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| Name | Ticker | Class | Shares | Change | Value | Change | Date |
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CROWN HOLDINGS INC
| CCK | Common | 4,085,792 | 73,312 | 110,154,000 | 7,515,000 | 03/31/2010 |
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VALEANT PHARMACEUTICALS INTERNATIONAL
| VRX | Common | 2,534,885 | -80,715 | 108,772,000 | 25,623,000 | 03/31/2010 |
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AGILENT TECHNOLOGIES INC
| A | Common | 3,149,881 | -273,720 | 108,324,000 | 1,953,000 | 03/31/2010 |
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SAFEWAY INC
| SWY | Common | 4,133,680 | 69,655 | 102,763,000 | 16,240,000 | 03/31/2010 |
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JOHNSON & JOHNSON
| JNJ | Common | 1,518,786 | 84,426 | 99,024,000 | 6,637,000 | 03/31/2010 |
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MEDTRONIC INC
| MDT | Common | 2,120,850 | -22,765 | 95,502,000 | 1,225,000 | 03/31/2010 |
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UNILEVER N V
| UN | N Y SHS NEW | 3,133,001 | -101,170 | 94,492,000 | -10,068,000 | 03/31/2010 |
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WEBSENSE INC
| WBSN | Common | 4,027,964 | 253,125 | 91,717,000 | 25,808,000 | 03/31/2010 |
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COMPUWARE CORP
| CPWR | Common | 10,846,033 | 10,846,033 | 91,106,000 | 91,106,000 | 03/31/2010 |
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REPUBLIC SERVICES INC
| RSG | Common | 3,139,132 | -124,290 | 91,098,000 | -1,289,000 | 03/31/2010 |
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TRANSATLANTIC HOLDINGS INC
| TRH | Common | 1,694,280 | 931,705 | 89,458,000 | 49,721,000 | 03/31/2010 |
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DIAGEO PLC
| DEO | SPON ADR NEW | 1,293,080 | -79,166 | 87,219,000 | -8,028,000 | 03/31/2010 |
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AVERY DENNISON CORPORATION
| AVY | Common | 2,361,365 | 899,670 | 85,977,000 | 32,640,000 | 03/31/2010 |
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GEN PROBE INC
| GPRO | Common | 1,580,670 | 83,240 | 79,034,000 | 14,765,000 | 03/31/2010 |
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APOLLO GROUP INC
| APOL | Common | 1,273,885 | 349,085 | 78,077,000 | 22,053,000 | 03/31/2010 |
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American Water Works Company, Inc.
| AWK | COM | 3,383,905 | -573,280 | 73,634,000 | -15,047,000 | 03/31/2010 |
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QUESTAR CORP
| STR | Common | 1,699,842 | -176,330 | 73,433,000 | -4,560,000 | 03/31/2010 |
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SEMPRA ENERGY
| SRE | Common | 1,434,310 | -665 | 71,572,000 | -8,759,000 | 03/31/2010 |
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OCCIDENTAL PETROLEUM CORP /DE/
| OXY | Common | 821,217 | -22,905 | 69,426,000 | 757,000 | 03/31/2010 |
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WILLIAMS COMPANIES INC
| WMB | Common | 3,004,280 | 3,004,280 | 69,399,000 | 69,399,000 | 03/31/2010 |
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VERISIGN INC/CA
| VRSN | Common | 2,389,073 | -35,785 | 62,163,000 | 3,384,000 | 03/31/2010 |
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HEALTHSOUTH CORP
| HLS | Common | 3,239,021 | -316,515 | 60,569,000 | -6,169,000 | 03/31/2010 |
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DIGITALGLOBE INC
| DGI | Common | 1,976,796 | 12,760 | 55,251,000 | 7,721,000 | 03/31/2010 |
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LABORATORY CORP OF AMERICA HOLDINGS
| LH | Common | 724,588 | -61,830 | 54,859,000 | -3,996,000 | 03/31/2010 |
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FMC CORP
| FMC | Common | 873,765 | 216,194 | 52,897,000 | 16,231,000 | 03/31/2010 |
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MCGRAW-HILL COMPANIES INC
| MHP | Common | 1,393,647 | 14,100 | 49,683,000 | 3,455,000 | 03/31/2010 |
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ENTERPRISE PRODUCTS PARTNERS L P
| EPD | Common | 1,425,418 | -252,680 | 49,292,000 | -3,417,000 | 03/31/2010 |
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Symetra Financial CORP
| SYA | COM | 3,547,790 | 3,547,790 | 46,760,000 | 46,760,000 | 03/31/2010 |
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MAGELLAN MIDSTREAM PARTNERS LP
| MMP | Common | 952,289 | -208,730 | 45,262,000 | -5,045,000 | 03/31/2010 |
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TELEFLEX INC
| TFX | Common | 701,272 | -935 | 44,930,000 | 7,088,000 | 03/31/2010 |
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Energy Transfer Equity, L.P.
| ETE | Common | 1,189,405 | 9,030 | 40,130,000 | 4,034,000 | 03/31/2010 |
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Nalco Holding CO
| NLC | Common | 1,630,623 | 24,600 | 39,672,000 | -1,298,000 | 03/31/2010 |
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GOODRICH CORP
| GR | Common | 534,285 | 534,285 | 37,678,000 | 37,678,000 | 03/31/2010 |
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DEAN FOODS CO
| DF | Common | 2,360,248 | 2,360,248 | 37,033,000 | 37,033,000 | 03/31/2010 |
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WATERS CORP /DE/
| WAT | Common | 472,000 | -164,285 | 31,879,000 | -7,545,000 | 03/31/2010 |
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