InView Investment Management

Latest statistics and disclosures from InView Investment Management's latest quarterly 13F-HR filing:

InView Investment Management portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Magnachip Semiconductor 3.33 -5.00% 132230 17.31 0.00
ABG Asbury Automotive 2.77 -6.00% 51890 36.69 41.11
DLX Deluxe Corporation 2.66 -5.00% 44200 41.40 38.20
ARCC Ares Capital Corporation 2.58 -4.00% 98000 18.10 17.89
CCK Crown Holdings 2.57 -5.00% 42350 41.61 42.73
BDC Belden 2.54 -5.00% 33810 51.64 53.44
NAV Navistar International Corporation 2.52 NEW 50130 34.57 35.56
CMS CMS Energy Corporation 2.41 -5.00% 59230 27.94 27.53
NWL Newell Rubbermaid 2.37 -6.00% 62495 26.10 27.21
RBC REGAL-BELOIT CORPORATION 2.36 -5.00% 19910 81.57 64.18
NPO EnPro Industries 2.25 -5.00% 30220 51.16 50.17
AEL American Equity Investment Life Holding 2.22 -6.00% 102540 14.89 15.75
PHM Pulte 2.21 -5.00% 75050 20.24 22.28
CUZ Cousins Properties 2.19 -5.00% 140527 10.69 10.51
LFUS Littelfuse 2.13 -5.00% 21563 67.85 73.12
LPX Louisiana-Pacific Corporation 2.06 -4.00% 65530 21.59 18.66
EAT Brinker International 2.03 -5.00% 37080 37.65 40.62
TECD Tech Data Corporation 2.02 -6.00% 30380 45.59 49.12
ARI Apollo Commercial Real Est. Finance 2.02 -5.00% 78730 17.59 17.70
AVA Avista Corporation 2.01 -6.00% 50370 27.40 27.44
OZM Och-Ziff Capital Management 2.00 NEW 146880 9.35 11.30
Flextronics International Ltd Com Stk 1.97 -4.00% 200002 6.76 0.00
ONB Old National Ban 1.92 -5.00% 95890 13.74 13.55
NPBC National Penn Bancshares 1.91 -5.00% 122827 10.69 9.91
AVT Avnet 1.76 -5.00% 33460 36.19 33.46
DGI DigitalGlobe 1.76 -5.00% 41850 28.91 28.27
ACM AECOM Technology Corporation 1.72 -5.00% 36060 32.81 30.47
POR Portland General Electric Company 1.70 -4.00% 38470 30.34 31.07
Luxfer Holdings 1.69 NEW 74890 15.49 0.00
RGC Regal Entertainment 1.68 -5.00% 69020 16.68 18.61
HPP Hudson Pacific Properties 1.68 -5.00% 53124 21.74 22.82
MDP Meredith Corporation 1.63 -5.00% 29288 38.28 40.96
HAIN Hain Celestial 1.60 -4.00% 17960 61.08 68.44
HBHC Hancock Holding Company 1.60 -5.00% 35440 30.93 28.25
OCR Omnicare 1.54 -5.00% 26030 40.72 45.69
BIO Bio-Rad Laboratories 1.52 -5.00% 8260 126.03 115.07
PVTB PrivateBan 1.52 -5.00% 55340 18.88 19.42
MTRX Matrix Service Company 1.47 -5.00% 67730 14.90 16.22
AEGEAN MARINE PETROLEUM Networ Com Stk 1.42 -2.00% 145059 6.71 0.00
KELYA Kelly Services 1.40 -4.00% 51480 18.69 17.51
CNK Cinemark Holdings 1.37 -4.00% 31900 29.44 30.23
Jones 1.34 -5.00% 72250 12.72 0.00
Tower Group International 1.23 NEW 45861 18.45 0.00
SSI Stage Stores 1.20 -4.00% 31750 25.89 22.97
PEB Pebblebrook Hotel Trust 1.17 -5.00% 31270 25.78 26.85
MBFI MB Financial 1.15 -4.00% 32690 24.17 25.70
SPR Spirit AeroSystems Holdings 1.14 -5.00% 41300 18.98 21.31
DF Dean Foods Company 1.13 -7.00% 42680 18.13 10.10
Fresh Del Monte Produce 1.11 -4.00% 28332 26.97 0.00
CRK Comstock Resources 1.11 -5.00% 47050 16.26 17.04
STLD Steel Dynamics 1.06 -4.00% 45800 15.87 15.24
MFA MFA Mortgage Investments 1.00 -5.00% 74070 9.32 9.01
IVR Invesco Mortgage Capital 0.99 -4.00% 31750 21.39 19.42
CMCO Columbus McKinnon 0.98 -4.00% 35100 19.26 19.52
PTEN Patterson-UTI Energy 0.97 -5.00% 27990 23.83 21.57
KEYW KEYW Holding 0.69 -4.00% 29370 16.14 14.27
RAIL FreightCar America 0.65 -4.00% 20390 21.82 17.88
Aurico Gold 0.56 -4.00% 61370 6.29 0.00
FST Forest Oil Corporation 0.41 -4.00% 53070 5.26 4.86