William J. Vernon

William J. Vernon as of March 31, 2012

Portfolio Holdings for William J. Vernon

William J. Vernon holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

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Form 13F INFORMATION TABLE
                                                          value    SHARES/ SH/	PUT/ INVSTMT Other
Name of Issuer                 Title of Class CUSIP      (x$1000)  PRN AMT PRN 	CALL DSCRETN Managers SOLE    SHARED NONE
----------------------------   -------------- ---------  --------  ------- --- 	---- ------- -------- ------- ------ ----
Aecom Technology Corp. Delawa  COM	      00766T100    11572   517,300  SH	        SOLE 	NONE  517,300 	   0	0
Air Lease Corp.	               CL A	      00912X302     4116   171,000  SH	        SOLE 	NONE  171,000 	   0	0
Baker Hughes Inc.	       COM	      057224107     5171   123,300  SH          SOLE 	NONE  123,300 	   0	0
BE Aerospace Inc.	       COM	      073302101	    1626    35,000  SH	PUT     SOLE 	NONE   35,000 	   0	0
CSX Corp.	               COM	      126408103     2045    95,000  SH		SOLE 	NONE   95,000 	   0	0
Ebay Inc.	               COM	      278642103    14022   380,000  SH		SOLE 	NONE  380,000 	   0	0
Exelis Inc.	               COM	      30162A108    16075 1,283,963  SH		SOLE 	NONE1,283,963 	   0	0
Fidelity Natl Information Serv.COM	      31620M106     4037   121,900  SH		SOLE 	NONE  121,900 	   0	0
Fidelity Natl Financial, Inc   CL A	      31620R105     5409   300,000  SH		SOLE 	NONE  300,000 	   0	0
Ford MTr Co Del	               COM PAR $0.01  345370860     7340   588,400  SH		SOLE 	NONE  588,400 	   0	0
General Motors Corp.	       COM	      37045V100     8972   349,800  SH		SOLE 	NONE  349,800 	   0	0
ITT Corp New	               COM NEW	      450911201      803    35,000  SH		SOLE 	NONE   35,000 	   0	0
Johnson & Johnson	       COM	      478160104     4109    62,300  SH		SOLE 	NONE   62,300 	   0	0
Mantech Intl Corp.	       CL A	      564563104     6146   178,358  SH		SOLE 	NONE  178,358 	   0	0
NCI Inc. 	               CL A	      62886K104      320    50,000  SH		SOLE 	NONE   50,000 	   0	0
Oracle Corp.	               COM	      68389X105     3324   114,000  SH		SOLE 	NONE  114,000 	   0	0
Orbotech Ltd.	               ORD	      M75253100     3744   323,027  SH		SOLE 	NONE  323,027 	   0	0
Pentair Inc.	               COM	      709631105     2857    60,000  SH		SOLE 	NONE   60,000 	   0	0
Post Holdings Inc	       COM	      737446104     1488    45,184  SH		SOLE 	NONE   45,184 	   0	0
Primerica Inc.	               COM	      74164M108     7941   315,004  SH		SOLE 	NONE  315,004 	   0	0
Ralcorp Hldgs Inc. New	       COM	      751028101     6757    91,200  SH		SOLE 	NONE   91,200 	   0	0
Rockwell Collins Inc	       COM	      774341101     7776   135,100  SH		SOLE 	NONE  135,100 	   0	0
Tempur Pedic Intl, Inc.	       COM	      88023U101    11288   133,700  SH		SOLE 	NONE  133,700 	   0	0
Time Warner, Inc.	       COM NEW	      887317303    10759   285,000  SH		SOLE 	NONE  285,000 	   0	0
Tyco International Ltd.	       SHS	      H89128104    12360   220,000  SH		SOLE 	NONE  220,000 	   0	0
Ultra Clean Hldgs, Inc.	       COM	      90385V107     2181   289,308  SH		SOLE 	NONE  289,308 	   0	0
Verint Sys Inc.	               COM	      92343X100    10043   557,046  SH		SOLE 	NONE  557,046 	   0	0
Xylem Inc.	               COM	      98419M100     8750   315,300  SH		SOLE 	NONE  315,300 	   0	0