Reinhart Mahoney Capital Management

Reinhart Mahoney Capital Management as of Dec. 31, 2012

Portfolio Holdings for Reinhart Mahoney Capital Management

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

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                        Title of                     Shares    Sh/Put   InvestmeVoting Auth
Name of Issuer          Class       Cusip   Value    Prn Amt   Prn  (a) (b) SMgr(a) (b) Sh(c) None

ABBOTT LABORATORIES     COMMON STOCK00282410   351211      5362SH    X           X
ABM INDUSTRIES INC      COMMON STOCK00095710  3908604    195920SH    X           X
ACCENTURE PLC CLASS A   COMMON STOCKG1151C10  1436467     21601SH    X           X
AGL RES INC COM         COMMON STOCK00120410 23352872    584260SH    X           X
AMERICAN FINL GROUP     COMMON STOCK02593210 18502553    468182SH    X           X
AMERICAN RLTY CAP TR I CCOMMON STOCK02917L10 30052964   2604243SH    X           X
AMERISOURCEBERGEN CORP CCOMMON STOCK03073E10 13590516    314741SH    X           X
AMERITRADE HLDG CORP    COMMON STOCK87236y10 16386287    974794SH    X           X
AMGEN INC               COMMON STOCK03116210  1219989     14153SH    X           X
AMTRUST FINL SVCS INC   COMMON STOCK03235930  2072480     72237SH    X           X
ANALOG DEVICES          COMMON STOCK03265410  1082204     25730SH    X           X
APACHE CORP             COMMON STOCK03741110  3456277     44029SH    X           X
APPLE COMPUTER INC      COMMON STOCK03783310 12569926     23620SH    X           X
ASHLAND INC NEW COM     COMMON STOCK04420910 14854139    184730SH    X           X
AT^T CORP               COMMON STOCK00206R10   961544     28524SH    X           X
AUTOMATIC DATA PROCESS CCOMMON STOCK05301510  1217163     21380SH    X           X
AVAGO TECHNOLOGIES LTD SCOMMON STOCKY0486S10  3735839    118033SH    X           X
AVX CORPORATION         COMMON STOCK00244410  5783147    536470SH    X           X
BAXTER INT'L            COMMON STOCK07181310  1601840     24030SH    X           X
BED BATH & BEYOND       COMMON STOCK07589610 11797234    211004SH    X           X
BERKSHIRE HATHAWAY CL B COMMON STOCK08467070  7818431     87162SH    X           X
BLOUNT INTL INC NEW COM COMMON STOCK09518010  1693531    107050SH    X           X
BOEING CO               COMMON STOCK09702310  1074257     14255SH    X           X
BOK FINL CORP COM NEW   COMMON STOCK05561Q20 11988334    220131SH    X           X
BRIGGS & STRATTON       COMMON STOCK10904310  1658532     78678SH    X           X
BUNGE LIMITED COM       COMMON STOCKG1696210  7981725    109805SH    X           X
CALAMOS ASSET MGMT INC CCOMMON STOCK12811R10  1725975    163290SH    X           X
CALAMOS CONV OPP INC SH COMMON STOCK12811710   355979     29814SH    X           X
CANADIAN OIL SANDS LTD CCOMMON STOCK13643E10   765801     37650SH    X           X
CARLISLE COS INC COM    COMMON STOCK14233910  9866862    167918SH    X           X
CARMAX INC COM          COMMON STOCK14313010 12490046    332713SH    X           X
CELGENE CORP COM        COMMON STOCK15102010  1841299     23465SH    X           X
CHEVRON CORPORATION     COMMON STOCK16676410  1271835     11761SH    X           X
CHICAGO BRIDGE & IRON N COMMON STOCK16725010  5879868    126858SH    X           X
CISCO SYS INC           COMMON STOCK17275R10  1914362     97426SH    X           X
CLAYMORE EXCHANGE TRD GUCOMMON STOCK18383M56   260445     11947SH    X           X
CLAYMORE EXCHANGE TRD GUCOMMON STOCK18383M55   403071     18140SH    X           X
CLAYMORE EXCHANGE TRD GUCOMMON STOCK18383M54   405831     17784SH    X           X
COLUMBIA BKG SYS INC COMCOMMON STOCK19723610  2383688    132870SH    X           X
COMMUNITY TR BANCORP COMCOMMON STOCK20414910  1728489     52730SH    X           X
CONOCOPHILLIPS COM      COMMON STOCK20825C10   899135     15505SH    X           X
CVS CAREMARK CORP       COMMON STOCK12665010  5731264    118537SH    X           X
DELSITE INC COM         COMMON STOCK24734R10        0     66000SH    X           X
DENBURY RES INC COM NEW COMMON STOCK24791620 18841588   1163061SH    X           X
DEVON ENERGY CORP NEW COCOMMON STOCK25179M10   641913     12335SH    X           X
DIME CMNTY BANCSHARES COCOMMON STOCK25392210  1202318     86560SH    X           X
DIVERSINET CORP COM NO PCOMMON STOCK25536K30    21331    426626SH    X           X
DST SYSTEMS             COMMON STOCK23332610 11744159    193798SH    X           X
DUKE ENERGY CORP NEW COMCOMMON STOCK26441C20  6050856     94841SH    X           X
EATON VANCE             COMMON STOCK27826510 12480200    391843SH    X           X
EMERSON ELECTRIC CO     COMMON STOCK29101110  1035368     19550SH    X           X
ENSCO PLC               COMMON STOCKG3157S10  1809759     30529SH    X           X
ENTERGY                 COMMON STOCK29364G10 10677360    167488SH    X           X
EXACT SCIENCES CORP COM COMMON STOCK30063P10  3702741    349645SH    X           X
EXAMWORKS GROUP INC COM COMMON STOCK30066A10  2327237    166350SH    X           X
EXELIS INC COM          COMMON STOCK30162A10 15441410   1370134SH    X           X
EXPRESS SCRIPTS HOLDING COMMON STOCK30219G10  5577552    103288SH    X           X
EXXON MOBIL CORP        COMMON STOCK30231G10   387657      4479SH    X           X
FASTENAL CO COM         COMMON STOCK31190010  1380840     29600SH    X           X
FEDERAL MOGUL CORP COM  COMMON STOCK31354910        0     37000SH    X           X
FIFTH THIRD BANCORP COM COMMON STOCK31677310 12668926    833482SH    X           X
FISERV INC              COMMON STOCK33773810  2488813     31492SH    X           X
FMC CORP                COMMON STOCK30249130  1237113     21140SH    X           X
FULTON FINL CORP PA COM COMMON STOCK36027110 11073613   1152301SH    X           X
GENCORP INC COM         COMMON STOCK36868210  2231594    243890SH    X           X
GENERAL ELECTRIC CO     COMMON STOCK36960410  6155716    293269SH    X           X
GLATFELTER P.H.         COMMON STOCK37731610  1996915    114240SH    X           X
GLAXOSMITHKLINE PLC SPONCOMMON STOCK37733W10  1790529     41190SH    X           X
GOLDEN MEDITECH CO SHS  COMMON STOCKG3958010     9600     96000SH    X           X
GOOGLE INC CL A         COMMON STOCK38259P50  2338598      3306SH    X           X
GORDMANS STORES INC COM COMMON STOCK38269P10  2190817    145860SH    X           X
GRAND CANYON ED INC COM COMMON STOCK38526M10  1753444     74710SH    X           X
GREAT PLAINS ENERGY COM COMMON STOCK39116410 10461681    515100SH    X           X
GREATBATCH INC COM      COMMON STOCK39153L10  2086022     89760SH    X           X
GREIF INC CL A          COMMON STOCK39762410 13378614    300643SH    X           X
HUNTSMAN CORP COM       COMMON STOCK44701110   183645     11550SH    X           X
ICU MED INC COM         COMMON STOCK44930G10  2357077     38685SH    X           X
INNOPHOS HOLDINGS INC   COMMON STOCK45774N10  2241300     48200SH    X           X
INTEL CORP              COMMON STOCK45814010  2366063    114746SH    X           X
INTL BUSINESS MACHINES CCOMMON STOCK45920010  5023590     26226SH    X           X
INTL FLVR & FRAG.       COMMON STOCK45950610 14650378    220174SH    X           X
INVESCO LTD             COMMON STOCKG491BT10   862666     33065SH    X           X
INVESTORS REAL ESTATE SHCOMMON STOCK46173010  2099565    240500SH    X           X
ISHARES INC MSCI MEX INVCOMMON STOCK46428682   555071      7870SH    X           X
ISHARES TR MSCI EAFE IDXCOMMON STOCK46428746   972988     17112SH    X           X
ISHARES TR MSCI EMERG MKCOMMON STOCK46428723   647998     14611SH    X           X
ISHARES TR RUSSELL MCP VCOMMON STOCK46428747   731243     14555SH    X           X
ISHARES TR RUSSELL1000GRCOMMON STOCK46428761   389404      5946SH    X           X
ISHARES TR S^P SMLCAP 60COMMON STOCK46428780  1782554     22824SH    X           X
J P MORGAN CHASE & CO COCOMMON STOCK46625H10  9669728    219921SH    X           X
JOHN BEAN TECH CORP COM COMMON STOCK47783910  3678035    206980SH    X           X
JOHNSON & JOHNSON       COMMON STOCK47816010  1434807     20468SH    X           X
JOHNSON CTRLS           COMMON STOCK47836610   860140     28045SH    X           X
KFORCE INC COM          COMMON STOCK49373210  2527999    176290SH    X           X
KINDER FRAC SHRS        COMMON STOCK                0    616709SH    X           X
KINDER MORGAN INC DEL COCOMMON STOCK49456B10 14893891    421565SH    X           X
KOHLS CORP              COMMON STOCK50025510  9041058    210355SH    X           X
KOPPERS HOLDINGS INC COMCOMMON STOCK50060p10  1782177     46715SH    X           X
KOSS CORP COM           COMMON STOCK50069210   976600    205600SH    X           X
KROGER CO               COMMON STOCK50104410 19261123    740243SH    X           X
LAKELAND FINL CORP COM  COMMON STOCK51165610  2027277     78455SH    X           X
LEGGETT & PLATT         COMMON STOCK52466010   784208     28810SH    X           X
LENDER PROCESSING SVCS  COMMON STOCK52602E10 17629323    716057SH    X           X
LIFE TECHNOLOGIES CORP CCOMMON STOCK53217V10 14473950    295206SH    X           X
LIFE TIME FITNESS INC COCOMMON STOCK53217R20  3488989     70900SH    X           X
LIVE NATION INC COM     COMMON STOCK53803410  4757596    511020SH    X           X
LMI AEROSPACE INC COM   COMMON STOCK50207910  1652023     85420SH    X           X
LOWES COMPANIES INC     COMMON STOCK54866110  1224374     34470SH    X           X
MACK-CALI REALTY CORP   COMMON STOCK55448910  9642580    369306SH    X           X
MARKEL CORP COM         COMMON STOCK57053510 14054944     32428SH    X           X
MARKET VECTORS ETF TR VICOMMON STOCK57060U76   486630     27035SH    X           X
MATSON INC COM          COMMON STOCK57686G10  2643928    106955SH    X           X
MCDONALDS CORP          COMMON STOCK58013510  1178045     13355SH    X           X
MCKESSON CORPORATION    COMMON STOCK58155Q10  1419688     14642SH    X           X
MEADOWBROOK INS GROUP COCOMMON STOCK58319P10  1559097    269740SH    X           X
MEDTRONIC INC           COMMON STOCK58505510   469679     11450SH    X           X
MERIT MED SYS INC COM   COMMON STOCK58988910  1615097    116194SH    X           X
MGIC INVT CORP          COMMON STOCK55284810    80688     30334SH    X           X
MICROCHIP TECHNOLOGY INCCOMMON STOCK59501710   473044     14515SH    X           X
MICROSOFT CORP          COMMON STOCK59491810  6283030    235234SH    X           X
MID-AMER APT CMNTYS COM COMMON STOCK59522J10 11299199    174505SH    X           X
MOLEX INC CL A          COMMON STOCK60855420 11920063    534053SH    X           X
NII HLDGS INC CL B NEW  COMMON STOCK62913F20  6332602    888163SH    X           X
NOBLE CORP              COMMON STOCKH5833N10 13740111    394604SH    X           X
NOBLE ENERGY            COMMON STOCK65504410  2971622     29208SH    X           X
NORTHEAST UTILITIES     COMMON STOCK66439710  7339146    187798SH    X           X
NORTHERN TRUST          COMMON STOCK66585910   234498      4675SH    X           X
NOVARTIS A G SPONSORED ACOMMON STOCK66987V10   871958     13775SH    X           X
NUVEEN DIVID ADVNT MUN MPREFERRED STOCK        201400     20000SH    X           X
NUVEEN N C PREM INCOME MPREFERRED STOCK        150900     15000SH    X           X
OMNICOM GROUP INC       COMMON STOCK68191910 13529268    270802SH    X           X
ORACLE CORP             COMMON STOCK68389X10  3619352    108624SH    X           X
PATTERSON COMPANIES     COMMON STOCK70339510 11639261    340031SH    X           X
PEOPLES UTD FINL INC COMCOMMON STOCK71270410 21546181   1782149SH    X           X
PEPSICO INC             COMMON STOCK71344810  1314130     19204SH    X           X
PERICOM SEMICONDUCTOR   COMMON STOCK71383110  1520802    189390SH    X           X
PERKINELMER INC         COMMON STOCK71404610 10160006    320101SH    X           X
PFIZER INC              COMMON STOCK71708110  8998553    358804SH    X           X
PHILIP MORRIS INTL INC CCOMMON STOCK71817210  1257527     15035SH    X           X
PHILLIPS 66 COM         COMMON STOCK71854610   384656      7244SH    X           X
PLUM CRK TIMBER         COMMON STOCK72925110 13696265    308683SH    X           X
PNC FINANCIAL SERVICES GCOMMON STOCK69347510  1490695     25565SH    X           X
POWERSHARES ETF TRUST FTCOMMON STOCK73935X58  3040091     48696SH    X           X
POWERSHARES ETF TRUST FTCOMMON STOCK73935X56  1515068     21787SH    X           X
POWERSHS GBL ETF TRUST DCOMMON STOCK73936T78  1921600     52713SH    X           X
POWERSHS GBL ETF TRUST ECOMMON STOCK73936T76   512902     22476SH    X           X
PREFORMED LINE PRODS COMCOMMON STOCK74044410  1946599     32760SH    X           X
PROCTER & GAMBLE        COMMON STOCK74271810  4492681     66176SH    X           X
QPC LASERS INC COM      COMMON STOCK74730A10        0     20000SH    X           X
QUALCOMM INC            COMMON STOCK74752510  2120300     34276SH    X           X
REINSURANCE GROUP AMER  COMMON STOCK75935160  1167539     21815SH    X           X
REPUBLIC SVCS INC       COMMON STOCK76075910   856289     29195SH    X           X
RESOLUTE ENERGY CORP COMCOMMON STOCK76116A10  1459823    179560SH    X           X
REVENUESHARES ETF TR ADRCOMMON STOCK76139660  1500072     42507SH    X           X
REVENUESHARES ETF TR LARCOMMON STOCK76139610  3355040    124630SH    X           X
REVENUESHARES ETF TR MIDCOMMON STOCK76139620  2133673     66511SH    X           X
REVENUESHARES ETF TR SMACOMMON STOCK76139630  1568811     41902SH    X           X
ROBERT HALF INTL INC COMCOMMON STOCK77032310  1455924     45755SH    X           X
SAPIENT CORP COM        COMMON STOCK80306210  2622048    248300SH    X           X
SCANSOURCE INC COM      COMMON STOCK80603710  2670269     84050SH    X           X
SEMPRA ENERGY COM       COMMON STOCK81685110  3367167     47465SH    X           X
SHIRE PLC SPONSORED ADR COMMON STOCK82481R10  6170160     66936SH    X           X
SIGMA ALDRICH           COMMON STOCK82655210 10682050    145176SH    X           X
SMUCKER J M CO COM NEW  COMMON STOCK83269640   825748      9575SH    X           X
SPDR GOLD TRUST GOLD SHSCOMMON STOCK78463V10  4279121     26411SH    X           X
SPDR S^P 500 ETF TRUST  COMMON STOCK78462F10  3885799     27286SH    X           X
SPDR S^P MIDCAP 400 ETF COMMON STOCK78467Y10  3475563     18715SH    X           X
SPDR SERIES TRUST BARC CCOMMON STOCK78464A47  1477632     48100SH    X           X
STEINER LEISURE LTD ORD COMMON STOCKP8744Y10  2295607     47510SH    X           X
STEPAN CO COM           COMMON STOCK85858610  1752009     31545SH    X           X
STRATTEC SEC            COMMON STOCK86311110  1455994     56412SH    X           X
STRYKER CORP            COMMON STOCK86366710  1385521     25274SH    X           X
SUPER MICRO COMP INC    COMMON STOCK86800u10  2057544    201720SH    X           X
SYNNEX CORP COM         COMMON STOCK87162W10  1911528     55600SH    X           X
SYNOPSYS INC COM        COMMON STOCK87160710 15350298    482177SH    X           X
SYSCO CORP COM          COMMON STOCK87182910  1626374     51370SH    X           X
TERADATA CORP DEL COM   COMMON STOCK88076W10  1559319     25195SH    X           X
TEVA PHARMACEUTICAL INDSCOMMON STOCK88162420  2338567     62629SH    X           X
THE ADT CORPORATION COM COMMON STOCK00101J10  2907020     62530SH    X           X
TIME WARNER INC COM     COMMON STOCK88731730  2565266     53633SH    X           X
TITAN MACHY INC COM     COMMON STOCK88830R10  2349736     95131SH    X           X
TORTOISE MLP FD INC COM COMMON STOCK89148B10 20103911    820233SH    X           X
TOWERS WATSON & CO CL A COMMON STOCK89189410 16415006    292030SH    X           X
TRUE RELIGION APPAREL COCOMMON STOCK89784N10  1811938     71280SH    X           X
TYCO INTL LTD NEW       COMMON STOCKH8912810   779249     26641SH    X           X
U.S. BANCORP            COMMON STOCK90297330   909396     28472SH    X           X
UNIFIRST CORP MASS COM  COMMON STOCK90470810  1613040     22000SH    X           X
UNIVERSAL HEALTH        COMMON STOCK91390310 13431292    277793SH    X           X
URSTADT BIDDLE PPTYS CL COMMON STOCK91728620  1813709     92160SH    X           X
VALASSIS COMM           COMMON STOCK91886610 12507244    485153SH    X           X
VANGUARD INTL EQTY IDX FCOMMON STOCK92204271   298028      3279SH    X           X
VANGUARD MSCI EMERGING MCOMMON STOCK92204285  3516295     78965SH    X           X
VECTREN CORP            COMMON STOCK92240G10  8745941    297481SH    X           X
VERIZON COMMUNICATIONS  COMMON STOCK92343V10  5052724    116772SH    X           X
VOLCANO CORPORATION COM COMMON STOCK92864510  1912528     81005SH    X           X
WHERIFY WIRELESS INC COMCOMMON STOCK96328T10        0     14026SH    X           X
WHITING PETROLEUM CORP  COMMON STOCK96638710 10895845    251230SH    X           X
WISDOMTREE TRUST EMG MKTCOMMON STOCK97717W28  1364989     27609SH    X           X
XILINX INC              COMMON STOCK98391910   282226      7870SH    X           X
ZEBRA TECH CL A         COMMON STOCK98920710 13832875    351892SH    X           X

TOTAL                                       965750773  36065326

end of table