InView Investment Management

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

InView Investment Management portfolio companies for September 2013 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Magnachip Semiconductor 3.83 132230 21.53 0.00
ABG Asbury Automotive 3.72 51890 53.21 63.58
AEL American Equity Investment Life Holding 2.93 102540 21.22 23.92
BDC Belden 2.92 33810 64.06 64.08
POR Portland General Electric Company 2.55 +74.00% 67110 28.24 35.34
DLX Deluxe Corporation 2.48 44200 41.65 57.74
Flextronics International Ltd Com Stk 2.45 200002 9.09 0.00
NPO EnPro Industries 2.45 30220 60.23 61.75
CCK Crown Holdings 2.41 42350 42.29 47.12
Meritor 2.33 220234 7.86 0.00
NWL Newell Rubbermaid 2.31 62495 27.51 34.63
ARCC Ares Capital Corporation 2.28 98000 17.29 16.04
LFUS Littelfuse 2.27 21563 78.24 86.02
OZM Och-Ziff Capital Management 2.17 146880 10.99 11.10
RBC REGAL-BELOIT CORPORATION 2.10 +15.00% 22920 67.93 68.19
EAT Brinker International 2.02 37080 40.53 50.31
CUZ Cousins Properties 1.95 140527 10.29 12.62
OCR Omnicare 1.94 26030 55.51 64.67
AVT Avnet 1.88 33460 41.72 41.62
MDP Meredith Corporation 1.88 29288 47.63 46.90
ONB Old National Ban 1.83 95890 14.20 12.91
AVA Avista Corporation 1.79 50370 26.40 34.22
MTRX Matrix Service Company 1.79 67730 19.62 23.90
AEGEAN MARINE PETROLEUM Networ Com Stk 1.78 111499 11.86 0.00
DGI DigitalGlobe 1.78 41850 31.61 29.19
RGC Regal Entertainment 1.76 69020 18.98 20.04
PHM Pulte 1.67 75050 16.50 19.27
NPBC National Penn Bancshares 1.66 122827 10.05 9.80
Chambers Str Pptys 1.64 NEW 139090 8.78 0.00
ARI Apollo Commercial Real Est. Finance 1.62 78730 15.27 16.34
Luxfer Holdings 1.61 74890 15.98 0.00
PVTB PrivateBan 1.59 55340 21.40 30.01
LPX Louisiana-Pacific Corporation 1.55 65530 17.59 14.86
ESIO Electro Scientific Industries 1.54 NEW 97630 11.69 6.67
ACM AECOM Technology Corporation 1.52 36060 31.28 31.57
HBHC Hancock Holding Company 1.50 35440 31.38 32.78
SWC Stillwater Mining Company 1.49 NEW 100570 11.01 14.12
HPP Hudson Pacific Properties 1.39 53124 19.45 26.94
CNK Cinemark Holdings 1.36 31900 31.76 33.72
SPR Spirit AeroSystems Holdings 1.35 41300 24.24 37.64
Cys Investments 1.33 121800 8.13 0.00
BIO Bio-Rad Laboratories 1.31 8260 117.55 112.04
MBFI MB Financial 1.24 32690 28.20 28.57
PEB Pebblebrook Hotel Trust 1.21 31270 28.72 40.48
KEYW KEYW Holding 1.09 +104.00% 59990 13.45 10.15
MDR McDermott International 1.05 NEW 104580 7.43 4.35
STLD Steel Dynamics 1.03 45800 16.72 22.33
Ares Coml Real Estate 1.03 NEW 61590 12.44 0.00
ABD ACCO Brands Corporation 1.02 NEW 113810 6.64 0.00
MFA MFA Mortgage Investments 1.02 +36.00% 101320 7.45 8.39
Dean Foods Company 1.02 NEW 39190 19.29 0.00
CRK Comstock Resources 1.01 47050 15.92 11.95
Whitewave Foods 1.00 +241.00% 37251 19.97 0.00
HAIN Hain Celestial 0.98 -47.00% 9480 77.11 103.19
NAV Navistar International Corporation 0.98 -60.00% 20030 36.50 33.83
IVR Invesco Mortgage Capital 0.98 +48.00% 47290 15.39 16.45
SSI Stage Stores 0.82 31750 19.21 17.29
PTEN Patterson-UTI Energy 0.80 27990 21.36 26.09