CONTRAVISORY INVESTMENT MANAGEMENT

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

CONTRAVISORY INVESTMENT MANAGEMENT portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
KSU Kansas City Southern 3.80 -4.00% 150897 110.90 111.06
GILD Gilead Sciences 3.72 +85.00% 334244 48.94 55.71
CBS CBS Corporation 3.48 -6.00% 328310 46.69 50.49
CYH Community Health Systems 3.38 -2.00% 313432 47.39 43.00
CINF Cincinnati Financial Corporation 2.93 272990 47.22 47.33
AMGN Amgen 2.89 123902 102.51 105.29
MCO Moody's Corporation 2.85 -6.00% 235432 53.32 66.81
DHI D.R. Horton 2.85 516143 24.30 25.46
MON Monsanto Company 2.83 117708 105.63 104.41
MA MasterCard Incorporated 2.77 22559 541.13 570.79
HAE Haemonetics Corporation 2.71 286707 41.66 40.84
CL Colgate-Palmolive Company 2.67 99534 118.03 60.58
AWK American Water Works 2.67 283229 41.44 41.53
NTRS Northern Trust Corporation 2.64 212868 54.56 57.15
AIG American International 2.63 298013 38.82 44.36
VMC Vulcan Materials Company 2.60 -5.00% 220940 51.70 53.72
CHD Church & Dwight 2.60 177288 64.63 62.00
CVS CVS Caremark Corporation 2.52 201691 54.99 58.49
American Tower Reit 2.52 144361 76.92 0.00
VRSK Verisk Analytics 2.51 179330 61.62 59.29
CTAS Cintas Corporation 2.44 242984 44.13 44.65
SNI Scripps Networks Interactive 2.42 NEW 165397 64.34 68.05
Ingersoll-rand Co Ltd-cl A 2.39 +3436.00% 190970 55.01 0.00
TOL Toll Brothers 2.35 NEW 302055 34.24 36.67
RTN Raytheon Company 2.34 174926 58.79 66.31
CVG Convergys Corporation 2.33 NEW 601053 17.03 17.82
ASH Ashland 2.31 136633 74.30 87.90
XOM Exxon Mobil Corporation 2.30 112404 90.11 91.44
WMT Wal-Mart Stores 2.26 132794 74.83 77.09
DE Deere & Company 2.26 NEW 115698 85.98 86.07
MDC M.D.C. Holdings 2.26 NEW 271767 36.65 38.59
NU Northeast Utilities System 2.21 +2.00% 224064 43.46 43.03
BUD Anheuser-Busch InBev NV 2.21 NEW 97554 99.55 95.27
BAC Bank of America Corporation 2.19 NEW 792765 12.18 13.18
IDXX IDEXX Laboratories 1.89 89901 92.39 83.69
T AT&T; 1.86 223460 36.69 36.62
Telus Ord 1.39 NEW 88449 69.11 0.00
Abbvie 1.33 NEW 142956 40.78 0.00
ABT Abbott Laboratories 1.25 156238 35.32 37.36
LOW Lowe's Companies 0.16 18525 37.92 42.28
XLP Consumer Staples Select Sect. SPDR 0.13 -5.00% 13910 39.77 41.65
BK Bank of New York Mellon Corporation 0.11 NEW 17185 27.99 29.40
Kraft Foods 0.11 NEW 9675 51.53 0.00
HGR Hanger Orthopedic 0.10 +2.00% 14605 31.53 30.16
Wright Express 0.10 +2.00% 5715 78.50 0.00
COST Costco Wholesale Corporation 0.09 3690 106.11 114.27
Expedia 0.08 5700 60.02 0.00
ITW Illinois Tool Works 0.07 NEW 4760 60.94 69.81
MKC McCormick & Company, Incorporated 0.07 3980 73.55 73.38
RYN Rayonier 0.07 5200 59.67 57.93
KRE SPDR KBW Regional Banking 0.07 -5.00% 10342 31.79 32.34
AMZN Amazon 0.06 1060 266.49 259.20
XHB SPDR S&P; Homebuilders 0.06 NEW 9305 30.06 31.43
TYL Tyler Technologies 0.04 2660 61.26 66.91
VCBI Virginia Commerce Ban 0.04 11400 14.05 13.55
N NetSuite 0.04 +3.00% 2310 80.06 87.79
SFI iStar Financial 0.03 NEW 13910 10.89 11.77
ACXM Acxiom Corporation 0.03 NEW 6655 20.40 21.36
CBRL Cracker Barrel Old Country Store 0.03 1580 80.85 86.27
UVV Universal Corporation 0.03 +4.00% 2345 56.04 58.86
Cott 0.03 NEW 14060 10.12 0.00
TTEK Tetra Tech 0.03 +11.00% 4490 30.49 27.83
PRXL PAREXEL International Corporation 0.03 +4.00% 3650 39.54 45.95
PKI PerkinElmer 0.03 +9.00% 4070 33.64 31.56
LOPE Grand Canyon Education 0.03 +3.00% 5965 25.39 32.83
PDLI PDL BioPharma 0.03 15090 7.30 8.32
ULTI Ultimate Software 0.03 +4.00% 1297 104.16 111.11
TTC Toro Company 0.03 +10.00% 2954 46.04 47.47
MTH Meritage Homes Corporation 0.03 NEW 3140 46.86 49.53
CYT Cytec Industries 0.03 +11.00% 1730 74.08 71.47
LAD Lithia Motors 0.03 2409 47.48 51.19
ROG Rogers Corporation 0.03 NEW 2760 47.62 45.98
NSR Neustar 0.03 +4.00% 2815 46.53 47.44
WAB Wabtec Corporation 0.03 1310 102.11 108.44
WMGI Wright Medical 0.03 +6.00% 5210 23.81 23.64
ABCO Advisory Board Company 0.03 +4.00% 2640 52.52 50.05
CHFC Chemical Financial Corporation 0.03 +11.00% 5130 26.38 25.26
HCSG Healthcare Services 0.03 +4.00% 4894 25.63 22.22
UNF UniFirst Corporation 0.03 1599 90.50 94.70
ALOG Analogic Corporation 0.03 NEW 1640 79.02 80.05
PNM PNM Resources 0.03 +4.00% 6030 23.29 22.48
TCAP Triangle Capital Corporation 0.03 NEW 4380 27.99 28.60
Pvh Corporation 0.03 +4.00% 1160 106.81 0.00
CVX Chevron Corporation 0.02 842 118.82 124.56
SPY SPDR S&P; 500 ETF 0.02 -31.00% 550 156.67 164.51
CBB Cincinnati Bell 0.02 +5.00% 27926 3.26 3.57
LDR Landauer 0.02 1795 56.38 51.75
IDA IDA 0.02 2020 48.27 48.75
GE General Electric Company 0.01 -50.00% 1000 23.12 23.55
TDC Teradata Corporation 0.01 414 58.50 54.37
F Ford Motor Company 0.01 2000 13.15 14.67
EMC EMC Corporation 0.01 1200 23.89 23.47
HNR Harvest Natural Resources 0.01 NEW 13500 3.51 3.16
BND Vanguard Total Bond Market ETF 0.01 360 83.64 83.06
Ms Quality Mun Incm Tr 0.01 4909 13.32 0.00
BRK.B Berkshire Hathaway 0.00 200 104.20 0.00
JNJ Johnson & Johnson 0.00 -42.00% 60 81.50 86.61
VRTX Vertex Pharmaceuticals Incorporated 0.00 110 55.00 77.24
DIS Walt Disney Company 0.00 200 56.80 64.50
NVDA NVIDIA Corporation 0.00 56 12.86 14.47
SEE Sealed Air 0.00 60 24.17 23.52
TRV Travelers Companies 0.00 95 84.21 82.94
ADP Automatic Data Processing 0.00 75 65.07 69.75
ACIW ACI Worldwide 0.00 30 49.00 44.95
DRI Darden Restaurants 0.00 43 51.63 52.72
AGCO AGCO Corporation 0.00 1 50.00 53.57
AAPL Apple 0.00 -96.00% 1 440.00 444.44
NCR NCR Corporation 0.00 414 27.56 31.46
Nextera Energy 0.00 80 77.62 0.00
LSI LSI Corporation 0.00 116 6.81 7.11
ITC ITC Holdings 0.00 55 89.27 88.49
LINE Linn Energy 0.00 300 37.97 35.10
SH ProShares Short S&P500; 0.00 370 30.70 29.09
TECH Techne Corporation 0.00 48 67.92 66.43
TSO Tesoro Corporation 0.00 -21.00% 235 58.55 61.38
AFSI Amtrust Financial Services 0.00 4 35.00 31.93
EIX Edison International 0.00 100 50.30 47.82
CAKE Cheesecake Factory Incorporated 0.00 425 38.61 39.72
SWKS Skyworks Solutions 0.00 410 22.02 22.38
ASBC Associated Banc- 0.00 300 15.20 15.24
OSBC Old Second Ban 0.00 300 3.17 5.50
ALU Alcatel-Lucent 0.00 404 1.34 1.46
MDY SPDR S&P; MidCap 400 ETF 0.00 -89.00% 30 209.67 215.20
NATR Nature's Sunshine Prod. 0.00 1000 15.24 15.44
GM General Motors Company 0.00 31 27.74 32.64
Technology Solutions 0.00 75 0.00 0.00
Advanced Biomedical Tech 0.00 7380 1.00 0.00