InView Investment Management

InView Investment Management as of March 31, 2013

Portfolio Holdings for InView Investment Management

InView Investment Management holds 59 positions in its portfolio as reported in the March 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Magnachip Semiconductor Corp (MX) 3.3 $2.3M 132k 17.31
Asbury Automotive (ABG) 2.8 $1.9M 52k 36.69
Deluxe Corporation (DLX) 2.7 $1.8M 44k 41.40
Ares Capital Corporation (ARCC) 2.6 $1.8M 98k 18.10
Crown Holdings (CCK) 2.6 $1.8M 42k 41.61
Belden (BDC) 2.5 $1.7M 34k 51.64
Navistar International Corporation 2.5 $1.7M 50k 34.57
CMS Energy Corporation (CMS) 2.4 $1.7M 59k 27.94
Newell Rubbermaid (NWL) 2.4 $1.6M 63k 26.10
Regal-beloit Corporation (RRX) 2.4 $1.6M 20k 81.57
EnPro Industries (NPO) 2.2 $1.5M 30k 51.16
American Equity Investment Life Holding (AEL) 2.2 $1.5M 103k 14.89
Pulte (PHM) 2.2 $1.5M 75k 20.24
Cousins Properties 2.2 $1.5M 141k 10.69
Littelfuse (LFUS) 2.1 $1.5M 22k 67.85
Louisiana-Pacific Corporation (LPX) 2.1 $1.4M 66k 21.59
Brinker International (EAT) 2.0 $1.4M 37k 37.65
Tech Data Corporation 2.0 $1.4M 30k 45.59
Apollo Commercial Real Est. Finance (ARI) 2.0 $1.4M 79k 17.59
Avista Corporation (AVA) 2.0 $1.4M 50k 27.40
Och-Ziff Capital Management 2.0 $1.4M 147k 9.35
Flextronics International Ltd Com Stk (FLEX) 2.0 $1.4M 200k 6.76
Old National Ban (ONB) 1.9 $1.3M 96k 13.74
National Penn Bancshares 1.9 $1.3M 123k 10.69
Avnet (AVT) 1.8 $1.2M 34k 36.19
DigitalGlobe 1.8 $1.2M 42k 28.91
AECOM Technology Corporation (ACM) 1.7 $1.2M 36k 32.81
Portland General Electric Company (POR) 1.7 $1.2M 39k 30.34
Luxfer Holdings 1.7 $1.2M 75k 15.49
Regal Entertainment 1.7 $1.2M 69k 16.68
Hudson Pacific Properties (HPP) 1.7 $1.2M 53k 21.74
Meredith Corporation 1.6 $1.1M 29k 38.28
Hain Celestial (HAIN) 1.6 $1.1M 18k 61.08
Hancock Holding Company (HWC) 1.6 $1.1M 35k 30.93
Omnicare 1.5 $1.1M 26k 40.72
Bio-Rad Laboratories (BIO) 1.5 $1.0M 8.3k 126.03
PrivateBan 1.5 $1.0M 55k 18.88
Matrix Service Company (MTRX) 1.5 $1.0M 68k 14.90
AEGEAN MARINE PETROLEUM Networ Com Stk 1.4 $973k 145k 6.71
Kelly Services (KELYA) 1.4 $962k 52k 18.69
Cinemark Holdings (CNK) 1.4 $939k 32k 29.44
Jones Group 1.3 $919k 72k 12.72
Tower Group International 1.2 $846k 46k 18.45
Stage Stores 1.2 $822k 32k 25.89
Pebblebrook Hotel Trust (PEB) 1.2 $806k 31k 25.78
MB Financial 1.1 $790k 33k 24.17
Spirit AeroSystems Holdings (SPR) 1.1 $784k 41k 18.98
Dean Foods Company 1.1 $774k 43k 18.13
Fresh Del Monte Produce (FDP) 1.1 $764k 28k 26.97
Comstock Resources 1.1 $765k 47k 16.26
Steel Dynamics (STLD) 1.1 $727k 46k 15.87
MFA Mortgage Investments 1.0 $690k 74k 9.32
Invesco Mortgage Capital 1.0 $679k 32k 21.39
Columbus McKinnon (CMCO) 1.0 $676k 35k 19.26
Patterson-UTI Energy (PTEN) 1.0 $667k 28k 23.83
KEYW Holding 0.7 $474k 29k 16.14
FreightCar America (RAIL) 0.7 $445k 20k 21.82
Aurico Gold 0.6 $386k 61k 6.29
Forest Oil Corporation 0.4 $279k 53k 5.26