Ken Roberts Investment Management

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

Ken Roberts Investment Management portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
AAPL Apple 2.97 +74.00% 15622 442.64 434.23
DOW Dow Chemical Company 2.84 207270 31.84 35.82
KSS Kohl's Corporation 2.52 +8.00% 126985 46.13 51.58
WAG Walgreen Company 2.48 -24.00% 121137 47.68 49.61
MSFT Microsoft Corporation 2.45 +33.00% 198974 28.61 34.87
Noble Corporation Com Stk 2.38 NEW 145238 38.15 0.00
FCX Freeport-McMoRan Copper & Gold 2.35 +7.00% 164990 33.10 32.68
NEM Newmont Mining Corporation 2.33 +21.00% 129218 41.89 30.63
PRU Prudential Financial 2.28 NEW 90043 58.99 68.38
QCOM QUALCOMM 2.26 +16.00% 78600 66.93 66.61
JBL Jabil Circuit 2.23 281478 18.48 20.05
JPM JPMorgan Chase & Co. 2.19 -37.00% 107540 47.46 52.30
COF Capital One Financial 2.17 +12.00% 92044 54.95 60.83
GE General Electric Company 2.16 +3.00% 217041 23.12 23.46
APA Apache Corporation 2.06 62157 77.16 82.01
CAH Cardinal Health 1.98 -2.00% 110475 41.62 47.79
MRO Marathon Oil Corporation 1.97 -3.00% 135899 33.72 36.15
CVS CVS Caremark Corporation 1.95 -7.00% 82408 54.99 59.44
HAR Harman International Industries Inc./DE/ 1.93 +61.00% 100575 44.63 52.05
GLW Corning Incorporated 1.85 NEW 323535 13.33 16.14
LUV Southwest Airlines 1.82 -21.00% 314040 13.48 14.38
Eaton 1.82 NEW 69151 61.24 0.00
BBBY Bed Bath & Beyond 1.76 -3.00% 63430 64.42 67.96
Express Scripts Holding 1.72 -2.00% 69475 57.62 0.00
CHK Chesapeake Energy Corporation 1.62 -3.00% 184850 20.41 20.27
Agilent Technologies Inc C ommon 1.57 -2.00% 86888 41.97 0.00
NVDA NVIDIA Corporation 1.55 NEW 281563 12.83 14.87
EMC EMC Corporation 1.54 +23.00% 150320 23.89 24.24
F Ford Motor Company 1.53 +63.00% 271203 13.15 15.08
SPLS Staples 1.48 256060 13.42 14.51
CAT Caterpillar 1.43 -2.00% 38175 86.97 87.67
WLP WellPoint 1.43 -39.00% 50165 66.22 77.81
Weatherford International Lt reg 1.41 -5.00% 270670 12.14 0.00
AZO AutoZone 1.37 NEW 8048 396.74 409.30
DD E.I. du Pont de Nemours & Company 1.30 +4.00% 61452 49.16 55.89
INTC Intel Corporation 1.14 +14.00% 121078 21.84 24.04
TWC Time Warner Cable 1.11 NEW 26810 96.05 97.95
JNK SPDR Barclays Capital High Yield B 1.04 +16.00% 58735 41.12 41.56
BTU Peabody Energy Corporation 0.98 -2.00% 107823 21.15 20.21
BHI Baker Hughes Incorporated 0.98 -41.00% 49275 46.41 47.53
MCK McKesson Corporation 0.96 -43.00% 20645 107.97 116.89
NTAP NetApp 0.95 -38.00% 64645 34.16 37.84
CAG ConAgra Foods 0.95 61715 35.81 35.92
HPT Hospitality Properties Trust 0.92 +10.00% 78240 27.44 30.99
BA Boeing Company 0.89 -7.00% 24233 85.83 98.78
VZ Verizon Communications 0.89 +13.00% 41959 49.14 53.35
SWKS Skyworks Solutions 0.88 NEW 92570 22.03 23.89
HCN Health Care REIT 0.87 +9.00% 29855 67.89 77.95
COP ConocoPhillips 0.85 -25.00% 33024 60.11 63.31
Gold 0.85 -3.00% 59085 33.63 0.00
T AT&T; 0.83 +11.00% 52870 36.69 37.44
DRI Darden Restaurants 0.83 +11.00% 37295 51.67 53.43
Chesapeake Enrgy Cvt Ppd 4.50 cv pfd 0.81 +10.00% 20920 89.82 0.00
EXC Exelon Corporation 0.80 NEW 54105 34.49 35.15
JNJ Johnson & Johnson 0.79 +25.00% 22670 81.52 88.09
MO Altria 0.78 +12.00% 52550 34.39 37.44
CA CA 0.74 +10.00% 68024 25.18 27.69
FNFG First Niagara Financial 0.72 -10.00% 189650 8.86 9.96
WM Waste Management 0.68 -11.00% 40575 39.21 42.39
LMT Lockheed Martin Corporation 0.65 +227.00% 15690 96.49 106.41
JWN Nordstrom 0.63 NEW 26480 55.21 60.68
TGT Target Corporation 0.56 -3.00% 19103 68.47 71.06
UNH UnitedHealth 0.56 NEW 22720 57.22 62.84
CVX Chevron Corporation 0.51 -25.00% 9924 118.80 123.42
BP BP 0.49 NEW 26835 42.33 42.96
Ensco Plc Shs Class A 0.46 NEW 17965 60.01 0.00
Abbvie 0.36 NEW 20670 40.78 0.00
LQD iShares IBoxx $ Invest Grade Corp Bd Fd 0.21 3995 119.90 120.09
CLF Cliffs Natural Resources 0.19 +11.00% 23295 19.02 20.69
EXAC Exactech 0.19 +9.00% 21225 20.68 18.00
BHLB Berkshire Hills Ban 0.18 +8.00% 16565 25.54 27.27
CNMD CONMED Corporation 0.18 +2.00% 12050 34.02 33.44
Ingredion Incorporated 0.18 5825 72.27 0.00
FFIC Flushing Financial Corporation 0.17 +5.00% 23605 16.95 15.72
NFG National Fuel Gas 0.17 6275 61.35 63.93
General Mtrs Co jr pfd cnv srb 0.17 -3.00% 8965 42.94 0.00
Bbcn Ban 0.17 +2.00% 31055 13.07 0.00
PLAB Photronics 0.16 +2.00% 54050 6.68 7.54
ECPG Encore Capital 0.16 +5.00% 12660 30.09 33.12
XOM Exxon Mobil Corporation 0.15 -6.00% 3930 90.08 91.76
SYKE Sykes Enterprises, Incorporated 0.15 NEW 21555 15.96 16.05
BGC General Cable Corporation 0.15 9320 36.59 34.22
LKFN Lakeland Financial Corporation 0.15 NEW 12685 26.72 28.07
AXP American Express Company 0.14 4975 67.54 73.70
LNDC Landec Corporation 0.14 +3.00% 23115 14.45 14.22
CRS Carpenter Technology Corporation 0.14 NEW 6700 49.25 47.99
MMU Western Asset Managed Municipals Fnd 0.14 22080 14.49 14.65
ACAT Arctic Cat 0.13 NEW 7040 43.75 46.82
CRZO Carrizo Oil & Gas 0.13 +6.00% 11815 25.73 27.20
Kemet Corporation Cmn 0.13 47965 6.25 0.00
SCS Steelcase 0.12 -65.00% 19350 14.73 13.64
RTEC Rudolph Technologies 0.12 +7.00% 23720 11.76 11.34
OMCL Omnicell 0.12 +11.00% 14810 18.91 18.81
BOOM Dynamic Materials Corporation 0.12 +6.00% 16515 17.38 16.77
GLF GulfMark Offshore 0.12 7230 39.00 46.45
PEP Pepsi 0.11 3105 79.23 83.80
GCO Genes 0.11 +3.00% 4430 60.05 67.89
TWI Titan International 0.11 NEW 11855 21.09 24.69
TCBI Texas Capital Bancshares 0.11 NEW 6120 40.52 44.28
ISSI Integrated Silicon Solution 0.11 NEW 28330 9.18 10.49
CRUS Cirrus Logic 0.11 NEW 11120 22.75 22.25
SGY Stone Energy Corporation 0.11 NEW 12015 21.72 23.31
OVTI OmniVision Technologies 0.11 +5.00% 18390 13.76 14.31
PRAA Portfolio Recovery Associates 0.11 -46.00% 2085 127.10 150.06
VLTR Volterra Semiconductor Corporation 0.11 NEW 18625 14.17 13.87
ZAGG Zagg 0.11 +52.00% 34385 7.27 5.03
TTMI TTM Technologies 0.10 +37.00% 29570 7.61 8.32
THO Thor Industries 0.09 5900 36.78 41.49
CROX Crocs 0.08 12370 14.79 17.13
HA Hawaiian Holdings 0.05 +6.00% 19330 5.79 5.45
OCZ OCZ Technology 0.03 35880 1.81 1.18
Skullcandy 0.03 +2.00% 14240 5.27 0.00