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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ANADARKO PETROLEUM CORP APCCommon756,760-59,64555,115,0004,155,00003/31/2010
ALTRIA GROUP, INC. MOCommon2,224,056-127,92145,638,000-531,00003/31/2010
CONOCOPHILLIPS COPCommon890,800-53,05245,582,000-2,621,00003/31/2010
DEVON ENERGY CORP/DE DVNCommon645,470-42,94941,588,000-9,011,00003/31/2010
HOSPITALITY PROPERTIES TRUST HPTCommon1,710,078-26,26340,956,000-213,00003/31/2010
APACHE CORP APACommon400,007-30,07140,601,000-3,770,00003/31/2010
BANK OF AMERICA CORP /DE/ BACCommon2,232,438-132,73739,849,0004,229,00003/31/2010
WELLS FARGO & CO/MN WFCCommon1,270,150-90,09839,527,0002,814,00003/31/2010
HRPT PROPERTIES TRUST HRPCommon4,766,9444,766,94437,087,00037,087,00003/31/2010
APOLLO INVESTMENT CORP AINVCommon2,852,3762,852,37636,311,00036,311,00003/31/2010
Hanesbrands Inc. HBICommon1,292,17953,09235,948,0006,074,00003/31/2010
ARGONAUT GROUP INC AGIICommon1,098,585110,96335,803,0007,024,00003/31/2010
ANIXTER INTERNATIONAL INC AXECommon759,4836,62535,582,000122,00003/31/2010
BRINKS CO BCOCommon1,246,92466,83035,201,0006,478,00003/31/2010
HISTORIC LIFEPOINT HOSPITALS, INC LPNTCommon954,198-22,91135,138,0003,353,00003/31/2010
BRINKER INTERNATIONAL INC EATCommon1,815,841-343,96535,009,0002,785,00003/31/2010
IDACORP INC IDACommon990,905-14,03834,305,0002,197,00003/31/2010
MICROSEMI CORP MSCCCommon1,958,030-17,40433,952,000-1,132,00003/31/2010
ESTERLINE TECHNOLOGIES CORP ESLCommon682,826100,47333,752,00010,009,00003/31/2010
GENESEE & WYOMING INC GWRCommon988,93743,14933,743,0002,872,00003/31/2010
BARNES GROUP INC BCommon1,729,3788,22533,636,0004,549,00003/31/2010
PERINI CORP TPCCommon Stock1,544,465-20,38833,592,0005,299,00003/31/2010
DEL MONTE FOODS CO DLMCommon2,291,241-384,51633,452,0003,109,00003/31/2010
SCOTTS MIRACLE-GRO CO SMGCL A720,460147,16433,393,00010,857,00003/31/2010
BHP BILLITON LTD BHPCommon412,890-25,00533,163,000-371,00003/31/2010
PROTECTIVE LIFE CORP PLCommon1,500,9217,57633,005,0008,290,00003/31/2010
EATON CORP ETNCommon435,251-24,69632,979,0003,717,00003/31/2010
EnerSys ENSCommon1,337,0381,337,03832,971,00032,971,00003/31/2010
PFIZER INC PFECommon1,895,095-100,74732,501,000-3,803,00003/31/2010
TELEFLEX INC TFXCommon506,609-12,71932,458,0004,471,00003/31/2010
SYNAPTICS INC SYNACommon1,173,538-41,78632,401,000-4,849,00003/31/2010
GENERAL ELECTRIC CO GECommon1,772,515-124,15032,260,0003,563,00003/31/2010
RUDDICK CORP RDKCommon1,017,82570532,204,0006,034,00003/31/2010
CBL & ASSOCIATES PROPERTIES INC CBLCommon2,344,9402,344,94032,126,00032,126,00003/31/2010
REGIS CORP RGSCommon1,719,0128,47032,111,0005,478,00003/31/2010
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