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Criteria:
1.P/E Is Greater Than 0
2.P/E Is Less Than 5
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 Symbol NameEPSP / EROEROICROAInterest coverLastAvg Vol, mlnVolume
 CTY    Qwest Corp  1,085,000,000.00  0.00  12.33  5.80  5.09  4.29  24.53  0.05  46,618
 CTZ    Qwest Corp  1,085,000,000.00  0.00  12.33  5.80  5.09  4.29  25.14  0.05  42,982
 CTW    Qwest Corp  1,085,000,000.00  0.00  12.33  5.80  5.09  4.29  25.35  0.03  7,793
 CTAA    Qwest Corp  1,085,000,000.00  0.00  12.33  5.80  5.09  4.29  25.98  0.02  22,366
 BRK.B    Berkshire Hathaway Inc  14,644.95  0.01  8.94  4.57  4.16  10.61  169.30  0.00  0
 CWH    Camping World Holdings Inc  1,304.03  0.02  -61.79  48.85  14.24  3.73  30.39  0.34  435,262
 GER    Goldman Sachs MLP and Energy Renaissance Fund  264.72  0.03          7.55  0.33  292,018
 RTK    Rentech Inc  10.42  0.04  5.95  5.71  5.06  -5.37  0.447  0.98  438,394
 SPEX    Spherix Inc  10.77  0.10  420.58  -55.49  -45.43  -19.48  1.09  0.13  36,354
 GCVRZ    Sanofi-Aventis Cvr  3.66  0.12  7.60  6.04  4.25  17.01  0.43  0.12  79,769
 GLBR    Global Brokerage Inc  10.14  0.16  -4,762.61  -0.14  -0.04  -0.31  1.65  0.07  15,762
 ADPT    Adeptus Health Inc  5.64  0.30  48.41  26.88  21.88  1.81  1.67  2.49  1,335,392
 PSMC    Pak Suzuki Motor Co Ltd  42.24  0.30  14.36  14.36  9.58  167.58  12.56    200
 ORIG    Ocean RIG UDW Inc  2.32  0.30  11.51  5.17  4.89  2.39  0.696  1.94  821,261
 VRS    Verso Corp  14.07  0.42  0.58  49.72  41.99  -0.10  5.87  0.16  87,810
 CMLS    Cumulus Media Inc  0.97  0.43  79.62  0.96  0.92  0.85  0.413  0.23  38,940
 PIP    PharmAthene Inc  1.77  0.46  149.06  147.84  142.24  -15.69  0.808  3.17  644,451
 I    Intelsat SA  8.36  0.52  0.01  8.34  7.89  1.28  4.38  1.18  407,879
 KRMA    Global X Conscious Companies ETF  30.56  0.55          16.72  0.00  2,185
 CELGZ    Celgene Corp.  1.92  0.56  31.94  9.86  7.25  5.54  1.07  0.02  15,718
 CVO    Cenveo Inc  7.32  0.67  0.05  10.64  7.10  0.97  4.87  0.04  76,658
 YECO    Yulong Eco-Materials Ltd  0.98  0.88  20.59  20.54  11.79  9.90  0.86  0.04  46,563
 THLD    Threshold Pharmaceuticals Inc  0.60  0.93  519.53  150.13  105.28    0.557  1.76  1,288,291
 AMCN    Airmedia Group Inc  2.36  1.03  -23.33  -26.22  -19.74    2.42  0.07  94,658
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