Meeder Asset Management

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

  • Top 5 stock holdings are WDC, HPQ, XRX, MCK, VIA.B. These five stock positions account for 11.91% of MEEDER ASSET MANAGEMENT's total stock portfolio.
  • Added to shares of these 10 stocks: PFG (+$10.90M), CAH (+$10.89M), BA (+$9.46M), AIG (+$7.79M), NUS (+$7.76M), Graham Hldgs (+$6.89M), NKE (+$6.85M), IWO (+$6.65M), Phillips 66 (+$6.46M), MS (+$5.18M).
  • Started 52 new stock positions in QCOR, AXE, AGG, HAL, Te Connectivity Ltd for, Phillips 66, OIS, HPI, HNT, Roundy's.
  • Reduced shares in these 10 stocks: EFA (-$47.59M), JPM (-$12.33M), (-$11.02M), MDT (-$9.42M), Citi (-$7.96M), WPO (-$6.45M), AVY (-$5.75M), (-$5.68M), (-$5.23M), IP (-$5.02M).
  • Sold out of its positions in ABD, AOL, AXAS, AINV, BIO, CHK, PLCE, CSCO, Citi, CMCSA.
  • As of Dec. 31, 2013, MEEDER ASSET MANAGEMENT has $584.20M in assets under management (AUM). Assets under management grew from a total value of $526.17M to $584.20M.
  • Independent of market fluctuations, MEEDER ASSET MANAGEMENT was a net buyer by $25.20M worth of stocks in the most recent quarter.

MEEDER ASSET MANAGEMENT portfolio companies for December 2013 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
WDC Western Digital 2.57 +11.00% 178972 83.88 91.05
HPQ Hewlett-Packard Company 2.55 +18.00% 531908 27.97 31.93
XRX Xerox Corporation 2.35 +11.00% 1127020 12.17 11.43
MCK McKesson Corporation 2.33 +29.00% 84385 161.36 170.98
VIA.B Via 2.12 +47.00% 141695 87.34 0.00
WLP WellPoint 2.12 +7.00% 134060 92.40 92.00
PFG Principal Financial 1.87 NEW 221105 49.32 45.20
CAH Cardinal Health 1.86 +325950.00% 163025 66.81 68.13
WHR Whirlpool Corporation 1.79 +43.00% 66710 156.83 153.75
NOC Northrop Grumman Corporation 1.77 -2.00% 90415 114.59 122.00
ATVI Activision Blizzard 1.76 +31.00% 577514 17.83 19.69
BA Boeing Company 1.62 NEW 69375 136.39 127.92
COP ConocoPhillips 1.60 -21.00% 132398 70.68 74.77
ADM Archer Daniels Midland Company 1.46 -13.00% 196443 43.41 45.04
SNDK SanDisk Corporation 1.44 +132.00% 118900 70.53 82.99
WAG Walgreen Company 1.41 -12.00% 143395 57.43 66.75
TWX Time Warner 1.40 -2.00% 117600 69.73 65.15
CSC Computer Sciences Corporation 1.34 +2.00% 140435 55.89 61.08
AIG American International 1.34 +50900.00% 153000 51.03 50.82
NUS Nu Skin Enterprises 1.33 NEW 56145 138.22 86.42
DOV Dover Corporation 1.26 +57.00% 76080 96.48 85.46
Graham Hldgs 1.18 NEW 10388 663.20 0.00
AFL AFLAC Incorporated 1.17 +4.00% 102520 66.79 63.05
NKE NIKE 1.17 NEW 87070 78.66 74.03
IWO iShares Russell 2000 Growth Index 1.14 +26389.00% 49271 135.52 130.41
Phillips 66 1.11 NEW 83790 77.12 0.00
MS Morgan Stanley 1.04 +582.00% 193550 31.38 30.76
SWY Safeway 0.96 -11.00% 171320 32.59 34.12
BBY Best Buy 0.95 139695 39.87 24.48
CI CIGNA Corporation 0.91 +264.00% 60800 87.45 75.64
VC Visteon Corporation 0.87 +9.00% 62395 81.90 86.60
JCI Johnson Controls 0.85 +3574.00% 97015 51.31 46.83
EMB iShares JPMorgan USD Emer Mkt Bnd Fd ETF 0.85 +8392.00% 45860 108.15 112.11
HAL Halliburton Company 0.83 NEW 95610 50.77 60.90
PH Parker-Hannifin Corporation 0.83 NEW 37550 128.60 125.35
EFA iShares MSCI EAFE Index Fund 0.80 -91.00% 69531 67.10 67.53
EEM iShares MSCI Emerging Markets Indx 0.79 +10.00% 109925 41.79 42.01
AAPL Apple 0.78 +9429.00% 8100 560.81 524.94
QCOR Questcor Pharmaceuticals 0.77 NEW 83020 54.46 76.95
BWA BorgWarner 0.75 +100.00% 78190 55.89 62.59
CNO CNO Financial 0.72 238380 17.70 17.35
SFG StanCorp Financial 0.70 61760 66.27 62.74
LYV Live Nation Entertainment 0.69 +4.00% 205063 19.75 20.58
Pimco Total Return Etf totl 0.69 -2.00% 38680 104.74 0.00
AIZ Assurant 0.66 +53.00% 57751 66.39 65.95
GNW Genworth Financial 0.65 243870 15.53 16.88
Te Connectivity Ltd for 0.65 NEW 69045 55.10 0.00
MGLN Magellan Health Services 0.63 61170 59.87 54.81
ZBRA Zebra Technologies 0.59 64190 54.10 63.52
HYG iShares iBoxx $ High Yid Corp Bond 0.59 36885 92.86 94.12
VCIT Vanguard Intermediate Tm Cpte Bd ETF 0.59 41660 82.69 85.22
Abbvie 0.59 NEW 64815 52.83 0.00
KR Kroger 0.58 -48.00% 85562 39.51 44.28
RAD Rite Aid Corporation 0.58 +15.00% 667506 5.06 7.16
DAN Dana Holding Corporation 0.58 172390 19.63 22.78
AEL American Equity Investment Life Holding 0.55 NEW 121255 26.37 23.13
HSIC Henry Schein 0.54 +32.00% 27620 114.17 113.87
JACK Jack in the Box 0.53 +30.00% 62415 49.97 56.56
LPNT LifePoint Hospitals 0.52 -19.00% 57640 52.81 51.20
CVG Convergys Corporation 0.51 +379.00% 140895 21.06 21.82
LQD iShares IBoxx $ Invest Grade Corp Bd Fd 0.51 NEW 26125 114.18 117.46
LXK Lexmark International 0.48 +96.00% 78210 35.51 45.98
OSK Oshkosh Corporation 0.47 54970 50.36 57.01
Itt 0.47 63515 43.43 0.00
TSN Tyson Foods 0.46 80215 33.47 42.65
ESL Esterline Technologies Corporation 0.45 NEW 25635 102.05 107.50
Seagate Technology Com Stk 0.43 NEW 45090 56.11 0.00
Nabors Industries Ltd shs 0.43 147835 17.00 0.00
WOOF VCA Antech 0.41 +74.00% 75780 31.36 30.93
CW Curtiss-Wright 0.40 NEW 37655 62.20 63.61
CR Crane 0.40 +12.00% 34400 67.31 71.02
VNO Vornado Realty Trust 0.39 NEW 25785 88.77 100.52
PPG PPG Industries 0.38 +26.00% 11797 189.70 199.46
GE General Electric Company 0.37 76674 28.03 26.56
Enterprise Products Partners 0.36 31324 66.29 0.00
PL Protective Life 0.36 41900 50.66 50.72
SEE Sealed Air 0.35 +227.00% 59383 34.05 32.27
CASY Casey's General Stores 0.35 NEW 29010 70.25 66.69
Rlj Lodging Trust 0.35 84760 24.32 0.00
HAR Harman International Industries Inc./DE/ 0.34 +243.00% 24429 81.87 105.61
AMSG AmSurg 0.34 NEW 43660 45.96 46.29
MET MetLife 0.34 +36201.00% 36665 53.97 51.20
PRU Prudential Financial 0.33 NEW 21195 92.26 80.92
CNC Centene Corporation 0.33 32345 58.92 55.66
SNX SYNNEX Corporation 0.33 NEW 28475 67.36 69.87
SWM Schweitzer-Mauduit International 0.33 +120.00% 37575 51.46 40.29
TEN Tenne 0.32 33350 56.63 59.87
SON Sonoco Products Company 0.31 +17.00% 43635 41.71 42.09
PLXS Plexus 0.31 41470 43.28 43.52
JNK SPDR Barclays Capital High Yield B 0.31 44785 40.55 41.22
STR Questar Corporation 0.30 75826 22.99 23.50
AWK American Water Works 0.30 41648 42.26 45.67
JNJ Johnson & Johnson 0.29 +258.00% 18703 91.53 98.96
MDU MDU Resources 0.29 54783 30.56 35.08
HST Host Hotels & Resorts 0.28 +42.00% 82770 19.44 20.98
HON Honeywell International 0.27 -63.00% 17580 91.36 93.10
HRC Hill-Rom Holdings 0.27 +244.00% 37835 41.30 36.66
WOR Worthington Industries 0.27 NEW 37550 42.08 36.92
PWR Quanta Services 0.26 +312.00% 48126 31.56 36.64
HNT Health Net 0.26 NEW 50445 29.65 31.50
Telephone And Data Systems 0.26 58699 25.78 0.00
WMB Williams Companies 0.25 38615 38.56 41.79
MTX Minerals Technologies 0.25 +97.00% 24740 60.00 62.11
NFG National Fuel Gas 0.25 20831 71.38 69.98
Symetra Finl 0.25 76755 18.95 0.00
GLW Corning Incorporated 0.24 77068 17.82 21.04
T AT&T; 0.24 39215 35.17 36.04
EQT EQT Corporation 0.24 15716 89.78 104.72
PKG Packaging Corporation of America 0.23 21520 63.29 67.16
QCOM QUALCOMM 0.23 18369 74.26 81.32
RRD R.R. Donnelley & Sons Company 0.22 62815 20.27 17.76
VZ Verizon Communications 0.22 -19.00% 26018 49.11 47.60
NI NiSource 0.22 -26.00% 39609 32.87 35.92
NFLX Netflix 0.22 +2.00% 3535 368.29 345.74
Ensco Plc Shs Class A 0.22 22958 57.19 0.00
CVA Covanta Holding Corporation 0.20 +97.00% 65838 17.76 17.68
ETE Energy Transfer Equity 0.20 -20.00% 14071 81.73 48.36
Prologis 0.20 30873 36.97 0.00
PKD Parker Drilling Company 0.19 +48.00% 135575 8.14 6.52
OIS Oil States International 0.18 NEW 10135 101.73 96.37
NGG National Grid 0.18 16308 65.31 69.54
UNF UniFirst Corporation 0.18 +35.00% 9700 107.09 94.86
KMP Kinder Morgan Energy Partners 0.18 12857 80.66 77.49
BDN Brandywine Realty Trust 0.18 73640 14.10 14.61
MWE MarkWest Energy Partners 0.17 15397 66.12 64.87
AGG iShares Lehman Aggregate Bond 0.17 NEW 9325 106.38 108.19
SE Spectra Energy 0.16 26919 35.63 39.34
ITC ITC Holdings 0.16 -36.00% 9885 95.80 37.30
ORI Old Republic International Corporation 0.16 -48.00% 54980 17.28 16.53
OKE ONEOK 0.16 15278 62.18 61.03
DVY iShares Dow Jones Select Dividend 0.16 +318.00% 13039 71.32 74.01
CINF Cincinnati Financial Corporation 0.15 16966 52.35 48.77
MCO Moody's Corporation 0.14 NEW 10376 78.45 78.85
FLR Fluor Corporation 0.14 10540 80.27 77.87
VOD Vodafone 0.14 -36.00% 20534 39.30 35.99
PCH Potlatch Corporation 0.14 19380 41.74 37.64
GPRE Green Plains Renewable Energy 0.14 42735 19.39 28.95
Rait Financial Trust 0.14 NEW 88465 8.98 0.00
Arris 0.14 -27.00% 33232 24.34 0.00
Bce 0.13 17372 43.29 0.00
UGI UGI Corporation 0.13 -34.00% 18268 41.44 45.71
EGN Energen Corporation 0.13 10431 70.75 80.34
CSII Cardiovascular Systems 0.13 21356 34.28 26.08
ETFC E TRADE Financial Corporation 0.12 +2.00% 36733 19.65 21.04
PBI Pitney Bowes 0.12 +2.00% 30441 23.29 25.36
BKH Black Hills Corporation 0.12 13297 52.49 58.09
BRCD Brocade Communications Systems 0.12 -57.00% 77445 8.86 9.72
PNW Pinnacle West Capital Corporation 0.12 -2.00% 13085 52.99 55.94
RCKY Rocky Brands 0.12 49050 14.58 14.37
American Tower Reit 0.12 8635 79.79 0.00
Roundy's 0.12 NEW 71350 9.87 0.00
HBAN Huntington Bancshares Incorporated 0.11 66254 9.66 9.21
STZ Constellation Brands 0.11 +2.00% 8953 70.44 80.78
SAFM Sanderson Farms 0.11 8950 72.29 81.87
BHE Benchmark Electronics 0.11 28025 23.14 22.88
GME GameStop 0.11 +2.00% 13135 49.24 41.47
Tripadvisor 0.11 +2.00% 7636 82.85 0.00
PFE Pfizer 0.10 -5.00% 18582 30.62 30.25
MWV MeadWestva 0.10 -7.00% 15856 36.97 38.24
UNM Unum 0.10 16410 35.11 33.92
PRXL PAREXEL International Corporation 0.10 -83.00% 13185 45.20 50.15
GT Goodyear Tire & Rubber Company 0.10 +2.00% 23623 23.85 27.00
FSLR First Solar 0.10 -84.00% 10465 54.62 67.32
ACM AECOM Technology Corporation 0.10 -84.00% 20305 29.45 32.50
Metropcs Communications 0.10 +2.00% 16896 33.63 0.00
HAS Hasbro 0.09 +2.00% 9310 54.96 54.61
TSS Total System Services 0.09 +2.00% 15206 33.30 29.44
LM Legg Mason 0.09 +2.00% 12620 43.44 45.66
NDAQ NASDAQ OMX 0.09 +2.00% 13043 39.76 35.01
BMY Bristol Myers Squibb 0.09 -6.00% 9539 53.15 49.46
HRB H&R; Block 0.09 +2.00% 17447 29.05 28.20
DNB Dun & Bradstreet Corporation 0.09 +2.00% 4193 122.69 105.00
ERTS Electronic Arts 0.09 23575 22.94 0.00
CMA Comerica Incorporated 0.09 11245 47.57 48.46
IPG Interpublic Group of Companies 0.09 +2.00% 28994 17.71 16.93
HP Helmerich & Payne 0.09 6215 84.10 110.84
MO Altria 0.09 -5.00% 13281 38.40 38.45
TMK Torchmark Corporation 0.09 +2.00% 6355 78.15 78.48
JEC Jacobs Engineering 0.09 -76.00% 7985 63.03 63.73
GCI Gannett 0.09 +2.00% 18051 29.61 26.87
AMD Advanced Micro Devices 0.09 +2.00% 133281 3.87 3.69
OI Owens-Illinois 0.09 +2.00% 15249 35.81 33.69
LRCX Lam Research Corporation 0.09 9400 54.47 52.74
NUVA NuVasive 0.09 15945 32.36 33.83
FII Federated Investors 0.08 +2.00% 15903 28.77 29.11
IGT International Game Technology 0.08 24170 18.17 13.89
RPM RPM International 0.08 -5.00% 11800 41.53 42.65
R Ryder System 0.08 +2.00% 6506 73.72 80.09
SNA Snap-on Incorporated 0.08 +2.00% 4076 109.51 115.94
AVY Avery Dennison Corporation 0.08 -92.00% 9341 50.15 50.68
HRS Harris Corporation 0.08 +2.00% 6635 69.80 72.22
DD E.I. du Pont de Nemours & Company 0.08 -4.00% 6896 64.97 66.98
APOL Apollo 0.08 16640 27.33 27.92
F Ford Motor Company 0.08 28730 15.42 16.00
LSI LSI Corporation 0.08 +2.00% 44615 11.03 11.09
CTAS Cintas Corporation 0.08 +2.00% 7954 59.54 57.63
MAN Manpower 0.08 NEW 5590 85.87 77.10
ZION Zions Bancorporation 0.08 15177 29.93 30.22
DTE DTE Energy Company 0.08 -5.00% 7361 66.43 76.62
HRL Hormel Foods Corporation 0.08 +2.00% 10404 45.19 47.78
AXE Anixter International 0.08 NEW 5275 89.86 97.79
DHIL Diamond Hill Investment 0.08 3850 118.44 120.03
SNI Scripps Networks Interactive 0.08 +2.00% 5661 86.50 74.39
Wpx Energy 0.08 23365 20.36 0.00
Sanmina 0.08 29355 16.66 0.00
L Brands 0.08 -5.00% 7322 61.87 0.00
Fossil 0.08 3720 120.00 0.00
Wellcare Health Plans 0.08 NEW 6885 70.44 0.00
LUK Leucadia National 0.07 +2.00% 13705 28.34 26.08
AJG Arthur J. Gallagher & Co. 0.07 -5.00% 9255 46.89 45.17
PBCT People's United Financial 0.07 +2.00% 27152 15.12 14.54
AN AutoNation 0.07 +2.00% 8417 49.64 54.99
MCD McDonald's Corporation 0.07 -5.00% 3933 97.13 100.25
AGL AGL Resources 0.07 +2.00% 8205 47.25 0.00
HSP Hospira 0.07 +2.00% 10545 41.30 42.84
CVX Chevron Corporation 0.07 -63.00% 3137 124.96 123.68
XRAY DENTSPLY International 0.07 +2.00% 8247 48.48 45.19
HCBK Hudson City Ban 0.07 +2.00% 40310 9.44 9.90
KMB Kimberly-Clark Corporation 0.07 -5.00% 3925 104.46 112.54
DRI Darden Restaurants 0.07 7720 54.34 48.47
IFF International Flavors & Fragrances 0.07 +2.00% 4877 86.04 95.14
BMS Bemis Company 0.07 +2.00% 9805 40.93 40.44
PKI PerkinElmer 0.07 +2.00% 10248 41.21 44.27
Nextera Energy 0.07 -5.00% 4923 85.72 0.00
PDCO Patterson Companies 0.07 +2.00% 9533 41.19 41.04
FLIR FLIR Systems 0.07 +2.00% 14205 30.11 35.70
SRE Sempra Energy 0.07 -6.00% 4490 89.76 97.13
RHI Robert Half International 0.07 +2.00% 10265 41.95 42.18
AHT Ashford Hospitality Trust 0.07 NEW 50835 8.28 10.46
CVC Cablevision Systems Corporation 0.07 +2.00% 21750 17.95 16.12
FHN First Horizon National Corporation 0.07 +2.00% 33232 11.64 11.24
LNT Alliant Energy Corporation 0.07 -5.00% 7528 51.54 57.73
X United States Steel Corporation 0.07 +2.00% 13225 29.52 27.04
ATI Allegheny Technologies Incorporated 0.07 +2.00% 10700 35.61 41.24
Garmin 0.07 8380 46.25 0.00
Xylem 0.07 +2.00% 11965 34.60 0.00
Tenet Healthcare Corporation stock 0.07 +2.00% 9928 42.16 0.00
NU Northeast Utilities System 0.06 -4.00% 8105 42.44 45.93
JPM JPMorgan Chase & Co. 0.06 -97.00% 6410 58.50 55.22
LEG Leggett & Platt 0.06 +2.00% 11986 30.93 32.95
TE TECO Energy 0.06 +2.00% 19642 17.25 17.90
PM Philip Morris International 0.06 -4.00% 3791 87.05 83.15
DLX Deluxe Corporation 0.06 NEW 6645 52.22 51.07
IRM Iron Mountain Incorporated 0.06 10985 30.32 27.10
DHI D.R. Horton 0.06 +2.00% 16352 22.33 21.50
BIG Big Lots 0.06 +2.00% 11627 32.32 38.72
FTR Frontier Communications 0.06 78905 4.64 5.89
TEG Integrys Energy 0.06 +2.00% 6287 54.47 61.37
HLS HEALTHSOUTH 0.06 NEW 10942 33.36 34.57
TER Teradyne 0.06 +2.00% 19234 17.64 19.04
QEP QEP Resources 0.06 11605 30.65 32.32
Expedia 0.06 +2.00% 5301 69.60 0.00
Rowan Companies 0.06 +2.00% 9460 35.41 0.00
Windstream Hldgs 0.06 40645 7.97 0.00
Leidos Holdings 0.06 +915.00% 7301 46.42 0.00
CB Chubb Corporation 0.05 -6.00% 2976 96.77 90.81
DO Diamond Offshore Drilling 0.05 +2.00% 4847 56.82 48.40
AIV Apartment Investment and Management 0.05 -79.00% 12078 25.89 29.63
NFX Newfield Exploration 0.05 +2.00% 12475 24.62 33.26
NR Newpark Resources 0.05 NEW 24705 12.31 11.99
CRK Comstock Resources 0.05 NEW 17320 18.30 26.40
JBL Jabil Circuit 0.05 +2.00% 16964 17.44 17.60
JDSU JDS Uniphase Corporation 0.05 +2.00% 23793 12.99 13.43
MOG.A Moog 0.05 NEW 4605 67.97 0.00
POM Pepco Holdings 0.05 +2.00% 16606 19.12 21.34
URBN Urban Outfitters 0.05 +2.00% 8226 37.14 35.62
PFF iShares S&P; US Pref Stock Idx Fnd 0.05 -49.00% 7490 36.85 39.10
Whitewave Foods 0.05 +2.00% 12105 22.97 0.00
JBLU JetBlue Airways Corporation 0.04 NEW 28025 8.53 8.62
ANF Abercrombie & Fitch 0.04 +2.00% 6947 32.93 35.62
CLF Cliffs Natural Resources 0.04 8970 26.27 18.65
WES Western Gas Partners 0.04 +3.00% 3944 61.61 67.44
OKS Oneok Partners 0.04 +4.00% 4093 52.53 56.70
PTRY Pantry 0.04 NEW 12885 16.76 15.57
CELG Celgene Corporation 0.04 -91.00% 1270 169.29 141.51
KO Coca-Cola Company 0.03 -15.00% 3630 41.32 40.72
JCP J.C. Penney Company 0.03 +2.00% 16250 9.17 7.50
Ishares Tr fltg rate nt 0.03 NEW 2970 50.84 0.00
Dean Foods Company 0.03 +2.00% 9656 17.15 0.00
Ashford Hospitality Prime In 0.03 NEW 10167 18.20 0.00
CKP Checkpoint Systems 0.02 8995 15.79 12.41
DWSN Dawson Geophysical Company 0.02 2620 33.97 28.55
IWF iShares Russell 1000 Growth Index 0.02 +698.00% 1229 86.25 85.74
SCOR COMSCORE 0.02 5055 28.68 29.42
NATR Nature's Sunshine Prod. 0.02 NEW 8070 17.35 14.05
MCR MFS Charter Income Trust 0.02 -86.00% 13485 9.05 9.16
HPI John Hancock Preferred Income Fund 0.02 NEW 5665 17.83 19.89
Science App Int'l 0.02 -60.00% 4161 33.02 0.00
NLY Annaly Capital Management 0.01 -82.00% 3885 10.04 11.25
SNY Sanofi-Aventis SA 0.01 1126 53.29 52.34
AEP American Electric Power Company 0.01 959 46.92 51.73
IWD iShares Russell 1000 Value Index 0.01 -19.00% 557 93.36 96.36
TJX TJX Companies 0.01 700 64.29 58.70
GOOG Google 0.01 -9.00% 40 1125.00 536.10
SBGI Sinclair Broadcast 0.01 1000 36.00 27.55
GLD SPDR Gold Trust 0.01 -33.00% 615 115.45 124.75
PRSC Providence Service Corporation 0.01 3330 25.83 41.93
FRME First Merchants Corporation 0.01 3348 22.70 20.86
IWS iShares Russell Midcap Value Index 0.01 +2111.00% 796 65.33 68.37
XLF Financial Select Sector SPDR 0.01 NEW 1590 22.01 21.86
SLV iShares Silver Trust 0.01 -45.00% 2325 18.92 18.88
IWP iShares Russell Midcap Growth Idx. 0.01 +69.00% 927 84.14 84.20
TIP iShares Barclays TIPS Bond Fund 0.01 -91.00% 325 110.77 113.08
BND Vanguard Total Bond Market ETF 0.01 -42.00% 505 79.21 81.32
VNQ Vanguard REIT ETF 0.01 -88.00% 705 65.25 71.77
Nuveen Ohio Quality Income M 0.01 -24.00% 2341 14.10 0.00
Pacira Pharmaceuticals 0.01 700 57.14 0.00
Rowan Cos 0.01 1010 35.64 0.00
Nabors Industries 0.01 2215 17.16 0.00
HIMX Himax Technologies 0.00 1000 15.00 9.12
COST Costco Wholesale Corporation 0.00 NEW 100 120.00 113.50
DKS Dick's Sporting Goods 0.00 NEW 100 60.00 51.86
HD Home Depot 0.00 100 80.00 77.09
XLV Health Care SPDR 0.00 +76.00% 520 55.77 56.89
HSNI HSN 0.00 19 52.63 58.61
IILG Interval Leisure 0.00 19 52.63 26.66
TREE Tree 0.00 3 0.00 30.45
SPY SPDR S&P; 500 ETF 0.00 NEW 60 183.33 186.39
MLHR Herman Miller 0.00 0 0.00 30.48
EMC EMC Corporation 0.00 1000 25.00 26.62
ADS Alliance Data Systems Corporation 0.00 100 260.00 245.06
ORCL Oracle Corporation 0.00 500 38.00 40.08
XLE Energy Select Sector SPDR 0.00 NEW 120 91.67 92.79
PAN AMERICAN SILVER CORP CAN 0.00 250 12.00 0.00
XLK Technology SPDR 0.00 -9.00% 685 35.04 36.03
TW Towers Watson & Co 0.00 -82.00% 9715 0.00 108.42
CMT Core Molding Technologies 0.00 1750 13.71 12.32
CIM Chimera Investment Corporation 0.00 1000 3.00 3.11
IVW iShares S&P; 500 Growth Index 0.00 178 101.12 98.89
DIA SPDR Dow Jones Industrial Average ETF 0.00 NEW 65 169.23 163.75
AGNC American Capital Agency 0.00 1000 19.00 21.88
Enron 0.00 500 0.00 0.00
Hydrogenics Corporation 0.00 1000 19.00 0.00
SIVR ETFS Silver Trust 0.00 70 14.29 19.36
Nuveen Mult Curr St Gv Incm 0.00 1000 10.00 0.00
* Rare Element Res 0.00 1000 2.00 0.00
PSTI Pluristem Therapeutics 0.00 2900 3.45 3.54
BBN Blackrock Build America Bond Trust 0.00 490 18.37 20.15
BLTI Biolase Technology 0.00 1017 2.95 0.00
ASNA Ascena Retail 0.00 188 21.28 16.79
INC shares Evergreen Solar 0.00 42 0.00 0.00
Magnachip Semiconductor 0.00 650 20.00 0.00
Visualant 0.00 1500 0.00 0.00
Wells Fargo & Co 0.00 NEW 1 0.00 0.00
Viragen Inc Com Stk 0.00 300 0.00 0.00
Tirex 0.00 30000 0.00 0.00
Facebook Inc cl a 0.00 235 55.32 0.00
Healthcare Tr Amer Inc cl a 0.00 1354 9.60 0.00
Gliatech 0.00 500 0.00 0.00
Crimson Wine 0.00 1326 9.22 0.00
Chambers Str Pptys 0.00 2807 7.48 0.00
Quintiles Transnatio Hldgs I 0.00 NEW 200 45.00 0.00
Healthcare Trust Of America Class B-3 0.00 677 8.86 0.00
Siti-sites 0.00 6 0.00 0.00
Perrigo Company 0.00 NEW 95 157.89 0.00

Past 13F-HR SEC Filings for MEEDER ASSET MANAGEMENT