Palisades Investment Partners

Palisades Investment Partners as of March 31, 2014

Portfolio Holdings for Palisades Investment Partners

Palisades Investment Partners holds 79 positions in its portfolio as reported in the March 2014 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Exxon Mobil Corporation (XOM) 4.5 $4.1M 42k 97.68
Wells Fargo & Company (WFC) 3.4 $3.2M 64k 49.74
General Electric Company 3.0 $2.8M 108k 25.89
Johnson & Johnson (JNJ) 3.0 $2.8M 28k 98.23
Walt Disney Company (DIS) 2.8 $2.6M 32k 80.07
JPMorgan Chase & Co. (JPM) 2.6 $2.4M 39k 60.71
Chevron Corporation (CVX) 2.4 $2.2M 19k 118.91
Express Scripts Holding 2.2 $2.0M 27k 75.09
American International (AIG) 2.0 $1.9M 38k 50.01
At&t (T) 2.0 $1.8M 52k 35.07
CNO Financial (CNO) 1.9 $1.8M 99k 18.10
Goldman Sachs (GS) 1.9 $1.8M 11k 163.85
Bank of America Corporation (BAC) 1.9 $1.7M 101k 17.20
Fifth Third Ban (FITB) 1.8 $1.7M 74k 22.95
Microchip Technology (MCHP) 1.7 $1.6M 34k 47.76
CVS Caremark Corporation (CVS) 1.7 $1.6M 21k 74.86
Eli Lilly & Co. (LLY) 1.7 $1.5M 26k 58.86
Raytheon Company 1.6 $1.5M 15k 98.79
Edison International (EIX) 1.6 $1.5M 27k 56.61
Packaging Corporation of America (PKG) 1.6 $1.5M 21k 70.37
Comcast Corporation (CMCSA) 1.6 $1.5M 29k 50.04
Hormel Foods Corporation (HRL) 1.6 $1.5M 30k 49.27
CMS Energy Corporation (CMS) 1.6 $1.4M 50k 29.28
Public Service Enterprise (PEG) 1.6 $1.4M 38k 38.14
Citigroup (C) 1.5 $1.4M 30k 47.60
United Technologies Corporation 1.5 $1.4M 12k 116.84
Hewlett-Packard Company 1.5 $1.3M 42k 32.36
Morgan Stanley (MS) 1.4 $1.3M 43k 31.17
Range Resources (RRC) 1.4 $1.3M 16k 82.97
Vulcan Materials Company (VMC) 1.4 $1.3M 19k 66.45
Arris 1.4 $1.3M 45k 28.18
PNC Financial Services (PNC) 1.4 $1.3M 15k 87.00
TD Ameritrade Holding 1.3 $1.2M 36k 33.95
American Water Works (AWK) 1.3 $1.2M 26k 45.40
Occidental Petroleum Corporation (OXY) 1.3 $1.2M 12k 95.29
Entergy Corporation (ETR) 1.2 $1.1M 17k 66.85
Ubiquiti Networks 1.2 $1.1M 24k 45.45
MGM Resorts International. (MGM) 1.2 $1.1M 42k 25.86
Pentair 1.1 $1.1M 13k 79.34
Rite Aid Corporation 1.1 $1.0M 166k 6.27
Archer Daniels Midland Company (ADM) 1.1 $1.0M 24k 43.39
Verizon Communications (VZ) 1.1 $1.0M 21k 47.57
Merck & Co (MRK) 1.1 $988k 17k 56.77
EOG Resources (EOG) 1.1 $981k 5.0k 196.17
Primerica (PRI) 1.1 $981k 21k 47.11
Zions Bancorporation (ZION) 1.0 $960k 31k 30.98
VCA Antech 1.0 $948k 29k 32.23
Baker Hughes Incorporated 1.0 $943k 15k 65.02
Stryker Corporation (SYK) 1.0 $945k 12k 81.47
Altria (MO) 1.0 $932k 25k 37.43
Regal Entertainment 0.9 $854k 46k 18.68
Quanta Services (PWR) 0.9 $823k 22k 36.90
Cit 0.8 $765k 16k 49.02
Skyworks Solutions (SWKS) 0.8 $705k 19k 37.52
Boeing Company (BA) 0.7 $678k 5.4k 125.49
Mylan 0.7 $615k 13k 48.83
Avery Dennison Corporation (AVY) 0.6 $573k 11k 50.67
Korn/Ferry International (KFY) 0.6 $566k 19k 29.77
Zimmer Holdings (ZBH) 0.6 $558k 5.9k 94.58
Trinity Industries (TRN) 0.6 $555k 7.7k 72.07
Cytec Industries 0.6 $517k 5.3k 97.61
Metropcs Communications (TMUS) 0.6 $515k 16k 33.03
Verisign (VRSN) 0.5 $496k 9.2k 53.91
State Street Corporation (STT) 0.5 $480k 6.9k 69.55
Medivation 0.5 $476k 7.4k 64.37
Baxter International (BAX) 0.5 $471k 6.4k 73.58
Omnicare 0.5 $472k 7.9k 59.67
Hess (HES) 0.5 $472k 5.7k 82.88
E TRADE Financial Corporation 0.5 $463k 20k 23.02
NetApp (NTAP) 0.5 $450k 12k 36.90
Cisco Systems (CSCO) 0.5 $446k 20k 22.41
Live Nation Entertainment (LYV) 0.5 $442k 20k 21.75
American Airls (AAL) 0.5 $443k 12k 36.60
WebMD Health 0.5 $426k 10k 41.40
Portland General Electric Company (POR) 0.5 $414k 13k 32.34
Denbury Resources 0.5 $415k 25k 16.40
Ambac Finl (AMBC) 0.5 $413k 13k 31.03
Teva Pharmaceutical Industries (TEVA) 0.4 $402k 7.6k 52.84
Celgene Corporation 0.4 $405k 2.9k 139.60