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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

PRIVATE CAPITAL MANAGEMENT INSTITUTION : Bruce S. Sherman (PRIVATE CAPITAL MANAGEMENT )
Bruce S. Sherman Portfolio (reported on 2013-08-14)
Company (links to holding history) Ticker Value On
2013-06-30
No of Shares % of portfolio
CA Technologies    (COM) CA 54,317,000 1,897,858 5.12%
Valeant Pharmaceuticals Intern    (COM) VRX 50,620,000 588,056 4.77%
Universal Health Services Inc.    (COM) UHS 45,569,000 680,545 4.29%
Symantec Corp.    (COM) SYMC 43,695,000 1,943,733 4.11%
Mentor Graphics Corp.    (COM) MENT 39,378,000 2,014,212 3.71%
Alere Inc.    (COM) ALR 38,950,000 1,589,798 3.67%
Cisco Systems Inc.    (COM) CSCO 36,122,000 1,484,352 3.40%
EZCORP, Inc.    (COM) EZPW 35,128,000 2,077,365 3.31%
Warner Chilcott PLC    (COM) WCRX 30,874,000 1,550,780 2.91%
Quantum Corp.    (COM) QTM 30,182,000 22,030,784 2.84%
Golar LNG Limited    (COM) GLNG 29,305,000 918,939 2.76%
Qualcomm Inc.    (COM) QCOM 29,300,000 479,617 2.76%
Raymond James Financial Inc.    (COM) RJF 26,100,000 607,253 2.46%
Swift Energy Company    (COM) SFY 25,628,000 2,137,452 2.41%
Covidien PLC    (COM) COV 24,206,000 385,198 2.28%
Noble Corporation    (COM) NE 22,750,000 605,372 2.14%
Zimmer Holdings Inc.    (COM) ZMH 22,666,000 302,454 2.13%
Willis Group Holdings PLC    (COM) WSH 22,112,000 542,238 2.08%
Advance Auto Parts, Inc.    (COM) AAP 22,056,000 271,720 2.07%
Gildan Activewear, Inc.    (COM) GIL 20,626,000 509,146 1.94%
SAIC, Inc.    (COM) SAI 20,253,000 1,453,897 1.90%
National Fuel Gas Co.    (COM) NFG 20,010,000 345,304 1.88%
UTi Worldwide Inc.    (COM) UTIW 20,001,000 1,214,387 1.88%
Ultra Petroleum Corp.    (COM) UPL 19,680,000 992,938 1.85%
Air Transport Services Group,    (COM) ATSG 19,101,000 2,889,732 1.80%
DeVry Inc.    (COM) DV 18,520,000 597,045 1.74%
CoreLogic Inc.    (COM) CLGX 18,311,000 790,282 1.72%
Global Cash Access Hldgs Inc.    (COM) GCA 15,836,000 2,529,790 1.49%
Darling International Inc.    (COM) DAR 15,140,000 811,355 1.42%
Fiesta Restaurant Group, Inc.    (COM) FRGI 14,979,000 435,980 1.41%
Lam Research Corp.    (COM) LRCX 12,196,000 275,061 1.14%
Ascena Retail Group, Inc.    (COM) ASNA 11,921,000 683,175 1.12%
Oppenheimer Holdings Inc.    (COM) OPY 11,296,000 593,275 1.06%
Titan International, Inc.    (COM) TWI 10,778,000 638,900 1.01%
Progressive Waste Solutions, L    (COM) BIN 10,772,000 500,785 1.01%
Marcus Corp.    (COM) MCS 10,090,000 793,254 0.95%
Federated Investors, Inc.    (COM) FII 9,787,000 357,071 0.92%
State Bank Financial Corporati    (COM) STBZ 9,257,000 615,875 0.87%
Imation Corp.    (COM) IMN 8,862,000 2,095,023 0.83%
Bank of Hawaii Corp.    (COM) BOH 8,631,000 171,528 0.81%
American Public Education, Inc    (COM) APEI 8,244,000 221,846 0.77%
AutoNation Inc.    (COM) AN 8,132,000 187,410 0.76%
Triumph Group Inc.    (COM) TGI 7,847,000 99,145 0.73%
Electro Rent Corp.    (COM) ELRC 7,757,000 461,980 0.73%
Avid Technology Inc.    (COM) AVID 7,206,000 1,225,470 0.67%
Pope Resources LP    (COM) POPE 7,179,000 102,564 0.67%
National Financial Partners Co    (COM) NFP 7,092,000 280,208 0.66%
Prestige Brands Holdings, Inc.    (COM) PBH 6,905,000 236,944 0.65%
CapitalSource Inc.    (COM) CSE 6,842,000 729,429 0.64%
Mine Safety Appliances Co.    (COM) MSA 6,462,000 138,826 0.60%
Vasco Data Security Internatio    (COM) VDSI 6,355,000 764,743 0.59%
OceanFirst Financial Corp.    (COM) OCFC 5,306,000 341,233 0.50%
Tibco Software Inc.    (COM) TIBX 4,940,000 230,781 0.46%
Golar LNG Partners, LP    (COM) GMLP 4,428,000 129,858 0.41%
Carrols Restaurant Group, Inc.    (COM) TAST 3,293,000 509,775 0.31%
Progress Software Corp.    (COM) PRGS 3,258,000 141,599 0.30%
First Financial Holdings Inc.    (COM) FFCH 3,077,000 145,088 0.29%
QuinStreet, Inc.    (COM) QNST 2,976,000 344,883 0.28%
Dover Downs Gaming & Entmt., I    (COM) DDE 2,625,000 1,693,862 0.24%
Provident New York Bancorp    (COM) PBNY 2,579,000 276,147 0.24%
Glacier Bancorp Inc.    (COM) GBCI 2,179,000 98,215 0.20%
1st United Bankcorp, Inc.    (COM) FSDB 1,991,000 296,344 0.18%
Bio-Rad Laboratories Inc. CL A    (COM) BIO 1,846,000 16,452 0.17%
WSFS Financial Corp.    (COM) WSFS 1,331,000 25,413 0.12%
Suffolk Bancorp    (COM) SUBK 1,234,000 75,493 0.11%
Alere Inc Perp Pfd Conv Ser B    (PFD) ALR/PB 1,206,000 5,362 0.11%
Independent Bank Corp.-MA    (COM) INDB 971,000 28,148 0.09%
Brookline Bancorp Inc.    (COM) BRKL 858,000 98,855 0.08%
International Business Machine    (COM) IBM 586,000 3,064 0.05%
First Defiance Financial Corp.    (COM) FDEF 486,000 21,554 0.04%
TF Financial Corp.    (COM) THRD 418,000 16,459 0.03%
Total Value As 2013-06-30: 1,060,614,000 SEC FILING
* Portfolios do not reflect changes after reporting
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