WEDGE Capital Management L

WEDGE Capital Management L as of June 30, 2012

Portfolio Holdings for WEDGE Capital Management L

WEDGE Capital Management L holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

                TITLE OF                     VALUE      SHARES  SH/ PUT/INV OTHER      VOTING AUTHORITY
           NAME OF ISSUER                  CLASS          CUSIP     (x$1000)    PRN AMT  PRN CALLDISC MGRS  SOLE  SHARED  NONE
                {S}                         {C}            {C}         {C}        {C}    {C} {C} {C}  {C}    {C}    {C}    {C}
3M CO                                     COMMON        88579Y101         42775    477403 SH     SOLE       391168      0  86235
AARON'S INC                               COMMON        002535300         14085    497530 SH     SOLE       460496      0  37034
ABB LTD SPONSORED ADR                     COMMON        000375204         17967   1100910 SH     SOLE       822310      0 278600
ABBOTT LABS                               COMMON        002824100         33476    519245 SH     SOLE       388745      0 130500
ACCENTURE PLC                             COMMON        G1151C101         45167    751652 SH     SOLE       564525      0 187127
ACE LIMITED                               COMMON        H0023R105         22431    302590 SH     SOLE       226918      0  75672
ACTUATE CORP                              COMMON        00508B102           845    121888 SH     SOLE       121888      0      0
AETNA INC                                 COMMON        00817Y108         29338    756709 SH     SOLE       563995      0 192714
AFC ENTERPRISES INC                       COMMON        00104Q107         11546    498983 SH     SOLE       461943      0  37040
AGRIUM INC COM                            COMMON        008916108          7543     85260 SH     SOLE        63510      0  21750
AIR METHODS CORP                          COMMON        009128307         38379    390629 SH     SOLE       361539      0  29090
AIR PRODS & CHEMS INC                     COMMON        009158106          7100     87949 SH     SOLE        65577      0  22372
AIR TRANSPORT SERVICES GRP ICO            COMMON        00922R105           389     74900 SH     SOLE        74900      0      0
ALAMO GROUP INC                           COMMON        011311107           526     16759 SH     SOLE        16759      0      0
ALBANY MOLECULAR RESH INC COM             COMMON        012423109           193     75600 SH     SOLE        75600      0      0
ALCATEL-LUCENT SPONSORED ADR              COMMON        013904305           407    249400 SH     SOLE       249400      0      0
ALCOA INC                                 COMMON        013817101          6874    785602 SH     SOLE       586492      0 199110
ALLIANCE DATA SYSTEMS CORP                COMMON        018581108         48247    357385 SH     SOLE       267105      0  90280
ALLSTATE CORP                             COMMON        020002101        108281   3085806 SH     SOLE      2557546      0 528260
ALTERRA CAPITAL HOLDINGS LTD              COMMON        G0229R108         12101    518241 SH     SOLE       477881      0  40360
AMEREN CORP                               COMMON        023608102         14972    446378 SH     SOLE       338275      0 108103
AMERICAN EAGLE OUTFITTERS INCO            COMMON        02553E106         25026   1268445 SH     SOLE       951145      0 317300
AMERICAN ELECTRIC POWER                   COMMON        025537101         14594    365755 SH     SOLE       269955      0  95800
AMERICAN FINL GROUP INC OHIOCO            COMMON        025932104           229      5850 SH     SOLE         5850      0      0
AMERICAN GREETINGS CORP                   COMMON        026375105         13489    922622 SH     SOLE       854015      0  68607
AMERICAN SOFTWARE INC                     COMMON        029683109           597     75050 SH     SOLE        75050      0      0
AMERIPRISE FINANCIAL INC                  COMMON        03076C106         24088    460925 SH     SOLE       343259      0 117666
AMERISAFE INC COM                         COMMON        03071H100           835     32175 SH     SOLE        32175      0      0
AMERISOURCEBERGEN CORP                    COMMON        03073E105         33777    858372 SH     SOLE       643362      0 215010
AMGEN INC                                 COMMON        031162100         33905    465028 SH     SOLE       347053      0 117975
AMN HEALTHCARE SERVICES INC CO            COMMON        001744101           595    100300 SH     SOLE       100300      0      0
AMPHENOL CORPORATION                      COMMON        032095101         44466    809657 SH     SOLE       606152      0 203505
ANAREN INC                                COMMON        032744104           843     43025 SH     SOLE        43025      0      0
ANGIODYNAMICS INC                         COMMON        03475V101           669     55675 SH     SOLE        55675      0      0
APACHE CORP                               COMMON        037411105         32874    374040 SH     SOLE       301390      0  72650
APOGEE ENTERPRISES INC                    COMMON        037598109           456     28370 SH     SOLE        28370      0      0
APPLE COMPUTER INC                        COMMON        037833100         46158     79037 SH     SOLE        59090      0  19947
APPLIED INDL TECHNOLOGIES INCO            COMMON        03820C105           206      5600 SH     SOLE         5600      0      0
ARCHER DANIELS MIDLAND                    COMMON        039483102          6515    220697 SH     SOLE       164677      0  56020
ARGO GROUP INTL HLDGS LTD                 COMMON        G0464B107         16449    561991 SH     SOLE       519821      0  42170
ASML HOLDING NV                           COMMON        N07059186         48512    943455 SH     SOLE       704505      0 238950
ASPEN INSURANCE HOLDINGS LTDSH            COMMON        G05384105         20806    719923 SH     SOLE       664168      0  55755
ASSISTED LIVING CONCEPTS INC              COMMON        04544X300           833     58600 SH     SOLE        58600      0      0
ASSOCIATED ESTATES RLTY CORPCO            COMMON        045604105         14521    971288 SH     SOLE       900263      0  71025
ASSURANT INC                              COMMON        04621X108         45281   1299672 SH     SOLE      1087396      0 212276
ATMOS ENERGY CORP                         COMMON        049560105           272      7750 SH     SOLE         7750      0      0
AUTODESK INC COM                          COMMON        052769106           322      9200 SH     SOLE         9200      0      0
AUTOLIV INC                               COMMON        052800109         17959    328554 SH     SOLE       247115      0  81439
AUTOMATIC DATA PROCESSING                 COMMON        053015103          9963    179005 SH     SOLE       160930      0  18075
AUTOZONE INC                              COMMON        053332102         24193     65891 SH     SOLE        49265      0  16626
BAKER MICHAEL CORP                        COMMON        057149106           857     32850 SH     SOLE        32850      0      0
BALL CORP                                 COMMON        058498106          7185    175023 SH     SOLE       130350      0  44673
BANCFIRST CORP                            COMMON        05945F103          3984     95055 SH     SOLE        87835      0   7220
BANK HAWAII CORP                          COMMON        062540109         59811   1301648 SH     SOLE      1102673      0 198975
BANK OF AMERICA CORP                      COMMON        060505104         14152   1730120 SH     SOLE      1549345      0 180775
BANK OF MARIN BANCORP                     COMMON        063425102           616     16650 SH     SOLE        16650      0      0
BBCN BANCORP INC                          COMMON        073295107         10429    957639 SH     SOLE       883827      0  73812
BED BATH & BEYOND INC                     COMMON        075896100         22573    365261 SH     SOLE       271645      0  93616
BEL FUSE INC                              COMMON        077347300          4408    250318 SH     SOLE       232868      0  17450
BELDEN INC                                COMMON        077454106         13114    393222 SH     SOLE       363152      0  30070
BEMIS INC                                 COMMON        081437105         61703   1968812 SH     SOLE      1623842      0 344970
BENIHANA INC COM                          COMMON        082047101           623     38700 SH     SOLE        38700      0      0
BERKSHIRE HATHAWAY INC                    COMMON        084670702         22952    275430 SH     SOLE       246030      0  29400
BERRY PETE CO                             COMMON        085789105         10622    267830 SH     SOLE       247260      0  20570
BIG 5 SPORTING GOODS CORP COM             COMMON        08915P101           454     60000 SH     SOLE        60000      0      0
BIG LOTS INC                              COMMON        089302103          4062     99584 SH     SOLE        91741      0   7843
BIOMED REALTY TRUST INC                   COMMON        09063H107         13747    735912 SH     SOLE       678827      0  57085
BLACK BOX CORP                            COMMON        091826107          9611    334888 SH     SOLE       309459      0  25429
BLOCK H & R INC                           COMMON        093671105          3762    235420 SH     SOLE       211470      0  23950
BLUCORA INC COM                           COMMON        095229100           585     47475 SH     SOLE        47475      0      0
BOLT TECHNOLOGY CORP                      COMMON        097698104           219     14600 SH     SOLE        14600      0      0
BP plc ADR                                COMMON        055622104         38112    940102 SH     SOLE       776110      0 163992
BRINKER INTL INC                          COMMON        109641100           261      8200 SH     SOLE         8200      0      0
BRISTOL MYERS SQUIBB CO                   COMMON        110122108         33254    925010 SH     SOLE       690310      0 234700
BROOKFIELD RESIDENTIAL PPTYS              COMMON        11283W104         12755   1170185 SH     SOLE      1077195      0  92990
BRUNSWICK CORP                            COMMON        117043109         89731   4038302 SH     SOLE      3300892      0 737410
BUNGE LIMITED                             COMMON        G16962105          7326    116775 SH     SOLE        87585      0  29190
CA TECHNOLOGIES                           COMMON        12673P105         46989   1734548 SH     SOLE      1296880      0 437668
CABLEVISION SYS CORP                      COMMON        12686C109           218     16400 SH     SOLE        16400      0      0
CABOT CORP                                COMMON        127055101         23592    579651 SH     SOLE       536824      0  42827
CACHE INC                                 COMMON        127150308           600    130472 SH     SOLE       130472      0      0
CACI INTL INC                             COMMON        127190304         16495    299796 SH     SOLE       276746      0  23050
CAI INTERNATIONAL INC                     COMMON        12477X106           859     43225 SH     SOLE        43225      0      0
CAL DIVE INTL INC DEL COM                 COMMON        12802T101          7451   2569475 SH     SOLE      2396800      0 172675
CALLAWAY GOLF CO COM                      COMMON        131193104           138     23321 SH     SOLE        21981      0   1340
CAMBREX CORP                              COMMON        132011107          5552    590056 SH     SOLE       540786      0  49270
CAMPUS CREST COMMUNITIES                  COMMON        13466Y105          4379    421490 SH     SOLE       388676      0  32814
CANTEL MEDICAL CORP                       COMMON        138098108           853     31312 SH     SOLE        31312      0      0
CAPSTEAD MORTGAGE CORP                    COMMON        14067E506         21325   1533045 SH     SOLE      1249375      0 283670
CARDINAL FINANCIAL CORP                   COMMON        14149F109           628     51100 SH     SOLE        51100      0      0
CARDINAL HEALTH INC                       COMMON        14149Y108         32324    769614 SH     SOLE       576325      0 193289
CARIBOU COFFEE INC COM                    COMMON        142042209           630     48800 SH     SOLE        48800      0      0
CARLISLE COMPANIES INC                    COMMON        142339100        110518   2084454 SH     SOLE      1776209      0 308245
CARROLS RESTAURANT GROUP INCCO            COMMON        14574X104           219     36850 SH     SOLE        36850      0      0
CASCADE CORP                              COMMON        147195101         11226    238605 SH     SOLE       222095      0  16510
CATHAY GENERAL BANCORP                    COMMON        149150104          7519    455429 SH     SOLE       419645      0  35784
CBS CORP                                  COMMON        124857202         25808    787315 SH     SOLE       587265      0 200050
CEC ENTERTAINMENT INC                     COMMON        125137109         17864    491185 SH     SOLE       454020      0  37165
CELADON GROUP INC                         COMMON        150838100           826     50405 SH     SOLE        50405      0      0
CELANESE CORP                             COMMON        150870103          6078    175572 SH     SOLE       131351      0  44221
CF INDS HLDGS INC                         COMMON        125269100          7916     40859 SH     SOLE        30230      0  10629
CHECKPOINT SYSTEMS INC                    COMMON        162825103          7592    871617 SH     SOLE       806658      0  64959
CHESAPEAKE UTILS CORP                     COMMON        165303108           838     19175 SH     SOLE        19175      0      0
CHEVRON CORPORATION                       COMMON        166764100         44073    417749 SH     SOLE       342745      0  75004
CHICAGO BRIDGE & IRON CO N.V.             COMMON        167250109         38398   1011535 SH     SOLE       934776      0  76759
CHICOS FAS INC                            COMMON        168615102         14794    996885 SH     SOLE       926515      0  70370
CHUBB CORP                                COMMON        171232101         22735    312215 SH     SOLE       231397      0  80818
CINCINNATI BELL INC                       COMMON        171871106            56     14950 SH     SOLE        14950      0      0
CLIFFS NATURAL RESOURCES INC              COMMON        18683K101          6899    139962 SH     SOLE       104050      0  35912
COHU INC COM                              COMMON        192576106           435     42825 SH     SOLE        42825      0      0
COLE KENNETH PRODTNS INC                  COMMON        193294105           827     54935 SH     SOLE        54935      0      0
COLONY FINL INC                           COMMON        19624R106           943     54537 SH     SOLE        51618      0   2919
COLUMBUS MCKINNON CORP                    COMMON        199333105           810     53700 SH     SOLE        53700      0      0
COMMERCE BANCSHARES INC                   COMMON        200525103          4760    125591 SH     SOLE       116500      0   9091
COMMUNITY TRUST BANCORP INC               COMMON        204149108           914     27291 SH     SOLE        27291      0      0
COMPUTER SCIENCES CORP                    COMMON        205363104         82574   3326899 SH     SOLE      2726313      0 600586
COMPUTER TASK GROUP INC                   COMMON        205477102           454     30300 SH     SOLE        30300      0      0
COMSTOCK RESOURCES INC                    COMMON        205768203         15883    967267 SH     SOLE       893455      0  73812
COMTECH TELECOMMUNICATIONS                COMMON        205826209         44834   1568723 SH     SOLE      1321075      0 247648
CONOCOPHILLIPS                            COMMON        20825C104         21302    381209 SH     SOLE       284510      0  96699
CONVERGYS CORP                            COMMON        212485106         59304   4015154 SH     SOLE      3399849      0 615305
CORE MARK HOLDING CO INC COM              COMMON        218681104           452      9383 SH     SOLE         9383      0      0
COVANCE INC                               COMMON        222816100         23818    497768 SH     SOLE       460008      0  37760
COVANTA HLDG CORP COM                     COMMON        22282E102           244     14200 SH     SOLE        14200      0      0
COVENTRY HEALTH CARE INC COM              COMMON        222862104           232      7300 SH     SOLE         7300      0      0
CRA INTL INC                              COMMON        12618T105          4372    297637 SH     SOLE       279820      0  17817
CRANE CO                                  COMMON        224399105           255      7000 SH     SOLE         7000      0      0
CROSS CTRY HEALTHCARE INC COM             COMMON        227483104           404     92400 SH     SOLE        92400      0      0
CTS CORP COM                              COMMON        126501105           808     85750 SH     SOLE        85750      0      0
CULLEN FROST BANKERS INC COM              COMMON        229899109           224      3900 SH     SOLE         3900      0      0
CUMMINS ENGINE INC                        COMMON        231021106         17963    185354 SH     SOLE       138452      0  46902
CVB FINANCIAL CORP                        COMMON        126600105         10232    878285 SH     SOLE       809939      0  68346
CYS INVESTMENTS INC                       COMMON        12673A108         14597   1060039 SH     SOLE       976457      0  83582
DANA HOLDING CORP                         COMMON        235825205         37315   2912975 SH     SOLE      2693745      0 219230
DARDEN RESTAURANTS INC                    COMMON        237194105         64082   1265687 SH     SOLE      1035132      0 230555
DATALINK CORP COM                         COMMON        237934104           771     80700 SH     SOLE        80700      0      0
DEAN FOODS CO NEW COM                     COMMON        242370104           196     11500 SH     SOLE        11500      0      0
DESTINATION MATERNITY CORP COM            COMMON        25065D100           632     29241 SH     SOLE        29241      0      0
DIGI INTL INC                             COMMON        253798102           830     81066 SH     SOLE        81066      0      0
DILLARDS INC                              COMMON        254067101         24272    381160 SH     SOLE       286460      0  94700
DISCOVER FINANCIAL SVCS                   COMMON        254709108         23863    690075 SH     SOLE       517150      0 172925
DOLLAR TREE INC                           COMMON        256746108         25789    479352 SH     SOLE       359904      0 119448
DOMINOS PIZZA INC COM                     COMMON        25754A201           223      7200 SH     SOLE         7200      0      0
DONNELLEY R R & SONS CO                   COMMON        257867101         77244   6562775 SH     SOLE      5316774      01246001
DOVER CORP                                COMMON        260003108         47931    894062 SH     SOLE       738272      0 155790
DOW CHEMICAL CORP                         COMMON        260543103          7206    228768 SH     SOLE       170933      0  57835
DSP GROUP INC                             COMMON        23332B106           615     97050 SH     SOLE        97050      0      0
DTE ENERGY CO                             COMMON        233331107         14786    249215 SH     SOLE       186315      0  62900
DUKE REALTY CORP                          COMMON        264411505         88856   6069378 SH     SOLE      4961065      01108313
DUPONT EI DE NEMOURS CO                   COMMON        263534109          7278    143918 SH     SOLE       107745      0  36173
DYNAMIC MATLS CORP                        COMMON        267888105           202     11650 SH     SOLE        11650      0      0
EAGLE BANCORP INC                         COMMON        268948106           202     12800 SH     SOLE        12800      0      0
EASTMAN CHEM CO                           COMMON        277432100          7380    146511 SH     SOLE       109195      0  37316
EATON CORP                                COMMON        278058102         18597    469267 SH     SOLE       350331      0 118936
EBIX INC                                  COMMON        278715206         30320   1519810 SH     SOLE      1407178      0 112632
EDISON INTL                               COMMON        281020107         21393    463047 SH     SOLE       364925      0  98122
EINSTEIN NOAH REST GROUP INCCO            COMMON        28257U104           640     36450 SH     SOLE        36450      0      0
EL PASO ELECTRIC CO                       COMMON        283677854         29240    881798 SH     SOLE       815520      0  66278
EMCOR GROUP INC                           COMMON        29084Q100           232      8350 SH     SOLE         8350      0      0
ENCANA CORP                               COMMON        292505104         20235    971433 SH     SOLE       724945      0 246488
ENDURANCE SPECIALTY HLDGS LTD             COMMON        G30397106         24443    637855 SH     SOLE       588195      0  49660
ENERGEN CORP                              COMMON        29265N108         19300    427664 SH     SOLE       351731      0  75933
ENERSYS                                   COMMON        29275Y102         33595    957937 SH     SOLE       887834      0  70103
ENI SPA ADR                               COMMON        26874R108         20830    489878 SH     SOLE       365403      0 124475
ENNIS INC                                 COMMON        293389102           601     39100 SH     SOLE        39100      0      0
ENSIGN GROUP INC                          COMMON        29358P101         10419    368539 SH     SOLE       342349      0  26190
ENSTAR GROUP LIMITED                      COMMON        G3075P101          5166     52210 SH     SOLE        48500      0   3710
ENTERGY CORP                              COMMON        29364G103         15053    221730 SH     SOLE       165715      0  56015
ENTERTAINMENT PPTYS TRUST                 COMMON        29380T105         30774    748567 SH     SOLE       639342      0 109225
EPLUS INC COM                             COMMON        294268107           204      6300 SH     SOLE         6300      0      0
EQUITY LIFESTYLE PPTYS INC COM            COMMON        29472R108          8305    120410 SH     SOLE       111320      0   9090
EVEREST RE GROUP LTD                      COMMON        G3223R108           285      2750 SH     SOLE         2750      0      0
EXPONENT INC                              COMMON        30214U102           852     16130 SH     SOLE        16130      0      0
EXXON MOBIL CORP                          COMMON        30231G102         44020    514434 SH     SOLE       423064      0  91370
FAIR ISAAC CORP                           COMMON        303250104          9790    231542 SH     SOLE       214457      0  17085
FAMOUS DAVE'S OF AMERICA                  COMMON        307068106           204     18425 SH     SOLE        18425      0      0
FEDEX CORP                                COMMON        31428X106         13342    145635 SH     SOLE       136535      0   9100
FIESTA RESTAURANT GROUP INC CO            COMMON        31660B101           428     32350 SH     SOLE        32350      0      0
FIFTH THIRD BANCORP                       COMMON        316773100         21993   1641305 SH     SOLE      1220480      0 420825
FINANCIAL INSTNS INC                      COMMON        317585404           417     24675 SH     SOLE        24675      0      0
FIRST MERCHANTS CORP                      COMMON        320817109           621     49800 SH     SOLE        49800      0      0
FIRST MIDWEST BANCORP                     COMMON        320867104         17686   1610771 SH     SOLE      1491191      0 119580
FIRST NIAGARA FINL GP INC                 COMMON        33582V108         31773   4153366 SH     SOLE      3629041      0 524325
FIRSTENERGY CORP                          COMMON        337932107         14739    299627 SH     SOLE       223932      0  75695
FLUSHING FINANCIAL CORP                   COMMON        343873105          7953    583475 SH     SOLE       544725      0  38750
FNB CORP                                  COMMON        302520101         12080   1111287 SH     SOLE      1027707      0  83580
FOOT LOCKER INC                           COMMON        344849104         43347   1417490 SH     SOLE      1172655      0 244835
FOSTER L B CO                             COMMON        350060109           634     22150 SH     SOLE        22150      0      0
FRANKLIN RESOURCES INC                    COMMON        354613101         22405    201868 SH     SOLE       151385      0  50483
FRED'S INC                                COMMON        356108100           433     28350 SH     SOLE        28350      0      0
FULLER H B CO                             COMMON        359694106         18695    608969 SH     SOLE       562819      0  46150
FULTON FINANCIAL CORP                     COMMON        360271100         14249   1426357 SH     SOLE      1315522      0 110835
FURMANITE CORPORATION                     COMMON        361086101           638    131362 SH     SOLE       131362      0      0
G^K SERVICES INC                          COMMON        361268105          4461    143037 SH     SOLE       133437      0   9600
GANNETT INC                               COMMON        364730101           220     14950 SH     SOLE        14950      0      0
GAP INC.                                  COMMON        364760108         25882    945990 SH     SOLE       703715      0 242275
GARDNER DENVER MACHY INC COM              COMMON        365558105           397      7500 SH     SOLE         7500      0      0
GARTNER INC CL A                          COMMON        366651107           235      5450 SH     SOLE         5450      0      0
GENERAL CABLE CORP                        COMMON        369300108         38510   1484592 SH     SOLE      1377632      0 106960
GENERAL DYNAMICS CORP COM                 COMMON        369550108         10321    156480 SH     SOLE       145480      0  11000
GIBRALTAR INDUSTRIES INC                  COMMON        374689107           402     38775 SH     SOLE        38775      0      0
GLAXOSMITHKLINE PLC                       COMMON        37733W105          9123    200199 SH     SOLE       183774      0  16425
GLOBAL GEOPHYSICAL SVCS INC CO            COMMON        37946S107           209     34100 SH     SOLE        34100      0      0
GLOBAL PAYMENTS INC                       COMMON        37940X102         23810    550773 SH     SOLE       509264      0  41509
GLOBECOMM SYSTEMS INC COM                 COMMON        37956X103           802     79050 SH     SOLE        79050      0      0
GOLDMAN SACHS GROUP INC                   COMMON        38141G104         22055    230080 SH     SOLE       172299      0  57781
GP STRATEGIES CORP                        COMMON        36225V104           453     24549 SH     SOLE        24549      0      0
GRACO INC                                 COMMON        384109104         16454    357077 SH     SOLE       330177      0  26900
GREAT PLAINS ENERGY INC COM               COMMON        391164100         47341   2211140 SH     SOLE      1801170      0 409970
GREAT SOUTHERN BANCORP INC                COMMON        390905107           301     10900 SH     SOLE        10900      0      0
GREATBATCH INC                            COMMON        39153L106          7892    347525 SH     SOLE       321476      0  26049
GSI GROUP INC CDA NEW COM NEW             COMMON        36191C205           388     33900 SH     SOLE        33900      0      0
GULF ISLAND FABRICATION INC               COMMON        402307102           952     33741 SH     SOLE        33741      0      0
HACKETT GROUP INC                         COMMON        404609109           203     36400 SH     SOLE        36400      0      0
HANCOCK HLDG CO                           COMMON        410120109          3502    115040 SH     SOLE       106075      0   8965
HANGER INC                                COMMON        41043F208         20127    784970 SH     SOLE       726040      0  58930
HARLEY DAVIDSON INC                       COMMON        412822108          9704    212195 SH     SOLE       189895      0  22300
HARRIS TEETER SUPERMARKETS INC            COMMON        414585109         39667    967727 SH     SOLE       801430      0 166297
HARSCO CORP                               COMMON        415864107         30891   1515764 SH     SOLE      1402973      0 112791
HARTFORD FINANCIAL SVCS GROUP             COMMON        416515104         22984   1303697 SH     SOLE       970970      0 332727
HASBRO INC                                COMMON        418056107           285      8400 SH     SOLE         8400      0      0
HAVERTY FURNITURE COS INC COM             COMMON        419596101           386     34550 SH     SOLE        34550      0      0
HCA HOLDINGS INC COM                      COMMON        40412C101         53071   1744045 SH     SOLE      1406095      0 337950
HCC INSURANCE HLDGS INC                   COMMON        404132102         74414   2369882 SH     SOLE      1968432      0 401450
HEALTH CARE REIT INC                      COMMON        42217K106         46394    795789 SH     SOLE       647603      0 148186
HEALTH MGMT ASSOC INC                     COMMON        421933102          7692    979853 SH     SOLE       905161      0  74692
HEARTLAND FINL USA INC                    COMMON        42234Q102           233      9725 SH     SOLE         9725      0      0
HEIDRICK & STRUGGLES INTL INCO            COMMON        422819102           429     24500 SH     SOLE        24500      0      0
HELMERICH & PAYNE INC                     COMMON        423452101         18160    417670 SH     SOLE       312745      0 104925
HEWLETT PACKARD CO                        COMMON        428236103         11864    589970 SH     SOLE       524564      0  65406
HILL-ROM HOLDINGS INC                     COMMON        431475102         10579    342907 SH     SOLE       317196      0  25711
HILLSHIRE BRANDS CO COM                   COMMON        432589109         12658    436644 SH     SOLE       356251      0  80393
HOME DEPOT INC COM                        COMMON        437076102         27123    511850 SH     SOLE       383075      0 128775
HONEYWELL INTL INC                        COMMON        438516106         17041    305170 SH     SOLE       269170      0  36000
HOOKER FURNITURE CORP                     COMMON        439038100           415     35185 SH     SOLE        35185      0      0
HOT TOPIC INC COM                         COMMON        441339108           115     11850 SH     SOLE        11850      0      0
HUMANA INC                                COMMON        444859102         30684    396235 SH     SOLE       296315      0  99920
HURCO COMPANIES INC                       COMMON        447324104           827     40350 SH     SOLE        40350      0      0
I B M                                     COMMON        459200101         62241    318240 SH     SOLE       251084      0  67156
IAC INTERACTIVECORP                       COMMON        44919P508         25046    549260 SH     SOLE       410310      0 138950
IDT CORP CL B NEW                         COMMON        448947507           452     46100 SH     SOLE        46100      0      0
IMATION CORP                              COMMON        45245A107           100     16850 SH     SOLE        16850      0      0
INGREDION INC COM                         COMMON        457187102          6857    138460 SH     SOLE       103305      0  35155
INSIGHT ENTERPRISES INC                   COMMON        45765U103         14000    831855 SH     SOLE       771160      0  60695
INTEGRATED DEVICE TECHNOLOGYCO            COMMON        458118106         32513   5785301 SH     SOLE      5358704      0 426597
INTEL CORP                                COMMON        458140100         67270   2524187 SH     SOLE      2012537      0 511650
INTER PARFUMS INC                         COMMON        458334109           651     37697 SH     SOLE        37697      0      0
INTERNATIONAL PAPER CO                    COMMON        460146103          6697    231657 SH     SOLE       174155      0  57502
INTERPUBLIC GROUP COS INC                 COMMON        460690100           292     26950 SH     SOLE        26950      0      0
INTUIT INC.                               COMMON        461202103         47021    792268 SH     SOLE       591805      0 200463
ITRON INC COM                             COMMON        465741106           221      5350 SH     SOLE         5350      0      0
IXYS CORP                                 COMMON        46600W106           777     69712 SH     SOLE        69712      0      0
J P MORGAN CHASE & CO                     COMMON        46625H100         39427   1103477 SH     SOLE       887123      0 216354
JMP GROUP INC                             COMMON        46629U107           228     36900 SH     SOLE        36900      0      0
JOHNSON & JOHNSON                         COMMON        478160104         51993    769585 SH     SOLE       616200      0 153385
JOHNSON CONTROLS INC                      COMMON        478366107         17498    631475 SH     SOLE       473238      0 158237
JOHNSON OUTDOORS INC CL A                 COMMON        479167108           241     11675 SH     SOLE        11675      0      0
JOURNAL COMMUNICATIONS INC CL             COMMON        481130102            57     11000 SH     SOLE        11000      0      0
KBR INC                                   COMMON        48242W106         17501    708236 SH     SOLE       529940      0 178296
KENNAMETAL INC                            COMMON        489170100         16081    485105 SH     SOLE       448455      0  36650
KEYCORP                                   COMMON        493267108         23306   3011083 SH     SOLE      2248913      0 762170
KIMBALL INTL INC                          COMMON        494274103           208     27000 SH     SOLE        27000      0      0
KIMBERLY CLARK CORP                       COMMON        494368103         52378    625257 SH     SOLE       500332      0 124925
KITE RLTY GROUP TR                        COMMON        49803T102           423     84750 SH     SOLE        84750      0      0
KRAFT FOODS INC                           COMMON        50075N104          9269    239995 SH     SOLE       213995      0  26000
LAKELAND FINANCIAL CORP                   COMMON        511656100          7316    272662 SH     SOLE       254291      0  18371
LANDEC CORP                               COMMON        514766104           437     51100 SH     SOLE        51100      0      0
LA-Z-BOY INC                              COMMON        505336107          7987    649904 SH     SOLE       601000      0  48904
LEAP WIRELESS INTL INC COM NEW            COMMON        521863308            72     11150 SH     SOLE        11150      0      0
LEGG MASON INC                            COMMON        524901105         19017    721150 SH     SOLE       646600      0  74550
LEGGETT & PLATT INC                       COMMON        524660107           238     11250 SH     SOLE        11250      0      0
LEXMARK INTL INC                          COMMON        529771107         11635    437722 SH     SOLE       406192      0  31530
LIFE TECHNOLOGIES CORP                    COMMON        53217V109         43147    959030 SH     SOLE       784425      0 174605
LIFE TIME FITNESS INC                     COMMON        53217R207          9437    202901 SH     SOLE       187818      0  15083
LIFETIME BRANDS INC                       COMMON        53222Q103           213     17050 SH     SOLE        17050      0      0
LILLY, ELI AND COMPANY                    COMMON        532457108         31621    736915 SH     SOLE       549665      0 187250
LINCOLN NATL CORP                         COMMON        534187109        131203   5999215 SH     SOLE      4906096      01093119
LMI AEROSPACE INC COM                     COMMON        502079106           410     23600 SH     SOLE        23600      0      0
LOCKHEED MARTIN CORP                      COMMON        539830109         11072    127150 SH     SOLE       118150      0   9000
LOWES COS INC                             COMMON        548661107         10058    353660 SH     SOLE       317685      0  35975
LTC PPTYS INC                             COMMON        502175102          3776    104089 SH     SOLE        96044      0   8045
LTX-CREDENCE CORP COM NEW                 COMMON        502403207           408     60900 SH     SOLE        60900      0      0
M & T BK CORP                             COMMON        55261F104         42876    519265 SH     SOLE       423020      0  96245
MACK-CALI REALTY CORP                     COMMON        554489104          5065    174230 SH     SOLE       160795      0  13435
MACY'S INC                                COMMON        55616P104         23265    677298 SH     SOLE       505170      0 172128
MAIDEN HOLDINGS LTD                       COMMON        G5753U112            92     10650 SH     SOLE        10650      0      0
MARCUS CORP                               COMMON        566330106           785     57075 SH     SOLE        57075      0      0
MARLIN BUSINESS SVCS CORP COM             COMMON        571157106           228     13900 SH     SOLE        13900      0      0
MARTEN TRANS LTD                          COMMON        573075108           629     29575 SH     SOLE        29575      0      0
MATERION CORPORATION                      COMMON        576690101           848     36825 SH     SOLE        36825      0      0
MB FINANCIAL INC                          COMMON        55264U108         10092    468545 SH     SOLE       434739      0  33806
MCDERMOTT INTL INC COM                    COMMON        580037109           174     15650 SH     SOLE        15650      0      0
MCKESSON CORPORATION                      COMMON        58155Q103         33975    362400 SH     SOLE       269100      0  93300
MEADOWBROOK INSURANCE GROUP               COMMON        58319P108           413     46983 SH     SOLE        46983      0      0
MEDTOX SCIENTIFIC INC                     COMMON        584977201           207      7675 SH     SOLE         7675      0      0
MERCK & COMPANY                           COMMON        58933Y105         23169    554950 SH     SOLE       489800      0  65150
METHODE ELECTRONICS                       COMMON        591520200           829     97368 SH     SOLE        97368      0      0
METLIFE INC                               COMMON        59156R108         36348   1178226 SH     SOLE       952132      0 226094
MET-PRO CORP                              COMMON        590876306           638     69277 SH     SOLE        69277      0      0
METROPOLITAN HEALTH NETWORKS              COMMON        592142103           619     64665 SH     SOLE        64665      0      0
MFA FINANCIAL INC                         COMMON        55272X102         31519   3994746 SH     SOLE      3391166      0 603580
MICROSOFT                                 COMMON        594918104         47880   1565225 SH     SOLE      1169850      0 395375
MILLER INDS INC TENN                      COMMON        600551204           626     39275 SH     SOLE        39275      0      0
MINERALS TECHNOLOGIES INC                 COMMON        603158106         14758    231385 SH     SOLE       214245      0  17140
MISSION WEST PPTYS INC                    COMMON        605203108           205     23794 SH     SOLE        23794      0      0
MITCHAM INDS INC COM                      COMMON        606501104           616     36300 SH     SOLE        36300      0      0
MOOG INC                                  COMMON        615394202         18308    442750 SH     SOLE       409013      0  33737
MOVADO GROUP INC COM                      COMMON        624580106           393     15725 SH     SOLE        15725      0      0
MULTI COLOR CORP                          COMMON        625383104           419     18825 SH     SOLE        18825      0      0
MULTIMEDIA GAMES HLDG CO INCCO            COMMON        625453105           431     30800 SH     SOLE        30800      0      0
MURPHY OIL CORP                           COMMON        626717102         43337    861745 SH     SOLE       700845      0 160900
MYERS INDUSTRIES INC                      COMMON        628464109          7506    437390 SH     SOLE       408760      0  28630
NABORS INDUSTRIES LTD                     COMMON        G6359F103         19907   1382452 SH     SOLE      1030208      0 352244
NASH FINCH CO                             COMMON        631158102           436     20300 SH     SOLE        20300      0      0
NATIONAL BANKSHARES INC                   COMMON        634865109           630     20900 SH     SOLE        20900      0      0
NATIONAL PENN BANCSHARES                  COMMON        637138108          5813    609048 SH     SOLE       562628      0  46420
NATIONAL-OILWELL VARCO, INC               COMMON        637071101         18701    290205 SH     SOLE       216740      0  73465
NATURAL GAS SERVICES GROUP COM            COMMON        63886Q109           456     30800 SH     SOLE        30800      0      0
NAVIGANT CONSULTING INC                   COMMON        63935N107         16140   1276925 SH     SOLE      1180972      0  95953
NAVISTAR INTL CORP                        COMMON        63934E108         18579    654889 SH     SOLE       487980      0 166909
NEW YORK TIMES CO                         COMMON        650111107            89     11400 SH     SOLE        11400      0      0
NEWPARK RES INC                           COMMON        651718504            81     13650 SH     SOLE        13650      0      0
NII HOLDINGS INC                          COMMON        62913F201         11829   1156346 SH     SOLE       863810      0 292536
NN INC                                    COMMON        629337106           434     42550 SH     SOLE        42550      0      0
NORDSTROM INC                             COMMON        655664100         10772    216780 SH     SOLE       190830      0  25950
NORTHROP GRUMMAN CORP                     COMMON        666807102         79355   1244000 SH     SOLE       988722      0 255278
NRG ENERGY INC                            COMMON        629377508         16078    926156 SH     SOLE       690663      0 235493
NUCOR CORP                                COMMON        670346105          7322    193195 SH     SOLE       143695      0  49500
NV ENERGY INC                             COMMON        67073Y106         15627    888903 SH     SOLE       670330      0 218573
OCCIDENTAL PETROLEUM CORP                 COMMON        674599105         20392    237750 SH     SOLE       176980      0  60770
OCEANFIRST FINL CORP                      COMMON        675234108           485     33750 SH     SOLE        33750      0      0
OLD DOMINION FREIGHT LINES                COMMON        679580100         15683    362280 SH     SOLE       334460      0  27820
OMEGA HEALTHCARE INVS INC                 COMMON        681936100         15622    694320 SH     SOLE       641005      0  53315
OMEGA PROTEIN CORP                        COMMON        68210P107           435     59125 SH     SOLE        59125      0      0
OMNICARE INC                              COMMON        681904108           225      7200 SH     SOLE         7200      0      0
OSHKOSH CORP                              COMMON        688239201           268     12800 SH     SOLE        12800      0      0
OXFORD INDUSTRIES INC                     COMMON        691497309          9655    215986 SH     SOLE       200109      0  15877
OYO GEOSPACE CORP                         COMMON        671074102           205      2275 SH     SOLE         2275      0      0
PANHANDLE OIL AND GAS INC                 COMMON        698477106           440     14600 SH     SOLE        14600      0      0
PANTRY INC                                COMMON        698657103         10607    721553 SH     SOLE       667903      0  53650
PAR PHARMACEUTICAL COS INC                COMMON        69888P106         11573    320225 SH     SOLE       296415      0  23810
PARAMETRIC TECHNOLOGY CORP                COMMON        699173209         15369    733246 SH     SOLE       678476      0  54770
PARKER DRILLING                           COMMON        701081101            69     15400 SH     SOLE        15400      0      0
PARKER HANNIFIN CORP                      COMMON        701094104         17569    228531 SH     SOLE       168810      0  59721
PARTNERRE LTD COM                         COMMON        G6852T105           299      3950 SH     SOLE         3950      0      0
PC CONNECTION                             COMMON        69318J100           454     42746 SH     SOLE        42746      0      0
PDL BIOPHARMA INC COM                     COMMON        69329Y104            96     14500 SH     SOLE        14500      0      0
PENFORD CORP                              COMMON        707051108           221     24600 SH     SOLE        24600      0      0
PEP BOYS MANNY MOE & JACK                 COMMON        713278109         12670   1279795 SH     SOLE      1183740      0  96055
PETSMART INC COM                          COMMON        716768106           389      5700 SH     SOLE         5700      0      0
PFIZER INC                                COMMON        717081103         32000   1391287 SH     SOLE      1038771      0 352516
PG^E CORP                                 COMMON        69331C108         67501   1491084 SH     SOLE      1216479      0 274605
PHH CORP                                  COMMON        693320202         19976   1142787 SH     SOLE       925702      0 217085
PIER 1 IMPORTS INC                        COMMON        720279108         14399    876356 SH     SOLE       809815      0  66541
PIKE ELEC CORP                            COMMON        721283109           417     54050 SH     SOLE        54050      0      0
PINNACLE WEST CAPITAL CORP                COMMON        723484101         81901   1582941 SH     SOLE      1273371      0 309570
PIPER JAFFRAY COS                         COMMON        724078100           347     14824 SH     SOLE        14824      0      0
PITNEY BOWES INC                          COMMON        724479100         19501   1302689 SH     SOLE       976129      0 326560
PLANTRONICS INC NEW COM                   COMMON        727493108         10036    300483 SH     SOLE       277908      0  22575
PLATINUM UNDERWRITERS HLDGS               COMMON        G7127P100         10010    262728 SH     SOLE       243278      0  19450
PNM RES INC COM                           COMMON        69349H107           197     10100 SH     SOLE        10100      0      0
POLARIS INDS INC                          COMMON        731068102         23383    327130 SH     SOLE       244980      0  82150
PORTLAND GEN ELEC CO COM NEW              COMMON        736508847           223      8350 SH     SOLE         8350      0      0
PPG INDUSTRIES INC                        COMMON        693506107          7387     69606 SH     SOLE        52156      0  17450
PREMIERE GLOBAL SVCS INC COM              COMMON        740585104           867    103350 SH     SOLE       103350      0      0
PRINCIPAL FINANCIAL GROUP INC             COMMON        74251V102         24186    922060 SH     SOLE       685335      0 236725
PROGENICS PHARMACEUTICALS INCO            COMMON        743187106           516     52750 SH     SOLE        52750      0      0
PROGRESS SOFTWARE CORP                    COMMON        743312100         12593    603380 SH     SOLE       558307      0  45073
PROSPERITY BANCSHARES INC                 COMMON        743606105         14557    346346 SH     SOLE       320163      0  26183
PRUDENTIAL FINANCIAL INC                  COMMON        744320102         22946    473801 SH     SOLE       353366      0 120435
PUBLIC SVC ENTERPRISES                    COMMON        744573106         14783    454860 SH     SOLE       341785      0 113075
PVH CORP                                  COMMON        693656100         25080    322410 SH     SOLE       241410      0  81000
QEP RESOURCES INC.                        COMMON        74733V100         39714   1325114 SH     SOLE      1125489      0 199625
QUICKSILVER RESOURCES INC COM             COMMON        74837R104            63     11600 SH     SOLE        11600      0      0
RADISYS CORP                              COMMON        750459109           394     62775 SH     SOLE        62775      0      0
RAMCO-GERSHENSON PPTYS TRUST              COMMON        751452202           641     51000 SH     SOLE        51000      0      0
RED ROBIN GOURMET BURGERS INCO            COMMON        75689M101           790     25900 SH     SOLE        25900      0      0
REGAL ENTMT GROUP                         COMMON        758766109           143     10400 SH     SOLE        10400      0      0
REGIONS FINANCIAL CORP NEW COM            COMMON        7591EP100         23780   3522905 SH     SOLE      2630655      0 892250
REGIS CORP                                COMMON        758932107          9965    554854 SH     SOLE       513859      0  40995
REINSURANCE GROUP AMERICA                 COMMON        759351604         14021    263505 SH     SOLE       242910      0  20595
RELIANCE STEEL & ALUMINUM CO              COMMON        759509102          7542    149340 SH     SOLE       112592      0  36748
RENAISSANCERE HLDGS LTD                   COMMON        G7496G103           281      3700 SH     SOLE         3700      0      0
REPUBLIC SVCS INC                         COMMON        760759100          7896    298417 SH     SOLE       267401      0  31016
ROCKY BRANDS INC                          COMMON        774515100           203     15425 SH     SOLE        15425      0      0
ROSS STORES INC                           COMMON        778296103         24865    398039 SH     SOLE       298027      0 100012
ROYAL DUTCH SHELL PLC                     COMMON        780259206         42961    637123 SH     SOLE       517923      0 119200
RTI BIOLOGICS INC COM                     COMMON        74975N105           483    128350 SH     SOLE       128350      0      0
RUBY TUESDAY INC                          COMMON        781182100         12786   1877605 SH     SOLE      1736035      0 141570
RYDER SYSTEM INC                          COMMON        783549108         14378    399290 SH     SOLE       368455      0  30835
S^T BANCORP INC                           COMMON        783859101          8458    457931 SH     SOLE       423941      0  33990
S.Y. BANCORP INC                          COMMON        785060104          5842    243914 SH     SOLE       227837      0  16077
SAFEWAY INC                               COMMON        786514208         30531   1682175 SH     SOLE      1263100      0 419075
SAGA COMMUNICATIONS INC                   COMMON        786598300           217      5850 SH     SOLE         5850      0      0
SAIA INC                                  COMMON        78709Y105           826     37716 SH     SOLE        37716      0      0
SANMINA SCI CORP COM NEW                  COMMON        800907206           146     17850 SH     SOLE        17850      0      0
SANOFI-AVENTIS                            COMMON        80105N105         41361   1094788 SH     SOLE       857490      0 237298
SAP AG ADR                                COMMON        803054204         48046    809395 SH     SOLE       603800      0 205595
SEACOR HOLDINGS INC                       COMMON        811904101         41340    462525 SH     SOLE       381375      0  81150
SEACUBE CONTAINER LEASING LTSH            COMMON        G79978105          1014     59400 SH     SOLE        59400      0      0
SELECT MED HLDGS CORP COM                 COMMON        81619Q105           102     10100 SH     SOLE        10100      0      0
SHENANDOAH TELECOMMUNICATIONCO            COMMON        82312B106           431     31700 SH     SOLE        31700      0      0
SIERRA WIRELESS INC                       COMMON        826516106           792     87763 SH     SOLE        87763      0      0
SIGNET JEWELERS LIMITED                   COMMON        G81276100         18495    420235 SH     SOLE       388306      0  31929
SLM CORP                                  COMMON        78442P106         23733   1510665 SH     SOLE      1124315      0 386350
SMART BALANCE INC                         COMMON        83169Y108           229     24350 SH     SOLE        24350      0      0
SONOCO PRODUCTS                           COMMON        835495102         61581   2042482 SH     SOLE      1665808      0 376674
SOUTHSIDE BANCSHARES INC COM              COMMON        84470P109           721     32058 SH     SOLE        32058      0      0
SPANSION INC COM CL A NEW                 COMMON        84649R200           126     11500 SH     SOLE        11500      0      0
SPARTAN STORES INC                        COMMON        846822104         15312    844568 SH     SOLE       782623      0  61945
SPARTECH CORP COM NEW                     COMMON        847220209           452     87450 SH     SOLE        87450      0      0
SPRINT CORP COM                           COMMON        852061100           190     58250 SH     SOLE        58250      0      0
STAG INDL INC COM                         COMMON        85254J102           731     50124 SH     SOLE        46956      0   3168
STANDARD MTR PRODS INC                    COMMON        853666105           922     65500 SH     SOLE        65500      0      0
STANDARD PARKING CORP                     COMMON        853790103           661     30721 SH     SOLE        30721      0      0
STANDEX INTL CORP                         COMMON        854231107         25509    599215 SH     SOLE       553614      0  45601
STEEL DYNAMICS INC                        COMMON        858119100          7354    627495 SH     SOLE       469220      0 158275
STEELCASE INC                             COMMON        858155203         67147   7436018 SH     SOLE      6290998      01145020
STEINWAY MUSICAL INSTRS INC OR            COMMON        858495104           412     16800 SH     SOLE        16800      0      0
STERIS CORP                               COMMON        859152100         13230    421755 SH     SOLE       389175      0  32580
STIFEL FINL CORP                          COMMON        860630102         10260    332034 SH     SOLE       306049      0  25985
SUPERVALU INC COM                         COMMON        868536103           242     46700 SH     SOLE        46700      0      0
SURMODICS INC COM                         COMMON        868873100           433     25000 SH     SOLE        25000      0      0
SUSSER HOLDINGS CORP                      COMMON        869233106           443     11928 SH     SOLE        11928      0      0
SYKES ENTERPRISES INC                     COMMON        871237103         12852    807311 SH     SOLE       746729      0  60582
SYMETRA FINL CORP COM                     COMMON        87151Q106           126     10000 SH     SOLE        10000      0      0
SYMMETRICOM INC                           COMMON        871543104           421     70229 SH     SOLE        70229      0      0
SYNERGETICS USA INC                       COMMON        87160G107           434     97400 SH     SOLE        97400      0      0
TALISMAN ENERGY INC                       COMMON        87425E103         21751   1897961 SH     SOLE      1413465      0 484496
TCF FINANCIAL CORP                        COMMON        872275102         69876   6086718 SH     SOLE      5245778      0 840940
TECHTARGET INC COM                        COMMON        87874R100           195     38700 SH     SOLE        38700      0      0
TECK RESOURCES LTD                        COMMON        878742204          7019    226874 SH     SOLE       169265      0  57609
TECO ENERGY INC                           COMMON        872375100         15231    843373 SH     SOLE       633130      0 210243
TERRITORIAL BANCORP INC                   COMMON        88145X108           425     18675 SH     SOLE        18675      0      0
TETRA TECHNOLOGIES INC                    COMMON        88162F105            81     11400 SH     SOLE        11400      0      0
TGC INDUSTRIES INC                        COMMON        872417308           212     21787 SH     SOLE        21787      0      0
TIDEWATER INC                             COMMON        886423102         21876    471871 SH     SOLE       436395      0  35476
TIME WARNER INC                           COMMON        887317303         10028    260461 SH     SOLE       245728      0  14733
TIMKEN CO                                 COMMON        887389104         19827    433003 SH     SOLE       322853      0 110150
TOMPKINS TRUSTCO INC                      COMMON        890110109          3803    100936 SH     SOLE        93416      0   7520
TORCHMARK CORP COM                        COMMON        891027104           311      6150 SH     SOLE         6150      0      0
TOTAL SA                                  COMMON        89151E109         20366    453082 SH     SOLE       337422      0 115660
TOTAL SYS SVCS INC COM                    COMMON        891906109           256     10700 SH     SOLE        10700      0      0
TOWER INTL INC COM                        COMMON        891826109           186     17700 SH     SOLE        17700      0      0
TRACTOR SUPPLY CO                         COMMON        892356106         23014    277073 SH     SOLE       207560      0  69513
TRANSDIGM GROUP INC                       COMMON        893641100         88583    659590 SH     SOLE       538943      0 120647
TRANSOCEAN LTD                            COMMON        H8817H100         20137    450185 SH     SOLE       334635      0 115550
TRAVELERS COMPANIES INC                   COMMON        89417E109         22813    357354 SH     SOLE       267209      0  90145
TRW AUTOMOTIVE HLDGS CORP                 COMMON        87264S106         17674    480786 SH     SOLE       359525      0 121261
TWO HARBORS INVT CORP                     COMMON        90187B101         14683   1417230 SH     SOLE      1305255      0 111975
TYCO INTERNATIONAL LTD                    COMMON        H89128104         17638    333740 SH     SOLE       291615      0  42125
TYSON FOODS INC CL A                      COMMON        902494103           209     11100 SH     SOLE        11100      0      0
U S AIRWAYS GROUP INC                     COMMON        90341W108         39730   2980531 SH     SOLE      2755933      0 224598
U S HOME SYS INC COM                      COMMON        90335C100           212     20900 SH     SOLE        20900      0      0
UFP TECHNOLOGIES INC COM                  COMMON        902673102           207     12225 SH     SOLE        12225      0      0
UGI CORP                                  COMMON        902681105         23400    795124 SH     SOLE       648644      0 146480
UNITED BANKSHARES INC                     COMMON        909907107          6695    258679 SH     SOLE       239734      0  18945
UNITED FINANCIAL BANCORP                  COMMON        91030T109           418     29050 SH     SOLE        29050      0      0
UNITED STATIONERS INC                     COMMON        913004107         30406   1128247 SH     SOLE      1041569      0  86678
UNITEDHEALTH GROUP INC                    COMMON        91324P102         42858    732607 SH     SOLE       577310      0 155297
UNIVERSAL STAINLESS & ALLOY CO            COMMON        913837100           399      9700 SH     SOLE         9700      0      0
UNIVERSAL TRUCKLOAD SVCS INCCO            COMMON        91388P105           432     28586 SH     SOLE        28586      0      0
UNS ENERGY CORPORATION COM                COMMON        903119105          9935    258661 SH     SOLE       239261      0  19400
UNUMPROVIDENT CORP                        COMMON        91529Y106         21304   1113630 SH     SOLE       831155      0 282475
URS CORP                                  COMMON        903236107        108213   3102450 SH     SOLE      2678921      0 423529
URSTADT BIDDLE PPTYS INC                  COMMON        917286205           422     21350 SH     SOLE        21350      0      0
US ECOLOGY INC                            COMMON        91732J102           765     43121 SH     SOLE        43121      0      0
US PHYSICAL THERAPY INC                   COMMON        90337L108           858     33726 SH     SOLE        33726      0      0
V.F. CORP                                 COMMON        918204108         58611    439200 SH     SOLE       361315      0  77885
VALASSIS COMMUNICATIONS INC               COMMON        918866104         11049    508008 SH     SOLE       469665      0  38343
VALERO ENERGY CORP                        COMMON        91913Y100         21067    872337 SH     SOLE       650945      0 221392
VALIDUS HOLDINGS LTD COM SHS              COMMON        G9319H102           245      7650 SH     SOLE         7650      0      0
VALLEY NATL BANCORP                       COMMON        919794107          7244    683379 SH     SOLE       632296      0  51083
VECTREN CORP                              COMMON        92240G101         22876    774929 SH     SOLE       715869      0  59060
VIAD CORP                                 COMMON        92552R406          9787    489346 SH     SOLE       453578      0  35768
VIRGINIA COMM BANCORP INC COM             COMMON        92778Q109           166     19645 SH     SOLE        19645      0      0
VIRTUSA CORP                              COMMON        92827P102           726     54375 SH     SOLE        54375      0      0
VISHAY PRECISION GROUP INC COM            COMMON        92835K103           399     28600 SH     SOLE        28600      0      0
WADDELL & REED FINL INC                   COMMON        930059100         18327    605267 SH     SOLE       559663      0  45604
WALGREEN COMPANY                          COMMON        931422109         10624    359155 SH     SOLE       318355      0  40800
WALKER & DUNLOP INC COM                   COMMON        93148P102           523     40704 SH     SOLE        40704      0      0
WAL-MART STORES INC                       COMMON        931142103         16877    242063 SH     SOLE       224988      0  17075
WASHINGTON TRUST BANCORP                  COMMON        940610108           692     28375 SH     SOLE        28375      0      0
WATTS WATER TECHNOLOGIES INCCL            COMMON        942749102           205      6150 SH     SOLE         6150      0      0
WELLPOINT INC                             COMMON        94973V107         29029    455068 SH     SOLE       339670      0 115398
WERNER ENTERPRISES INC                    COMMON        950755108         71926   3010736 SH     SOLE      2528731      0 482005
WESCO INTL INC                            COMMON        95082P105           368      6400 SH     SOLE         6400      0      0
WEST BANCORPORATION INC                   COMMON        95123P106           208     21825 SH     SOLE        21825      0      0
WEST MARINE INC                           COMMON        954235107           436     37100 SH     SOLE        37100      0      0
WESTAMERICA BANCORP                       COMMON        957090103          2935     62204 SH     SOLE        57795      0   4409
WESTERN UNION CO                          COMMON        959802109         31039   1843189 SH     SOLE      1380320      0 462869
WSFS FINANCIAL CORP                       COMMON        929328102          4786    118430 SH     SOLE       109555      0   8875
WYNDHAM WORLDWIDE CORP                    COMMON        98310W108         99573   1888001 SH     SOLE      1495644      0 392357
YOUNG INNOVATIONS INC                     COMMON        987520103           435     12601 SH     SOLE        12601      0      0
ZIMMER HLDGS INC                          COMMON        98956P102         33705    523700 SH     SOLE       390450      0 133250

LINE COUNT: 495                                                    $        7,488,436