EAGLE BOSTON INVESTMENT MANAGEMENT INC - Q2 2013 holdings

$1.5 Billion is the total value of EAGLE BOSTON INVESTMENT MANAGEMENT INC's 136 reported holdings in Q2 2013. The portfolio turnover from Q1 2013 to Q2 2013 was - .

 Value Shares↓ Weighting
EEFT NewEURONET WORLDWIDE INC COM$31,966,0001,003,342
+100.0%
2.13%
ASGN NewON ASSIGNMENT INC COM$31,683,0001,185,769
+100.0%
2.11%
AZPN NewASPEN TECHNOLOGY INC COM$30,636,0001,064,136
+100.0%
2.04%
AMSG NewAMSURG INC COM$28,821,000821,123
+100.0%
1.92%
CBST NewCUBIST PHARMACEUTICALS INC COM$27,658,000572,762
+100.0%
1.84%
DY NewDYCOM INDS INC COM$27,626,0001,193,886
+100.0%
1.84%
AEL NewAMERICAN EQTY INVT LIFE HLD COM$27,201,0001,732,603
+100.0%
1.81%
PRXL NewPAREXEL INTL CORP COM$27,029,000587,971
+100.0%
1.80%
OII NewOCEANEERING INTL INC COM$26,999,000373,958
+100.0%
1.80%
DRC NewDRESSER-RAND GROUP INC COM$25,067,000417,929
+100.0%
1.67%
OFG NewOFG BANCORP$24,746,0001,366,464
+100.0%
1.65%
CRI NewCARTER INC COM$23,521,000317,559
+100.0%
1.57%
EFII NewELECTRONICS FOR IMAGING INC COM$23,346,000825,265
+100.0%
1.55%
AFCE NewAFC ENTERPRISES INC COM$22,999,000639,935
+100.0%
1.53%
EPAY NewBOTTOMLINE TECHNOLOGIES DEL COM$22,586,000893,088
+100.0%
1.50%
ALE NewALLETE INC COM NEW$21,740,000436,118
+100.0%
1.45%
TRAK NewDEALERTRACK HLDGS INC COM$21,683,000612,015
+100.0%
1.44%
PVTB NewPRIVATEBANCORP INC COM$20,724,000976,400
+100.0%
1.38%
NBHC NewNational Bank HLDGSK$20,711,0001,051,329
+100.0%
1.38%
CHE NewCHEMED CORP NEW COM$20,621,000284,716
+100.0%
1.37%
TWGP NewTOWER GROUP INTL LTD COM$20,416,000995,424
+100.0%
1.36%
JAH NewJARDEN CORP COM$20,032,000457,879
+100.0%
1.33%
MATW NewMATTHEWS INTL CORP CL A$19,806,000525,359
+100.0%
1.32%
BDC NewBELDEN CDT INC COM$19,793,000396,429
+100.0%
1.32%
B NewBARNES GROUP INC COM$19,395,000646,736
+100.0%
1.29%
6107SC NewURS CORP NEW COM$19,181,000406,221
+100.0%
1.28%
STSA NewSTERLING FINL CORP WASH COM NEW$18,785,000789,972
+100.0%
1.25%
MMSI NewMERIT MED SYS INC COM$17,716,0001,588,883
+100.0%
1.18%
MD NewMEDNAX INC COM$17,445,000190,491
+100.0%
1.16%
INWK NewINNERWORKINGS INC COM$17,430,0001,606,463
+100.0%
1.16%
ROSE NewROSETTA RESOURCES INC COM$17,420,000409,696
+100.0%
1.16%
NUS NewNU SKIN ENTERPRISES INC CL A$16,589,000271,422
+100.0%
1.10%
IT NewGARTNER INC COM$16,514,000289,780
+100.0%
1.10%
PTP NewPLATINUM UNDERWRITER HLDGS LTD (BERMUDA)$15,993,000279,515
+100.0%
1.06%
FLWS New1 800 FLOWERS COM INC CL A$15,813,0002,554,686
+100.0%
1.05%
MSCC NewMICROSEMI CORPORATION$15,507,000681,664
+100.0%
1.03%
HLF NewHERBALIFE LTD COM USD SHS$15,228,000337,358
+100.0%
1.01%
ABFS NewARKANSAS BEST CORP DEL COM$14,854,000647,267
+100.0%
0.99%
GWR NewGENESEE & WYO INC CL A$14,802,000174,475
+100.0%
0.98%
TMS NewTMS INTL CORP CL A$14,493,000977,283
+100.0%
0.96%
PBH NewPRESTIGE BRANDS HLDGS INC COM$14,302,000490,825
+100.0%
0.95%
DGI NewDIGITALGLOBE INC COM NEW$14,295,000460,993
+100.0%
0.95%
AIMC NewALTRA HOLDINGS INC COM$14,088,000514,567
+100.0%
0.94%
BHLB NewBERKSHIRE HILLS BANCORP INC COM$13,893,000500,492
+100.0%
0.92%
GAS NewAGL RES INC COM$13,819,000322,428
+100.0%
0.92%
AER NewAERCAP HOLDINGS NV SHS$13,737,000786,784
+100.0%
0.91%
WNC NewWABASH NATL CORP COM$13,634,0001,339,390
+100.0%
0.91%
CCG NewCampus Crest Cmntys Inc (REIT)reit$13,070,0001,132,649
+100.0%
0.87%
ROG NewROGERS CORP COM$13,014,000275,037
+100.0%
0.87%
CUBI NewCustomers Bancorp Inc$12,870,000792,035
+100.0%
0.86%
PRSC NewPROVIDENCE SVC CORP COM$12,779,000439,298
+100.0%
0.85%
SIR NewSELECT INCOME REIT COM SH BEN INTreit$12,695,000452,777
+100.0%
0.84%
CMCO NewCOLUMBUS MCKINNON CORP N Y COM$12,272,000575,653
+100.0%
0.82%
CHEF NewCHEFS WHSE INC COM$12,083,000702,557
+100.0%
0.80%
HASI NewHANNON ARMSTRONG SUST INFR CCOM$11,919,0001,003,355
+100.0%
0.79%
ORB NewORBITAL SCIENCES CORP COM$11,880,000683,972
+100.0%
0.79%
ELX NewEMULEX CORP COM NEW$11,752,0001,802,576
+100.0%
0.78%
JWA NewWILEY JOHN & SONS INCORPORATED CLASS A$11,441,000285,386
+100.0%
0.76%
KRA NewKRATON PERFORMANCE POLYMERS COM$11,425,000538,950
+100.0%
0.76%
MKTX NewMARKETAXESS HLDGS INC COM$11,332,000242,401
+100.0%
0.75%
CVGI NewCOMMERCIAL VEH GROUP INC COM$10,858,0001,455,583
+100.0%
0.72%
CPLP NewCAPITAL PRODUCT PARTNERS L PCOM UNIT LPmlp$10,863,0001,170,610
+100.0%
0.72%
ITG NewINVESTMENT TECHNOLOGY GRP NECOM$10,674,000763,551
+100.0%
0.71%
ROVI NewROVI CORPORATION$10,487,000459,182
+100.0%
0.70%
WAB NewWABTEC CORP COM$10,049,000188,092
+100.0%
0.67%
AGO NewASSURED GUARANTY LIMITED$10,031,000454,735
+100.0%
0.67%
NSM NewNationstar MTG Holdings Inc$10,011,000267,391
+100.0%
0.67%
EDE NewEMPIRE DIST ELEC CO COM$9,636,000431,926
+100.0%
0.64%
SLGN NewSILGAN HLDGS INC COM$9,624,000204,960
+100.0%
0.64%
IWM NewISHARES TR RUSSELL 2000etp$9,448,00097,407
+100.0%
0.63%
IWN NewISHARES TR RUSL 2000 VALUetp$9,354,000108,897
+100.0%
0.62%
QDEL NewQUIDEL CORP COM$9,325,000365,265
+100.0%
0.62%
LQDT NewLIQUIDITY SERVICES INC COM$9,275,000267,527
+100.0%
0.62%
DRIV NewDIGITAL RIV INC COM$8,936,000476,104
+100.0%
0.60%
ACIW NewACI WORLDWIDE INC COM$8,487,000182,609
+100.0%
0.56%
STAG NewSTAG INDL INC COMreit$8,386,000420,392
+100.0%
0.56%
SYMM NewSYMMETRICOM INC COM$8,018,0001,785,783
+100.0%
0.53%
CBEY NewCBEYOND INC COM$7,944,0001,013,325
+100.0%
0.53%
BHE NewBENCHMARK ELECTRS INC COM$7,952,000395,667
+100.0%
0.53%
WD NewWALKER & DUNLOP INC COM$7,882,000450,417
+100.0%
0.52%
CFNL NewCARDINAL FINL CORP COM$7,766,000530,508
+100.0%
0.52%
GOV NewGovernment PPTYS Income Trustreit$7,754,000307,463
+100.0%
0.52%
ITRI NewITRON INC COM$7,709,000181,703
+100.0%
0.51%
CRK NewCOMSTOCK RES INCORPORATED$7,611,000483,897
+100.0%
0.51%
GSIG NewGSI GROUP INC (CANADA) NEW COM NEW$7,502,000933,095
+100.0%
0.50%
FFBC NewFIRST FINL BANCORP OH COM$6,924,000464,702
+100.0%
0.46%
SSINQ NewSTAGE STORES INCORPORATED$6,649,000282,972
+100.0%
0.44%
CRL NewCHARLES RIVER LABS$6,584,000160,492
+100.0%
0.44%
AUQ NewAURICO GOLD INC (CANADA)$6,552,0001,499,489
+100.0%
0.44%
REN NewRESOLUTE ENERGY CORP COM$6,481,000812,254
+100.0%
0.43%
KDN NewKAYDON CORP COM$6,305,000228,869
+100.0%
0.42%
CLMS NewCALAMOS ASSET MGMT INC CL A$6,243,000594,635
+100.0%
0.42%
BBRG NewBRAVO BRIO RESTAURANT GROUP COM$5,289,000296,819
+100.0%
0.35%
NSIT NewINSIGHT ENTERPRISES INC COM$5,255,000296,251
+100.0%
0.35%
CCRN NewCROSS CTRY HEALTHCARE INC COM$5,102,000988,828
+100.0%
0.34%
TITN NewTITAN MACHY INC COM$5,008,000255,124
+100.0%
0.33%
COLB NewCOLUMBIA BKG SYS INC COM$4,876,000204,792
+100.0%
0.32%
ASEI NewAMERICAN SCIENCE & ENGR INC COM$4,646,00082,974
+100.0%
0.31%
CWST NewCASELLA WASTE SYS INC CL A$4,475,0001,038,424
+100.0%
0.30%
MRCY NewMERCURY COMPUTER SYS INC COM$4,174,000452,728
+100.0%
0.28%
TCBI NewTEXAS CAPITAL BANCSHARES INCCOM$4,142,00093,381
+100.0%
0.28%
NCR NewNCR CORP NEW COM$4,000,000121,259
+100.0%
0.27%
BMR NewBIOMED REALTY TRUST INC COMreit$3,807,000188,190
+100.0%
0.25%
RSHCQ NewRADIOSHACK CORP COM$3,591,0001,136,576
+100.0%
0.24%
IBTX NewIndependent Bank Group Inc$3,478,000114,435
+100.0%
0.23%
STAN NewSTANDARD PARKING CORP COM$3,256,000151,747
+100.0%
0.22%
ANRZQ NewALPHA NATURAL RESOURCES INC COM$3,143,000599,985
+100.0%
0.21%
AVID NewAVID TECHNOLOGY INCORPORATED$3,018,000513,328
+100.0%
0.20%
NSR NewNEUSTAR INCORPORATED CLASS A$2,988,00061,399
+100.0%
0.20%
ALB NewALBEMARLE CORPORATION$2,958,00047,497
+100.0%
0.20%
BKU NewBANKUNITED INC COM$2,947,000113,327
+100.0%
0.20%
IAG NewIAMGOLD CORP COM$2,933,000677,529
+100.0%
0.20%
IEX NewIDEX CORPORATION$2,887,00053,662
+100.0%
0.19%
NDAQ NewNASDAQ STOCK MARKET INC COM$2,798,00085,359
+100.0%
0.19%
DOLNQ NewDOLAN MEDIA CO COM$2,694,0001,653,135
+100.0%
0.18%
HSC NewHARSCO CORP COM$2,622,000113,095
+100.0%
0.18%
HEIA NewHEICO CORP NEW CL A$2,610,00070,724
+100.0%
0.17%
CNS NewCOHEN & STEERS INC COM$2,270,00066,813
+100.0%
0.15%
FLIR NewFLIR SYS INC COM$2,199,00081,562
+100.0%
0.15%
EQIX NewEQUINIX INC COM NEW$2,199,00011,907
+100.0%
0.15%
RRC NewRANGE RES CORPORATION$2,165,00028,008
+100.0%
0.14%
IM NewINGRAM MICRO INCORORATED CLASS A$2,079,000109,523
+100.0%
0.14%
ATR NewAPTARGROUP INC COM$2,021,00036,619
+100.0%
0.14%
AWHHF NewALLIED WORLD ASSURANCE COMPANY HOLDINGS LTD$1,875,00020,500
+100.0%
0.12%
FCN NewFTI CONSULTING INC COM$1,869,00056,846
+100.0%
0.12%
AGCO NewAGCO CORP COM$1,636,00032,604
+100.0%
0.11%
TROX NewTRONOX LTD SHS CL A$1,455,00072,230
+100.0%
0.10%
HSH NewHILLSHIRE BRANDS CO COM$1,365,00041,282
+100.0%
0.09%
BNCL NewBENEFICIAL MUTUAL BANCORP INCOM$1,352,000160,962
+100.0%
0.09%
SLRC NewSOLAR CAP LTD COM$1,098,00047,591
+100.0%
0.07%
FULT NewFULTON FINL CORP PA COM$1,104,00096,177
+100.0%
0.07%
SBNY NewSIGNATURE BK NEW YORK N Y COM$1,051,00012,670
+100.0%
0.07%
ISIL NewINTERSIL CORPORATION CLASS A$1,000,000128,299
+100.0%
0.07%
CENTA NewCENTRAL GARDEN & PET CO CL A NON-VTGnull$340,00049,396
+100.0%
0.02%
ACI NewARCH COAL INC COM$313,00082,838
+100.0%
0.02%
CENT NewCENTRAL GARDEN & PET CO COMnull$148,00020,943
+100.0%
0.01%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2013-07-31
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
ON ASSIGNMENT INC COM25Q2 20192.7%
EURONET WORLDWIDE INC COM25Q2 20192.9%
CARTER'S INC25Q2 20192.9%
MERIT MED SYS INC COM25Q2 20192.2%
NATIONAL BANK HOLD-CL A25Q2 20192.2%
ALLETE INC COM NEW25Q2 20192.3%
DYCOM INDUSTRIES INC25Q2 20192.3%
ELECTRONICS FOR IMAGING INC COM25Q2 20191.9%
BOTTOMLINE TECHNOLOGIES DEL COM25Q2 20192.3%
ASPEN TECHNOLOGY INC COM25Q2 20192.4%

View EAGLE BOSTON INVESTMENT MANAGEMENT INC's complete holdings history.

Latest significant ownerships (13-D/G)
EAGLE BOSTON INVESTMENT MANAGEMENT INC Q2 2013 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
1 800 FLOWERS COM INCFebruary 11, 20161,244,8833.6%
Commercial Vehicle Group, Inc.February 11, 2016909,3223.0%
Hannon Armstrong Sustainable Infrastructure Capital, Inc.January 22, 20151,036,7453.8%
DOLAN MEDIA COSold outJanuary 14, 201400.0%
AFC ENTERPRISES INCJanuary 17, 2013916,5463.8%
TMS International Corp.January 17, 2013997,1662.5%
LECG CORPMarch 04, 201119,3530.1%
HIGHLAND HOSPITALITY CORPJanuary 13, 20062,316,3444.5%
INFOUSA INCJanuary 13, 20062,661,3294.9%
MCG CAPITAL CORPJanuary 13, 20061,613,0563.0%

View EAGLE BOSTON INVESTMENT MANAGEMENT INC's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2019-08-05
13F-HR2019-05-01
13F-HR2019-02-11
13F-HR2018-11-08
13F-HR2018-08-07
13F-HR2018-05-09
13F-HR2018-02-09
13F-HR2017-11-09
13F-HR2017-08-09
13F-HR2017-05-05

View EAGLE BOSTON INVESTMENT MANAGEMENT INC's complete filings history.

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