Monthly Archives: February 2014

Monthly Magic List for (mid) February 2014

A little late is better than not at all.

Here is the magic list for Feb 2014,

And the top 100 on that list:

Company name Symbol Market cap Return on assets (TTM) (%) P/E ratio Average volume Rank % rank
Ecosphere Technologies, Inc. ESPH 46.62M 124.66 2.23 198877 1 0.04%
Whiting USA Trust WHX 78.47M 102.61 2.73 388635 2 0.08%
Sandridge Mississippian Trust I SDT 240.80M 42.16 1.76 233288 3 0.12%
Liberty Media Corp LMCA 15.45B 42.27 1.96 1.16M 4 0.16%
Nordion Inc(USA) NDZ 599.90M 45.36 2.53 228836 5 0.21%
Turkish Investment Fund Inc TKF 61.47M 32.34 1.41 87261 6 0.25%
Sino Agro Food Inc SIAF 63.64M 30.3 0.88 708107 7 0.29%
Golar LNG Limited (USA) GLNG 2.83B 40.66 3.2 808458 8 0.33%
PulteGroup, Inc. PHM 7.63B 33.88 2.99 7.58M 9 0.37%
PDL BioPharma Inc. PDLI 1.18B 74.41 5.08 2.85M 10 0.41%
Yongye International, Inc YONG 336.30M 25.9 2.2 630327 11 0.45%
H&Q Healthcare Investors HQH 825.05M 33.29 4.15 117942 12 0.49%
Titan Pharmaceuticals, Inc. TTNP 54.48M 73.41 5.27 326412 13 0.53%
H&Q Life Sciences Investors HQL 339.63M 31.92 4.04 97661 14 0.58%
SandRidge Mississippian Trust II SDR 453.49M 27.44 3.87 390445 15 0.62%
Nautilus, Inc. NLS 259.19M 47.63 5.56 202929 16 0.66%
Whiting USA Trust II WHZ 237.73M 30.97 4.64 168508 17 0.70%
Overstock.com, Inc. OSTK 442.67M 35.28 5.13 384529 18 0.74%
CARDIOME PHARMA CORP CRME 123.46M 49.09 6.24 149264 19 0.78%
Brunswick Corporation BC 3.94B 29.03 5.26 980468 20 0.82%
Magnachip Semiconductor Corp MX 650.44M 22 3.59 310104 21 0.86%
Chesapeake Granite Wash Trust CHKR 542.30M 27.09 5.11 208610 22 0.90%
Alon USA Partners LP ALDW 925.04M 31.5 5.79 146338 23 0.95%
Alaska Communications Systems Group Inc ALSK 107.36M 19.29 0.98 395378 24 0.99%
iShares S&P NA Tec. Semi. Idx. Fd.(ETF) SOXX 323.38M 22.04 4.43 209134 25 1.03%
Neuberger Berman High Yield Strateges Fd NHS 264.38M 21.24 3.68 50075 26 1.07%
MFC Industrial Ltd MIL 463.04M 19.12 2.17 176231 27 1.11%
Pain Therapeutics, Inc. PTIE 228.92M 58.98 7.32 429856 28 1.15%
magicJack VocalTec Ltd CALL 320.03M 37.98 6.86 592402 29 1.19%
SandRidge Permian Trust PER 494.16M 24.84 5.53 382039 30 1.23%
Lihua International Inc LIWA 153.77M 18.65 2.62 68883 31 1.27%
Inter Parfums, Inc. IPAR 987.24M 33.29 6.93 108432 32 1.32%
MV Oil Trust MVO 270.60M 117.44 7.87 65618 33 1.36%
Changyou.Com Ltd (ADR) CYOU 1.43B 21.22 4.65 388361 34 1.40%
Imperial Holdings, Inc. IFT 124.45M 18.19 2.71 110184 35 1.44%
Federal Signal Corporation FSS 781.55M 21.9 5.67 305430 36 1.48%
Take-Two Interactive Software, Inc. TTWO 1.87B 26.05 6.8 3.85M 37 1.52%
TiVo Inc. TIVO 1.54B 24.36 6.85 2.26M 38 1.56%
Royce Value Trust Inc RVT 1.10B 18.58 4.65 162123 39 1.60%
Standard Pacific Corp. SPF 2.37B 19.89 6.03 3.45M 40 1.64%
Pacific Coast Oil Trust ROYT 540.55M 26.15 7.77 209708 41 1.69%
AGIC Equity and Convertible Income Fund NIE 428.91M 18.17 5.19 98936 42 1.73%
LeapFrog Enterprises, Inc. LF 452.80M 18.86 5.61 2.03M 43 1.77%
BP Prudhoe Bay Royalty Trust BPT 1.74B 18596.9 9.35 178077 44 1.81%
Strayer Education Inc STRA 372.22M 22.01 7.2 273312 45 1.85%
Weight Watchers International, Inc. WTW 1.25B 17.8 5.37 1.50M 46 1.89%
PIMCO Income Opportunity Fund PKO 439.61M 16.11 3.99 53223 47 1.93%
iShares NASDAQ Biotechnology Index (ETF) IBB 5.50B 21.26 7.59 1.28M 48 1.97%
Orbitz Worldwide, Inc. OWW 952.59M 17 5.84 1.05M 49 2.01%
Smith & Wesson Holding Corp SWHC 707.31M 28.46 9 1.44M 50 2.06%
China Fund Inc. (The) CHN 316.31M 15.89 4.48 53546 51 2.10%
Perusahn Prsn Psr Tlkmks Inds Tbk PT-ADR TLK 18.44B 15.48 4.19 262053 52 2.14%
Shanda Games Limited(ADR) GAME 1.77B 21.03 7.95 2.22M 53 2.18%
Dow 30SM Enhanced Premium & Incm Fd Inc DPO 370.50M 17 6.37 94105 54 2.22%
Ambac Financial Group, Inc. ABKFQ 918.05M 14.13 0.56 1.82M 55 2.26%
M/I Homes Inc MHO 591.65M 15.6 4.9 235544 56 2.30%
AEterna Zentaris Inc. (USA) AEZS 57.77M 14.99 4.54 2.38M 57 2.34%
Acorda Therapeutics Inc ACOR 1.37B 28.73 9.47 469447 58 2.38%
Nexstar Broadcasting Group, Inc. NXST 1.28B 18.94 7.77 731043 59 2.42%
Lakes Entertainment, Inc. LACO 119.16M 16.04 5.57 55902 60 2.47%
China Green Agriculture, Inc CGA 95.46M 13.93 1.84 133126 61 2.51%
VOC Energy Trust VOC 251.43M 22.89 9.19 84254 62 2.55%
Kingold Jewelry Inc KGJI 114.75M 14.5 3.9 207941 63 2.59%
Western Refining, Inc. WNR 3.06B 18.99 8.16 1.34M 64 2.63%
Zuoan Fashion Ltd (ADR) ZA 53.41M 13.64 1.39 201860 65 2.67%
Liberty Interactive (Ventures group) LVNTA 4.88B 14.37 4.46 258804 66 2.71%
PetroLogistics LP PDH 1.69B 22.53 9.38 356810 67 2.75%
Tri-Continental Corporation TY 1.23B 15.38 6.07 55069 68 2.79%
The Ryland Group, Inc. RYL 2.00B 16.08 6.53 1.12M 69 2.84%
Blackstone Mortgage Trust Inc BXMT 1.12B 12.99 0.7 578305 70 2.88%
HCI Group Inc HCI 499.10M 16.81 7.9 191868 71 2.92%
China XD Plastics Co Ltd CXDC 228.81M 13.55 3.28 89852 72 2.96%
Tortoise Energy Capital Corporation TYY 645.72M 14.06 4.54 51758 73 3.00%
M.D.C. Holdings, Inc. MDC 1.41B 13.85 4.56 766788 74 3.04%
Carmike Cinemas, Inc. CKEC 647.73M 14.29 5.36 197091 75 3.08%
CVR Energy, Inc. CVI 3.27B 16.14 7.56 444858 76 3.12%
Northern Tier Energy LP NTI 2.31B 26.29 10.26 478737 77 3.16%
Tortoise Energy Infrastructure Corp. TYG 1.26B 13.82 4.65 112714 78 3.21%
Dominion Resources Black Warrior Trust DOM 57.15M 47.72 11.3 59529 79 3.25%
Kayne Anderson MLP Investment Co. KYN 3.84B 13.7 4.85 249824 80 3.29%
Telecom Argentina S.A. (ADR) TEO 3.38B 16.64 8.54 226041 81 3.33%
Hugoton Royalty Trust HGT 347.20M 29.37 10.91 200462 82 3.37%
Delek Logistics Partners LP DKL 807.61M 20.72 9.88 74425 83 3.41%
Supercom Ltd SPCB 49.87M 166.39 11.8 293358 84 3.45%
Companhia Energetica Minas Gerais (ADR) CIG 6.40B 12.5 3.9 6.49M 85 3.49%
Mobile TeleSystems OJSC (ADR) MBT 17.98B 15.85 8.6 2.54M 86 3.53%
Vodafone Group Plc (ADR) VOD 178.39B 13.22 5.97 11.99M 87 3.58%
Cirrus Logic, Inc. CRUS 1.13B 17.23 9.73 2.40M 88 3.62%
Constellation Brands, Inc. STZ 15.09B 16.48 9.36 1.86M 89 3.66%
Adams Express Company ADX 1.19B 13.76 7.14 106622 90 3.70%
CTC Media, Inc. CTCM 1.82B 19.96 10.73 428432 91 3.74%
Gastar Exploration Inc GST 411.97M 16.14 9.38 892485 92 3.78%
Cushing MLP Total Return Fund SRV 274.30M 12.82 6.08 95240 93 3.82%
ITT Corp ITT 3.86B 14.06 7.87 724563 94 3.86%
Nam Tai Electronics, Inc. NTE 274.20M 11.9 4.03 486856 95 3.90%
Columbus McKinnon Corp. CMCO 513.13M 13.18 7.12 86097 96 3.95%
CF Industries Holdings, Inc. CF 13.28B 14.6 8.8 929585 97 3.99%
Eca Marcellus Trust I ECT 156.86M 12 4.89 126068 98 4.03%
CNOOC Limited (ADR) CEO 73.61B 12.87 6.77 229205 99 4.07%
Alliance Resource Partners, L.P. ARLP 3.00B 19.3 11.15 75629 100 4.11%