Channing Capital Management

Channing Capital Management as of Sept. 30, 2012

Portfolio Holdings for Channing Capital Management

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

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           ISSUER           TITLE OF    CUSIP           MKT     SHARES/   INVESTMENT DISCRETION   OTHER     VOTING AUTHORITY
            NAME             CLASS      NUMBER      VALX$1000   PRINC AMT   SOLE(A)  SHARED       MNGRS   SOLE   SHARED   NONE
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ABBOTT LABS COM                 COM     002824100     3,213       46,867      Sole                        23,173         23,694
AFFILIATED MANAGERS GROUP INC   COM     008252108    10,721       87,164      Sole                        38,650         48,514
AIRGAS INC COM                  COM     009363102    11,678      141,901      Sole                        65,606         76,295
ALLETE INC                      COM     018522300    11,587      277,591      Sole                       250,629         26,962
ALLIED WORLD ASSURANCE CO       COM     H01531104     9,703      125,608      Sole                        57,118         68,490
AMERICAN EXPRESS CO COM         COM     025816109     2,373       41,731      Sole                        20,602         21,129
AMERISOURCEBERGEN CORP COM      COM     03073E105     9,806      253,314      Sole                       116,010        137,304
ANIXTER INTL INC COM            COM     035290105    10,724      186,636      Sole                       170,229         16,407
ANN INC                         COM     035623107    15,180      402,321      Sole                       366,182         36,139
ASTEC INDS INC                  COM     046224101     9,958      315,015      Sole                       284,905         30,110
AVNET INC                       COM     053807103     6,790      233,417      Sole                        98,166        135,251
BEAM INC                        COM     073730103    13,695      238,001      Sole                       108,811        129,190
BELDEN INC                      COM     077454106    11,901      322,704      Sole                       293,816         28,888
BOEING COMPANY                  COM     097023105     3,744       53,783      Sole                        24,884         28,899
BOOZ ALLEN HAMILTON HOLDING CO  COM     099502106    11,535      832,842      Sole                       759,654         73,188
BRINKS CO COM                   COM     109696104    22,271      866,904      Sole                       621,682        245,222
CAPITAL ONE FINL CORP           COM     14040H105     4,724       82,864      Sole                        40,929         41,935
CBS CORPORATION                 COM     124857202    13,958      384,189      Sole                       175,509        208,680
CHARLES RIVER LABS INTL INC     COM     159864107    12,327      311,276      Sole                       283,258         28,018
CITY NATL CORP                  COM     178566105     8,241      159,982      Sole                        69,846         90,136
COLUMBIA BKY SYS INC COM        COM     197236102     8,296      447,450      Sole                       400,063         47,387
CORPORATE OFFICE PPTYS TR COM   COM     22002T108    10,391      433,512      Sole                       392,032         41,480
CYMER INC                       COM     232572107     9,731      190,582      Sole                       172,009         18,573
CYTEC INDUSTRIES INC            COM     232820100    25,233      385,114      Sole                       264,774        120,340
DENTSPLY INTL INC NEW           COM     249030107    10,545      276,474      Sole                       123,053        153,421
EASTMAN CHEMICAL COMPANY        COM     277432100    11,827      207,456      Sole                        81,456        126,000
EVERCORE PARTNERS INC           COM     29977A105     8,897      329,527      Sole                       297,415         32,112
EXXON MOBIL CORP COM            COM     30231G102     4,809       52,588      Sole                        26,174         26,414
FIRST AMERICAN FINANCIAL CORP   COM     31847R102    13,442      620,326      Sole                       556,779         63,547
FIRST NIAGARA FINCL GRP INC     COM     33582v108    10,599    1,310,152      Sole                       515,644        794,508
FISERV INC COM                  COM     337738108     9,053      122,290      Sole                        48,591         73,699
FORTUNE BRANDS HOME AND SECURI  COM     34964c106    12,536      464,116      Sole                       186,585        277,531
GOLDMAN SACHS GROUP COM         COM     38141G104     3,750       32,984      Sole                        16,484         16,500
GULFPORT ENERGY CORP            COM     402635304    12,057      385,704      Sole                       351,772         33,932
HALLIBURTON CO HLDG CO          COM     406216101     3,536      104,943      Sole                        51,800         53,143
HANESBRANDS INC COM             COM     410345102    31,534      989,161      Sole                       652,102        337,059
HANOVER INS GROUP INC           COM     410867105     5,892      158,125      Sole                       142,681         15,444
HEINZ H J CO COM                COM     423074103     8,252      147,486      Sole                        59,849         87,637
HEXCEL CORP                     COM     428291108    10,074      419,408      Sole                       376,877         42,531
IBERIABANK CORP                 COM     450828108     6,121      133,651      Sole                       122,588         11,063
INDEPENDENT BK CORP MASS        COM     453836108     9,696      322,230      Sole                       290,821         31,409
INTERNATIONAL GAME TECH         COM     459902102     6,121      467,629      Sole                       181,375        286,254
INTERPUBLIC GROUP of COS. INC   COM     460690100    12,624    1,135,232      Sole                       448,820        686,412
INVESCO LTD.                    COM     G491BT108    12,590      503,820      Sole                       202,399        301,421
J P MORGAN CHASE & CO COM       COM     46625H100     4,550      112,401      Sole                        54,975         57,426
JM SMUCKER                      COM     832696405     7,830       90,697      Sole                        36,295         54,402
JOHNSON & JOHNSON COM           COM     478160104     3,363       48,801      Sole                        24,758         24,043
JONES LANG LASALLE INC          COM     48020Q107     6,823       89,370      Sole                        31,387         57,983
LANCASTER COLONY CORP           COM     513847103    10,415      142,189      Sole                       129,681         12,508
LAZARD LTD                      COM     G54050102    12,762      436,616      Sole                       197,819        238,797
LITTELFUSE INC COM              COM     537008104    11,446      202,448      Sole                       184,625         17,823
MANPOWER GROUP INC              COM     56418H100     5,678      154,290      Sole                        59,177         95,113
MATTHEWS INTL CORP CL A         COM     577128101     9,927      332,899      Sole                       300,444         32,455
MB FINANCIAL INC                COM     55264U108     7,453      377,348      Sole                       336,095         41,253
MEADOWBROOK INSURANCE GROUP     COM     58319P108     6,835      888,807      Sole                       801,934         86,873
MEDASSETS, INC.                 COM     584045108    10,888      611,689      Sole                       554,769         56,920
MEREDITH CORP COM               COM     589433101    12,855      367,291      Sole                       332,706         34,585
METLIFE INC                     COM     59156r108     3,930      114,041      Sole                        56,328         57,713
MICROSOFT CORP COM              COM     594918104     2,667       89,540      Sole                        41,349         48,191
MYR GROUP INC                   COM     55405W104    10,309      516,755      Sole                       466,320         50,435
NEXTERA ENERGY INC              COM     65339F101     3,445       48,987      Sole                        22,598         26,389
OMNICOM GROUP COM               COM     681919106     8,903      172,664      Sole                        83,342         89,322
ORACLE CORP COM                 COM     68389X105     3,910      124,157      Sole                        58,070         66,087
PHILLIPS VAN HEUSEN CORP COM    COM     693656100    11,024      117,629      Sole                        50,519         67,110
PLAINS EXPLORATION & PROD CO    COM     726505100    10,655      284,351      Sole                       114,251        170,100
POLYONE CORP                    COM     73179P106    13,319      803,811      Sole                       726,464         77,347
QUANTA SERVICES INC             COM     74762e102    17,401      704,510      Sole                       314,710        389,800
REGAL BELOIT CORP               COM     758750103    11,023      156,406      Sole                       142,672         13,734
REPUBLIC SVCS INC COM           COM     760759100     8,868      322,357      Sole                       126,972        195,385
ROCKWELL COLLINS, INC           COM     774341101     7,012      130,715      Sole                        56,240         74,475
ROYAL CARIBBEAN CRUISES LTD SH  COM     V7780T103    11,176      369,937      Sole                       146,980        222,957
SMITH A O CORP                  COM     831865209    14,237      247,426      Sole                       224,667         22,759
SNAP ON INC COM                 COM     833034101    13,901      193,415      Sole                        77,455        115,960
STEELCASE INC                   COM     858155203     9,955    1,010,669      Sole                       912,059         98,610
STEINER LEISURE                 COM     p8744y102    10,009      215,008      Sole                       215,008
STIFEL FIN CORP                 COM     860630102     8,772      261,068      Sole                       238,145         22,923
SUPERIOR ENERGY SVCS INC COM    COM     868157108    10,933      532,777      Sole                       234,975        297,802
SYMANTEC CORP                   COM     871503108    11,135      618,622      Sole                       283,754        334,868
SYMMETRY MEDICAL INC            COM     871546206    11,522    1,165,022      Sole                     1,051,217        113,805
TESCO CORP COM                  COM     88157K101     8,400      786,508      Sole                       709,787         76,721
THERMO FISHER SCIENTIF          COM     883556102    10,627      180,639      Sole                        71,987        108,652
TIFFANY & CO                    COM     886547108     6,307      101,922      Sole                        35,796         66,126
TORCHMARK CORP                  COM     891027104     5,096       99,234      Sole                        35,362         63,872
UGI CORP NEW                    COM     902681105     8,582      270,308      Sole                       114,233        156,075
VORNADO REALTY TRUST            COM     929042109     5,342       65,915      Sole                        31,232         34,683
WADDELL + REED FINL INC CL A    COM     930059100    12,153      370,854      Sole                       338,462         32,392
WARNACO GROUP INC               COM     934390402    14,594      281,185      Sole                       256,346         24,839
WEBSENSE INC                    COM     947684106     2,799      178,826      Sole                       161,367         17,459
WESTERN UNION CO                COM     959802109     4,361      239,336      Sole                        84,056        155,280
WGL HOLDINGS INC                COM     92924F106     7,527      187,005      Sole                        70,777        116,228
WILLIS GROUP HOLDINGS PUBLIUC   COM     G96666105     9,845      266,668      Sole                       106,644        160,024
WISCONSIN ENERGY CORP COM       COM     976657106     9,935      263,727      Sole                       121,697        142,030
WMS INDUSTRIES INC              COM     929297109     4,802      293,146      Sole                       266,535         26,611
XL GROUP PLC                    COM     G98290102     8,456      351,895      Sole                       135,417        216,478
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REPORT SUMMARY                      94 DATA RECORDS 905,489                0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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