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Top Losers in Pre-market Today, June 12

Wednesday, June 12, 2013 8:04 AM

These are the stocks dropping the most in pre-market trading on, Wednesday, June 12, 2013.

Be sure to check out our Pre Market section of TheStockMarketWatch.

Celsion Corp. (NASDAQ:CLSN) is currently trading at $1.23 down -22.6% in pre-market on 96070 shares traded. CLSN is trading 45.84% above its 50 day moving average and -59.45% below its 200 day moving average. CLSN is -83.16% below its 52-week high and 112.00% above its 52-week low.

Celsion Corporation is an innovative oncology drug development company focused on the development of treatments for those suffering with difficult to treat forms of cancer.

First Solar Inc. (NASDAQ:FSLR) is currently trading at $49 down -6.3% in pre-market on 3410 shares traded. FSLR is trading 17.81% above its 50 day moving average and 67.38% above its 200 day moving average. FSLR is -11.37% below its 52-week high and 325.47% above its 52-week low. FSLR's PE ratio is 11.13 and their market cap is $4.59B.

First Solar, Inc. designs, manufactures and sells solar electric power modules using a proprietary thin film semiconductor technology. Its business includes project development, engineering, procurement & construction, operating and maintenance services.

Real Goods Solar Inc. (NASDAQ:RSOL) is currently trading at $2.83 down -3.1% in pre-market on 2800 shares traded. RSOL is trading 22.57% above its 50 day moving average and 118.09% above its 200 day moving average. RSOL is -59.27% below its 52-week high and 630.00% above its 52-week low.

Real Goods Solar Inc is a residential and commercial solar energy EPC provider, having installed over 13,000 solar systems.

Alvarion Ltd. (NASDAQ:ALVR) is currently trading at $1.31 down -3.0% in pre-market on 45000 shares traded. ALVR's RSI is currently at 6.39 which indicates that the stock is oversold. ALVR is trading -52.22% below its 50 day moving average and 31.49% above its 200 day moving average. ALVR is -67.86% below its 52-week high and 335.48% above its 52-week low.

Alvarion, Ltd. designs, develops and markets wireless products. Its systems are used for providing Internet access and voice and data services for subscribers, for feeding of cellular networks, for building connectivity, & for wireless local area network.

Newcastle Investment Corp. (NYSE:NCT) is currently trading at $5.04 down -2.1% in pre-market on 147510 shares traded. NCT is trading -3.16% below its 50 day moving average and 17.08% above its 200 day moving average. NCT is -14.17% below its 52-week high and 95.86% above its 52-week low. NCT's PE ratio is 1.81 and their market cap is $1.30B.

Newcastle Investment Corporation is a real estate investment and finance company. Newcastle invests in, and actively manages, a portfolio of real estate securities, loans, excess mortgage servicing rights and other real estate related assets.

J. C. Penney Company Inc. (NYSE:JCP) is currently trading at $17.75 down -2.0% in pre-market on 25000 shares traded. JCP is trading 7.90% above its 50 day moving average and -9.31% below its 200 day moving average. JCP is -44.33% below its 52-week high and 33.73% above its 52-week low.

J. C. Penney Company, Inc. is a holding company, whose business consists of selling merchandise and services to consumers through its department stores and Direct channels. It sells family apparel and footwear, accessories, fine and fashion jewelry, etc.

Kinross Gold Corporation (NYSE:KGC) is currently trading at $5.82 down -2.0% in pre-market on 9900 shares traded. KGC is trading -0.19% below its 50 day moving average and -29.27% below its 200 day moving average. KGC is -46.96% below its 52-week high and 19.52% above its 52-week low.

Kinross Gold Corporation is a Canadian-based gold mining company with mines and projects in Brazil, Canada, Chile, Ecuador, Ghana, Mauritania, Russia and the United States, employing approximately 8,000 people worldwide.

Direxion Daily Small Cap Bear 3X Shares (NYSE:TZA) is currently trading at $31.13 down -1.9% in pre-market on 11960 shares traded. TZA is trading -10.39% below its 50 day moving average and -35.63% below its 200 day moving average. TZA is -64.98% below its 52-week high and 7.41% above its 52-week low.

The investment seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the performance of the Russell 2000� Index. The fund, under normal circumstances, creates short positions by investing at least 80% of its net assets in financial instruments that, in combination, provide leveraged and unleveraged exposure to the index. The index measures the performance of the small-cap segment of the U.S. equity universe and is comprised of the smallest 2000 companies in the Russell 3000� Index, representing approximately 9% of the total market capitalization of that index. The fund is non-diversified.

iPath S&P 500 VIX Short-Term Futures ETN (NYSE:VXX) is currently trading at $19.65 down -1.9% in pre-market on 141440 shares traded. VXX is trading 4.54% above its 50 day moving average and -27.80% below its 200 day moving average. VXX is -76.09% below its 52-week high and 11.41% above its 52-week low.

The investment seeks to replicate, net of expenses, the S&P 500 VIX Short-Term Futures Total Return Index. The index offers exposure to a daily rolling long position in the first and second month VIX futures contracts and reflects the implied volatility of the S&P 500 index at various points along the volatility forward curve. The index futures roll continuously throughout each month from the first month VIX futures contract into the second month VIX futures contract.

Biogen Idec Inc. (NASDAQ:BIIB) is currently trading at $220.225 down -1.3% in pre-market on 6210 shares traded. BIIB is trading 3.53% above its 50 day moving average and 31.98% above its 200 day moving average. BIIB is -8.08% below its 52-week high and 68.95% above its 52-week low. BIIB's PE ratio is 35.40 and their market cap is $52.94B.

Biogen Idec Inc is a biotechnology company which develops, manufactures & markets therapies, focusing on neurology, oncology, and immunology for the treatment of neurodegenerative diseases, hemophilia and autoimmune disorders.

Mellanox Technologies Ltd. (NASDAQ:MLNX) is currently trading at $46.55 down -1.2% in pre-market on 5200 shares traded. MLNX is trading -14.43% below its 50 day moving average and -32.37% below its 200 day moving average. MLNX is -60.76% below its 52-week high and 12.84% above its 52-week low. MLNX's PE ratio is 23.09 and their market cap is $2.03B.

Mellanox Technologies, Ltd. produces and supplies semiconductor interconnect products that facilitate efficient data transmission between servers, storage systems and communications infrastructure equipment and other embedded systems.

Clovis Oncology Inc. (NASDAQ:CLVS) is currently trading at $74.25 down -0.8% in pre-market on 28350 shares traded. CLVS's RSI is currently at 81.58 which indicates that the stock is overbought. CLVS is trading 93.03% above its 50 day moving average and 206.64% above its 200 day moving average. CLVS is -13.28% below its 52-week high and 568.72% above its 52-week low.

Clovis Oncology, Inc. is a biopharmaceutical company focused on acquiring, developing and commercializing innovative anti-cancer agents in the United States, Europe and additional international markets.

Ryanair Holdings plc (NASDAQ:RYAAY) is currently trading at $49.76 down -0.5% in pre-market on 2000 shares traded. RYAAY is trading 11.02% above its 50 day moving average and 33.19% above its 200 day moving average. RYAAY is -0.75% below its 52-week high and 92.87% above its 52-week low. RYAAY's PE ratio is 19.24 and their market cap is $14.25B.

Partner Communications Company Ltd. (NASDAQ:PTNR) is currently trading at $6.5 down -0.5% in pre-market on 14900 shares traded. PTNR is trading -0.73% below its 50 day moving average and 11.70% above its 200 day moving average. PTNR is -9.81% below its 52-week high and 131.78% above its 52-week low. PTNR's PE ratio is 10.05 and their market cap is $1.02B.

Partner Communications Company Ltd. is a GSM mobile telephone network operator in Israel. Its offers cellular, fixed-line telecommunication services, internet & 3G, among others under the orange brand.

Vodafone Group plc (NYSE:VOD) is currently trading at $28.7 down -0.5% in pre-market on 86100 shares traded. VOD is trading 1.03% above its 50 day moving average and 8.64% above its 200 day moving average. VOD is -3.05% below its 52-week high and 22.28% above its 52-week low. VOD's PE ratio is 229.69 and their market cap is $157.16B.

Vodafone Group PLC is engaged in providing voice and data communications services for both consumers and enterprise customers, with a significant presence in Europe, the Middle East, Africa, the Asia Pacific region and the United States.

Be sure to check out our Pre Market section of TheStockMarketWatch.

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