82,766,000
12/31/03
TOWER FINANCIAL CORP
1072847
6022
8
0
54,100
101,945
436,468,992
12/31/03
DAVEL COMMUNICATIONS INC
1072881
4899
242
0
154,000
91,000
50,322,000
12/31/03
WORONOCO BANCORP INC
1072886
6036
176
0
105,875
98,968
796,051,968
12/31/03
U.S. CONCRETE, INC.
1073429
3272
1
1
524,850
22,050
400,974,000
12/31/03
Life Technologies Corp
1073431
2836
2
1
869,000
769,000
3,165,690,112
12/31/03
CITIZENS FIRST CORP
1073475
6021
11
0
31,626
119,538
163,519,995
12/31/03
COMMUNITY CAPITAL BANCSHARES INC
1074369
6021
78
0
95,000
64,500
158,853,099
12/31/03
BOYDS COLLECTION LTD
1074530
5190
3
1
235,000
148,000
222,954,000
12/31/03
IVILLAGE INC
1074767
2721
1
1
236,500
139,800
72,528,000
12/31/03
TRIAD HOSPITALS INC
1074771
8062
2
1
1,086,760
2,182,950
4,735,399,936
12/31/03
HISTORIC LIFEPOINT HOSPITALS, LLC
1074772
8062
2
1
556,700
524,000
799,000,000
12/31/03
LCNB CORP
1074902
6021
295
0
65,300
45,211
523,608,000
12/31/03
PICK UPS PLUS INC
1074961
5531
111
0
38,713
0
237,216
12/31/03
CCBT FINANCIAL COMPANIES INC
1074972
6021
176
0
147,000
25,000
1,338,230,016
12/31/03
VASTERA INC
1075056
7373
4
1
403,000
71,000
97,264,000
12/31/03
MODTECH HOLDINGS INC
1075066
2452
4
1
167,350
52,170
145,046,045
12/31/03
DIVERSIFIED HEALTHCARE TRUST
1075415
6798
2
1
182,200
22,701
1,304,100,000
12/31/03
Booking Holdings Inc.
1075531
4700
3
1
660,145
700,207
337,784,000
12/31/03
iGo, Inc.
1075656
3577
4
1
293,000
117,200
49,833,000
12/31/03
CITIZENS HOLDING CO /MS/
1075706
6022
336
0
114,615
22,870
550,761,143
12/31/03
NEW COMMERCE BANCORP
1075945
6021
41
0
27,093
4,810
85,044,096
12/31/03
ADOLOR CORP
1076167
2834
4
1
189,550
43,000
224,664,000
12/31/03
PEPSI BOTTLING GROUP INC
1076405
2080
4
1
3,600,000
650,000
11,544,000,512
12/27/03
SEQUENOM INC
1076481
3829
2
1
257,681
177,099
104,936,000
12/31/03
OCONEE FINANCIAL CORP
1076691
6022
240
0
54,200
55,400
251,956,390
12/31/03
HERBORIUM
1077050
2833
4
1
148,500
0
14,772,400
12/31/03
Prism Technologies Group, Inc.
1077370
7389
2
1
283,000
127,552
29,882,000
12/31/03
CHEROKEE BANKING CO.
1077535
6021
240
0
57,876
6,300
117,944,000
12/31/03
GENTEK INC
1077552
2800
3
1
2,118,000
1,153,000
1,066,809,984
12/31/03
ASURA DEVELOPMENT GROUP, INC.
1077634
4899
419
0
19,592
27,432
4,217,250
12/31/03
HOOKER FURNITURE CORP
1077688
2510
4
1
218,000
31,000
167,099,000
11/30/03
UMPQUA HOLDINGS CORP
1077771
6035
3
1
331,000
205,000
2,963,815,000
12/31/03
BLUE MARTINI SOFTWARE INC
1077814
7372
4
1
308,000
161,000
52,080,000
12/31/03
LOOKSMART LTD
1077866
7374
1
1
639,000
211,000
126,092,000
12/31/03
AUDIBLE INC
1077926
7389
4
1
202,000
55,850
10,781,000
12/31/03
Stamford Industrial Group, Inc.
1078203
3460
1
1
172,000
94,000
12,803,000
12/31/03
NAUTILUS, INC.
1078207
3949
3
1
378,000
1,246,000
311,935,000
12/31/03
MARIMBA INC
1078295
7372
2
1
269,615
55,238
66,508,000
12/31/03
IPARTY CORP
1078383
5940
2
1
206,300
69,600
15,152,000
12/27/03
SSP SOLUTIONS INC
1078717
7373
202
0
90,000
52,000
34,817,000
12/31/03
FUEL PERFORMANCE SOLUTIONS, INC.
1078723
2911
7
0
66,595
0
4,026,984
12/31/03
CORNERSTONE BANCORP INC
1079385
6021
4
1
123,025
17,800
225,867,008
12/31/03
STANCORP FINANCIAL GROUP INC
1079577
6321
3
1
643,000
194,016
9,981,700,096
12/31/03
ONESOURCE INFORMATION SERVICES INC
1079880
7374
1
1
294,150
27,325
60,563,000
12/31/03
Life Quotes, Inc.
1079996
6321
2
1
188,300
17,032
17,525,600
12/31/03
Dougherty’s Pharmacy, Inc.
1080029
5912
7
0
58,000
11,878
2,841,000
12/31/03
CONVERSANT, INC.
1080034
7311
1
1
303,000
25,000
323,099,008
12/31/03
INFORMATICA LLC
1080099
7372
2
1
694,000
836,000
402,808,000
12/31/03
ARENA PHARMACEUTICALS INC
1080709
2834
2
1
138,250
28,450
229,898,109
12/31/03
BANKRATE INC
1080866
7389
4
1
119,050
32,500
28,983,300
12/31/03
KEITH COMPANIES INC
1080922
8711
4
1
143,500
0
87,536,000
12/31/03
WOMEN FIRST HEALTHCARE INC
1081004
5122
2
1
444,000
0
50,802,000
12/31/03
REDBACK NETWORKS INC
1081290
7373
1
1
936,000
459,000
509,592,000
12/31/03
HEALTHGATE DATA CORP
1081630
7389
1
1
223,695
39,050
5,155,853
12/31/03
EASYLINK SERVICES CORP
1081661
7389
4
1
711,000
449,000
49,411,000
12/31/03
DURECT CORP
1082038
2834
2
1
393,156
47,844
112,407,000
12/31/03
E LOAN INC
1082337
6162
1
1
414,750
178,970
136,276,000
12/31/03
RUBIOS RESTAURANTS INC
1082423
5812
3
1
174,625
12,190
52,614,000
12/28/03
TEAM FINANCIAL INC /KS
1082484
6021
4
1
107,000
148,000
649,795,968
12/31/03
UIL HOLDINGS CORP
1082510
4911
1
1
569,000
221,447
1,879,069,952
12/31/03
SCIQUEST INC
1082526
7372
1
1
115,300
72,900
31,881,400
12/31/03
UNITED THERAPEUTICS Corp
1082554
2834
2
1
110,000
31,021
179,502,000
12/31/03
GREATER ATLANTIC FINANCIAL CORP
1082735
6036
7
0
158,976
19,745
499,353,984
9/30/03
STAMPS.COM INC
1082923
7389
2
1
165,000
30,000
178,264,000
12/31/03
TRANSOCEAN INC
1083269
1381
2
1
1,885,170
3,017,640
11,662,600,192
12/31/03
IKONICS CORP
1083301
3861
10
0
41,000
32,000
7,194,684
12/31/03
INTERACTIVE INTELLIGENCE INC
1083318
7372
4
1
110,000
10,000
33,259,000
12/31/03
FAUQUIER BANKSHARES, INC.
1083643
6022
152
0
47,728
42,722
378,460,278
12/31/03
SOUTHCOAST FINANCIAL CORP
1083689
6022
41
0
26,900
26,750
252,872,000
12/31/03
THERMOVIEW INDUSTRIES INC
1083753
3089
8
0
165,393
30,185
38,493,900
12/31/03
PEPSIAMERICAS INC/IL/
1084230
2086
4
1
1,551,100
118,000
3,580,699,904
1/3/04
YANKEE CANDLE CO INC
1084242
3990
3
1
526,459
127,265
334,680,992
1/3/04
PERSISTENCE SOFTWARE INC
1084400
7372
3
1
154,000
64,825
7,627,000
12/31/03
VERITAS SOFTWARE CORP /DE/
1084408
7372
4
1
4,693,380
701,589
5,348,466,000
12/31/03
PACIFIC CONTINENTAL CORP
1084717
6021
353
0
74,810
16,586
425,799,008
12/31/03
W HOLDING CO INC
1084887
6022
3
1
304,000
60,000
11,519,399,936
12/31/03
SWITCHBOARD INC
1085223
7389
2
1
240,806
33,450
59,523,000
12/31/03
TIBCO SOFTWARE INC
1085280
7372
1
1
703,000
989,000
943,259,008
11/30/03
PUGET ENERGY INC /WA
1085392
4911
1
1
850,000
461,000
5,674,679,808
12/31/03
Actua Corp
1085621
7371
4
1
845,197
300,554
231,163,008
12/31/03
ECOLLEGE COM
1085653
8200
4
1
135,000
66,000
102,023,000
12/31/03
METRO BANCORP, INC.
1085706
6022
122
0
86,755
15,375
1,051,990,016
12/31/03
NEXTEL PARTNERS INC
1085707
4812
4
1
624,327
31,671
1,889,309,952
12/31/03
BLOCKBUSTER INC
1085734
7841
1
1
1,849,000
781,000
4,822,000,000
12/31/03
DSL NET INC
1085866
4813
1
1
444,950
263,000
59,061,000
12/31/03
PERFICIENT INC
1085869
7371
2
1
82,500
3,000
20,259,983
12/31/03
FARMERS & MERCHANTS BANCORP
1085913
6021
1
1
134,011
12,039
1,148,565,000
12/31/03
ART TECHNOLOGY GROUP INC
1086195
7372
2
1
508,500
159,800
67,360,000
12/31/03
AKAMAI TECHNOLOGIES INC
1086222
7389
1
1
778,655
101,286
278,941,000
12/31/03
JOHN D. OIL & GAS CO
1086411
1381
6
0
50,500
0
31,535,000
12/31/03
DRUGSTORE COM INC
1086467
5912
2
1
321,000
275,000
184,412,000
12/28/03
NOVAMED INC
1086939
8090
1
1
155,090
184,236
63,888,000
12/31/03
APTIMUS INC
1087277
7389
13
0
76,633
12,055
3,975,000
12/31/03
INTERMUNE INC
1087432
2834
2
1
252,815
45,826
288,500,992
12/31/03
UNITED BANCSHARES INC/OH
1087456
6021
12
0
72,700
46,985
498,695,127
12/31/03
ATLANTIC BANCGROUP INC
1087790
6035
324
0
89,870
5,160
145,571,008
12/31/03
COOLSAVINGS INC
1087875
7389
1
1
242,000
39,800
15,061,000
12/31/03
inContact, Inc.
1087934
7372
8
0
77,890
123,285
23,971,200
12/31/03
IPIX CORP
1088022
3861
1
1
249,000
126,000
16,284,000
12/31/03
QUEST SOFTWARE INC
1088033
7372
3
1
562,000
658,000
667,811,008
12/31/03
ISECURETRAC CORP
1088120
4899
10
0
167,550
1,230
8,929,680
12/31/03
ROME BANCORP INC
1088144
6035
4
1
86,400
19,000
261,939,008
12/31/03
Intermix Media, Inc.
1088244
5735
13
0
708,000
106,000
39,929,000
3/31/03
LABRANCHE & CO INC
1089044
6211
4
1
836,810
136,500
1,959,600,000
12/31/03
DIGIMARC CORP
1089443
7373
4
1
329,000
114,000
162,426,000
12/31/03
INVENTIV HEALTH INC
1089473
8742
3
1
500,000
100,000
180,708,000
12/31/03
COMMUNITY BANCORP INC
1089503
6021
3
1
193,270
97,279
476,697,984
12/31/03
ALASKA COMMUNICATIONS SYSTEMS GROUP INC
1089511
4813
3
1
490,215
532,677
685,391,000
12/31/03
KINGOLD JEWELRY, INC.
1089531
7389
1896
0
21,000
0
494,429
12/31/03
PharmaNet Development Group Inc
1089542
8731
6
0
496,090
167,710
173,051,008
12/31/03
E PIPHANY INC
1089613
7389
2
1
321,000
50,000
376,999,008
12/31/03
SPINNAKER EXPLORATION CO
1089697
1311
4
1
227,500
59,420
990,582,016
12/31/03
COMMUNITY BANCORP OF NEW JERSEY
1089720
6036
6
0
87,167
25,185
427,824,992
12/31/03
Cleco Corporate Holdings LLC
1089819
4911
1
1
473,456
597,581
2,159,429,888
12/31/03
WEBSTER CITY FEDERAL BANCORP
1089830
6021
4
1
54,700
16,600
104,752,533
12/31/03
GAIA, INC
1089872
7812
2
1
243,000
0
91,860,229
12/31/03
WQN, Inc.
1089932
7389
6
0
94,000
34,000
20,183,623
12/31/03
PACTIV LLC
1089976
2673
2
1
1,540,980
184,490
3,705,999,872
12/31/03
SOUTHERN FIRST BANCSHARES INC
1090009
6021
41
0
23,800
3,300
230,655,221
12/31/03
DEVON ENERGY CORP/DE
1090012
1311
4
1
1,678,400
1,126,990
27,162,000,000
12/31/03
OMNOVA SOLUTIONS INC
1090061
3060
2
1
898,000
325,000
438,900,000
11/30/03
FOUNDRY NETWORKS LLC
1090071
3576
2
1
530,000
240,000
658,144,000
12/31/03
CATALYST HEALTH SOLUTIONS, INC.
1090403
6411
1
1
266,000
45,896
141,768,000
12/31/03
LAMAR ADVERTISING CO/NEW
1090425
6798
4
1
549,500
42,923
3,669,373,000
12/31/03
MEDIS TECHNOLOGIES LTD
1090507
3845
2
1
100,000
34,000
68,451,000
12/31/03
UNITED PARCEL SERVICE INC
1090727
4210
3
1
5,599,600
8,151,640
28,909,000,000
12/31/03
REGISTER COM INC
1091284
7389
1
1
848,000
753,000
163,424,992
12/31/03
XM SATELLITE RADIO HOLDINGS INC
1091530
4899
4
1
400,000
442,000
1,526,780,032
12/31/03
ADSTAR INC
1091599
7372
7
0
90,611
48,486
8,554,000
12/31/03
CHARTER COMMUNICATIONS, INC. /MO/
1091667
4841
4
1
3,200,000
400,000
21,364,000,768
12/31/03
IBASIS INC
1091756
4813
3
1
436,436
204,113
67,538,000
12/31/03
MARTHA STEWART LIVING OMNIMEDIA INC
1091801
2721
2
1
325,000
445,969
309,102,016
12/31/03
LANXESS Solutions US Inc.
1091862
2820
4
1
3,500,000
5,300,000
2,529,179,904
12/31/03
CIRCOR INTERNATIONAL INC
1091883
3490
4
1
736,556
138,353
423,863,000
12/31/03
SUNCOM WIRELESS HOLDINGS, INC.
1091973
4812
1
1
452,210
38,700
1,519,289,984
12/31/03
ACME COMMUNICATIONS INC
1092013
4833
4
1
230,000
20,000
171,912,000
12/31/03
INVENDA CORP
1092283
7389
4
1
210,345
33,380
5,833,029
12/31/03
TRIZETTO GROUP INC
1092458
7374
2
1
508,610
329,000
233,308,000
12/31/03
EMERGE INTERACTIVE INC
1092605
7389
4
1
155,000
45,100
7,158,410
12/31/03
HUTTIG BUILDING PRODUCTS INC
1093082
5030
3
1
270,809
81,927
226,000,000
12/31/03
NexCen Brands, Inc.
1093434
6794
4
1
695,000
403,000
398,104,992
12/31/03
STONEPATH GROUP INC
1093546
4731
4
1
656,883
198,900
90,268,755
12/31/03
PEOPLES BANCORP OF NORTH CAROLINA INC
1093672
6022
240
0
120,000
38,000
674,032,444
12/31/03
PLUG POWER INC
1093691
3620
4
1
90,000
153,994
160,588,771
12/31/03
PACIFIC FINANCIAL CORP
1093728
6022
10
0
69,099
59,020
306,715,000
12/31/03
STATS CHIPPAC, INC.
1093779
3674
1
1
462,000
576,000
579,331,008
12/31/03
COASTAL BANKING CO INC
1093897
6021
41
0
26,800
3,800
107,874,000
12/31/03
RAINMAKER SYSTEMS INC
1094007
8741
2
1
259,050
93,900
15,817,000
12/31/03
NEWTEK BUSINESS SERVICES, INC.
1094019
7389
1
1
652,100
140,000
192,184,000
12/31/03
Marker Therapeutics, Inc.
1094038
2834
167
0
35,000
0
93,206
12/31/03
TELKONET INC
1094084
3822
409
0
53,925
3,000
6,176,585
12/31/03
OURPETS CO
1094139
3089
821
0
38,800
1,225
3,216,329
12/31/03
SOMERA COMMUNICATIONS INC
1094243
5065
1
1
308,400
101,060
98,842,000
12/31/03
TELEDYNE TECHNOLOGIES INC
1094285
3812
2
1
726,300
376,100
428,100,000
12/28/03
WATER PIK TECHNOLOGIES INC
1094286
3634
2
1
368,340
161,112
218,576,000
12/31/03
Mattersight Corp
1094348
7373
1
1
418,000
701,000
59,805,000
12/27/03
RETEK INC
1094360
7372
1
1
227,685
382,529
178,228,992
12/31/03
RUDOLPH TECHNOLOGIES INC
1094392
3823
4
1
161,000
72,000
160,371,000
12/31/03
QUOVADX INC
1094561
7372
2
1
931,796
221,269
156,335,008
12/31/03
M&F BANCORP INC /NC/
1094738
6022
3
1
92,883
26,281
220,210,469
12/31/03
FINISAR CORP
1094739
3674
2
1
887,000
206,000
423,606,000
4/30/03
MAINSTREET BANKSHARES INC
1094742
6021
371
0
65,542
22,959
105,580,035
12/31/03
MUTUALFIRST FINANCIAL INC
1094810
6022
11
0
111,819
74,875
823,790,838
12/31/03
Cartesian, Inc.
1094814
8742
3
1
171,825
27,272
81,582,000
1/3/04
BGC Partners, Inc.
1094831
6200
3
1
496,250
87,500
297,568,000
12/31/03
SOAPSTONE NETWORKS INC.
1094895
7372
2
1
157,000
64,000
116,046,000
12/31/03
Monogram Biosciences, Inc.
1094961
2835
2
1
400,000
52,000
28,378,000
12/31/03
SYMYX TECHNOLOGIES INC
1095330
7372
2
1
266,000
50,000
177,536,000
12/31/03
NetRatings, LLC
1095480
7389
2
1
273,000
0
315,251,008
12/31/03
HEALTHSTREAM INC
1095565
7370
2
1
135,600
50,665
28,398,643
12/31/03
ISTAR INC.
1095651
6798
1
1
991,938
1,427,500
6,660,590,000
12/31/03
WILLIAM LYON HOMES
1095996
1531
2
1
582,000
70,000
849,606,000
12/31/03
GLOBAL ENTERTAINMENT HOLDINGS/EQUITIES INC
1096050
7829
38
0
33,000
7,010
2,828,150
12/31/03
ONE VOICE TECHNOLOGIES INC
1096088
7372
86
0
71,881
20,000
975,234
12/31/03
GENTIVA HEALTH SERVICES INC
1096142
8082
1
1
389,500
365,400
335,088,000
12/28/03
INTERSIL CORP/DE
1096325
3674
2
1
690,167
2,344,620
2,454,749,952
12/31/03
MARKEL CORP
1096343
6331
4
1
2,548,800
450,632
8,532,233,000
12/31/03
NUTRI SYSTEM INC /DE/
1096376
5961
4
1
95,000
24,000
13,688,000
12/31/03
VECTREN CORP
1096385
4932
3
1
736,928
241,879
3,353,400,000
12/31/03
Trinsic, Inc.
1096509
4813
1
1
342,139
46,800
89,453,000
12/31/03
CENTRA SOFTWARE INC
1096658
7389
4
1
240,000
27,382
46,028,000
12/31/03
1ST CENTENNIAL BANCORP
1097081
6022
139
0
97,500
96,975
254,383,008
12/31/03
ALIGN TECHNOLOGY INC
1097149
3842
1
1
487,300
100,323
102,202,000
12/31/03
ALLOS THERAPEUTICS INC
1097264
2834
1
1
99,842
9,346
48,173,700
12/31/03
GRANT PRIDECO INC
1097313
3533
2
1
617,387
1,247,740
1,262,060,032
12/31/03
WITNESS SYSTEMS INC
1097338
7372
4
1
832,420
53,100
104,291,000
12/31/03
FIRST SOUTH BANCORP INC
1097631
6036
24
0
28,233
20,808
251,720,963
12/31/03
ON SEMICONDUCTOR CORP
1097864
3674
1
1
1,200,000
1,100,000
1,161,400,000
12/31/03
CONNECTICUT BANCSHARES INC/DE
1097882
6036
3
1
201,300
408,600
2,587,810,048
12/31/03
GENIUS PRODUCTS INC
1098016
7819
194
0
57,595
0
5,575,128
12/31/03
PATRIOT NATIONAL BANCORP INC
1098146
6021
10
0
113,983
19,987
342,469,049
12/31/03
FIDELITY D & D BANCORP INC
1098151
6021
28361
0
64,293
66,420
575,215,466
12/31/03
WEBSENSE INC
1098277
7389
2
1
210,000
220,000
232,948,992
12/31/03
FIRST MUTUAL BANCSHARES INC
1098337
6022
13
0
109,200
92,791
860,844,032
12/31/03
VIA NET WORKS INC
1098402
7370
3
1
1,349,000
272,000
110,688,000
12/31/03
MEDIACOM COMMUNICATIONS CORP
1098659
4841
1
1
738,000
106,687
3,654,960,128
12/31/03
APROPOS TECHNOLOGY INC
1098803
7372
2
1
182,000
79,500
43,941,000
12/31/03
FARGO ELECTRONICS INC
1098834
7371
1
1
101,000
63,000
50,807,000
12/31/03
AGENUS INC
1098972
2836
4
1
357,500
98,290
140,079,535
12/31/03
BEASLEY BROADCAST GROUP INC
1099160
4832
4
1
110,000
58,000
277,890,745
12/31/03
METLIFE INC
1099219
6311
3
1
26,800,000
9,500,000
326,841,000,000
12/31/03
VIRGINIA COMMERCE BANCORP INC
1099305
6022
152
0
47,948
21,750
881,123,968
12/31/03
TANOX INC
1099414
2834
2
1
172,200
0
251,856,000
12/31/03
VANTAGEMED CORP
1099531
7372
6
0
234,000
35,000
7,638,000
12/31/03
FIRST OTTAWA BANCSHARES, INC
1099668
6022
11
0
22,043
6,345
294,490,000
12/31/03
MAIN STREET TRUST INC
1099777
6029
10
0
101,520
27,215
1,154,169,984
12/31/03
Edwards Lifesciences Corp
1099800
3842
1
1
1,100,000
1,000,000
1,101,400,000
12/31/03
CENTRA FINANCIAL HOLDINGS INC
1099932
6021
2
1
81,840
8,250
349,833,000
12/31/03
SANTANDER BANCORP
1099958
6021
3
1
368,229
153,597
7,366,419,968
12/31/03
AMERICA ONLINE LATIN AMERICA INC
1100395
7370
2
1
771,200
67,000
55,739,000
12/31/03
RTI SURGICAL, INC.
1100441
3842
3
1
394,200
260,240
136,416,000
12/31/03
CHARLES RIVER LABORATORIES INTERNATIONAL, INC.
1100682
8731
1
1
922,000
469,000
799,554,000
12/27/03
DIGITAS INC
1100885
7389
2
1
375,027
296,649
240,520,992
12/31/03
ONVIA INC
1100917
7389
3
1
128,264
27,094
39,865,800
12/31/03
ENDO HEALTH SOLUTIONS INC.
1100962
2834
3
1
401,309
413,303
753,880,000
12/31/03
EQUINIX INC
1101239
6798
1
1
755,580
267,955
464,532,000
12/31/03
Purple Communications, Inc.
1101268
4812
52
0
78,000
38,000
12,965,000
12/31/03
PACWEST BANCORP
1102112
6021
4
1
379,830
434,309
2,422,327,000
12/31/03
CenterState Bank Corp
1102266
6021
4
1
67,100
40,220
608,896,000
12/31/03
PREMIERWEST BANCORP
1102287
6021
13
0
83,540
234,708
571,321,024
12/31/03
EarthLink Holdings, LLC
1102541
7370
2
1
566,000
95,000
827,020,032
12/31/03
NUANCE COMMUNICATIONS
1102556
7372
3
1
462,621
622,873
141,496,992
12/31/03
STEC, INC.
1102741
3572
1
1
201,000
51,000
153,668,992
12/31/03
CABOT MICROELECTRONICS CORP
1102934
3674
1
1
521,240
387,009
315,617,000
9/30/03
LIVEPERSON INC
1102993
7372
4
1
164,875
41,000
13,537,000
12/31/03
PEC SOLUTIONS INC
1103013
7370
1
1
183,760
83,947
210,371,008
12/31/03
BEACON POWER CORP
1103345
4911
3
1
145,410
10,000
12,598,700
12/31/03
Ardea Biosciences, Inc./DE
1103390
2834
2
1
298,200
24,960
27,326,000
12/31/03
SIRENZA MICRODEVICES INC
1103777
3674
2
1
302,000
205,000
54,132,000
12/31/03
CROWN MEDIA HOLDINGS INC
1103837
4841
4
1
509,488
33,860
1,561,709,952
12/31/03
I MANY INC
1104017
7372
3
1
384,000
433,000
49,569,000
12/31/03
DDI CORP
1104252
3672
1
1
920,520
363,596
291,403,008
12/31/03
INSMED Inc
1104506
2834
2
1
107,076
34,095
29,812,000
12/31/03
MATERION Corp
1104657
3460
2
1
573,300
448,835
371,616,000
12/31/03
VYYO INC
1104730
3669
1
1
196,684
51,000
61,805,000
12/31/03
Support.com, Inc.
1104855
7374
2
1
541,000
212,000
139,044,000
12/31/03
PEOPLES FIRST INC
1104901
6021
122
0
70,519
36,344
459,223,008
12/31/03
Sonus, Inc.
1105472
7373
2
1
4,722,280
97,500
358,424,000
12/31/03
WARNER MEDIA, LLC
1105705
4841
2
1
18,078,000
13,821,000
121,783,000,000
12/31/03
OTIX GLOBAL, INC.
1105982
3842
4
1
264,273
80,535
106,996,000
12/31/03
WESTSTAR FINANCIAL SERVICES CORP
1106181
6035
1436
0
32,600
4,525
109,062,000
12/31/03
SCIELE PHARMA, INC.
1106773
2834
3
1
268,575
134,400
325,152,992
12/31/03
SEEBEYOND TECHNOLOGY CORP
1106842
7372
2
1
574,015
152,188
127,747,000
12/31/03
AMERICAN COMMUNITY BANCSHARES INC
1106980
6022
1436
0
47,600
42,950
281,252,992
12/31/03
CLICK COMMERCE INC
1107050
7372
4
1
183,000
261,598
19,194,000
12/31/03
EMBARCADERO TECHNOLOGIES INC
1107112
7373
1
1
266,000
138,000
90,030,000
12/31/03
CENTILLIUM COMMUNICATIONS INC
1107194
3661
2
1
531,000
143,000
125,624,000
12/31/03
ORCHID CELLMARK INC
1107216
8734
4
1
343,350
120,400
59,429,000
12/31/03
FIRST SHARES BANCORP INC
1107257
6022
8
0
45,000
13,120
175,788,000
12/31/03
OCULUS VISIONTECH INC.
1107280
7389
107
0
22,547
0
112,538
12/31/03
DENDREON CORP
1107332
2834
2
1
135,257
288,688
137,844,992
12/31/03
ATHEROGENICS INC
1107601
2834
2
1
210,936
46,423
138,836,992
12/31/03
US Energy Initiatives CORP
1107955
3714
424
0
30,000
0
44,515
12/31/03
MICROTUNE INC
1108058
3674
2
1
1,330,000
146,500
100,700,000
12/31/03
COMMUNITY HEALTH SYSTEMS INC
1108109
8062
3
1
1,222,000
949,000
3,350,211,000
12/31/03
BERKSHIRE HILLS BANCORP INC
1108134
6036
176
0
203,250
59,400
1,218,548,000
12/31/03
OCCAM NETWORKS INC/DE
1108185
3576
1
1
154,530
29,970
23,404,000
12/31/03
CURIS INC
1108205
2836
1
1
134,000
35,590
55,736,490
12/31/03
AMERICAN RIVER BANKSHARES
1108236
6022
149
0
81,960
17,415
397,393,000
12/31/03
LARGE SCALE BIOLOGY CORP
1108951
2834
3
1
143,450
45,478
20,980,000
12/31/03
ENTRAVISION COMMUNICATIONS CORP
1109116
4833
10
0
694,000
823,000
1,686,968,000
12/31/03
MABVAX THERAPEUTICS HOLDINGS, INC.
1109196
2834
2
1
277,000
0
208,307,000
12/31/03
HANMI FINANCIAL CORP
1109242
6021
4
1
159,750
340,400
1,785,754,000
12/31/03
BRUKER CORP
1109354
3826
2
1
731,299
405,747
351,031,000
12/31/03
EXELON CORP
1109357
4931
1
1
4,021,320
3,370,890
41,941,000,000
12/31/03
BANCORP RHODE ISLAND INC
1109525
6021
4
1
153,800
23,000
1,093,970,048
12/31/03
PACIFIC MERCANTILE BANCORP
1109546
6021
6
0
177,400
208,600
723,962,000
12/31/03
AVOCENT CORP
1109808
3577
1
1
661,468
547,794
660,763,008
12/31/03
BOE FINANCIAL SERVICES OF VIRGINIA INC
1109848
6021
152
0
47,809
28,766
231,716,000
12/31/03
WEBEX COMMUNICATIONS INC
1109935
7389
4
1
550,000
245,000
201,496,000
12/31/03
GENAISSANCE PHARMACEUTICALS INC
1110009
8731
1
1
219,400
104,000
35,589,000
12/31/03
I TRAX INC
1110189
8000
107
0
94,000
0
13,603,200
12/31/03
KOSAN BIOSCIENCES INC
1110206
8731
2
1
119,942
95,120
123,189,000
12/31/03
IMAGE PROTECT, INC.
1110648
7372
22
0
30,000
8,200
420,644
12/31/03
ILLUMINA, INC.
1110803
3826
2
1
135,720
25,520
99,234,000
12/28/03
CORIO INC
1111001
7371
4
1
265,000
61,700
72,143,000
12/31/03
KRAMONT REALTY TRUST
1111205
6798
7
0
133,500
7,000
810,710,976
12/31/03
VISTEON CORP
1111335
3714
1
1
3,734,000
4,871,000
10,963,999,744
12/31/03
TRADESTATION GROUP INC
1111559
6211
2
1
159,222
0
38,000,600
12/31/03
AVISTAR COMMUNICATIONS CORP
1111632
3576
4
1
130,000
9,000
8,228,000
12/31/03
XO HOLDINGS INC
1111634
4813
4
1
636,117
769,062
1,265,170,048
12/31/03
TELECOMMUNICATION SYSTEMS INC /FA/
1111665
7372
2
1
368,086
143,086
65,280,000
12/31/03
NISOURCE INC.
1111711
4931
3
1
3,385,080
1,125,860
4,207,400,000
12/31/03
PROXIM CORP
1112263
3669
1
1
410,000
620,000
120,108,000
12/31/03
R-TEC HOLDING INC
1112279
3570
401
0
51,020
625
852,493
12/31/03
ARGONAUT TECHNOLOGIES INC
1112880
2835
2
1
339,552
81,680
63,315,000
12/31/03
CannAwake Corp
1112985
1311
561
0
52,855
52,855
84,702
12/31/03
PIONEER BANKSHARES INC/VA
1113026
6021
152
0
32,500
44,900
120,921,000
12/31/03
GENENCOR INTERNATIONAL INC
1113099
2835
1
1
532,000
412,000
712,422,016
12/31/03
FIRST FEDERAL BANCSHARES INC /DE
1113107
6035
8
0
45,700
53,685
328,729,984
12/31/03
INFINITY PHARMACEUTICALS, INC.
1113148
2834
2
1
181,900
72,865
109,184,002
12/31/03
PRICE T ROWE GROUP INC
1113169
6200
4
1
213,000
372,490
1,546,577,000
12/31/03
AXCELIS TECHNOLOGIES INC
1113232
3559
2
1
527,910
631,354
585,595,000
12/31/03
MEDICINES CO /DE
1113481
2834
2
1
359,876
78,457
166,662,465
12/31/03
AMERICAN MEDICAL SYSTEMS HOLDINGS INC
1114200
3842
2
1
416,805
198,665
279,327,008
1/3/04
Integer Holdings Corp
1114483
3690
3
1
210,700
330,300
438,243,000
1/2/04
MILLENNIUM CELL INC
1114872
3690
2
1
252,000
0
10,984,672
12/31/03
FIRST NORTHERN COMMUNITY BANCORP
1114927
6035
4
1
90,300
57,015
558,709,000
12/31/03
ADVANCED POWER TECHNOLOGY INC
1114973
3674
4
1
221,000
62,000
74,503,000
12/31/03
PINNACLE FINANCIAL PARTNERS INC
1115055
6021
4
1
88,000
42,000
498,420,658
12/31/03
DUN & BRADSTREET CORP/NW
1115222
7320
1
1
1,905,000
924,000
1,624,700,000
12/31/03
HYDRIL CO
1116030
3533
3
1
555,800
238,200
264,552,000
12/31/03
ORASURE TECHNOLOGIES INC
1116463
3841
4
1
205,597
47,250
86,151,307
12/31/03
TTM TECHNOLOGIES INC
1116942
3672
4
1
500,000
63,000
205,857,000
12/31/03
MBT FINANCIAL CORP
1118237
6021
9
0
93,300
95,500
1,457,788,000
12/31/03
ENDWAVE CORP
1118941
3663
2
1
352,000
55,000
53,074,000
12/31/03
IXIA
1120295
3825
1
1
232,792
352,369
185,018,000
12/31/03
SONOMA VALLEY BANCORP
1120427
6021
321
0
41,720
18,017
205,106,000
12/31/03
AETNA INC /PA/
1122304
6324
4
1
5,009,100
1,030,500
40,950,200,000
12/31/03
ALLIANCE FIBER OPTIC PRODUCTS INC
1122342
3674
1
1
218,200
0
47,083,000
12/31/03
POLYONE CORP
1122976
2821
2
1
1,373,200
1,580,000
1,900,900,000
12/31/03
BANK MUTUAL CORP
1123270
6035
2
1
270,000
40,475
3,108,529,920
12/31/03
FLORIDAFIRST BANCORP INC
1123276
6035
179
0
54,000
29,600
821,190,016
9/30/03
ANDRX CORP /DE/
1123337
2834
2
1
875,000
1,285,000
958,446,016
12/31/03
HARVARD BIOSCIENCE INC
1123494
3826
4
1
636,835
196,705
128,429,398
12/31/03
BAB, INC.
1123596
2050
37
0
78,000
23,000
7,661,082
11/30/03
EXACT SCIENCES CORP
1124140
8731
2
1
131,950
19,500
34,681,000
12/31/03
ALLSCRIPTS HEALTHCARE SOLUTIONS, INC.
1124804
7373
4
1
301,000
182,000
110,392,000
12/31/03
WASTE INDUSTRIES USA INC
1125845
4953
3
1
330,736
299,907
330,528,000
12/31/03
GRANDSOUTH BANCORPORATION
1126961
6036
41
0
25,500
3,300
172,460,758
12/31/03
CAROLINA BANK HOLDINGS INC
1127160
6022
24
0
28,000
8,450
226,911,008
12/31/03
CENTRAL VALLEY COMMUNITY BANCORP
1127371
6022
149
0
100,335
17,725
327,930,000
12/31/03
First Federal of Northern Michigan Bancorp, Inc.
1128227
6021
9
0
50,000
24,150
223,923,008
12/31/03
HOPE BANCORP INC
1128361
6021
3
1
229,328
112,812
1,260,027,639
12/31/03
BLACK HILLS CORP /SD/
1130464
4911
3
1
2,034,150
1,226,310
2,063,225,000
12/31/03
NORTHROP GRUMMAN CORP /DE/
1133421
3812
3
1
10,483,000
4,967,000
33,009,000,000
12/31/03
ATLAS AIR WORLDWIDE HOLDINGS INC
1135185
4522
2
1
1,354,270
51,518
1,400,607,000
12/31/03
PEGASUS COMMUNICATIONS CORP /
1135338
4833
1
1
757,850
176,750
2,034,746,000
12/31/03
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