The following are stock buybacks announced over the past 30 days.
(Interested in learning more about buybacks and why they're important? Check out
 |
| COMPANY |
SYMBOL |
AMOUNT |
NOTES |
| 8/2/2006 |
| Credit Acceptance Corp. |
CACC |
$25 mln |
adds to prior plan |
| Digital Insight Corp. |
DGIN |
$50 mln |
adds to prior plan |
| Florida Rock Industries |
FRK |
$200 mln |
including prior plan |
| Perma-Fix Environmental Services |
PESI |
$2 mln |
45.78 mln shares outstanding |
| Starbucks Corp. |
SBUX |
25 mln shares |
adds to prior plan |
| 8/1/2006 |
| Blue Nile Inc. |
NILE |
$50 mln |
adds to prior plan |
| Document Sciences Corp. |
DOCX |
$1 mln |
over 1 year |
| Equity One Inc. |
EQY |
$100 mln |
adds to prior plan |
| Nabors Industries |
NBR |
$500 mln |
|
| NutriSystem |
NTRI |
$50 mln |
36.3 mln shares outstanding |
| Symbol Technologies |
SBL |
$200 mln |
|
| Varian Semiconductor Equipment Associates |
VSEA |
$100 mln |
adds to prior plan |
| Vertrue |
VTRU |
1 mln shares |
adds to prior plan |
| 7/28/2006 |
| Christopher & Banks Corp. |
CBK |
$20 mln |
over 2 years |
| Cymer Inc. |
CYMI |
$150 mln |
41.2 mln shares outstanding |
| MTC Technologies |
MTCT |
$10 mln |
|
| Waste Management Inc. |
WMI |
$350 mln |
|
| 7/27/2006 |
| Chemed Corp. |
CHE |
$50 mln |
adds to prior plan |
| Cognex Corp. |
CGNX |
$100 mln |
|
| Hasbro, Inc. |
HAS |
$350 mln |
prior plan complete |
| Nutraceutical International Corp. |
NUTR |
1 mln shares |
adds to prior plan |
| Provident Financial Services, Inc. |
PFS |
5% of outstanding |
3.3 mln shares |
| STERIS Corp. |
STE |
3 mln shares |
replaces prior plan |
| Thomas & Betts Corp. |
TNB |
3 mln shares |
over 2 years |
| 7/26/2006 |
| Advent Software Inc. |
ADVS |
1.5 mln shares |
28 mln shares outstanding |
| Affiliated Managers Group Inc. |
AMG |
5% of outstanding |
adds to prior plan |
| Ameristar Casinos, Inc. |
ASCA |
2.8 mn shares |
5% of outstanding |
| Cigna Corp. |
CI |
$500 mln |
adds to prior plan |
| Cintas Corp. |
CTAS |
$500 mln |
adds to prior plan |
| CRA International |
CRAI |
500,000 shares |
11.67 mln shares outstanding |
| CyberOptics Corp. |
CYBE |
500,000 shares |
over 1 year |
| Intergraph Corp. |
INGR |
$79 mln |
adds to prior plan |
| NetScout Systems, Inc. |
NTCT |
3 mln shares |
adds to prior plan |
| Southern Community Financial Corp. |
SCMF |
1 mln shares |
 |
| Supervalu Inc. |
SVU |
10 mln shares |
through May, 2007 |
| 7/25/2006 |
| Agere Systems |
AGR |
$200 mln |
 |
| Charles Schwab Corp. |
SCHW |
$500 mln |
prior plan complete |
| ChoicePoint Inc. |
CPS |
$250 mln |
adds to prior plan |
| Ethan Allen Interiors |
ETH |
2.5 mln shares |
 |
| Gannett Co. |
GCI |
$1 bln |
adds to prior plan |
| Guaranty Federal Bancshares |
GFED |
250,000 shares |
8.5% of outstanding |
| HouseValues, Inc. |
SOLD |
2 mln shares |
|
| Labor Ready Inc. |
LRW |
$50 mln |
prior plan complete |
| Linear Technology Corp. |
LLTC |
20 mln shares |
over 2 years |
| Sohu.com Inc. |
SOHU |
$15 mln |
adds to prior plan |
| United Parcel Service |
UPS |
$2 bln |
1.1 bln shares outstanding |
| Woodward Governor Co. |
WGOV |
$50 mln |
replaces prior plan |
| 7/24/2006 |
| Bank of Hawaii |
BOH |
$100 mln |
adds to prior plan |
| Catalina Marketing Corp. |
POS |
$100 mln |
adds to prior plan |
| CKE Restaurants, Inc. |
CKR |
$30 mln |
adds to prior plan |
| Motorola, Inc. |
MOT |
$4.5 bln |
adds to prior plan |
| United Financial Bancorp |
UBNK |
340,000 shares |
over 6 months |
| 7/21/2006 |
| First National Lincoln Corp. |
FNLC |
250,000 shares |
2.5% of outstanding |
| Ohio Valley Banc Corp. |
OVBC |
175,000 shares |
over 6 months |
| PMI Group Inc |
PMI |
$400 mln |
prior plan complete |
| 7/20/2006 |
| Black & Decker Corp. |
BDK |
8 mln shares |
10% of outstanding |
| Canadian National Railway Co. |
CNI |
28 mln |
5.3% of outstanding |
| Coca-Cola |
KO |
300 mln shares |
13% of outstanding |
| Microsoft Corp. |
MSFT |
$40 bln |
|
| Occidental Petroleum Corp. |
OXY |
20 mln shares |
adds to prior plan |
| Origin Agritech Ltd. |
SEED |
$10 mln |
over 12 months |
| Tidewater Inc. |
TDW |
$157.9 mln |
over 1 year |
| Universal Health Services |
UHS |
5 mln shares |
|
| 7/19/2006 |
| Commercial Metals Co. |
CMC |
5 mln shares |
prior plan complete |
| eBay Inc |
EBAY |
$2 bln |
over 2 years |
| Foundation Coal Holdings Inc. |
FCL |
$100 mln |
 |
| Juniper Networks, Inc. |
JNPR |
$1 bln |
 |
| OceanFirst Financial Corp. |
OCFC |
615,883 shares |
5% of outstanding |
| Teradyne Inc. |
TER |
$400 mln |
 |
| Tompkins Trustco |
TMP |
450,000 shares |
replaces prior plan |
| 7/18/2006 |
| Applied Industrial Technologies |
AIT |
1.5 mln shares |
replaces prior plan |
| Costco Wholesale Corp. |
COST |
$2 bln |
adds to prior plan |
| CSG Systems International |
CSGS |
$350 mln |
adds to prior plan |
| CSX Corp. |
CSX |
$500 mln |
over 12 months |
| Kearny Financial Corp. |
KRNY |
1.09 mln shares |
5% of outstanding |
| Slade's Ferry Bancorp |
SFBC |
5% of outstanding |
208,036 shares |
| Toro Co. |
TTC |
3 mln shares |
adds to prior plan |
| 7/17/2006 |
| ADTRAN, Inc. |
ADTN |
5 mln shares |
upon completion of prior plan |
| American Woodmark Corp. |
AMWD |
$20 mln |
adds to prior plan |
| Ituran Location and Control Ltd. |
ITRN |
$10 mln |
23.3 mln shares outstanding |
| Law Enforcement Associates |
AID |
$100,000 |
over 12 months |
| Pactiv Corp. |
PTV |
10 mln shares |
adds to prior plan |
| Stanley Furniture Co. |
STLY |
$50 mln |
adds to prior plan |
| 7/14/2006 |
| Capital Crossing Bank |
CAPX |
$10 mln |
adds to prior plan |
| Paragon Technologies |
PTG |
$2 mln |
adds to prior plan |
| 7/13/2006 |
| International Paper |
IP |
$3 bln |
20% of outstanding |
| Jeffersonville Bancorp, Inc. |
JFBC |
50,000 shares |
adds to prior plan |
| 7/12/2006 |
| Eaton Vance |
EV |
8 mln shares |
|
| General American Investors |
GAM |
400,000 shares |
adds to prior plan |
| 7/11/2006 |
| Century Bancorp Inc. |
CNBKA |
300,000 shares |
9% of outstanding |
| Cleveland-Cliffs Inc. |
CLF |
2 mln shares |
prior plan complete |
| Cummins Inc. |
CMI |
2 mln shares |
prior plan complete |
| Mirant Corp. |
MIR |
$1.25 bln |
300.2 mln shares outstanding |
| 7/10/2006 |
| Audiovox Corporation |
VOXX |
2 mln shares |
adds to prior plan |
| Franklin Resources, Inc. |
BEN |
10 mln shares |
adds to prior plan |
| Simple Tech |
STEC |
$10 mln |
over 18 months |
| 7/06/2006 |
| Acuity Brands Inc. |
AYI |
2 mln shares |
4.5% of outstanding |
| City National Corp. |
CYN |
1.5 mln shares |
prior plan nearly complete |
| Laidlaw International, Inc. |
LI |
$500 mln |
|
| Sunoco |
SUN |
$500 mln |
adds to prior plan |
| 7/05/2006 |
| Yadkin Valley Financial Corp. |
YAVY |
100,000 shares |
|
| 6/30/2006 |
| First Community Corp. |
FCCO |
150,000 shares |
4.5% of outstanding |
| 6/29/2006 |
| AFC Enterprises |
AFCE |
$50 mln |
adds to prior plan |
| CA, Inc. |
CA |
$2 bln |
through March, 2007 |
| Circuit City Stores |
CC |
$400 mln |
adds to prior plan |
| Computer Sciences Corp. |
CSC |
$2 bln |
 |
| Limited Brands |
LTD |
$100 mln |
upon completion of prior plan |
| 6/28/2006 |
| Bottomline Technologies Inc. |
EPAY |
$10 mln |
24 mls shares outstandindg |
| Cigna Corp. |
CI |
$500 mln |
adds to prior plan |
| Genesco |
GCO |
$20 mln |
 |
| Jabil Circuit |
JBL |
$200 mln |
over 1 year |
| Pinnacle Bancshares, Inc. |
PLE |
73,900 shares |
5% of outstanding |
| 6/27/2006 |
| BB&T Corp. |
BBT |
50 mln shares |
adds to prior plan |
| CorVel Corp. |
CRVL |
1 mln shares |
adds to prior plan |
| Wells Fargo and Co. |
WFC |
25 mln shares |
1.7 bln shares outstanding |
| 6/26/2006 |
| Energen Corp. |
EGN |
9 mln shares |
adds to prior plan |
| First American Corp. |
FAF |
$300 mln |
adds to prior plan |
| Thor Industries |
THO |
2 mln shares |
adds to prior plan |
| 6/23/2006 |
| Linktone Ltd. |
LTON |
$20 mln |
prior plan complete |
| NVR Inc. |
NVR |
$300 mln |
5.75 mln shares |
| 6/22/2006 |
| Asset Acceptance Capital Corp. |
AACC |
2.5 mln shares |
6.7% of outstanding |
| First Cash Financial Services |
FCFS |
2 mln shares |
prior plan complete |
| Health Grades |
HGRD |
3 mln shares |
28.5 mln shares outstanding |
| Mentor Corp. |
MNT |
1.7 mln shares |
adds to prior plan |
| 6/21/2006 |
| Best Buy |
BBY |
$1.5 bln |
replaces prior plan |
| Books-A-Million |
BAMM |
$10 mln |
replaces prior plan |
| Hudson City Bancorp |
HCBK |
56,975,000 shares |
10% of outstanding |
| Parkvale Financial Corp. |
PVSA |
283,400 shares |
5% of outstanding |
| 6/20/2006 |
| Euroweb International Corp. |
EWEB |
700,000 shares |
over 6 months |
| FirstEnergy Corp. |
FE |
12 mln shares |
3.6% of outstanding |
| Pemier Global Services, Inc. |
PGI |
7 mln shares |
prior plan complete |
| White Electronic Designs Corp. |
WEDC |
5% of outstanding |
24.6 mln shares outstanding |
| 6/19/2006 |
| Avocent |
AVCT |
3 mln shares |
expands prior plan |
| California Pizza Kitchen |
CPK |
$30 mln |
adds to prior plan |
| Gymboree |
GYMB |
$55 mln |
adds to prior plan |
| Nike |
NIKE |
$3 bln |
over 4 years |
| Value Click |
VCLK |
$50 mln |
5.7 mln shares outstanding |
| Source: The Online Investor |