WEDGE Capital Management L

WEDGE Capital Management L as of March 31, 2013

Portfolio Holdings for WEDGE Capital Management L

WEDGE Capital Management L holds 0 positions in its portfolio as reported in the March 2013 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}
1 800 FLOWERS COM                      COMMON     68243Q106        345   69450 SH     SOLE        69450      0      0
3M CO                                  COMMON     88579Y101      53791  505981 SH     SOLE       394756      0 111225
AARON'S INC                            COMMON     002535300      14329  499620 SH     SOLE       462586      0  37034
ABB LTD SPONSORED ADR                  COMMON     000375204      32824 1442195 SH     SOLE      1091970      0 350225
ABBVIE INC                             COMMON     00287Y109      37114  910110 SH     SOLE       685605      0 224505
ACCENTURE PLC                          COMMON     G1151C101      43622  574195 SH     SOLE       433170      0 141025
ACCESS NATL CORP                       COMMON     004337101        238   14500 SH     SOLE        14500      0      0
ACE LIMITED                            COMMON     H0023R105      26228  294798 SH     SOLE       222673      0  72125
ACETO CHEM INC                         COMMON     004446100        677   61200 SH     SOLE        61200      0      0
ACTUATE CORP                           COMMON     00508B102        932  155188 SH     SOLE       155188      0      0
AEROPOSTALE                            COMMON     007865108      13325  979789 SH     SOLE       905525      0  74264
AETNA INC                              COMMON     00817Y108      36095  705950 SH     SOLE       532325      0 173625
AGILYSYS INC COM                       COMMON     00847J105        248   24900 SH     SOLE        24900      0      0
AGRIUM INC                             COMMON     008916108       8510   87280 SH     SOLE        66330      0  20950
AIR METHODS CORP                       COMMON     009128307      49076 1017332 SH     SOLE       937997      0  79335
AIR PRODS & CHEMS INC                  COMMON     009158106       8450   96997 SH     SOLE        72972      0  24025
ALAMO GROUP INC                        COMMON     011311107        867   22659 SH     SOLE        22659      0      0
ALBANY MOLECULAR RESEARCH INC          COMMON     012423109        228   21700 SH     SOLE        21700      0      0
ALBEMARLE CORP                         COMMON     012653101       8339  133385 SH     SOLE       101185      0  32200
ALICO LAND DEV CO                      COMMON     016230104        523   11300 SH     SOLE        11300      0      0
ALLIANCE DATA SYSTEMS CORP             COMMON     018581108      43946  271455 SH     SOLE       204230      0  67225
ALLIANT ENERGY CORP COM                COMMON     018802108        316    6300 SH     SOLE         6300      0      0
ALLSTATE CORP                          COMMON     020002101     132709 2704478 SH     SOLE      2179018      0 525460
ALPHA NATURAL RESOURCES INC CO         COMMON     02076X102         89   10850 SH     SOLE        10850      0      0
ALTERRA CAPITAL HOLDINGS LTD           COMMON     G0229R108      15761  500500 SH     SOLE       460140      0  40360
AMEREN CORP                            COMMON     023608102      18869  538800 SH     SOLE       410825      0 127975
AMERICAN EAGLE OUTFITTERS INCO         COMMON     02553E106        267   14300 SH     SOLE        14300      0      0
AMERICAN ELECTRIC POWER                COMMON     025537101      18046  371080 SH     SOLE       277230      0  93850
AMERICAN FINL GROUP INC OHIOCO         COMMON     025932104        230    4850 SH     SOLE         4850      0      0
AMERICAN GREETINGS CORP                COMMON     026375105      17266 1072437 SH     SOLE       991872      0  80565
AMERICAN SOFTWARE INC                  COMMON     029683109        642   77150 SH     SOLE        77150      0      0
AMERIPRISE FINANCIAL INC               COMMON     03076C106      27480  373119 SH     SOLE       281644      0  91475
AMERISAFE INC                          COMMON     03071H100       1296   36475 SH     SOLE        36475      0      0
AMERISOURCEBERGEN CORP                 COMMON     03073E105      40103  779457 SH     SOLE       588757      0 190700
AMGEN INC                              COMMON     031162100      40949  399468 SH     SOLE       300503      0  98965
AMN HEALTHCARE SERVICES INC CO         COMMON     001744101        839   53000 SH     SOLE        53000      0      0
AMPHENOL CORPORATION                   COMMON     032095101      44221  592372 SH     SOLE       445597      0 146775
ANAREN INC                             COMMON     032744104        879   45325 SH     SOLE        45325      0      0
ANIKA THERAPEUTICS INC                 COMMON     035255108        502   34600 SH     SOLE        34600      0      0
APACHE CORP                            COMMON     037411105      36381  471505 SH     SOLE       369705      0 101800
APPLIED INDL TECHNOLOGIES INCO         COMMON     03820C105        266    5900 SH     SOLE         5900      0      0
ARCHER DANIELS MIDLAND                 COMMON     039483102       8575  254237 SH     SOLE       191587      0  62650
ARGO GROUP INTL HLDGS LTD              COMMON     G0464B107      22785  550622 SH     SOLE       508452      0  42170
ASPEN INSURANCE HOLDINGS LTDSH         COMMON     G05384105      27047  701053 SH     SOLE       645798      0  55255
ASSOCIATED ESTATES RLTY CORPCO         COMMON     045604105      16742  898155 SH     SOLE       828030      0  70125
ASSURANT INC                           COMMON     04621X108      56680 1259271 SH     SOLE      1060391      0 198880
AUTODESK INC COM                       COMMON     052769106        256    6200 SH     SOLE         6200      0      0
AUTOLIV INC                            COMMON     052800109      33896  490245 SH     SOLE       373695      0 116550
AUTOMATIC DATA PROCESSING              COMMON     053015103       7950  122255 SH     SOLE       105580      0  16675
AXIALL CORP                            COMMON     05463D100       8019  129010 SH     SOLE       119145      0   9865
AXIS CAPITAL HOLDINGS                  COMMON     G0692U109        258    6200 SH     SOLE         6200      0      0
BALL CORP                              COMMON     058498106       8878  186590 SH     SOLE       140115      0  46475
BANCFIRST CORP                         COMMON     05945F103       3974   95300 SH     SOLE        88080      0   7220
BANK OF AMERICA CORP                   COMMON     060505104      14234 1168600 SH     SOLE      1009325      0 159275
BARRETT BUSINESS SERVICES INCO         COMMON     068463108        548   10400 SH     SOLE        10400      0      0
BBCN BANCORP INC                       COMMON     073295107      12389  948606 SH     SOLE       874794      0  73812
BEL FUSE INC                           COMMON     077347300       4279  274133 SH     SOLE       256683      0  17450
BELDEN INC                             COMMON     077454106      19521  377942 SH     SOLE       348272      0  29670
BEMIS INC                              COMMON     081437105      81886 2028897 SH     SOLE      1640727      0 388170
BERKSHIRE HATHAWAY INC                 COMMON     084670702      18954  181900 SH     SOLE       154900      0  27000
BERRY PETE CO                          COMMON     085789105      12170  262905 SH     SOLE       242935      0  19970
BEST BUY INC COM                       COMMON     086516101        295   13300 SH     SOLE        13300      0      0
BIG 5 SPORTING GOODS CORP COM          COMMON     08915P101        460   29500 SH     SOLE        29500      0      0
BIG LOTS INC                           COMMON     089302103      17316  490952 SH     SOLE       453502      0  37450
BIOMED REALTY TRUST INC                COMMON     09063H107      16710  773603 SH     SOLE       713984      0  59619
BLOCK H & R INC                        COMMON     093671105      40353 1371605 SH     SOLE      1045555      0 326050
BOEING CO                              COMMON     097023105      39449  459510 SH     SOLE       347185      0 112325
BOLT TECHNOLOGY CORP                   COMMON     097698104        248   14200 SH     SOLE        14200      0      0
BP plc ADR                             COMMON     055622104      37776  891998 SH     SOLE       712726      0 179272
BRAVO BRIO RESTAURANT GROUP CO         COMMON     10567B109       3048  192564 SH     SOLE       178137      0  14427
BRINKER INTL INC                       COMMON     109641100        218    5800 SH     SOLE         5800      0      0
BRISTOL MYERS SQUIBB CO                COMMON     110122108      39293  953940 SH     SOLE       718265      0 235675
BROOKFIELD RESIDENTIAL PPTYS           COMMON     11283W104      25183 1034640 SH     SOLE       944650      0  89990
BRUNSWICK CORP                         COMMON     117043109     106262 3105267 SH     SOLE      2489016      0 616251
BUCKEYE TECHNOLOGIES INC               COMMON     118255108      11767  392894 SH     SOLE       363089      0  29805
BUNGE LIMITED                          COMMON     G16962105       8469  114705 SH     SOLE        86680      0  28025
CA TECHNOLOGIES                        COMMON     12673P105      42405 1684088 SH     SOLE      1270745      0 413343
CABLEVISION SYS CORP                   COMMON     12686C109        203   13600 SH     SOLE        13600      0      0
CABOT CORP                             COMMON     127055101      20753  606799 SH     SOLE       560688      0  46111
CACI INTL INC                          COMMON     127190304      17070  294976 SH     SOLE       271926      0  23050
CAI INTERNATIONAL INC                  COMMON     12477X106       1560   54125 SH     SOLE        54125      0      0
CAL DIVE INTL INC                      COMMON     12802T101         68   37550 SH     SOLE        37550      0      0
CALLAWAY GOLF CO                       COMMON     131193104      15976 2413269 SH     SOLE      2229344      0 183925
CAMBREX CORP                           COMMON     132011107       7361  575561 SH     SOLE       526291      0  49270
CAPSTEAD MORTGAGE CORP                 COMMON     14067E506      42468 3312655 SH     SOLE      2794415      0 518240
CARDINAL FINANCIAL CORP                COMMON     14149F109       1011   55600 SH     SOLE        55600      0      0
CARDINAL HEALTH INC                    COMMON     14149Y108        691   16600 SH     SOLE        16600      0      0
CARLISLE COMPANIES INC                 COMMON     142339100     135059 1992309 SH     SOLE      1672664      0 319645
CATHAY GENERAL BANCORP                 COMMON     149150104       8958  445253 SH     SOLE       409469      0  35784
CBL & ASSOC PPTYS INC                  COMMON     124830100      24884 1054390 SH     SOLE       840585      0 213805
CBS CORP                               COMMON     124857202      35066  751030 SH     SOLE       565555      0 185475
CDI CORP                               COMMON     125071100        468   27200 SH     SOLE        27200      0      0
CEC ENTERTAINMENT INC                  COMMON     125137109      15883  484975 SH     SOLE       447810      0  37165
CECO ENVIRONMENTAL CORP                COMMON     125141101        248   19200 SH     SOLE        19200      0      0
CELADON GROUP INC                      COMMON     150838100        951   45605 SH     SOLE        45605      0      0
CELANESE CORP                          COMMON     150870103       8974  203721 SH     SOLE       153710      0  50011
CF INDS HLDGS INC                      COMMON     125269100       8450   44385 SH     SOLE        33535      0  10850
CHATHAM LODGING TRUST                  COMMON     16208T102       1231   69900 SH     SOLE        69900      0      0
CHECKPOINT SYSTEMS INC                 COMMON     162825103      10880  833091 SH     SOLE       768132      0  64959
CHESAPEAKE UTILS CORP                  COMMON     165303108        975   19875 SH     SOLE        19875      0      0
CHEVRON CORPORATION                    COMMON     166764100      37227  313302 SH     SOLE       249991      0  63311
CHICOS FAS INC                         COMMON     168615102      13318  792742 SH     SOLE       732812      0  59930
CHUBB CORP                             COMMON     171232101      26692  304947 SH     SOLE       230762      0  74185
CIGNA CORP                             COMMON     125509109       8460  135650 SH     SOLE       115950      0  19700
CITIGROUP INC                          COMMON     172967424      25150  568500 SH     SOLE       429200      0 139300
CITY NATL CORP                         COMMON     178566105      50802  862374 SH     SOLE       681506      0 180868
CLIFFS NATURAL RESOURCES INC           COMMON     18683K101       7252  381480 SH     SOLE       288590      0  92890
COLUMBUS MCKINNON CORP                 COMMON     199333105        893   46400 SH     SOLE        46400      0      0
COMCAST CORP                           COMMON     20030N101      34081  811830 SH     SOLE       612830      0 199000
COMFORT SYS USA INC                    COMMON     199908104        155   11000 SH     SOLE        11000      0      0
COMMERCE BANCSHARES INC                COMMON     200525103       5350  131030 SH     SOLE       121488      0   9542
COMMUNITY HEALTH SYS INC NEWCO         COMMON     203668108        329    6950 SH     SOLE         6950      0      0
COMMUNITY TRUST BANCORP INC            COMMON     204149108        936   27491 SH     SOLE        27491      0      0
COMPUTER SCIENCES CORP                 COMMON     205363104     112228 2279668 SH     SOLE      1844607      0 435061
COMPUTER TASK GROUP INC                COMMON     205477102        725   33900 SH     SOLE        33900      0      0
COMSTOCK RESOURCES INC                 COMMON     205768203      23536 1448352 SH     SOLE      1336145      0 112207
COMTECH TELECOMMUNICATIONS             COMMON     205826209      35076 1444658 SH     SOLE      1213734      0 230924
CONOCOPHILLIPS                         COMMON     20825C104      23484  390753 SH     SOLE       296675      0  94078
CONSOLIDATED GRAPHICS INC COM          COMMON     209341106        688   17600 SH     SOLE        17600      0      0
CONVERGYS CORP                         COMMON     212485106      65114 3823510 SH     SOLE      3161279      0 662231
CORE-MARK HOLDING CO INC               COMMON     218681104        759   14783 SH     SOLE        14783      0      0
COVANCE INC                            COMMON     222816100      36208  487189 SH     SOLE       449629      0  37560
CRA INTL INC                           COMMON     12618T105       6346  283703 SH     SOLE       266586      0  17117
CRANE CO                               COMMON     224399105        391    7000 SH     SOLE         7000      0      0
CROSS CTRY HEALTHCARE INC COM          COMMON     227483104        441   83100 SH     SOLE        83100      0      0
CTS CORP                               COMMON     126501105        953   91250 SH     SOLE        91250      0      0
CULP INC                               COMMON     230215105        204   12800 SH     SOLE        12800      0      0
CUMMINS ENGINE INC                     COMMON     231021106      35740  308607 SH     SOLE       232517      0  76090
CVB FINANCIAL CORP                     COMMON     126600105       9912  879526 SH     SOLE       811180      0  68346
CVS CORP                               COMMON     126650100      34806  632950 SH     SOLE       476600      0 156350
CYS INVESTMENTS INC                    COMMON     12673A108      17337 1476748 SH     SOLE      1359601      0 117147
DANA HOLDING CORP                      COMMON     235825205      55795 3129297 SH     SOLE      2891744      0 237553
DARDEN RESTAURANTS INC                 COMMON     237194105      83119 1608332 SH     SOLE      1280077      0 328255
DAWSON GEOPHYSICAL CO                  COMMON     239359102        765   25500 SH     SOLE        25500      0      0
DEAN FOODS CO NEW COM                  COMMON     242370104        183   10100 SH     SOLE        10100      0      0
DESTINATION MATERNITY CORP COM         COMMON     25065D100        925   39541 SH     SOLE        39541      0      0
DIAMOND HILL INVESTMENT GROUCO         COMMON     25264R207        451    5800 SH     SOLE         5800      0      0
DIAMOND OFFSHORE DRILLNG INCCO         COMMON     25271C102      25477  366255 SH     SOLE       276230      0  90025
DIGI INTL INC                          COMMON     253798102        392   43866 SH     SOLE        43866      0      0
DILLARDS INC                           COMMON     254067101        232    2950 SH     SOLE         2950      0      0
DISCOVER FINANCIAL SVCS                COMMON     254709108      27747  618810 SH     SOLE       466360      0 152450
DOVER CORP                             COMMON     260003108      59888  821732 SH     SOLE       659842      0 161890
DOW CHEMICAL CORP                      COMMON     260543103       8439  265043 SH     SOLE       199818      0  65225
DR PEPPER SNAPPLE GROUP INC CO         COMMON     26138E109      37387  796320 SH     SOLE       599595      0 196725
DSP GROUP INC                          COMMON     23332B106        250   31000 SH     SOLE        31000      0      0
DTE ENERGY CO                          COMMON     233331107      18794  275010 SH     SOLE       207985      0  67025
DUKE REALTY CORP                       COMMON     264411505     112895 6648728 SH     SOLE      5309020      01339708
DUPONT EI DE NEMOURS CO                COMMON     263534109       8741  177815 SH     SOLE       133305      0  44510
EAGLE BANCORP INC                      COMMON     268948106        659   30100 SH     SOLE        30100      0      0
EASTERN INS HLDGS INC                  COMMON     276534104        229   12200 SH     SOLE        12200      0      0
EASTMAN CHEM CO                        COMMON     277432100       8514  121860 SH     SOLE        92185      0  29675
EBIX INC                               COMMON     278715206      32892 2027852 SH     SOLE      1872630      0 155222
EDISON INTL                            COMMON     281020107      24290  482715 SH     SOLE       377915      0 104800
EINSTEIN NOAH REST GROUP INCCO         COMMON     28257U104       1025   69150 SH     SOLE        69150      0      0
EL PASO ELECTRIC CO                    COMMON     283677854      29641  880861 SH     SOLE       814583      0  66278
ELECTRO SCIENTIFIC INDUSTRIES          COMMON     285229100        684   61900 SH     SOLE        61900      0      0
EMC INS GROUP INC                      COMMON     268664109        245    9300 SH     SOLE         9300      0      0
EMCOR GROUP INC                        COMMON     29084Q100        354    8350 SH     SOLE         8350      0      0
ENDURANCE SPECIALTY HLDGS LTD          COMMON     G30397106      86874 1817060 SH     SOLE      1516495      0 300565
ENERGEN CORP                           COMMON     29265N108      23876  459074 SH     SOLE       372841      0  86233
ENERSYS                                COMMON     29275Y102      42785  938671 SH     SOLE       868568      0  70103
ENI SPA ADR                            COMMON     26874R108      23738  528803 SH     SOLE       400578      0 128225
ENNIS INC                              COMMON     293389102        633   42000 SH     SOLE        42000      0      0
ENSIGN GROUP INC                       COMMON     29358P101      12194  365085 SH     SOLE       339095      0  25990
ENSTAR GROUP LIMITED                   COMMON     G3075P101       6405   51535 SH     SOLE        47825      0   3710
ENTERGY CORP                           COMMON     29364G103      19163  303020 SH     SOLE       231195      0  71825
EPLUS INC                              COMMON     294268107        402    8700 SH     SOLE         8700      0      0
EPR PROPERTIES                         COMMON     26884U109      39929  767131 SH     SOLE       647006      0 120125
EQUIFAX INC                            COMMON     294429105      34754  603480 SH     SOLE       455155      0 148325
EQUITY LIFESTYLE PPTYS INC COM         COMMON     29472R108      17154  223364 SH     SOLE       206144      0  17220
EVEREST RE GROUP LTD                   COMMON     G3223R108        279    2150 SH     SOLE         2150      0      0
EXACTECH INC                           COMMON     30064E109        252   12200 SH     SOLE        12200      0      0
EXPONENT INC                           COMMON     30214U102        924   17130 SH     SOLE        17130      0      0
EXXON MOBIL CORP                       COMMON     30231G102      38058  422350 SH     SOLE       336459      0  85891
FAIR ISAAC CORP                        COMMON     303250104      10469  229137 SH     SOLE       212052      0  17085
FAMOUS DAVE'S OF AMERICA               COMMON     307068106        249   22925 SH     SOLE        22925      0      0
FARMER BROS CO                         COMMON     307675108        265   18000 SH     SOLE        18000      0      0
FEDEX CORP                             COMMON     31428X106      12861  130970 SH     SOLE       118120      0  12850
FIESTA RESTAURANT GROUP INC CO         COMMON     31660B101        485   18250 SH     SOLE        18250      0      0
FIFTH THIRD BANCORP                    COMMON     316773100      25397 1557125 SH     SOLE      1173525      0 383600
FINANCIAL INSTNS INC                   COMMON     317585404        449   22475 SH     SOLE        22475      0      0
FIRST CMNTY BANCSHARES INC NCO         COMMON     31983A103        458   28900 SH     SOLE        28900      0      0
FIRST MERCHANTS CORP                   COMMON     320817109        920   59500 SH     SOLE        59500      0      0
FIRST MIDWEST BANCORP                  COMMON     320867104      20900 1573769 SH     SOLE      1454189      0 119580
FIRST NIAGARA FINL GP INC              COMMON     33582V108      37789 4265170 SH     SOLE      3679145      0 586025
FIRSTENERGY CORP                       COMMON     337932107      18969  449502 SH     SOLE       340077      0 109425
FLUSHING FINANCIAL CORP                COMMON     343873105       9757  576001 SH     SOLE       537251      0  38750
FNB CORP                               COMMON     302520101      13376 1105480 SH     SOLE      1021900      0  83580
FRANKLIN RESOURCES INC                 COMMON     354613101      26978  178885 SH     SOLE       135290      0  43595
FRED'S INC                             COMMON     356108100        464   33950 SH     SOLE        33950      0      0
FRISCH'S RESTAURANTS INC               COMMON     358748101        208   11600 SH     SOLE        11600      0      0
FULLER H B CO                          COMMON     359694106      23117  591539 SH     SOLE       545889      0  45650
FULTON FINANCIAL CORP                  COMMON     360271100      16530 1412819 SH     SOLE      1301984      0 110835
FURMANITE CORPORATION                  COMMON     361086101        475   71062 SH     SOLE        71062      0      0
GANNETT INC                            COMMON     364730101        208    9500 SH     SOLE         9500      0      0
GAP INC.                               COMMON     364760108      34552  976045 SH     SOLE       736720      0 239325
GENERAL CABLE CORP                     COMMON     369300108      53450 1459175 SH     SOLE      1352215      0 106960
GENERAL DYNAMICS CORP                  COMMON     369550108       7950  112755 SH     SOLE       100655      0  12100
GIBRALTAR INDUSTRIES INC               COMMON     374689107        487   26675 SH     SOLE        26675      0      0
GLAXOSMITHKLINE PLC                    COMMON     37733W105       6255  133338 SH     SOLE       117513      0  15825
GLOBAL PAYMENTS INC                    COMMON     37940X102      27058  544868 SH     SOLE       503359      0  41509
GLOBECOMM SYSTEMS INC                  COMMON     37956X103        867   72150 SH     SOLE        72150      0      0
GOLDMAN SACHS GROUP INC                COMMON     38141G104      24286  165042 SH     SOLE       124694      0  40348
GORDMANS STORES INC                    COMMON     38269P100        828   70700 SH     SOLE        70700      0      0
GP STRATEGIES CORP                     COMMON     36225V104        486   20349 SH     SOLE        20349      0      0
GRACO INC                              COMMON     384109104      20360  350847 SH     SOLE       324347      0  26500
GREAT PLAINS ENERGY INC                COMMON     391164100      51527 2221970 SH     SOLE      1766700      0 455270
GREATBATCH INC                         COMMON     39153L106      10432  349234 SH     SOLE       322785      0  26449
GSI GROUP INC                          COMMON     36191C205        397   46600 SH     SOLE        46600      0      0
GSI TECHNOLOGY                         COMMON     36241U106        237   36000 SH     SOLE        36000      0      0
GULF ISLAND FABRICATION INC            COMMON     402307102        852   40441 SH     SOLE        40441      0      0
G^K SERVICES INC                       COMMON     361268105       5575  122497 SH     SOLE       112897      0   9600
HACKETT GROUP INC                      COMMON     404609109        215   47100 SH     SOLE        47100      0      0
HANGER INC                             COMMON     41043F208      22986  729005 SH     SOLE       670075      0  58930
HARLEY DAVIDSON INC                    COMMON     412822108      12832  240750 SH     SOLE       207550      0  33200
HARRIS TEETER SUPERMARKETS INC         COMMON     414585109      43885 1027500 SH     SOLE       837403      0 190097
HARSCO CORP                            COMMON     415864107      38235 1543599 SH     SOLE      1426950      0 116649
HARTE HANKS COMMUNICATIONS COM         COMMON     416196103       8484 1089095 SH     SOLE      1010265      0  78830
HARTFORD FINANCIAL SVCS GROUP          COMMON     416515104      26368 1022010 SH     SOLE       773610      0 248400
HAVERTY FURNITURE COS INC              COMMON     419596101        519   25250 SH     SOLE        25250      0      0
HCA HOLDINGS INC                       COMMON     40412C101      62083 1528020 SH     SOLE      1225170      0 302850
HCC INSURANCE HLDGS INC                COMMON     404132102      67400 1603622 SH     SOLE      1317027      0 286595
HEALTH MGMT ASSOC INC                  COMMON     421933102      21787 1692857 SH     SOLE      1555547      0 137310
HELMERICH & PAYNE INC                  COMMON     423452101      24989  411680 SH     SOLE       311605      0 100075
HERCULES TECH GROWTH CAPITAL           COMMON     427096508      10721  875183 SH     SOLE       808663      0  66520
HERITAGE FINL GROUP INC                COMMON     42726X102        233   16100 SH     SOLE        16100      0      0
HICKORY TECH CORP                      COMMON     429060106        252   24800 SH     SOLE        24800      0      0
HILLSHIRE BRANDS CO                    COMMON     432589109      30204  859285 SH     SOLE       680527      0 178758
HILL-ROM HOLDINGS INC                  COMMON     431475102      11896  337773 SH     SOLE       311762      0  26011
HOME DEPOT INC                         COMMON     437076102      34655  496635 SH     SOLE       373835      0 122800
HOOKER FURNITURE CORP                  COMMON     439038100        457   28685 SH     SOLE        28685      0      0
HUNTINGTON BANCSHARES INC COM          COMMON     446150104        228   31000 SH     SOLE        31000      0      0
HUNTINGTON INGALLS INDS INC CO         COMMON     446413106      57068 1070085 SH     SOLE       857260      0 212825
HYATT HOTELS CORP                      COMMON     448579102      10599  245170 SH     SOLE       210570      0  34600
I B M                                  COMMON     459200101      55809  261644 SH     SOLE       203724      0  57920
IDT CORP                               COMMON     448947507        522   43300 SH     SOLE        43300      0      0
IMATION CORP                           COMMON     45245A107         82   21450 SH     SOLE        21450      0      0
INGREDION INC                          COMMON     457187102       8977  124134 SH     SOLE        93384      0  30750
INSIGHT ENTERPRISES INC                COMMON     45765U103      16814  815445 SH     SOLE       754750      0  60695
INTEGRATED DEVICE TECHNOLOGYCO         COMMON     458118106      41457 5549866 SH     SOLE      5123269      0 426597
INTEL CORP                             COMMON     458140100       3572  163568 SH     SOLE       141293      0  22275
INTERNATIONAL PAPER CO                 COMMON     460146103       9427  202383 SH     SOLE       152225      0  50158
INTERPUBLIC GROUP COS INC              COMMON     460690100        298   22850 SH     SOLE        22850      0      0
INTUIT INC.                            COMMON     461202103      42974  654500 SH     SOLE       492075      0 162425
IXYS CORP                              COMMON     46600W106        893   93112 SH     SOLE        93112      0      0
J P MORGAN CHASE & CO                  COMMON     46625H100      34249  721634 SH     SOLE       565865      0 155769
JOHNSON OUTDOORS INC                   COMMON     479167108        240   10075 SH     SOLE        10075      0      0
JOHNSON & JOHNSON                      COMMON     478160104      51109  626868 SH     SOLE       495043      0 131825
KBR INC                                COMMON     48242W106      34718 1082230 SH     SOLE       814980      0 267250
KENNAMETAL INC                         COMMON     489170100      18353  470105 SH     SOLE       433455      0  36650
KEYCORP                                COMMON     493267108      26941 2704968 SH     SOLE      2044943      0 660025
KIMBALL INTL INC                       COMMON     494274103        233   25700 SH     SOLE        25700      0      0
KIMBERLY CLARK CORP                    COMMON     494368103      52208  532840 SH     SOLE       416415      0 116425
KIRKLANDS INC                          COMMON     497498105        225   19600 SH     SOLE        19600      0      0
KITE RLTY GROUP TRUST                  COMMON     49803T102        735  109050 SH     SOLE       109050      0      0
KONA GRILL INC                         COMMON     50047H201        228   25000 SH     SOLE        25000      0      0
KRAFT FOODS GROUP INC                  COMMON     50076Q106       2836   55038 SH     SOLE        46373      0   8665
LAKELAND FINANCIAL CORP                COMMON     511656100       6492  243242 SH     SOLE       224871      0  18371
LANDEC CORP                            COMMON     514766104        585   40400 SH     SOLE        40400      0      0
LANNET INC                             COMMON     516012101        247   24400 SH     SOLE        24400      0      0
LAWSON PRODS INC                       COMMON     520776105        285   16200 SH     SOLE        16200      0      0
LA-Z-BOY INC                           COMMON     505336107       7833  415128 SH     SOLE       383124      0  32004
LB FOSTER CO                           COMMON     350060109        879   19850 SH     SOLE        19850      0      0
LEAPFROG ENTERPRISES INC CL A          COMMON     52186N106        123   14400 SH     SOLE        14400      0      0
LEGG MASON INC                         COMMON     524901105      14198  441605 SH     SOLE       379105      0  62500
LEGGETT & PLATT INC                    COMMON     524660107        255    7550 SH     SOLE         7550      0      0
LENNAR CORP                            COMMON     526057104      36228  873375 SH     SOLE       658300      0 215075
LEXMARK INTL INC                       COMMON     529771107      11166  422954 SH     SOLE       391424      0  31530
LIFE TECHNOLOGIES CORP                 COMMON     53217V109      50812  786200 SH     SOLE       637730      0 148470
LIFE TIME FITNESS INC                  COMMON     53217R207      15522  362836 SH     SOLE       334853      0  27983
LIFETIME BRANDS INC                    COMMON     53222Q103        238   20850 SH     SOLE        20850      0      0
LILLY, ELI AND COMPANY                 COMMON     532457108      37486  660085 SH     SOLE       497185      0 162900
LINCOLN NATL CORP                      COMMON     534187109     162537 4984278 SH     SOLE      3964155      01020123
LMI AEROSPACE INC                      COMMON     502079106        441   21200 SH     SOLE        21200      0      0
LOCKHEED MARTIN CORP                   COMMON     539830109      49446  512290 SH     SOLE       399915      0 112375
LOGITECH INTL S A SHS                  COMMON     H50430232        119   17100 SH     SOLE        17100      0      0
LORILLARD INC                          COMMON     544147101      35228  873055 SH     SOLE       655180      0 217875
LOWES COS INC                          COMMON     548661107       7783  205260 SH     SOLE       171885      0  33375
LTC PPTYS INC                          COMMON     502175102       4316  105958 SH     SOLE        97913      0   8045
LYDALL INC                             COMMON     550819106        230   15000 SH     SOLE        15000      0      0
MACK-CALI REALTY CORP                  COMMON     554489104       5002  174825 SH     SOLE       161390      0  13435
MARCUS CORP                            COMMON     566330106        956   76575 SH     SOLE        76575      0      0
MARLIN BUSINESS SVCS CORP COM          COMMON     571157106        241   10400 SH     SOLE        10400      0      0
MARTEN TRANS LTD                       COMMON     573075108        686   34075 SH     SOLE        34075      0      0
MATERION CORPORATION                   COMMON     576690101       1069   37525 SH     SOLE        37525      0      0
MATTEL INC                             COMMON     577081102      35198  804155 SH     SOLE       606030      0 198125
MB FINANCIAL INC                       COMMON     55264U108      11222  464287 SH     SOLE       430481      0  33806
MCDERMOTT INTL INC COM                 COMMON     580037109        182   16550 SH     SOLE        16550      0      0
MCG CAPITAL CORP COM                   COMMON     58047P107         48   10100 SH     SOLE        10100      0      0
MCKESSON CORPORATION                   COMMON     58155Q103      36792  340790 SH     SOLE       257055      0  83735
MEADOWBROOK INSURANCE GROUP            COMMON     58319P108        511   72483 SH     SOLE        72483      0      0
MERCK & COMPANY                        COMMON     58933Y105      50350 1139131 SH     SOLE       896181      0 242950
METHODE ELECTRONICS                    COMMON     591520200        923   71668 SH     SOLE        71668      0      0
METLIFE INC                            COMMON     59156R108      37679  991041 SH     SOLE       780882      0 210159
MET-PRO CORP                           COMMON     590876306        706   68377 SH     SOLE        68377      0      0
MFA FINANCIAL INC                      COMMON     55272X102      47894 5138827 SH     SOLE      4387722      0 751105
MICHAEL BAKER CORP                     COMMON     057149106        922   37650 SH     SOLE        37650      0      0
MICROSOFT                              COMMON     594918104      43525 1521570 SH     SOLE      1148235      0 373335
MILLER INDS INC                        COMMON     600551204        669   41675 SH     SOLE        41675      0      0
MINERALS TECHNOLOGIES INC              COMMON     603158106      18656  449430 SH     SOLE       415150      0  34280
MODINE MFG CO                          COMMON     607828100        470   51700 SH     SOLE        51700      0      0
MONDELEZ INTL INC                      COMMON     609207105       5174  168990 SH     SOLE       142390      0  26600
MOODYS CORP                            COMMON     615369105      37016  694215 SH     SOLE       521990      0 172225
MOOG INC                               COMMON     615394202      19974  435821 SH     SOLE       402384      0  33437
MULTIMEDIA GAMES HLDG CO INCCO         COMMON     625453105        501   24000 SH     SOLE        24000      0      0
MURPHY OIL CORP                        COMMON     626717102      72428 1136479 SH     SOLE       910804      0 225675
MYERS INDUSTRIES INC                   COMMON     628464109       6158  441090 SH     SOLE       412460      0  28630
M^T BANK CORP                          COMMON     55261F104      51638  500565 SH     SOLE       394120      0 106445
NABORS INDUSTRIES LTD                  COMMON     G6359F103      26053 1606213 SH     SOLE      1208688      0 397525
NASH FINCH CO                          COMMON     631158102        435   22200 SH     SOLE        22200      0      0
NATIONAL BANKSHARES INC                COMMON     634865109        688   19700 SH     SOLE        19700      0      0
NATURAL GAS SERVICES GROUP COM         COMMON     63886Q109        489   25400 SH     SOLE        25400      0      0
NATUS MEDICAL INC                      COMMON     639050103       1294   96300 SH     SOLE        96300      0      0
NAVIGANT CONSULTING INC                COMMON     63935N107      16666 1268316 SH     SOLE      1172363      0  95953
NN INC                                 COMMON     629337106        486   51350 SH     SOLE        51350      0      0
NORDSTROM INC                          COMMON     655664100      63031 1141240 SH     SOLE       920540      0 220700
NORTHROP GRUMMAN CORP                  COMMON     666807102      75246 1072645 SH     SOLE       845542      0 227103
NTELOS HLDGS CORP                      COMMON     67020Q305        268   20900 SH     SOLE        20900      0      0
NV ENERGY INC                          COMMON     67073Y106      18696  933395 SH     SOLE       709670      0 223725
OCCIDENTAL PETROLEUM CORP              COMMON     674599105      24333  310489 SH     SOLE       234420      0  76069
OCEANFIRST FINL CORP                   COMMON     675234108        733   50850 SH     SOLE        50850      0      0
OLD DOMINION FREIGHT LINES             COMMON     679580100      19876  520321 SH     SOLE       478592      0  41729
OMEGA HEALTHCARE INVS INC              COMMON     681936100      20326  669505 SH     SOLE       616190      0  53315
OMNIAMERICAN BANCORP INC COM           COMMON     68216R107        665   26300 SH     SOLE        26300      0      0
OMNICARE INC                           COMMON     681904108        309    7600 SH     SOLE         7600      0      0
OMNOVA SOLUTIONS INC                   COMMON     682129101        764   99642 SH     SOLE        99642      0      0
OPPENHEIMER HLDGS INC                  COMMON     683797104        442   22700 SH     SOLE        22700      0      0
ORACLE CORP                            COMMON     68389X105      38708 1197290 SH     SOLE       903615      0 293675
OSHKOSH CORP                           COMMON     688239201        557   13100 SH     SOLE        13100      0      0
OXFORD INDUSTRIES INC                  COMMON     691497309      11233  211535 SH     SOLE       195658      0  15877
PACIFIC CONTINENTAL CORP COM           COMMON     69412V108        232   20800 SH     SOLE        20800      0      0
PANHANDLE OIL AND GAS INC              COMMON     698477106        473   16500 SH     SOLE        16500      0      0
PANTRY INC                             COMMON     698657103       9267  743123 SH     SOLE       689473      0  53650
PARKER DRILLING                        COMMON     701081101         68   15900 SH     SOLE        15900      0      0
PARKER HANNIFIN CORP                   COMMON     701094104      35611  388846 SH     SOLE       293520      0  95326
PARTNERRE LTD COM                      COMMON     G6852T105        265    2850 SH     SOLE         2850      0      0
PATTERSON-UTI ENERGY INC               COMMON     703481101        238   10000 SH     SOLE        10000      0      0
PC CONNECTION                          COMMON     69318J100        442   27046 SH     SOLE        27046      0      0
PENFORD CORP                           COMMON     707051108        258   23500 SH     SOLE        23500      0      0
PENTAIR LTD                            COMMON     H6169Q108       2929   55521 SH     SOLE        45415      0  10106
PEP BOYS MANNY MOE & JACK              COMMON     713278109      14897 1263525 SH     SOLE      1167470      0  96055
PERICOM SEMICONDUCTOR CORP COM         COMMON     713831105        452   66300 SH     SOLE        66300      0      0
PETSMART INC COM                       COMMON     716768106        329    5300 SH     SOLE         5300      0      0
PFIZER INC                             COMMON     717081103      37646 1304435 SH     SOLE       981646      0 322789
PGT INC COM                            COMMON     69336V101        470   68390 SH     SOLE        68390      0      0
PG^E CORP                              COMMON     69331C108      71250 1600049 SH     SOLE      1290044      0 310005
PHARMERICA CORP                        COMMON     71714F104        503   35900 SH     SOLE        35900      0      0
PHH CORP                               COMMON     693320202      25052 1140787 SH     SOLE       900202      0 240585
PIER 1 IMPORTS INC                     COMMON     720279108       8625  375013 SH     SOLE       346217      0  28796
PIKE ELEC CORP                         COMMON     721283109        467   32850 SH     SOLE        32850      0      0
PINNACLE WEST CAPITAL CORP             COMMON     723484101      96462 1666306 SH     SOLE      1323736      0 342570
PIPER JAFFRAY COS                      COMMON     724078100        755   22000 SH     SOLE        22000      0      0
PITNEY BOWES INC                       COMMON     724479100      34725 2336805 SH     SOLE      1761005      0 575800
PLANTRONICS INC                        COMMON     727493108      13026  294783 SH     SOLE       272208      0  22575
PLATINUM UNDERWRITERS HLDGS            COMMON     G7127P100      14228  254939 SH     SOLE       235489      0  19450
POZEN INC                              COMMON     73941U102        205   38900 SH     SOLE        38900      0      0
PPG INDUSTRIES INC                     COMMON     693506107       8689   64871 SH     SOLE        48771      0  16100
PREMIERE GLOBAL SVCS INC COM           COMMON     740585104       1185  107850 SH     SOLE       107850      0      0
PRINCIPAL FINANCIAL GROUP INC          COMMON     74251V102      27492  807880 SH     SOLE       609380      0 198500
PROGRESS SOFTWARE CORP                 COMMON     743312100      13583  594954 SH     SOLE       549881      0  45073
PROSPERITY BANCSHARES INC              COMMON     743606105      16362  345262 SH     SOLE       319079      0  26183
PRUDENTIAL FINANCIAL INC               COMMON     744320102      25834  437936 SH     SOLE       328761      0 109175
PTC INC                                COMMON     69370C100      18524  726735 SH     SOLE       671965      0  54770
PUBLIC SVC ENTERPRISES                 COMMON     744573106      18811  547790 SH     SOLE       414065      0 133725
PULTE CORP                             COMMON     745867101      36734 1814945 SH     SOLE      1371520      0 443425
PVH CORP                               COMMON     693656100       4061   38021 SH     SOLE        30091      0   7930
QEP RESOURCES INC.                     COMMON     74733V100      52233 1640479 SH     SOLE      1323614      0 316865
QUICKSILVER RESOURCES INC COM          COMMON     74837R104         37   16600 SH     SOLE        16600      0      0
RAMCO-GERSHENSON PPTYS TRUST           COMMON     751452202        783   46600 SH     SOLE        46600      0      0
RAYTHEON CO                            COMMON     755111507      43021  731780 SH     SOLE       549730      0 182050
RED ROBIN GOURMET BURGERS INCO         COMMON     75689M101        921   20200 SH     SOLE        20200      0      0
REGIONS FINANCIAL CORP                 COMMON     7591EP100      25873 3159130 SH     SOLE      2358780      0 800350
REGIS CORP                             COMMON     758932107      10064  553279 SH     SOLE       512284      0  40995
REINSURANCE GROUP AMERICA              COMMON     759351604      15822  265160 SH     SOLE       244565      0  20595
RELIANCE STEEL & ALUMINUM CO           COMMON     759509102       8957  125852 SH     SOLE        95732      0  30120
RENAISSANCERE HLDGS LTD                COMMON     G7496G103        267    2900 SH     SOLE         2900      0      0
REPUBLIC SVCS INC                      COMMON     760759100       7541  228513 SH     SOLE       195997      0  32516
ROCKY BRANDS INC                       COMMON     774515100        213   15625 SH     SOLE        15625      0      0
ROCK-TENN CO                           COMMON     772739207        288    3100 SH     SOLE         3100      0      0
ROYAL DUTCH SHELL PLC                  COMMON     780259206      40182  616672 SH     SOLE       484897      0 131775
RTI BIOLOGICS INC                      COMMON     74975N105        577  146750 SH     SOLE       146750      0      0
RUBY TUESDAY INC                       COMMON     781182100      13647 1851665 SH     SOLE      1710095      0 141570
RUTH'S HOSPITALITY GROUP INC           COMMON     783332109        874   91600 SH     SOLE        91600      0      0
RYDER SYSTEM INC                       COMMON     783549108      22151  370730 SH     SOLE       340795      0  29935
S.Y. BANCORP INC                       COMMON     785060104       5591  248482 SH     SOLE       232405      0  16077
SAFEWAY INC                            COMMON     786514208      38544 1462770 SH     SOLE      1103620      0 359150
SAGA COMMUNICATIONS INC                COMMON     786598300        224    4832 SH     SOLE         4832      0      0
SAIA INC                               COMMON     78709Y105        521   14416 SH     SOLE        14416      0      0
SANMINA CORPORATION COM                COMMON     801056102        117   10250 SH     SOLE        10250      0      0
SANOFI-AVENTIS                         COMMON     80105N105      43218  846085 SH     SOLE       663777      0 182308
SAP AG ADR                             COMMON     803054204      42774  531085 SH     SOLE       400335      0 130750
SCICLONE PHARMACEUTICALS INCCO         COMMON     80862K104         83   18000 SH     SOLE        18000      0      0
SEACOR HOLDINGS INC                    COMMON     811904101      41807  567415 SH     SOLE       463445      0 103970
SELECT MED HLDGS CORP COM              COMMON     81619Q105        120   13300 SH     SOLE        13300      0      0
SHENANDOAH TELECOMMUNICATIONCO         COMMON     82312B106        725   47600 SH     SOLE        47600      0      0
SIERRA WIRELESS INC                    COMMON     826516106        783   73963 SH     SOLE        73963      0      0
SIGNET JEWELERS LIMITED                COMMON     G81276100      27596  411880 SH     SOLE       380251      0  31629
SKYWEST INC                            COMMON     830879102        196   12200 SH     SOLE        12200      0      0
SLM CORP                               COMMON     78442P106      27647 1348645 SH     SOLE      1016420      0 332225
SONOCO PRODUCTS                        COMMON     835495102      76347 2181954 SH     SOLE      1757390      0 424564
SPARTAN STORES INC                     COMMON     846822104      14945  851553 SH     SOLE       789608      0  61945
ST JUDE MEDICAL INC                    COMMON     790849103      33628  831545 SH     SOLE       628695      0 202850
STAG INDL INC                          COMMON     85254J102      25268 1187957 SH     SOLE      1094224      0  93733
STANDARD MTR PRODS INC                 COMMON     853666105       1095   39500 SH     SOLE        39500      0      0
STANDARD PARKING CORP                  COMMON     853790103        671   32421 SH     SOLE        32421      0      0
STANDEX INTL CORP                      COMMON     854231107      31566  571648 SH     SOLE       526774      0  44874
STEELCASE INC                          COMMON     858155203      88472 6006213 SH     SOLE      5003708      01002505
STEIN MART INC                         COMMON     858375108        433   51700 SH     SOLE        51700      0      0
STERIS CORP                            COMMON     859152100      17361  417240 SH     SOLE       384660      0  32580
STIFEL FINL CORP                       COMMON     860630102      11476  330999 SH     SOLE       305514      0  25485
SUNOPTA INC                            COMMON     8676EP108        886  123000 SH     SOLE       123000      0      0
SUNTRUST BANKS INC                     COMMON     867914103      25028  868715 SH     SOLE       651390      0 217325
SUPERTEX INC                           COMMON     868532102        484   21800 SH     SOLE        21800      0      0
SURMODICS INC                          COMMON     868873100       1556   57100 SH     SOLE        57100      0      0
SYKES ENTERPRISES INC                  COMMON     871237103      12746  798646 SH     SOLE       738064      0  60582
SYMMETRICOM INC                        COMMON     871543104        442   97329 SH     SOLE        97329      0      0
S^T BANCORP INC                        COMMON     783859101       8453  455951 SH     SOLE       421961      0  33990
TALISMAN ENERGY INC                    COMMON     87425E103      25134 2051735 SH     SOLE      1541685      0 510050
TCF FINANCIAL CORP                     COMMON     872275102      91257 6100084 SH     SOLE      5180844      0 919240
TECHTARGET INC                         COMMON     87874R100        197   40300 SH     SOLE        40300      0      0
TECK RESOURCES LTD                     COMMON     878742204       8428  299295 SH     SOLE       224770      0  74525
TECO ENERGY INC                        COMMON     872375100      19227 1078970 SH     SOLE       810045      0 268925
TERRITORIAL BANCORP INC                COMMON     88145X108        454   19075 SH     SOLE        19075      0      0
TGC INDUSTRIES INC                     COMMON     872417308        242   24487 SH     SOLE        24487      0      0
THE ADT CORPORATION                    COMMON     00101J106       9126  186475 SH     SOLE       161264      0  25211
TIDEWATER INC                          COMMON     886423102      23681  468931 SH     SOLE       433455      0  35476
TIME WARNER INC                        COMMON     887317303       7957  138101 SH     SOLE       130568      0   7533
TIMKEN CO                              COMMON     887389104      33054  584193 SH     SOLE       444768      0 139425
TOMPKINS TRUSTCO INC                   COMMON     890110109       4287  101385 SH     SOLE        93865      0   7520
TORCHMARK CORP COM                     COMMON     891027104        272    4550 SH     SOLE         4550      0      0
TOTAL SA                               COMMON     89151E109      24563  511942 SH     SOLE       385392      0 126550
TOTAL SYS SVCS INC COM                 COMMON     891906109        221    8900 SH     SOLE         8900      0      0
TOWER INTL INC                         COMMON     891826109        253   18100 SH     SOLE        18100      0      0
TOWN SPORTS INTL HLDGS INC COM         COMMON     89214A102        512   54100 SH     SOLE        54100      0      0
TRANSDIGM GROUP INC                    COMMON     893641100      83787  547912 SH     SOLE       435980      0 111932
TRANSOCEAN LTD                         COMMON     H8817H100      24952  480220 SH     SOLE       362670      0 117550
TRAVELERS COMPANIES INC                COMMON     89417E109      27037  321144 SH     SOLE       242124      0  79020
TREE.COM INC                           COMMON     894675107        499   27000 SH     SOLE        27000      0      0
TRIMAS CORP                            COMMON     896215209        240    7400 SH     SOLE         7400      0      0
TRW AUTOMOTIVE HLDGS CORP              COMMON     87264S106      34330  624176 SH     SOLE       470280      0 153896
TYCO INTERNATIONAL LTD                 COMMON     H89128104       7566  236452 SH     SOLE       194327      0  42125
U S AIRWAYS GROUP INC                  COMMON     90341W108      48428 2853740 SH     SOLE      2629142      0 224598
UFP TECHNOLOGIES INC                   COMMON     902673102        241   12225 SH     SOLE        12225      0      0
UGI CORP                               COMMON     902681105      28850  751504 SH     SOLE       589824      0 161680
ULTRA CLEAN HLDGS INC                  COMMON     90385V107        473   72800 SH     SOLE        72800      0      0
UNIFI INC                              COMMON     904677200        468   24500 SH     SOLE        24500      0      0
UNION FIRST MKT BANKSH CORP            COMMON     90662P104        749   38300 SH     SOLE        38300      0      0
UNITED BANKSHARES INC                  COMMON     909907107       6734  253054 SH     SOLE       234109      0  18945
UNITED FINANCIAL BANCORP               COMMON     91030T109        443   29150 SH     SOLE        29150      0      0
UNITED STATIONERS INC                  COMMON     913004107      42299 1094409 SH     SOLE      1007731      0  86678
UNITEDHEALTH GROUP INC                 COMMON     91324P102      43175  754675 SH     SOLE       588311      0 166364
UNIVERSAL TRUCKLOAD SVCS INCCO         COMMON     91388P105        445   19086 SH     SOLE        19086      0      0
UNS ENERGY CORPORATION                 COMMON     903119105      12545  256341 SH     SOLE       236941      0  19400
UNUMPROVIDENT CORP                     COMMON     91529Y106      27425  970800 SH     SOLE       726550      0 244250
URS CORP                               COMMON     903236107     160215 3379341 SH     SOLE      2911269      0 468072
URSTADT BIDDLE PPTYS INC               COMMON     917286205        465   21350 SH     SOLE        21350      0      0
US ECOLOGY INC                         COMMON     91732J102        938   35321 SH     SOLE        35321      0      0
US PHYSICAL THERAPY INC                COMMON     90337L108        820   30526 SH     SOLE        30526      0      0
UTAH MED PRODS INC                     COMMON     917488108        249    5100 SH     SOLE         5100      0      0
V.F. CORP                              COMMON     918204108      76325  454990 SH     SOLE       366905      0  88085
VALASSIS COMMUNICATIONS INC            COMMON     918866104      14871  497847 SH     SOLE       459504      0  38343
VALIDUS HOLDINGS LTD COM SHS           COMMON     G9319H102        241    6450 SH     SOLE         6450      0      0
VASCO DATA SEC INTL INC COM            COMMON     92230Y104        153   18127 SH     SOLE        18127      0      0
VECTREN CORP                           COMMON     92240G101      27154  766619 SH     SOLE       707559      0  59060
VIAD CORP                              COMMON     92552R406      13228  478234 SH     SOLE       442466      0  35768
VIRTUSA CORP                           COMMON     92827P102       1035   43575 SH     SOLE        43575      0      0
VISHAY PRECISION GROUP INC COM         COMMON     92835K103        469   31900 SH     SOLE        31900      0      0
WADDELL & REED FINL INC                COMMON     930059100      25833  590061 SH     SOLE       544957      0  45104
WALGREEN COMPANY                       COMMON     931422109      14557  305310 SH     SOLE       258260      0  47050
WALKER & DUNLOP INC                    COMMON     93148P102        633   35200 SH     SOLE        35200      0      0
WAL-MART STORES INC                    COMMON     931142103      12930  172793 SH     SOLE       156368      0  16425
WASHINGTON TRUST BANCORP               COMMON     940610108        722   26375 SH     SOLE        26375      0      0
WATTS WATER TECHNOLOGIES INCCL         COMMON     942749102        266    5550 SH     SOLE         5550      0      0
WELLPOINT INC                          COMMON     94973V107      36192  546460 SH     SOLE       412585      0 133875
WERNER ENTERPRISES INC                 COMMON     950755108      89391 3703012 SH     SOLE      3022122      0 680890
WEST BANCORPORATION INC                COMMON     95123P106        222   20025 SH     SOLE        20025      0      0
WEST MARINE INC                        COMMON     954235107        402   35200 SH     SOLE        35200      0      0
WESTERN DIGITAL CORP                   COMMON     958102105      43812  871190 SH     SOLE       657665      0 213525
WESTERN UNION CO                       COMMON     959802109       8887  590885 SH     SOLE       507435      0  83450
WHIRLPOOL CORP                         COMMON     963320106      35174  296930 SH     SOLE       224155      0  72775
WSFS FINANCIAL CORP                    COMMON     929328102       5627  115690 SH     SOLE       106815      0   8875
WYNDHAM WORLDWIDE CORP                 COMMON     98310W108     125718 1949726 SH     SOLE      1528144      0 421582
ZIMMER HLDGS INC                       COMMON     98956P102      35566  472830 SH     SOLE       356905      0 115925

LINE COUNT: 483                                              $  8,727,631