Central Securities Corporation

Central Securities Corporation as of March 31, 2013

Portfolio Holdings for Central Securities Corporation

Central Securities Corporation holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                Voting Authority
                             Title                     Value    Shares/   Shares/  Put/  Investment   Other     --------------------
   Name of Issuer           of Class        CUSIP    (x$1000)  Principal Principal Call  Descretion  Manager    Sole   Shared   None
      Column 1              Column 2       Column 3  Column 4  Column 5   Column 5        Column 6   Column 7          Column
                                                                                                                         8
{S}                           {C}          {C}          {C}        {C}    {C}             {C}                   {C}     {C}     {C}
Agilent Technologies, Inc.   Common     00846U 10 1   24,762    590,000   SH             SOLE                  590,000   0       0
Analog Devices, Inc.         Common     032654 10 5   27,894    600,000   SH             SOLE                  600,000   0       0
The Bank of New York Mellon  Common     064058 10 0   25,891    925,000   SH             SOLE                  925,000   0       0
  Corporation
Brady Corporation            Class A    104674 10 6   24,440    728,900   SH             SOLE                  728,900   0       0
Cameco Corporation           Common     13321L 10 8    2,078    100,000   SH             SOLE                  100,000   0       0
Capital One Financial
  Corporation                Common     14040H 10 5   13,188    240,000   SH             SOLE                  240,000   0       0
CEVA, Inc.                   Common     157210 10 5   14,040    900,000   SH             SOLE                  900,000   0       0
Coherent, Inc.               Common     192479 10 3   38,543    679,300   SH             SOLE                  679,300   0       0
Convergys Corporation        Common     212485 10 6    8,732    512,743   SH             SOLE                  512,743   0       0
Devon Energy Corporation     Common     25179M 10 3   11,284    200,000   SH             SOLE                  200,000   0       0
Flextronics International
  Ltd.                       Common     Y2573F 10 2    3,380    500,000   SH             SOLE                  500,000   0       0
Freeport McMoRan Copper &    Common     35671D 85 7    6,620    200,000   SH             SOLE                  200,000   0       0
  Gold Inc.
General Electric Company     Common     369604 10 3    4,624    200,000   SH             SOLE                  200,000   0       0
GeoMet Inc.                  Common     37250U 20 1      290  2,000,000   SH             SOLE                2,000,000   0       0
GeoMet Inc.                  Preferred  37250U 30 0    1,800    277,338   SH             SOLE                  277,338   0       0
                              Conv.A
Heritage-Crystal Clean Inc.  Common     42726M 10 6    7,380    488,712   SH             SOLE                  488,712   0       0
Intel Corporation            Common     458140 10 0   32,534  1,490,000   SH             SOLE                1,490,000   0       0
JP Morgan Chase & Co.        Common     46625H 10 0    4,746    100,000   SH             SOLE                  100,000   0       0
Medtronic, Inc.              Common     585055 10 6    4,696    100,000   SH             SOLE                  100,000   0       0
Merck & Co.Inc.              Common     58933Y 10 5    8,840    200,000   SH             SOLE                  200,000   0       0
Mindspeed Technologies, Inc. Common     602682 20 5    4,980  1,500,000   SH             SOLE                1,500,000   0       0
Motorola Solutions, Inc.     Common     620076 30 7   12,806    200,000   SH             SOLE                  200,000   0       0
Murphy Oil Corporation       Common     626717 10 2   17,844    280,000   SH             SOLE                  280,000   0       0
Precision Castparts
  Corporation                Common     740189 10 5    5,309     28,000   SH             SOLE                   28,000   0       0
Primus Telecommunications
  Group                      Common     741929 30 1    1,607    145,425   SH             SOLE                  145,425   0       0
QEP Resources Inc.           Common     74733V 10 0   10,189    320,000   SH             SOLE                  320,000   0       0
RadiSys Corporation          Common     750459 10 9    5,855  1,190,000   SH             SOLE                1,190,000   0       0
Roper Industries, Inc.       Common     776696 10 6   14,004    110,000   SH             SOLE                  110,000   0       0
Sonus Networks, Inc.         Common     835916 10 7    7,770  3,000,000   SH             SOLE                3,000,000   0       0
Tesco PLC ADR                Sponsored  881575 30 2    6,988    400,000   SH             SOLE                  400,000   0       0
                               ADR
Vical Incorporated           Common     925602 10 4      907    228,000   SH             SOLE                  228,000   0       0
Vodafone Group PLC           Sponsored  92857W 20 9    5,680    200,000   SH             SOLE                  200,000   0       0
                               ADR
Walgreen Co.                 Common     931422 10 9   11,920    250,000   SH             SOLE                  250,000   0       0
Xerox Corporation            Common     984121 10 3    8,514    990,000   SH             SOLE                  990,000   0       0