Forester Capital Management

Forester Capital Management as of Dec. 31, 2012

Portfolio Holdings for Forester Capital Management

Forester Capital Management holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

                FORM 13F INFORMATION
TABLE
                Item 1                    Item 2         Item 3        Item 4          Item 5        Item 6      Item 7      Item 8
                                                                                                   Investment                Voting
            Name of Issuer            Title of Class      CUSIP     Market Value       Shares       Descetion    Manager   Authority
{S}					{C}		{C}		{C}		{C}		{C}		{C}	{C}

AMERICAN ELECTRIC POWER	              Common Stock	025537101   5,555,314.16       130,162	      SOLE	    NONE      SOLE
ALLSTATE CORP	                      Common Stock	020002101   3,226,052.70	80,310	      SOLE	    NONE      SOLE
AMGEN INC	                      Common Stock	031162100   5,568,520.00	64,600	      SOLE	    NONE      SOLE
AON PLC	                              Common Stock	G0408V102   2,685,684.95	48,295	      SOLE	    NONE      SOLE
APACHE CORP	                      Common Stock	037411105   2,888,800.00	36,800	      SOLE	    NONE      SOLE
AUTOZONE INC	                      Common Stock	053332102   5,297,310.78	14,946	      SOLE	    NONE      SOLE
CVS CAREMARK CORP	              Common Stock	126650100   6,768,758.25       139,995	      SOLE	    NONE      SOLE
CHEVRON CORP	                      Common Stock	166764100   6,759,182.56	62,504	      SOLE	    NONE      SOLE
DR PEPPER SNAPPLE GROUP INC	      Common Stock	26138E109      18,113.80	   410	      SOLE	    NONE      SOLE
GENERAL DYNAMICS CORP	              Common Stock	369550108	7,619.70	   110	      SOLE	    NONE      SOLE
GENERAL MILLS INC	              Common Stock	370334104   2,998,153.50	74,175	      SOLE	    NONE      SOLE
HONEYWELL INTERNATIONAL INC	      Common Stock	438516106   3,632,451.57	57,231	      SOLE	    NONE      SOLE
INTL BUSINESS MACHINES CORP	      Common Stock	459200101   5,155,568.25	26,915	      SOLE	    NONE      SOLE
JOHNSON & JOHNSON	              Common Stock	478160104   5,911,252.60	84,326	      SOLE	    NONE      SOLE
KIMBERLY-CLARK CORP	              Common Stock	494368103   5,280,758.78	62,546	      SOLE	    NONE      SOLE
KROGER CO	                      Common Stock	501044101   6,220,913.64       239,082	      SOLE	    NONE      SOLE
ELI LILLY & CO	                      Common Stock	532457108   4,165,369.92	84,456	      SOLE	    NONE      SOLE
3M CO	                              Common Stock	88579Y101   6,251,219.10	67,326	      SOLE	    NONE      SOLE
ALTRIA GROUP INC	              Common Stock	02209S103   6,295,074.00       200,225	      SOLE	    NONE      SOLE
MERCK & CO. INC.	              Common Stock	58933Y105   4,647,795.38       113,527	      SOLE	    NONE      SOLE
MICROSOFT CORP	                      Common Stock	594918104   6,299,269.07       235,842	      SOLE	    NONE      SOLE
MYLAN INC	                      Common Stock	628530107     969,808.50	35,330	      SOLE	    NONE      SOLE
NEWMONT MINING CORP	              Common Stock	651639106   2,494,524.60	53,715	      SOLE	    NONE      SOLE
ORACLE CORP	                      Common Stock	68389X105   3,107,923.00	93,275	      SOLE	    NONE      SOLE
PFIZER INC	                      Common Stock	717081103   5,386,431.74       214,776	      SOLE	    NONE      SOLE
AT^T INC	                      Common Stock	00206R102   2,782,490.82	82,542	      SOLE	    NONE      SOLE
TARGET CORP	                      Common Stock	87612E106   5,169,150.37	87,361	      SOLE	    NONE      SOLE
TRAVELERS COS INC/THE	              Common Stock	89417E109   6,561,977.94	91,367	      SOLE	    NONE      SOLE
UNITEDHEALTH GROUP INC	              Common Stock	91324P102   5,200,043.04	95,871	      SOLE	    NONE      SOLE
US BANCORP	                      Common Stock	902973304   5,303,632.11       166,050	      SOLE	    NONE      SOLE
VF CORP	                              Common Stock	918204108   4,076,793.88	27,004	      SOLE	    NONE      SOLE
WILLIAMS COS INC	              Common Stock	969457100      40,761.30	 1,245	      SOLE	    NONE      SOLE
WAL-MART STORES INC	              Common Stock	931142103   5,672,710.43	83,141	      SOLE	    NONE      SOLE
EXXON MOBIL CORP	              Common Stock	30231G102   6,834,468.53	78,966	      SOLE	    NONE      SOLE
AGNICO-EAGLE MINES LTD	              Common Stock	008474108     160,265.30	 3,055	      SOLE	    NONE      SOLE
ASTRAZENECA PLC-SPONS ADR	      Common Stock	046353108     372,251.25	 7,875	      SOLE	    NONE      SOLE
DIAGEO PLC-SPONSORED ADR	      Common Stock	25243Q205     486,138.60	 4,170	      SOLE	    NONE      SOLE
FOMENTO ECONOMICO MEX-SP ADR	      Common Stock	344419106     491,416.00	 4,880	      SOLE	    NONE      SOLE
HSBC HOLDINGS PLC-SPONS ADR	      Common Stock	404280406     243,591.30	 4,590	      SOLE	    NONE      SOLE
IMPERIAL TOBACCO GROUP-ADR	      Common Stock	453142101     407,597.40	 5,260	      SOLE	    NONE      SOLE
NATIONAL GRID PLC-SP ADR	      Common Stock	636274300     417,014.40	 7,260	      SOLE	    NONE      SOLE
NOKIA CORP-SPON ADR	              Common Stock	654902204     117,334.75	29,705	      SOLE	    NONE      SOLE
NIPPON TELEGRAPH & TELE-ADR	      Common Stock	654624105     322,915.65	15,355	      SOLE	    NONE      SOLE
NOVARTIS AG-ADR	                      Common Stock	66987V109     452,595.00	 7,150	      SOLE	    NONE      SOLE
PANASONIC CORP-SPON ADR	              Common Stock	69832A205     149,079.20	24,560	      SOLE	    NONE      SOLE
PRUDENTIAL PLC-ADR	              Common Stock	74435K204     191,285.00	 6,700	      SOLE	    NONE      SOLE
ROYAL DUTCH SHELL PLC-ADR	      Common Stock	780259206     354,747.75	 5,145	      SOLE	    NONE      SOLE
ROYAL DUTCH SHELL PLC-ADR	      Common Stock	780259107      12,405.75	   175	      SOLE	    NONE      SOLE
SAP AG-SPONSORED ADR	              Common Stock	803054204     352,868.20	 4,390	      SOLE	    NONE      SOLE
SIEMENS AG-SPONS ADR	              Common Stock	826197501     319,652.40	 2,920	      SOLE	    NONE      SOLE
STATOIL ASA-SPON ADR	              Common Stock	85771P102     196,313.60	 7,840	      SOLE	    NONE      SOLE
TORONTO-DOMINION BANK	              Common Stock	891160509     153,902.25	 1,825	      SOLE	    NONE      SOLE
TEVA PHARMACEUTICAL-SP ADR	      Common Stock	881624209     255,032.20	 6,830	      SOLE	    NONE      SOLE
UNILEVER PLC-SPONSORED ADR	      Common Stock	904767704     484,968.00	12,525	      SOLE	    NONE      SOLE
VODAFONE GROUP PLC-SP ADR	      Common Stock	92857W209     257,945.60	10,240	      SOLE	    NONE      SOLE