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HOOVER INVESTMENT MANAGEMENT CO LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Douglas Emmett Inc DEICommon164,600-455,5002,732,000-8,126,0000.43  Hist 12/31/2010
HEXCEL CORP /DE/ HXLCommon173,100-452,7003,131,000-8,002,0000.49  Hist 12/31/2010
Veradigm Inc. MDRXCommon177,000-436,4003,411,000-7,918,0000.53  Hist 12/31/2010
Riverbed Technology, Inc. RVBDCommon146,700-137,7005,159,000-7,804,0000.81  Hist 12/31/2010
UNITED NATURAL FOODS INC UNFICommon12,600-235,473462,000-7,754,0000.07  Hist 12/31/2010
INTERSIL CORP/DE ISILCL A95,000-480,8001,451,000-7,381,0000.23  Hist 12/31/2010
BIO REFERENCE LABORATORIES INC BRLICOMMON161,100-353,9003,573,000-7,170,0000.56  Hist 12/31/2010
ARIBA INC ARBACommon346,200-462,0008,132,000-7,143,0001.27  Hist 12/31/2010
Fortinet, Inc. FTNTCOM211,000-344,7006,826,000-7,066,0001.070.29 Hist 12/31/2010
AMERICAN CAMPUS COMMUNITIES INC ACCCommon86,800-209,6002,757,000-6,266,0000.43  Hist 12/31/2010
Aegion Corp INSUCommon124,700-269,0003,306,000-6,225,0000.52  Hist 12/31/2010
POWER ONE INC PWERCOM315,500-707,5003,218,000-6,081,0000.50  Hist 12/31/2010
MONRO, INC. MNROCOM226,050-73,6507,819,000-6,000,0001.22  Hist 12/31/2010
TIBCO SOFTWARE INC TIBXCommon340,800-373,8006,717,000-5,960,0001.05  Hist 12/31/2010
GEO GROUP INC GEOCommon275,200-266,5506,786,000-5,864,0001.06  Hist 12/31/2010
THOR INDUSTRIES INC THOCommon96,900-205,8003,291,000-5,854,0000.51  Hist 12/31/2010
TRACTOR SUPPLY CO /DE/ TSCOCommon124,274-157,0006,026,000-5,129,0000.94  Hist 12/31/2010
ALEXANDRIA REAL ESTATE EQUITIES, INC. ARECommon18,500-73,6501,355,000-5,095,0000.21  Hist 12/31/2010
OMEGA HEALTHCARE INVESTORS INC OHICommon160,400-225,7003,600,000-5,068,0000.56  Hist 12/31/2010
STANTEC INC SXCCommon211,600-172,7009,069,000-4,947,0001.42  Hist 12/31/2010
KORN FERRY KFYCommon177,800-332,8804,109,000-4,904,0000.64  Hist 12/31/2010
SONOSITE INC SONOCommon81,100-139,7002,563,000-4,836,0000.400.60 Hist 12/31/2010
RACKSPACE HOSTING, INC. RAXCOM213,000-229,9006,691,000-4,815,0001.050.17 Hist 12/31/2010
FREDS INC FREDCL A234,200-425,4003,222,000-4,562,0000.50  Hist 12/31/2010
OMNIVISION TECHNOLOGIES INC OVTICommon227,200-259,0006,727,000-4,475,0001.05  Hist 12/31/2010
COHERENT INC COHRCommon162,300-123,8007,327,000-4,120,0001.140.65 Hist 12/31/2010
COMMVAULT SYSTEMS INC CVLTCommon242,400-177,8006,938,000-4,000,0001.080.56 Hist 12/31/2010
MWI Veterinary Supply, Inc. MWIVCommon84,900-76,6005,362,000-3,960,0000.84  Hist 12/31/2010
LIFE TIME FITNESS, INC. LTMCommon136,100-104,7005,579,000-3,925,0000.870.32 Hist 12/31/2010
CHIPOTLE MEXICAN GRILL INC CMGCl A6,500-23,5001,382,000-3,778,0000.22  Hist 12/31/2010
EPR PROPERTIES EPRCommon100,900-94,0504,667,000-3,751,0000.73  Hist 12/31/2010
MICROS SYSTEMS INC MCRSCommon142,900-88,2006,268,000-3,514,0000.98  Hist 12/31/2010
ALASKA AIR GROUP, INC. ALKCommon114,400-76,9006,485,000-3,277,0001.01  Hist 12/31/2010
RUBY TUESDAY INC RTCommon593,600-332,5007,753,000-3,240,0001.21  Hist 12/31/2010
IPC Healthcare, Inc. IPCMCommon158,300-184,2006,175,000-3,175,0000.960.97 Hist 12/31/2010
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