Channing Capital Management

Channing Capital Management as of March 31, 2013

Portfolio Holdings for Channing Capital Management

Channing Capital Management holds 0 positions in its portfolio as reported in the March 2013 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      1,817      51,455      Sole                        32,620           18,835
ABBVIE  INC                     COM     00287Y109      1,185      29,054      Sole                        18,461           10,593
AFFILIATED MANAGERS GROUP INC   COM     008252108     13,324      86,761      Sole                        38,276           48,485
AIRGAS INC COM                  COM     009363102     13,436     135,503      Sole                        67,239           68,264
ALLETE INC                      COM     018522300     15,461     315,411      Sole                       284,223           31,188
ALLIED WORLD ASSURANCE CO       COM     H01531104      8,717      94,019      Sole                        47,589           46,430
AMERICAN EXPRESS CO COM         COM     025816109      2,131      31,582      Sole                        20,004           11,578
AMERISOURCEBERGEN CORP COM      COM     03073E105     12,192     236,965      Sole                       117,528          119,437
ANIXTER INTL INC COM            COM     035290105     14,216     203,313      Sole                       185,615           17,698
ANN INC                         COM     035623107     13,497     465,082      Sole                       423,320           41,762
APPLE INC                       COM     037833100      2,099       4,741      Sole                         2,997            1,744
ASTEC INDS INC                  COM     046224101     11,015     315,341      Sole                       281,110           34,231
AVNET INC                       COM     053807103      8,580     237,005      Sole                       101,837          135,168
BEAM INC                        COM     073730103     15,154     238,493      Sole                       116,846          121,647
BELDEN INC                      COM     077454106     17,407     337,010      Sole                       307,676           29,334
BOEING COMPANY                  COM     097023105      3,434      40,003      Sole                        24,162           15,841
BOOZ ALLEN HAMILTON HOLDING CO  COM     099502106     13,505   1,004,873      Sole                       915,659           89,214
BRINKS CO COM                   COM     109696104     13,746     486,398      Sole                       297,581          188,817
CAPITAL ONE FINL CORP           COM     14040H105      3,447      62,725      Sole                        39,741           22,984
CBS CORPORATION                 COM     124857202     11,311     242,261      Sole                       120,863          121,398
CHARLES RIVER LABS INTL INC     COM     159864107     15,928     359,792      Sole                       326,982           32,810
CITIGROUP INC COM               COM     172967424      2,880      65,099      Sole                        41,270           23,829
CITY NATL CORP                  COM     178566105      9,564     162,352      Sole                        72,271           90,081
COLUMBIA BKY SYS INC COM        COM     197236102     10,994     500,173      Sole                       452,013           48,160
CORPORATE OFFICE PPTYS TR COM   COM     22002T108     12,848     481,551      Sole                       436,680           44,871
CYTEC INDUSTRIES INC            COM     232820100     28,948     390,761      Sole                       281,243          109,518
DELPHI AUTOMOTIVE PLC           COM     G27823106     11,816     266,130      Sole                       130,651          135,479
DENTSPLY INTL INC NEW           COM     249030107     11,732     276,427      Sole                       131,132          145,295
EASTMAN CHEMICAL COMPANY        COM     277432100     13,543     193,829      Sole                        83,092          110,737
ENCORE CAPITAL GROUP INC        COM     292554102      9,732     323,328      Sole                       292,292           31,036
ETHAN ALLEN INTERIORS INC       COM     297602104     12,772     387,966      Sole                       350,610           37,356
EVERCORE PARTNERS INC           COM     29977A105     14,178     340,823      Sole                       307,987           32,836
EXXON MOBIL CORP COM            COM     30231G102      3,595      39,893      Sole                        25,415           14,478
FIRST AMERICAN FINANCIAL CORP   COM     31847R102     13,478     527,112      Sole                       476,381           50,731
FIRST NIAGARA FINCL GRP INC     COM     33582v108     13,441   1,517,067      Sole                       659,105          857,962
FISERV INC COM                  COM     337738108      9,671     110,075      Sole                        46,938           63,137
FORTUNE BRANDS HOME AND SECURI  COM     34964c106     16,075     429,473      Sole                       190,062          239,411
GOLDMAN SACHS GROUP COM         COM     38141G104      3,771      25,630      Sole                        16,213            9,417
GULFPORT ENERGY CORP            COM     402635304     14,734     321,482      Sole                       293,277           28,205
HALLIBURTON CO HLDG CO          COM     406216101      3,548      87,793      Sole                        55,586           32,207
HANESBRANDS INC COM             COM     410345102     41,207     904,461      Sole                       611,981          292,480
HEXCEL CORP                     COM     428291108     15,394     530,657      Sole                       483,266           47,391
HILLENBRAND INC                 COM     431571108     14,759     583,806      Sole                       527,563           56,243
IBERIABANK CORP                 COM     450828108     13,235     264,595      Sole                       241,177           23,418
INDEPENDENT BK CORP MASS        COM     453836108     10,652     326,847      Sole                       295,438           31,409
INTERNATIONAL GAME TECH         COM     459902102      6,781     410,988      Sole                       148,648          262,340
INTERPUBLIC GROUP of COS. INC   COM     460690100     14,429   1,107,365      Sole                       482,077          625,288
INVESCO LTD.                    COM     G491BT108     16,857     582,075      Sole                       278,589          303,486
J P MORGAN CHASE & CO COM       COM     46625H100      4,027      84,856      Sole                        53,380           31,476
JM SMUCKER                      COM     832696405      7,527      75,906      Sole                        31,643           44,263
JOHNSON & JOHNSON COM           COM     478160104      3,034      37,219      Sole                        24,040           13,179
JONES LANG LASALLE INC          COM     48020Q107      9,794      98,523      Sole                        35,763           62,760
LANCASTER COLONY CORP           COM     513847103     11,897     154,508      Sole                       140,853           13,655
LAZARD LTD                      COM     G54050102     15,434     452,198      Sole                       219,871          232,327
LITHIA MOTORS INC               COM     536797103     12,897     271,638      Sole                       245,483           26,155
LITTELFUSE INC COM              COM     537008104     13,914     205,072      Sole                       187,249           17,823
MANPOWER GROUP INC              COM     56418H100      9,727     171,496      Sole                        73,347           98,149
MB FINANCIAL INC                COM     55264U108     13,620     563,506      Sole                       509,233           54,273
MEDASSETS, INC.                 COM     584045108     15,957     828,916      Sole                       754,297           74,619
MEREDITH CORP COM               COM     589433101     10,502     274,492      Sole                       248,023           26,469
METLIFE INC                     COM     59156r108      3,935     103,502      Sole                        65,743           37,759
MICROSOFT CORP COM              COM     594918104      1,904      66,563      Sole                        40,149           26,414
MYR GROUP INC                   COM     55405W104     12,927     526,338      Sole                       473,602           52,736
NEXTERA ENERGY INC              COM     65339F101      2,828      36,406      Sole                        21,942           14,464
OASIS PETROLEUM INC             COM     674215108      6,301     165,513      Sole                        70,427           95,086
OMNICOM GROUP COM               COM     681919106      8,936     151,719      Sole                        79,651           72,068
ORACLE CORP COM                 COM     68389X105      2,995      92,609      Sole                        56,385           36,224
PHH CORPORATION                 COM     693320202     10,800     491,786      Sole                       448,366           43,420
PHILLIPS VAN HEUSEN CORP COM    COM     693656100     13,170     123,302      Sole                        61,063           62,239
POLYONE CORP                    COM     73179P106     17,600     721,020      Sole                       656,016           65,004
QUANTA SERVICES INC             COM     74762e102     18,774     656,891      Sole                       319,023          337,868
REGAL BELOIT CORP               COM     758750103     16,739     205,234      Sole                       187,068           18,166
REPUBLIC SVCS INC COM           COM     760759100      9,989     302,685      Sole                       129,478          173,207
ROCKWELL COLLINS, INC           COM     774341101      9,079     143,836      Sole                        61,811           82,025
ROYAL CARIBBEAN CRUISES LTD SH  COM     V7780T103     11,467     345,184      Sole                       149,658          195,526
SMITH A O CORP                  COM     831865209     14,691     199,681      Sole                       182,279           17,402
SNAP ON INC COM                 COM     833034101     14,829     179,305      Sole                        78,690          100,615
STEELCASE INC                   COM     858155203     16,005   1,086,560      Sole                       980,380          106,180
STEINER LEISURE                 COM     p8744y102     11,017     227,815      Sole                       227,815
STIFEL FIN CORP                 COM     860630102     10,977     316,605      Sole                       286,109           30,496
SUPERIOR ENERGY SVCS INC COM    COM     868157108     14,521     559,147      Sole                       272,420          286,727
SYMANTEC CORP                   COM     871503108     12,194     494,076      Sole                       250,524          243,552
SYMMETRY MEDICAL INC            COM     871546206     14,183   1,238,716      Sole                     1,119,159          119,557
TESCO CORP COM                  COM     88157K101     14,654   1,094,380      Sole                       997,176           97,204
THERMO FISHER SCIENTIF          COM     883556102     12,851     168,007      Sole                        73,468           94,539
TIFFANY & CO                    COM     886547108      8,564     123,158      Sole                        52,104           71,054
TORCHMARK CORP                  COM     891027104      6,034     100,901      Sole                        37,068           63,833
UGI CORP NEW                    COM     902681105     10,533     274,360      Sole                       118,380          155,980
VORNADO REALTY TRUST            COM     929042109      5,589      66,818      Sole                        32,156           34,662
WADDELL + REED FINL INC CL A    COM     930059100     14,818     338,455      Sole                       304,694           33,761
WESTERN UNION CO                COM     959802109      5,217     346,890      Sole                       125,915          220,975
WGL HOLDINGS INC                COM     92924F106      6,777     153,670      Sole                        55,700           97,970
WILLIS GROUP HOLDINGS PUBLIUC   COM     G96666105      7,148     181,010      Sole                        65,589          115,421
WISCONSIN ENERGY CORP COM       COM     976657106     10,551     245,992      Sole                       123,127          122,865
XL GROUP PLC                    COM     G98290102     16,667     550,080      Sole                       258,525          291,555
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REPORT SUMMARY                 95 DATA RECORDS     1,065,827               0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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