Polaris Capital Management as of Dec. 31, 2012
Portfolio Holdings for Polaris Capital Management
Polaris Capital Management holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing
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FORM 13F INFORMATION TABLE
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column8
VALUE SHARES/ SH/PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASCUSIP (x$1000) PRN AMT PRNCALL DISCRETION MANAGERS SOLE SHARED
NONE
ALLETE Common US0185223 40,266 982,584sh sole 981,684
AMERIS BANCORP Common US03076K1 32,1502,574,074sh sole 2,571,452
ASTORIA FINANCIAL CORP Common US0462651 30,7413,284,308sh sole 3,282,438
BNC BANCORP Common 05566T101 3,065 382,695sh sole 382,695
BROOKLINE BANCORP INC Common US11373M1 10,8311,274,200sh sole 1,273,900
BROOKS AUTOMATION INC Common US1143401 20,3512,528,104sh sole 2,524,414
CAMBRIDGE BANCORP Common US1321521 944 25,782sh sole 25,782
CARTER'S INC Common US1462291 62,7651,127,851sh sole 1,126,951
COLONY BANKCORP INC. Common US19623P1 1,481 411,398sh sole 410,486
COMMUNITY FINANCIAL CORPORATION Common US20365L1 145 23,936sh sole 23,936
DIME COMMUNITY BANCSHARES INC Common US2539221 268 19,300sh sole 19,300
FIRST CONNECTICUT BANCORP, INC. Common US3198501 413 30,000sh sole 30,000
FOREST LABORATORIES INC Common US3458381 46,3911,313,460sh sole 1,312,660
FRONTIER COMMUNICATIONS CORP Common US35906A1 48,07711,233,05sh sole 11,228,493
GENERAL DYNAMICS CORP. Common US3695501 33,902 489,420sh sole 489,011
H.J. HEINZ COMPANY Common US4230741 44,915 778,693sh sole 778,093
HEWLETT-PACKARD CO Common US4282361 29,1242,043,803sh sole 2,042,119
INDEPENDENT BANK CORP/MS Common US4538361 38,7751,339,362sh sole 1,338,309
INTERNATIONAL BANCSHARES CORP Common US4590441 38,7662,142,955sh sole 2,141,335
JM SMUCKER CO/THE Common US8326964 44,457 515,500sh sole 515,100
MAC-GRAY CORP Common US5541531 13,0831,042,490sh sole 1,039,490
MARATHON OIL CORP Common US5658491 43,3651,414,382sh sole 1,413,282
MARATHON PETROLEUM CORP Common US56585A1 59,182 939,391sh sole 938,591
MICROSOFT CORP. Common US5949181 32,9091,232,100sh sole 1,231,100
NAUGATUCK VALLEY FINANCIAL Common US63906P1 257 38,600sh sole 38,600
NEXTERA ENERGY, INC. Common US65339F1 47,755 690,197sh sole 689,647
PARK STERLING CORP Common US70086Y1 241 46,072sh sole 46,072
PEOPLES BANCORP INC Common US7097891 9,567 468,300sh sole 467,800
PRAXAIR INC. Common US74005P1 40,547 370,457sh sole 370,163
QUEST DIAGNOSTICS Common US74834L1 42,980 737,609sh sole 737,119
QUESTCOR PHARMACEUTICALS Common US74835Y1 37,4271,400,697sh sole 1,399,197
SOUTHWEST BANCORP INC. Common US8447671 22,9742,051,234sh sole 2,049,099
THE CHUBB CORPORATION Common US1712321 47,352 628,675sh sole 628,225
UNITED FINANCIAL BANCORP INC Common US91030T1 226 14,362sh sole 14,362
UNITEDHEALTH GROUP INC Common US91324P1 42,011 774,531sh sole 773,777
UNIVEST CORP OF PENNSYLVANIA Common US9152711 20,1951,181,017sh sole 1,179,397
VERIZON COMMUNICATIONS Common US92343V1 39,891 921,901sh sole 921,016
WEBSTER FINANCIAL CORP - CT Common US9478901 36,9871,799,877sh sole 1,799,232
WELLPOINT INC (NEW) Common US94973V1 42,990 705,676sh sole 705,034
WESTERN UNION CO. Common US9598021 29,2632,150,100sh sole 2,148,400
XEROX CORP Common US9841211 32,2154,723,600sh sole 4,719,700
144A KRBL LIMITED DERIVATIVE Derivative 46632N702 8291,679,000sh sole 1,679,000
144A LIC HOUSING FINANCE DERIVATIVE Derivative US46627U7 1,108 204,200sh sole 204,200
144A NIIT TECHNOLOGIES DERIVATIVE Derivative US48125D7 1,243 276,900sh sole 276,900
144A SOUTH INDIAN BANK LIMITED DERIVATIVE Derivative 46632N124 1,2702,535,250sh sole 2,535,250
144A USHA MARTIN LTD Derivative 46632N140 485 807,100sh sole 807,100
BHP BILLITON PLC - ADR (UK) ADR US05545E2 72,8151,034,749sh sole 910,128
INFOSYS LTD - SP ADR Spon ADR US4567881 68,6041,621,850sh sole 1,450,846
METHANEX CORPORATION (US SHARES) ADR CA59151K1 283 8,870sh sole 6,950
NOVARTIS AG-ADR ADR US66987V1 51 800sh sole 0
SAMSUNG ELECTRONICS COMMON-GDR GDR US7960508 26,132 36,762sh sole 13,411
SAMSUNG ELECTRONICS PFD N/V-GDR GDR US7960502 147 370sh sole 370
TAIWAN SEMICONDUCTOR - SP ADR Spon ADR 874,039,100 296 17,239sh sole 17,239
TEVA PHARMACEUTICAL - SP ADR Spon ADR US8816242 65,4101,751,753sh sole 1,599,434