InView Investment Management

InView Investment Management as of Sept. 30, 2012

Portfolio Holdings for InView Investment Management

InView Investment Management holds 57 positions in its portfolio as reported in the September 2012 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Ares Capital Corporation (ARCC) 3.0 $2.7M 159k 17.14
Par Pharmaceutical Companies 2.8 $2.6M 52k 49.97
Crown Holdings (CCK) 2.8 $2.6M 70k 36.75
Magnachip Semiconductor Corp (MX) 2.8 $2.5M 216k 11.80
Asbury Automotive (ABG) 2.6 $2.4M 86k 27.95
CMS Energy Corporation (CMS) 2.5 $2.3M 97k 23.55
Regal-beloit Corporation (RRX) 2.5 $2.3M 33k 70.47
Tech Data Corporation 2.5 $2.3M 50k 45.25
Apollo Commercial Real Est. Finance (ARI) 2.5 $2.2M 129k 17.34
Deluxe Corporation (DLX) 2.4 $2.2M 73k 30.56
Avista Corporation (AVA) 2.3 $2.1M 83k 25.74
Brinker International (EAT) 2.3 $2.1M 61k 35.30
Old National Ban (ONB) 2.3 $2.1M 157k 13.61
Belden (BDC) 2.2 $2.0M 55k 36.88
Littelfuse (LFUS) 2.2 $2.0M 35k 56.55
American Equity Investment Life Holding (AEL) 2.2 $2.0M 170k 11.63
Newell Rubbermaid (NWL) 2.1 $2.0M 103k 19.09
Flextronics International Ltd Com Stk (FLEX) 2.1 $1.9M 325k 6.00
Pulte (PHM) 2.1 $1.9M 123k 15.50
Hain Celestial (HAIN) 2.0 $1.8M 29k 63.00
National Penn Bancshares 2.0 $1.8M 201k 9.11
Cousins Properties 2.0 $1.8M 228k 7.94
Hancock Holding Company (HWC) 2.0 $1.8M 58k 30.98
EnPro Industries (NPO) 1.9 $1.8M 49k 36.01
Portland General Electric Company (POR) 1.9 $1.7M 63k 27.04
Meredith Corporation 1.8 $1.7M 48k 34.99
Hudson Pacific Properties (HPP) 1.8 $1.6M 87k 18.50
Avnet (AVT) 1.7 $1.6M 55k 29.08
Regal Entertainment 1.7 $1.6M 113k 14.07
Jones Group 1.7 $1.5M 118k 12.87
Spirit AeroSystems Holdings (SPR) 1.6 $1.5M 68k 22.21
Omnicare 1.6 $1.4M 43k 33.97
PrivateBan 1.6 $1.4M 91k 15.99
Bio-Rad Laboratories (BIO) 1.6 $1.4M 14k 106.74
Comstock Resources 1.6 $1.4M 78k 18.38
AEGEAN MARINE PETROLEUM Networ Com Stk 1.5 $1.4M 231k 6.07
DigitalGlobe 1.5 $1.4M 68k 20.39
Louisiana-Pacific Corporation (LPX) 1.5 $1.3M 107k 12.50
Tower 1.5 $1.3M 69k 19.40
AECOM Technology Corporation (ACM) 1.4 $1.2M 59k 21.17
Pebblebrook Hotel Trust (PEB) 1.3 $1.2M 51k 23.39
Fresh Del Monte Produce (FDP) 1.3 $1.2M 46k 25.59
Matrix Service Company (MTRX) 1.3 $1.2M 111k 10.58
Cinemark Holdings (CNK) 1.3 $1.2M 52k 22.44
Dean Foods Company 1.3 $1.2M 71k 16.35
Stage Stores 1.2 $1.1M 52k 21.06
MB Financial 1.2 $1.1M 53k 19.75
Kelly Services (KELYA) 1.2 $1.1M 84k 12.60
Invesco Mortgage Capital 1.1 $1.0M 52k 20.14
MFA Mortgage Investments 1.1 $1.0M 121k 8.50
Columbus McKinnon (CMCO) 0.9 $862k 57k 15.11
Steel Dynamics (STLD) 0.9 $836k 74k 11.24
Forest Oil Corporation 0.8 $730k 86k 8.45
Patterson-UTI Energy (PTEN) 0.8 $725k 46k 15.82
Aurico Gold 0.8 $697k 100k 6.99
FreightCar America (RAIL) 0.7 $589k 33k 17.78
KEYW Holding 0.7 $597k 48k 12.51