New Vernon Investment Management

New Vernon Investment Management as of Dec. 31, 2010

Portfolio Holdings for New Vernon Investment Management

New Vernon Investment Management holds 36 positions in its portfolio as reported in the December 2010 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
General Cable Corp Del New Com Stk C om 3 5.5 $983k 85k 11.56
Allied World Assurance Company C om h 5.5 $972k 50k 19.44
Travelers Cos Inc Com Stk C om 8 5.4 $950k 35k 27.14
Allstate Corp Com Stk C om 0 5.2 $925k 72k 12.85
Rio Tinto Plc Adr S pons adr 7 4.9 $866k 40k 21.65
Xl Group Public Limited Company Com C om g 4.8 $855k 85k 10.06
Halliburton Co Com C om 4 4.6 $817k 69k 11.84
Prudential Finl Inc Internotes Com Stk C om 7 4.6 $814k 82k 9.93
Etfs Phy Pldm Sh C om 2 4.6 $810k 23k 35.75
Bhp Billiton Ltd Adr S pons adr 0 4.5 $788k 30k 26.27
D Mcdermott Internatio Nal Inc C Common Stock 5 3.9 $683k 33k 20.70
Pride Intl Inc Com Stk C om 7 3.7 $660k 20k 33.00
Illinois Tool Wks Inc Com Stk C om 4 3.5 $612k 40k 15.22
Freeport Mcmoran Copper & Gold Com C om 3 3.4 $603k 30k 20.10
Devon Energy Corp Com Stk C om 2 3.4 $602k 20k 29.51
Angiodynamics C om 0 3.0 $522k 99k 5.27
Arch Capital Group Ltd Bermud Com Stk C om g 2.8 $497k 17k 29.24
Axis Capital Hldgs C om g 2.8 $489k 42k 11.78
America Services Group Inc Com Stk C om 0 2.7 $486k 32k 15.13
Chevron Corporation C om 1 2.6 $468k 38k 12.32
Occidental Pete Corp C om 6 2.6 $453k 25k 18.12
Babcock & Wilcox Co C om 0 2.4 $422k 17k 25.58
Shaw Group Inc Com Stk C om 8 2.2 $396k 70k 5.66
Itron Inc Com Stk C om 4 2.2 $386k 25k 15.44
Schlumberger Usd.01 Com C om 8 1.4 $253k 15k 16.87
Xcel Energy Inc Com Stk C om 9 1.3 $236k 10k 23.60
Cdn Natural Com C om 1 1.2 $221k 50k 4.42
Electromed Inc C om 2 0.9 $160k 45k 3.56
Aspen Ins Hldgs Ltd Com Stk C om g 0.8 $145k 40k 3.62
Endurance Splty C om g 0.8 $142k 47k 3.05
Transocean Ltd C om h 0.7 $128k 45k 2.84
China Fd Inc Com Stk C om 1 0.6 $113k 65k 1.74
Builders Firstsource Inc Com Stk C om 1 0.6 $99k 50k 1.98
Ishares Inc Msci South Korea C om 4 0.3 $60k 50k 1.20
Mosaic Co Brooklyn Com Stk C om 6 0.3 $54k 40k 1.35
Platinum Underwriters Holdings Com Stk C om g 0.2 $37k 68k 0.55