DELPHI MANAGEMENT INC /MA/ - Q2 2013 holdings

$839 Million is the total value of DELPHI MANAGEMENT INC /MA/'s 121 reported holdings in Q2 2013. The portfolio turnover from Q1 2013 to Q2 2013 was 17.1% .

 Value Shares↓ Weighting
BRKB BuyBERKSHIRE HATHAWAY INC CL Bcl b new$23,784,000
+23.9%
212,506
+15.4%
2.83%
+15.0%
ACT BuyACTAVIS INC$14,470,000
+85.3%
114,639
+35.2%
1.72%
+71.9%
A309PS BuyDIRECTV CO$13,297,000
+10.5%
215,718
+1.4%
1.58%
+2.5%
VFC BuyVF CORP$12,929,000
+29.4%
66,967
+12.4%
1.54%
+20.0%
VIAB BuyVIACOM INC CL Bcl b$12,706,000
+26.0%
186,768
+13.9%
1.51%
+16.9%
CBS BuyCBSnew cl b$12,685,000
+9.1%
259,559
+4.2%
1.51%
+1.2%
WFC BuyWELLS FARGO AND CO$12,326,000
+22.6%
298,672
+9.8%
1.47%
+13.8%
OMC BuyOMNICOM GROUP INC$12,328,000
+18.8%
196,084
+11.3%
1.47%
+10.3%
CSCO BuyCISCO SYS INC COM$12,255,000
+57.4%
503,603
+35.1%
1.46%
+46.0%
BKE BuyTHE BUCKLE$11,992,000
+29.3%
230,521
+15.9%
1.43%
+20.0%
CMCSK BuyCOMCAST CORP CL A SPLspl$11,935,000
+11.5%
300,849
+11.4%
1.42%
+3.5%
TMO BuyTHERMO FISHER SCIENTIFIC$11,749,000
+11.2%
138,825
+0.5%
1.40%
+3.2%
MYL BuyMYLAN$11,738,000
+9.3%
378,284
+2.0%
1.40%
+1.5%
QCOM BuyQUALCOMM INC$11,702,000
+14.5%
191,548
+25.4%
1.39%
+6.2%
MAT BuyMATTEL$11,669,000
+3.8%
257,536
+0.3%
1.39%
-3.7%
BBBY BuyBED BATH AND BEYOND$11,599,000
+22.2%
163,487
+10.9%
1.38%
+13.4%
ROST BuyROSS STORES INC COM$11,509,000
+36.1%
177,583
+27.3%
1.37%
+26.2%
FDX BuyFEDEX CORP$11,311,000
+21.0%
114,741
+20.5%
1.35%
+12.3%
DOV BuyDOVER CORP$11,307,000
+13.4%
145,597
+6.4%
1.35%
+5.2%
CBI BuyCHICAGO BRIDGE AND IRON CO$11,194,000
+116.7%
187,630
+125.5%
1.33%
+101.2%
PVH BuyPVH Corp$11,147,000
+36.5%
89,140
+16.6%
1.33%
+26.6%
USB BuyUS BANCORP DEL COMnew$11,077,000
+20.2%
306,415
+12.8%
1.32%
+11.6%
CVS BuyCVS CAREMARK$11,055,000
+15.8%
193,337
+11.4%
1.32%
+7.5%
CHKP BuyCHECK POINT SOFTWAREord$11,051,000
+18.4%
222,445
+12.0%
1.32%
+9.9%
TD BuyTORONTO DOMINION$10,759,000
+9.4%
133,869
+13.3%
1.28%
+1.5%
EMC BuyEMC CORP$10,747,000
+24.8%
455,012
+26.3%
1.28%
+15.8%
ORCL BuyORACLE$10,737,000
+7.6%
349,614
+13.3%
1.28%
-0.2%
ZBH BuyZIMMER HOLDINGS$10,542,000
+87.2%
140,668
+87.9%
1.26%
+73.7%
ESV BuyENSCO$10,337,000
+13.4%
177,862
+17.0%
1.23%
+5.2%
INGR BuyINGREDION INC$10,282,000
-0.7%
156,687
+9.4%
1.22%
-7.8%
ARW BuyARROW ELECTRS INC COM$10,267,000
+5.7%
257,635
+7.7%
1.22%
-1.9%
RY BuyROYAL BANK OF CANADA$10,204,000
+49.9%
174,998
+55.0%
1.22%
+39.1%
WLL BuyWHITING PETROLEUM$10,155,000
+17.4%
220,328
+29.5%
1.21%
+9.0%
PCP BuyPRECISION CASTPARTS CORP$10,113,000
+90.5%
44,746
+59.8%
1.20%
+76.7%
EPD BuyENTERPRISE PRODUCT PARTNERS LP$10,019,000
+11.1%
161,203
+7.8%
1.19%
+3.1%
AVT BuyAVNET INC COM$9,969,000
+4.6%
296,701
+12.7%
1.19%
-2.9%
RCII BuyRENT-A-CENTER INC$9,959,000
+15.8%
265,207
+13.9%
1.19%
+7.5%
DE BuyDEERE$9,932,000
+9.7%
122,245
+16.1%
1.18%
+1.8%
MCK BuyMCKESSON$9,873,000
+14.8%
86,229
+8.2%
1.18%
+6.5%
HP BuyHELMERICH AND PAYNE$9,870,000
+14.6%
158,047
+11.3%
1.18%
+6.3%
FDO BuyFAMILY DOLLAR STORES INC$9,813,000
+38.6%
157,493
+31.3%
1.17%
+28.6%
HON BuyHONEYWELL INTERNATIONAL INC$9,597,000
+10.9%
120,955
+5.3%
1.14%
+2.9%
DEO BuyDIAGEOspon adr new$9,539,000
-7.8%
82,981
+1.0%
1.14%
-14.4%
AGU NewAGRIUM INC COM$9,535,000109,647
+100.0%
1.14%
TSN BuyTYSON FOODScl a$9,527,000
+21.9%
370,977
+17.9%
1.14%
+13.2%
SIG BuySIGNET JEWELERS$9,227,000
+14.8%
136,835
+14.1%
1.10%
+6.5%
SNDK NewSANDISK CORPORATION$9,130,000149,426
+100.0%
1.09%
ATW BuyATWOOD OCEANICS$8,814,000
+38.8%
169,333
+40.1%
1.05%
+28.8%
JBL BuyJABIL CIRCUIT INC.$8,769,000
+29.6%
430,275
+17.5%
1.04%
+20.3%
DOX BuyAMDOCS LTD.ord$8,739,000
+25.4%
235,607
+22.5%
1.04%
+16.3%
FL NewFOOT LOCKER INC$8,665,000246,665
+100.0%
1.03%
WU NewWESTERN UNION CO.$8,649,000505,500
+100.0%
1.03%
MTB NewM AND T BANK$8,459,00075,700
+100.0%
1.01%
GIII BuyG-III APPAREL GROUP LTD.$8,391,000
+31.2%
174,383
+9.3%
1.00%
+21.8%
CRMT BuyAMERICA'S CAR-MART INC$8,180,000
+1.7%
189,180
+9.9%
0.98%
-5.6%
TUP BuyTUPPERWARE BRANDS CORP$8,175,000
+7.4%
105,232
+13.0%
0.97%
-0.3%
TS BuyTENARISadr$8,074,000
-0.3%
200,494
+0.9%
0.96%
-7.5%
BDC BuyBELDEN CDT$7,982,000
+36.6%
159,862
+41.3%
0.95%
+26.8%
JCI BuyJOHNSON CTLS INC$7,710,000
+32.8%
215,431
+30.1%
0.92%
+23.4%
TKR BuyTIMKEN CO$7,554,000
+12.3%
134,213
+12.9%
0.90%
+4.2%
ARCC BuyARES CAPITAL CORPORATION$7,287,000
+18.1%
423,635
+24.3%
0.87%
+9.6%
POT BuyPOTASH CORP$6,931,000
+6.6%
181,784
+9.7%
0.83%
-1.1%
VLO BuyVALERO ENERGY CORP$6,760,000
+938.4%
194,416
+1258.7%
0.80%
+858.3%
BCEI BuyBONANZA CREEK ENERGY$6,716,000
+19.6%
189,389
+30.5%
0.80%
+11.0%
SWK BuySTANLEY BLACK AND DECKER$6,046,000
+32.4%
78,215
+38.6%
0.72%
+22.9%
LRCX NewLAM RESEARCH CORP$3,519,00079,361
+100.0%
0.42%
QRTEA NewLIBERTY INTERACTIVE$3,181,000138,233
+100.0%
0.38%
USTR BuyUNITED STATIONERS$2,600,000
-3.2%
77,487
+11.5%
0.31%
-10.1%
TCAP BuyTRIANGLE CAPITAL CORP$2,364,000
+19.0%
85,916
+21.1%
0.28%
+10.6%
NBL BuyNOBLE ENERGY$1,973,000
+30.7%
32,866
+151.8%
0.24%
+21.1%
AAN BuyAARONS INC$1,619,000
+240.1%
57,795
+248.0%
0.19%
+216.4%
CULP BuyCULP INC$1,508,000
+137.5%
86,722
+117.3%
0.18%
+119.5%
CW NewCURTISS-WRIGHT CORP$1,200,00032,391
+100.0%
0.14%
MNTX BuyMANITEX INTERNATIONAL$1,141,000
-0.3%
104,213
+13.1%
0.14%
-7.5%
MDT BuyMEDTRONIC INC COM$1,097,000
+11.8%
21,304
+2.0%
0.13%
+4.0%
ACM BuyAECOM TECH CORP.$1,018,000
-0.5%
32,009
+2.6%
0.12%
-7.6%
EMN NewEASTMAN CHEMICAL CO$792,00011,315
+100.0%
0.09%
SYRG NewSYNERGY RESOURCES INC.$734,000100,313
+100.0%
0.09%
ARII NewAMERICAN RAIL CAR INC$698,00020,820
+100.0%
0.08%
FSP BuyFRANKLIN STREET PROPERTIES$585,000
+223.2%
44,335
+259.0%
0.07%
+204.3%
WCC BuyWESCO INTERNATIONAL$355,000
-2.7%
5,218
+3.7%
0.04%
-10.6%
HFC NewHOLLYFRONTIER CORP$210,0004,900
+100.0%
0.02%
Original filings

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

  • View 13F-HR filed 2013-07-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
BERKSHIRE HATHAWAY INC CL B36Q1 20243.7%
ARROW ELECTRS INC COM36Q1 20241.8%
ARES CAPITAL CORPORATION36Q1 20241.8%
GOLDMAN SACHS36Q1 20241.6%
LAM RESEARCH CORP35Q1 20241.7%
DISNEY WALT CO COM33Q1 20241.9%
EVEREST RE33Q1 20241.8%
D R HORTON INC COM31Q1 20241.8%
LABORATORY CORP. OF AMERICA31Q1 20241.6%
PVH Corp30Q1 20241.5%

View DELPHI MANAGEMENT INC /MA/'s complete holdings history.

Latest significant ownerships (13-D/G)
DELPHI MANAGEMENT INC /MA/ Q2 2013 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
SOUTHWEST BANCORP INCFebruary 01, 2005614,7395.1%
FRESH BRANDS INCAugust 16, 2004158,9503.2%
ACETO CORPApril 25, 2003440,3004.5%
BTU INTERNATIONAL INCApril 25, 2003177,6002.5%
DELPHI MANAGEMENT INC /MA/May 30, 2001? ?

View DELPHI MANAGEMENT INC /MA/'s complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2024-08-26
13F-HR2024-05-21
13F-HR2024-05-20
13F-HR2024-01-25
13F-HR2023-08-28
13F-HR2023-07-11
13F-HR2022-02-15
13F-HR2021-11-15
13F-HR2021-08-16
13F-HR2021-05-14

View DELPHI MANAGEMENT INC /MA/'s complete filings history.

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