Channing Capital Management

Channing Capital Management as of Dec. 31, 2012

Portfolio Holdings for Channing Capital Management

Channing Capital Management holds 0 positions in its portfolio as reported in the December 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     1,903      29,054      Sole                       18,461             10,593
AFFILIATED MANAGERS GROUP INC  COM      008252108    11,124      85,470      Sole                       36,956             48,514
AIRGAS INC COM                 COM      009363102    12,224     133,906      Sole                       65,606             68,300
ALLETE INC                     COM      018522300    13,153     320,951      Sole                      289,763             31,188
ALLIED WORLD ASSURANCE CO      COM      H01531104     7,378      93,627      Sole                       47,001             46,626
AMERICAN EXPRESS CO COM        COM      025816109     1,864      32,421      Sole                       20,602             11,819
AMERISOURCEBERGEN CORP COM     COM      03073E105    10,189     235,957      Sole                      116,010            119,947
ANIXTER INTL INC COM           COM      035290105    13,215     206,552      Sole                      188,854             17,698
ANN INC                        COM      035623107    14,021     414,325      Sole                      378,186             36,139
APPLE INC                      COM      037833100     1,384       2,597      Sole                        1,648                949
ASTEC INDS INC                 COM      046224101    10,702     320,817      Sole                      286,586             34,231
AVNET INC                      COM      053807103     7,145     233,417      Sole                       98,166            135,251
BEAM INC                       COM      073730103    14,408     235,853      Sole                      114,153            121,700
BELDEN INC                     COM      077454106    16,432     365,232      Sole                      333,749             31,483
BOEING COMPANY                 COM      097023105     3,094      41,055      Sole                       24,884             16,171
BOOZ ALLEN HAMILTON HOLDING CO COM      099502106    12,027     863,991      Sole                      781,242             82,749
BRINKS CO COM                  COM      109696104    23,070     808,617      Sole                      570,243            238,374
CAPITAL ONE FINL CORP          COM      14040H105     3,730      64,392      Sole                       40,929             23,463
CBS CORPORATION                COM      124857202    10,766     282,931      Sole                      141,112            141,819
CHARLES RIVER LABS INTL INC    COM      159864107    13,700     365,621      Sole                      332,811             32,810
CITIGROUP INC COM              COM      172967424     1,342      33,929      Sole                       21,532             12,397
CITY NATL CORP                 COM      178566105     7,922     159,982      Sole                       69,846             90,136
COLUMBIA BKY SYS INC COM       COM      197236102     9,131     508,981      Sole                      460,821             48,160
CORPORATE OFFICE PPTYS TR COM  COM      22002T108    12,220     489,173      Sole                      444,302             44,871
CYTEC INDUSTRIES INC           COM      232820100    27,101     393,735      Sole                      283,836            109,899
DELPHI AUTOMOTIVE PLC          COM      G27823106     6,593     172,376      Sole                       75,474             96,902
DENTSPLY INTL INC NEW          COM      249030107    10,884     274,781      Sole                      128,980            145,801
EASTMAN CHEMICAL COMPANY       COM      277432100    13,109     192,635      Sole                       81,456            111,179
ENCORE CAPITAL GROUP INC       COM      292554102     9,162     299,224      Sole                      270,903             28,321
EVERCORE PARTNERS INC          COM      29977A105    11,734     388,687      Sole                      351,867             36,820
EXXON MOBIL CORP COM           COM      30231G102     3,545      40,954      Sole                       26,174             14,780
FIRST AMERICAN FINANCIAL CORP  COM      31847R102    12,922     536,396      Sole                      485,665             50,731
FIRST NIAGARA FINCL GRP INC    COM      33582v108    11,966   1,509,004      Sole                      647,772            861,232
FISERV INC COM                 COM      337738108     8,964     113,420      Sole                       48,591             64,829
FORTUNE BRANDS HOME AND SECURI COM      34964c106    12,496     427,637      Sole                      187,147            240,490
GOLDMAN SACHS GROUP COM        COM      38141G104     3,356      26,310      Sole                       16,697              9,613
GULFPORT ENERGY CORP           COM      402635304    13,233     346,236      Sole                      317,014             29,222
HALLIBURTON CO HLDG CO         COM      406216101     3,126      90,126      Sole                       57,247             32,879
HANESBRANDS INC COM            COM      410345102    34,559     964,803      Sole                      666,699            298,104
HANOVER INS GROUP INC          COM      410867105     4,263     110,029      Sole                       99,621             10,408
HEINZ H J CO COM               COM      423074103     6,645     115,199      Sole                       50,000             65,199
HEXCEL CORP                    COM      428291108    12,904     478,619      Sole                      434,721             43,898
HILLENBRAND INC                COM      431571108    13,430     593,974      Sole                      537,731             56,243
IBERIABANK CORP                COM      450828108    12,278     249,969      Sole                      227,375             22,594
INDEPENDENT BK CORP MASS       COM      453836108     9,630     332,647      Sole                      301,238             31,409
INTERNATIONAL GAME TECH        COM      459902102     4,924     347,528      Sole                      122,054            225,474
INTERPUBLIC GROUP of COS. INC  COM      460690100    12,141   1,101,750      Sole                      473,866            627,884
INVESCO LTD.                   COM      G491BT108    14,464     554,396      Sole                      266,227            288,169
J P MORGAN CHASE & CO COM      COM      46625H100     3,830      87,108      Sole                       54,975             32,133
JM SMUCKER                     COM      832696405     7,223      83,760      Sole                       36,295             47,465
JOHNSON & JOHNSON COM          COM      478160104     2,679      38,212      Sole                       24,758             13,454
JONES LANG LASALLE INC         COM      48020Q107     8,132      96,881      Sole                       34,087             62,794
LANCASTER COLONY CORP          COM      513847103    10,863     157,001      Sole                      143,346             13,655
LAZARD LTD                     COM      G54050102    13,418     449,673      Sole                      216,482            233,191
LITTELFUSE INC COM             COM      537008104    12,858     208,357      Sole                      190,534             17,823
MANPOWER GROUP INC             COM      56418H100     7,187     169,345      Sole                       71,153             98,192
MATTHEWS INTL CORP CL A        COM      577128101    11,193     348,680      Sole                      315,659             33,021
MB FINANCIAL INC               COM      55264U108    11,324     573,354      Sole                      519,081             54,273
MEDASSETS, INC.                COM      584045108    12,220     728,705      Sole                      662,122             66,583
MEREDITH CORP COM              COM      589433101    13,686     397,258      Sole                      360,108             37,150
METLIFE INC                    COM      59156r108     3,409     103,502      Sole                       65,743             37,759
MICROSOFT CORP COM             COM      594918104     1,826      68,314      Sole                       41,349             26,965
MYR GROUP INC                  COM      55405W104    11,921     535,780      Sole                      483,044             52,736
NEXTERA ENERGY INC             COM      65339F101     2,585      37,364      Sole                       22,598             14,766
OMNICOM GROUP COM              COM      681919106     7,557     151,255      Sole                       78,851             72,404
ORACLE CORP COM                COM      68389X105     3,167      95,050      Sole                       58,070             36,980
PHH CORPORATION                COM      693320202     9,927     436,358      Sole                      398,959             37,399
PHILLIPS VAN HEUSEN CORP COM   COM      693656100    13,635     122,829      Sole                       60,317             62,512
POLYONE CORP                   COM      73179P106    14,963     732,769      Sole                      667,765             65,004
QUANTA SERVICES INC            COM      74762e102    17,849     654,056      Sole                      314,710            339,346
REGAL BELOIT CORP              COM      758750103    14,694     208,517      Sole                      190,351             18,166
REPUBLIC SVCS INC COM          COM      760759100     8,823     300,827      Sole                      126,972            173,855
ROCKWELL COLLINS, INC          COM      774341101     8,265     142,081      Sole                       60,033             82,048
ROYAL CARIBBEAN CRUISES LTD SH COM      V7780T103    11,672     343,296      Sole                      146,980            196,316
SMITH A O CORP                 COM      831865209    12,795     202,866      Sole                      185,464             17,402
SNAP ON INC COM                COM      833034101    14,100     178,507      Sole                       77,455            101,052
STEELCASE INC                  COM      858155203    14,086   1,105,665      Sole                      999,485            106,180
STEINER LEISURE                COM      p8744y102    11,223     232,256      Sole                      232,256
STIFEL FIN CORP                COM      860630102     7,796     243,846      Sole                      219,460             24,386
SUPERIOR ENERGY SVCS INC COM   COM      868157108    10,715     517,136      Sole                      248,576            268,560
SYMANTEC CORP                  COM      871503108    10,474     556,529      Sole                      270,010            286,519
SYMMETRY MEDICAL INC           COM      871546206    13,261   1,260,533      Sole                    1,140,976            119,557
TESCO CORP COM                 COM      88157K101    12,666   1,112,015      Sole                    1,014,811             97,204
THERMO FISHER SCIENTIF         COM      883556102    10,663     167,191      Sole                       72,249             94,942
TIFFANY & CO                   COM      886547108     6,954     121,283      Sole                       50,209             71,074
TORCHMARK CORP                 COM      891027104     5,127      99,234      Sole                       35,362             63,872
UGI CORP NEW                   COM      902681105     8,842     270,308      Sole                      114,233            156,075
VORNADO REALTY TRUST           COM      929042109     5,278      65,915      Sole                       31,232             34,683
WADDELL + REED FINL INC CL A   COM      930059100    11,992     344,391      Sole                      310,630             33,761
WESTERN UNION CO               COM      959802109     4,642     341,065      Sole                      120,027            221,038
WGL HOLDINGS INC               COM      92924F106     5,921     151,096      Sole                       53,066             98,030
WILLIS GROUP HOLDINGS PUBLIUC  COM      G96666105     5,969     178,009      Sole                       62,518            115,491
WISCONSIN ENERGY CORP COM      COM      976657106     9,032     245,106      Sole                      121,697            123,409
WMS INDUSTRIES INC             COM      929297109     4,634     264,781      Sole                      239,710             25,071
XL GROUP PLC                   COM      G98290102    13,711     547,109      Sole                      254,431            292,678
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REPORT SUMMARY                          95 DATA RECORDS  950,360         0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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