Chase Investment Counsel

Latest statistics and disclosures from CHASE INVESTMENT COUNSEL's latest quarterly 13F-HR filing:

CHASE INVESTMENT COUNSEL portfolio companies for March 2014 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
SWKS Skyworks Solutions 3.14 +34.00% 246940 37.52 53.75
ADS Alliance Data Systems Corporation 2.67 -31.00% 28955 272.42 270.62
MCHP Microchip Technology 2.53 -6.00% 156401 47.76 48.11
STZ Constellation Brands 2.40 +64.00% 83224 84.96 87.92
MCK McKesson Corporation 2.29 -18.00% 38195 176.57 190.65
HOG Harley-Davidson 2.21 -13.00% 97901 66.61 63.94
SBNY Signature Bank 2.16 +187.00% 50792 125.57 117.42
Actavis 2.15 -32.00% 30833 205.82 0.00
PKG Packaging Corporation of America 2.09 -16.00% 87786 70.36 66.56
CBS CBS Corporation 2.05 -17.00% 97821 61.80 59.11
SNDK SanDisk Corporation 2.05 -16.00% 74366 81.18 94.92
GILD Gilead Sciences 2.03 -17.00% 84491 70.86 90.00
MYL Mylan 1.98 +195.00% 119757 48.82 52.65
MA MasterCard Incorporated 1.97 +727.00% 77936 74.69 78.03
QCOM QUALCOMM 1.96 -17.00% 73386 78.86 81.93
WLK Westlake Chemical Corporation 1.96 +64.00% 87571 66.17 89.10
PCLN priceline.com Incorporated 1.87 -18.00% 4624 1191.83 1236.73
TMO Thermo Fisher Scientific 1.84 -31.00% 45072 120.23 123.80
V Visa 1.82 -17.00% 24895 215.83 221.61
DIS Walt Disney Company 1.77 NEW 65351 80.06 86.01
CHECK POINT SOFTWARE Technolog Com Stk 1.75 -18.00% 76366 67.62 0.00
CTSH Cognizant Technology Solutions 1.73 +62.00% 100831 50.60 50.35
CBI Chicago Bridge & Iron Company N.V. 1.73 +17.00% 58501 87.14 68.60
BIIB Biogen Idec 1.72 -18.00% 16543 305.87 339.50
HSIC Henry Schein 1.72 -18.00% 42415 119.37 118.63
HSY Hershey Company 1.68 NEW 47617 104.40 93.91
UNP Union Pacific Corporation 1.67 -20.00% 26315 187.65 102.44
CVS CVS Caremark Corporation 1.65 -17.00% 65110 74.86 77.82
Abbvie 1.65 -17.00% 94691 51.40 0.00
CMCSA Comcast Corporation 1.54 -33.00% 90608 50.04 54.41
WBC WABCO Holdings 1.54 -37.00% 43046 105.54 105.92
LVS Las Vegas Sands 1.48 -13.00% 54020 80.77 73.78
Ingersoll-rand Co Ltd-cl A 1.42 -33.00% 73328 57.24 0.00
AME AMETEK 1.36 -34.00% 77661 51.48 51.86
PPG PPG Industries 1.30 NEW 19871 193.45 210.90
EOG EOG Resources 1.17 -17.00% 17586 196.12 116.00
BEAV BE Aerospace 1.14 -52.00% 38766 86.78 93.53
CLR Continental Resources 1.12 -17.00% 26624 124.25 152.29
AMP Ameriprise Financial 1.03 -52.00% 27668 110.05 122.47
PCP Precision Castparts 1.02 -46.00% 11944 252.68 254.30
GTU Central Gold-Trust 1.02 66480 45.23 45.98
Arris 0.92 96180 28.18 0.00
SNI Scripps Networks Interactive 0.88 -45.00% 34390 75.89 82.80
Invensense 0.79 +30.00% 98715 23.66 0.00
PII Polaris Industries 0.77 16300 139.69 147.65
JAH Jarden Corporation 0.76 37650 59.81 56.98
MTZ MasTec 0.76 51420 43.43 30.81
FEIC FEI Company 0.75 21480 102.98 86.33
SPECTRUM BRANDS Hldgs 0.75 +8.00% 27750 79.68 0.00
KEX Kirby Corporation 0.74 +13.00% 21445 101.24 119.82
LOPE Grand Canyon Education 0.72 -2.00% 45270 46.70 46.32
Pinnacle Foods Inc De 0.71 NEW 69735 29.86 0.00
ICON Iconix Brand 0.68 +54.00% 50745 39.26 42.51
IACI IAC/InterActive 0.66 27260 71.39 66.42
FLS Flowserve Corporation 0.66 24880 78.34 72.66
SNCR Synchronoss Technologies 0.65 NEW 56030 34.29 34.27
Amc Networks Inc Cl A 0.65 NEW 26295 73.06 0.00
DKS Dick's Sporting Goods 0.64 34435 54.60 43.26
Team Health Holdings 0.64 NEW 42240 44.74 0.00
Fortune Brands 0.63 NEW 43900 42.07 0.00
CCC Calgon Carbon Corporation 0.60 +45.00% 81155 21.82 22.60
CFN CareFusion Corporation 0.58 NEW 42570 40.22 44.51
FISV Fiserv 0.57 29840 56.67 62.53
RHI Robert Half International 0.56 NEW 39645 41.95 52.44
OII Oceaneering International 0.56 -76.00% 22870 71.84 72.10
DLTR Dollar Tree 0.55 31040 52.16 54.29
HGR Hanger Orthopedic 0.55 47760 33.67 30.22
PRAA Portfolio Recovery Associates 0.55 27880 57.86 61.94
CYT Cytec Industries 0.54 +20.00% 16355 97.58 106.66
HURN Huron Consulting 0.54 NEW 25155 63.37 65.73
BRS Bristow 0.53 20625 75.49 72.87
SLXP Salix Pharmaceuticals 0.53 14990 103.60 131.98
WWWW Web 0.53 NEW 46390 34.02 27.11
TSCO Tractor Supply Company 0.51 -16.00% 21425 70.62 61.10
ALGT Allegiant Travel Company 0.51 13565 111.91 123.43
ARG Airgas 0.50 NEW 13795 106.49 108.98
AKRX Akorn 0.50 66860 21.99 34.95
Central Fd Cda Ltd cl a 0.50 107010 13.76 0.00
LKQX LKQ Corporation 0.47 52975 26.33 0.00
WSDT WisdomTree Investments 0.47 NEW 106825 13.11 0.00
CNK Cinemark Holdings 0.39 39850 29.01 33.21
CVX Chevron Corporation 0.13 +5.00% 3115 118.78 132.54
SLB Schlumberger 0.12 +59.00% 3630 97.25 113.08
GPC Genuine Parts Company 0.11 3650 86.85 85.96
PM Philip Morris International 0.11 4140 81.64 85.31
MCD McDonald's Corporation 0.09 2680 97.76 95.11
BAX Baxter International 0.09 3790 73.35 76.97
PFE Pfizer 0.09 +8.00% 8085 32.03 30.37
BDX Becton, Dickinson and 0.09 2330 116.74 118.32
CL Colgate-Palmolive Company 0.09 +8.00% 3900 64.62 68.45
RCG RENN Global Entrepreneurs Fund 0.09 155800 1.69 1.56
PBCT People's United Financial 0.08 15270 14.87 14.86
KO Coca-Cola Company 0.08 5980 38.63 40.78
VFC V.F. Corporation 0.08 -28.00% 3650 61.64 61.14
ADP Automatic Data Processing 0.08 3080 76.95 81.37
Kraft Foods 0.08 NEW 4429 55.99 0.00
RSG Republic Services 0.07 6080 34.05 37.21
JNJ Johnson & Johnson 0.07 -95.00% 2060 98.06 102.16
GE General Electric Company 0.07 8500 25.88 26.03
CSCO Cisco Systems 0.07 9550 22.41 25.58
AAPL Apple 0.07 410 536.59 95.50
Yamana Gold 0.04 13360 8.76 0.00
Peregrine Semiconductor 0.02 10157 6.01 0.00

Past 13F-HR SEC Filings for CHASE INVESTMENT COUNSEL