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 #  Index  Ticker  1-Day Change  1-Week Change  1-Month Change  All-Time Change  Avg Div Yield  Avg P/E  Tracked By  Links
1 Mortgage Investment Stocks *MORTI +0.5% +3.0% -1.1% -34.5% 9.0% 6.0 223 track Index
2 Royalty Trusts *ROYTR -0.2% +3.1% +0.5% -9.1% 8.9% 22.3 397 track Index
3 Canadian Energy Trusts *CNROY +0.4% +3.8% +1.4% -1.6% 8.7% 29.2 689 track Index
4 Equity-Focused Closed-End Funds *CEFEQ +0.8% +2.5% -0.7% -25.0% 7.9% 28.4 148 track Index
5 Debt-Focused Closed-End Funds *CEFDE +0.1% +1.2% +1.5% -8.5% 7.0% 14.0 120 track Index
6 MLPs *MLPSS +0.4% +1.8% -2.5% -0.3% 6.6% 22.0 645 track Index
7 Propane Stocks *PROPN -0.4% +0.8% -3.7% +30.5% 6.2% 22.8 98 track Index
8 MLP-Focused Closed-End Funds and ETFs *CEFLP +0.9% +1.2% -3.0% -13.2% 5.7% 21 track Index
9 Healthcare REITs *REITH +0.5% +5.1% +0.5% +2.0% 5.4% 42.2 204 track Index
10 Oil and Gas Pipeline Stocks *PIPEL +0.9% +2.3% -1.5% +1.4% 4.9% 22.5 443 track Index
11 Industrial REITs *REITI +1.8% +6.1% -2.3% -28.0% 4.8% 56.6 76 track Index
12 Retail REITs *REITS +1.7% +6.4% -0.4% -32.6% 4.7% 44.6 111 track Index
13 Diversified REITs *REITD +0.2% +4.6% -0.6% -29.2% 4.7% 40.1 77 track Index
14 Domestic Telecom Stocks *COMMS +0.3% +3.6% -0.8% -27.3% 4.5% 21.2 75 track Index
15 Tobacco and Tobacco Product Stocks *SMOKE +1.3% +5.0% -4.3% +22.1% 4.2% 13.8 111 track Index
16 Diversified Utilities *UTDIV -0.4% +2.7% +1.7% -15.1% 4.2% 17.9 54 track Index
17 Office REITs *REITO +0.8% +4.7% -3.3% -25.1% 4.2% 49.1 73 track Index
18 Shipping Stocks *SHIPS +1.0% +4.7% -4.6% -49.1% 4.0% 14.1 329 track Index
19 Residential REITs *REITR +0.6% +6.3% +0.7% +8.5% 3.7% 50.9 142 track Index
20 Gas Utility Stocks *UTGAS -0.2% +2.3% -2.8% -1.9% 3.7% 16.1 102 track Index
21 Electric Utility Stocks *UTELE -0.2% +2.6% -0.1% -25.2% 3.6% 17.9 117 track Index
22 Taiwan Stocks and ADRs *INTTW +0.2% +1.6% -10.4% -28.2% 3.5% 12.1 38 track Index
23 International Dividend ETFs *ETFDI +0.3% +4.6% -2.1% -29.8% 3.5% 96 track Index
24 Bond ETFs *ETFBO -0.1% -0.6% +1.4% +4.7% 3.3% 140 track Index
25 Death Care Stocks *GRAVE +1.0% +2.3% -6.2% -28.6% 3.1% 21.1 26 track Index
26 Big Pharmaceutical Stocks *RXBIG +0.4% +3.1% +1.8% +6.2% 3.0% 12.5 141 track Index
27 Publisher Stocks *BOOKS +1.2% +5.0% -8.3% -39.6% 3.0% 19.4 13 track Index
28 Business Equipment Stocks *BUSEQ +0.8% +6.1% -7.4% -44.0% 3.0% 23.9 13 track Index
29 Self Storage REITs *REITP +0.7% +6.6% +1.2% +10.3% 2.9% 51.0 10 track Index
30 International Closed-End Funds *CEFIN +0.5% +3.0% +1.5% -20.3% 2.7% 35.7 25 track Index
31 Foreign Telecom Stocks and ADRs *COMIN +0.1% +4.2% +0.6% -27.3% 2.6% 16.0 36 track Index
32 Dry Bulk Shipping Stocks *DBULK +0.4% +4.6% -5.2% -74.0% 2.6% 7.5 958 track Index
33 United Kingdom Stocks and ADRs *INTUK +0.4% +4.2% -2.1% -15.9% 2.5% 21.5 18 track Index
34 2008 IPOs *IPOSA +1.6% +3.9% +5.2% -2.9% 2.5% 30.3 23 track Index
35 Australia Stocks and ADRS *INTAU +0.3% -2.5% -12.7% -41.0% 2.5% 15.9 66 track Index
36 Lumber and Wood Production Stocks *WOODS +1.3% +5.4% -6.1% -13.0% 2.5% 28.4 70 track Index
37 Broad Developed Market ETFs *ETFDM +0.6% +5.2% -3.4% -32.4% 2.4% 21 track Index
38 Savings and Loan Stocks *BASNL -0.2% +2.1% -9.3% -30.6% 2.4% 28.1 20 track Index
39 Chinese Telecom Stocks *CHTEL +0.6% +4.3% -0.2% -20.6% 2.4% 16.9 140 track Index
40 Italy Stocks and ADRs *INTIT +0.2% +4.0% -1.1% -43.9% 2.4% 12.0 12 track Index
41 Airplane Leasing Stocks *RNTAI +1.2% +0.7% -12.3% -44.1% 2.1% 6.0 107 track Index
42 Canada Stocks and ADRs *INTCA +1.1% +5.2% +2.6% -7.2% 2.1% 23.6 112 track Index
43 Oil and Gas Driller Explorer Stocks *DRILL +0.6% +5.5% -3.7% -20.2% 2.0% 17.9 262 track Index
44 France Stocks and ADRs *INTFR +1.1% +6.1% -5.2% -45.4% 2.0% 10.5 22 track Index
45 Big Oil and Gas Stocks *ENRGY +0.8% +5.3% -4.1% -22.9% 2.0% 15.6 286 track Index
46 Foreign Utility Stocks and ADRs *UTINT -0.5% +2.5% -0.4% -11.9% 2.0% 16.4 22 track Index
47 Asset Manager Stocks *ASSET +0.5% +5.2% -2.4% -41.7% 2.0% 19.4 18 track Index
48 Water and Water Utility Stocks *WATER -0.1% +4.1% -3.3% -22.6% 2.0% 22.2 117 track Index
49 Conglomerates *CONGL +1.2% +4.7% -3.8% -25.0% 2.0% 18.6 19 track Index
50 Broad International Market ETFs *ETFIN +0.6% +5.1% -2.7% -23.6% 1.9% 25 track Index
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To calculate "all-time" Pro performance, we combine all of the quarterly holdings reports for that Pro investor. The initial date used is the start date of the first quarterly holdings report we have in our database. Start dates vary based on the first quarterly holdings report we have for each Pro. Please see our Institutional Holdings Disclaimer (located at the bottom of this page) for more on how we calculate Pro portfolio performance estimates. tickerspy is not affiliated with any of Pro investors profiled on our web site.

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We look at the recent net stock adds (people adding a stock to their portfolio minus people removing it) and compare against the company's previous history to identify those companies that are seeing the largest changes on a relative basis. Without the company history comparison, our most followed companies would likely be near the top of the list at all times. A value greater than one indicates a greater than normal number of adds over the last seven days, and a value less than one indicates a less than normal number of adds. If no value is shown, there was not enough activity to generate a value.

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We look at the recent net stock shorts (people shorting it in their portfolios minus people covering their short) and compare against the company's previous history to identify those companies that are seeing the largest changes on a relative basis. A value less than -1 (for example -3.6) indicates a greater than normal number of shorts over the last seven days, and a value greater than -1 (for example -0.6) indicates a less than normal number of adds. If no value is shown, there was not enough activity to generate a value.

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