DJ CFA SOURCE: SEC 13F-HR 
FILER: GAMCO Asset Management Inc. 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/07/2013 
 

Up to 200 of the largest purchases of GAMCO Asset Management Inc. are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
FEDERAL MOGUL CORP  CL A           $99,273,931     5,912,682     2,107,383 
WEATHERFORD INTERNATIONAL LTD     $164,844,180    10,753,045     1,368,070 
LEAP WIRELESS INTERNATIONAL IN     $21,331,580     1,350,100     1,350,100 
SPRINT CORP  COM                    $7,441,898     1,196,639     1,196,639 
NEWS CORP  CL A                    $16,657,850     1,037,226     1,037,226 
DOLE FOOD CO INC  COM              $14,053,307     1,031,814       999,814 
NV ENERGY INC  COM                 $58,076,114     2,459,810       947,110 
HARRIS TEETER SUPERMARKETS INC     $43,247,848       879,200       879,200 
NEWS CORP  CL B                    $13,686,749       833,034       833,034 
SAKS INC  COM                      $11,773,284       738,600       738,600 
SHFL ENTERTAINMENT INC  COM        $15,121,036       658,295       658,295 
MOLEX INC  CL A NVTG               $21,919,128       572,600       572,600 
TEXTRON INC  COM                   $41,807,062     1,514,200       559,300 
NAVISTAR INTERNATIONAL  COM       $202,629,765     5,554,544       541,004 
FREEPORT MCMORAN COPPER  CL B      $52,445,297     1,585,408       461,395 
XYLEM INC  COM                    $113,726,798     4,071,851       451,916 
CYPRESS SEMICONDUCTOR CORP  CO     $18,360,028     1,964,690       420,700 
MAKO SURGICAL CORP  COM            $20,851,766       706,600       406,900 
SONY CORP  ADR                      $8,399,256       390,300       378,800 
PENNEY J C INC  COM                 $4,913,190       558,000       324,000 
GREENWAY MEDICAL TECHNOLOGIES       $6,601,702       319,695       319,695 
CINCINNATI BELL INC  COM           $36,889,108    13,562,172       308,852 
HEWLETT PACKARD CO  COM             $5,549,756       264,400       253,900 
DIEBOLD INC  COM                  $107,500,700     3,661,468       239,829 
DOMINION DIAMOND CORP  COM          $3,413,200       280,000       225,000 
HI-TECH PHARMACAL INC  COM          $9,435,481       218,667       218,667 
TWENTY FIRST CENTURY FOX INC       $30,043,701       899,512       218,224 
FLUSHING FINANCIAL CORP  COM       $14,156,722       767,302       202,651 
PEABODY ENERGY CORP  COM            $8,414,550       487,800       190,800 
ZOETIS INC  CL A                    $7,616,931       244,760       190,400 
ALCOA INC  COM                     $18,904,180     2,328,101       184,541 
PEP BOYS MANNY MOE & JACK  COM     $63,447,821     5,088,037       184,300 
TWENTY FIRST CENTURY FOX INC      $142,261,444     4,245,343       175,938 
MURPHY USA INC  COM                 $6,992,317       173,120       173,120 
GENCORP INC  COM                   $86,724,192     5,410,118       168,440 
MUELLER INDUSTRIES INC  COM        $67,767,091     1,217,300       163,200 
TYCO INTERNATIONAL LTD  COM        $73,570,531     2,103,217       161,224 
ST JOE CO  COM                     $11,064,052       563,917       155,226 
MYERS INDUSTRIES INC  COM          $78,208,494     3,889,035       154,846 
IXIA  COM                          $10,266,984       655,200       151,600 
PFIZER INC  COM                    $34,551,665     1,202,843       150,555 
MORGAN STANLEY  COM                $45,466,941     1,687,085       144,525 
LIBERTY INTERACTIVE CORP  INT      $56,692,536     2,415,532       141,588 
LA Z BOY INC  COM                  $10,492,020       462,000       140,500 
ADT CORP  COM                      $41,685,689     1,025,226       134,824 
CST BRANDS INC  COM                $13,150,889       441,305       134,305 
HILLSHIRE BRANDS CO  COM           $81,672,737     2,656,888       124,006 
MARCUS CORP  COM                   $20,320,307     1,398,507       122,494 
COTY INC  CL A                      $4,152,192       256,150       117,150 
MARINE PRODUCTS CORP  COM          $17,207,735     1,895,125       115,000 
VODAFONE GROUP PLC  ADR            $24,765,137       703,955       111,762 
ROGERS COMMUNICATIONS INC  CL      $34,063,662       791,994       111,700 
FEDERAL SIGNAL CORP  COM           $10,859,706       843,800       110,300 
EXPRESS SCRIPTS HOLDING CO  CO      $9,801,356       158,598       106,228 
COMCAST CORP  CL A SPECIAL NVT     $50,787,560     1,171,570       101,960 
GENERAL ELECTRIC CO  COM           $44,746,973     1,873,042       101,130 
WAUSAU PAPER CORP  COM              $4,741,350       365,000       100,000 
WORLD WRESTLING ENTERTAINMENT       $1,976,031       194,300        97,950 
ELAN CORP PLC  ADR                  $2,330,768       149,600        93,800 
JANUS CAPITAL GROUP INC  COM       $53,858,590     6,328,859        87,400 
EARTHLINK INC  COM                  $6,197,895     1,252,100        87,050 
VICOR CORP  COM                       $703,406        85,991        85,991 
NII HOLDINGS INC  COM              $14,382,683     2,369,470        83,900 
BLUCORA INC  COM                    $8,192,370       356,500        80,450 
ZOLTEK COS INC  COM                 $1,318,510        79,000        79,000 
INGLES MARKETS INC  CL A           $40,165,201     1,398,023        77,522 
IGO INC  COM                          $229,269        76,169        76,169 
CROWN MEDIA HOLDINGS INC  CL A      $1,090,320       354,000        76,000 
STEWART ENTERPRISES INC  CL A      $25,752,473     1,958,363        74,100 
ECHOSTAR CORP  COM                 $27,314,993       621,643        71,852 
BANK OF NEW YORK MELLON CORP      $186,483,992     6,177,012        69,493 
WASTE MANAGEMENT INC  COM          $49,156,719     1,191,967        67,466 
CONAGRA FOODS INC  COM             $12,425,868       409,554        66,300 
ASTEC INDUSTRIES INC  COM          $15,376,496       427,600        65,500 
DOLAN CO  COM                         $214,700        95,000        65,000 
ACCO BRANDS CORP  COM               $5,645,819       850,274        63,455 
REPUBLIC SERVICES INC  COM         $82,779,070     2,481,387        62,249 
BON-TON STORES INC  COM             $6,609,575       626,500        60,000 
NEWMONT MINING CORP  COM           $62,809,991     2,235,231        56,746 
TIMKEN CO  COM                      $3,352,200        55,500        55,500 
OUTERWALL INC  COM                 $14,427,401       288,375        53,575 
MICROSOFT CORP  COM                $13,073,882       392,845        52,245 
POST HOLDINGS INC  COM             $36,454,877       903,019        50,673 
EBAY INC  COM                      $16,357,755       293,176        50,520 
CONSOL ENERGY INC  COM             $39,856,642     1,184,447        49,820 
BEAM INC  COM                     $166,203,190     2,570,815        47,648 
ELIZABETH ARDEN INC  COM            $2,289,040        62,000        46,000 
COMMUNICATIONS SYSTEMS INC  CO      $3,487,925       308,393        45,000 
RIVERBED TECHNOLOGY INC  COM        $1,386,050        95,000        44,000 
GENTIVA HEALTH SERVICES INC  C     $11,705,288       972,200        43,500 
AZZ INC  COM                        $2,289,742        54,700        43,100 
COVIDIEN PLC  COM                  $37,346,409       612,839        41,733 
INTERNAP NETWORK SERVICES COM      $46,873,601     6,744,403        41,486 
NATHANS FAMOUS INC  NEW COM        $10,416,133       197,350        41,100 
PROGRESSIVE WASTE SOLUTIONS LT      $9,283,873       360,819        41,019 
NORTHWESTERN CORP  COM             $21,799,676       485,300        40,000 
GABELLI HEALTHCARE & WELLNESS       $1,643,905       160,381        39,278 
NIELSEN HOLDINGS NV  ORD            $1,376,352        37,760        37,760 
IRIDIUM COMMUNICATIONS INC  CO        $550,400        80,000        37,000 
BLACKHAWK NETWORK HOLDINGS INC      $2,097,002        87,266        36,266 
HERTZ GLOBAL HOLDINGS INC  COM        $797,760        36,000        36,000 
SALEM COMMUNICATIONS CORP  CL       $9,852,480     1,189,913        35,800 
MONDELEZ INTERNATIONAL INC  CL    $110,681,007     3,522,517        35,444 
COHEN & STEERS INC  COM            $52,600,036     1,489,664        35,325 
GUIDANCE SOFTWARE INC  COM          $2,726,215       300,575        34,450 
FOREST CITY ENTERPRISES INC  C        $643,013        33,950        33,950 
GANNETT INC  COM                      $858,352        32,040        32,040 
GATX CORP  COM                    $170,348,128     3,584,767        31,889 
MOLEX INC  COM                      $1,174,860        30,500        30,500 
LORAL SPACE & COMMUNICATIONS       $16,230,885       239,641        30,276 
AVON PRODUCTS INC  COM             $22,287,140     1,081,900        30,200 
NUVASIVE INC  COM                   $2,221,243        90,700        30,000 
EMPIRE DISTRICT ELECTRIC CO  C        $649,800        30,000        30,000 
ETHAN ALLEN INTERIORS INC  COM      $1,672,200        60,000        30,000 
PNC FINANCIAL SERVICES GROUP       $74,283,202     1,025,303        29,996 
CLEAR CHANNEL OUTDOOR HLDGS  C     $21,043,422     2,566,271        29,700 
EMULEX CORP  COM                    $1,112,008       143,300        28,400 
SAFEWAY INC  COM                    $4,374,633       136,750        27,300 
CECO ENVIRONMENTAL CORP  COM          $376,837        26,764        26,764 
T ROWE PRICE GROUP INC  COM        $18,414,080       256,000        26,400 
TEJON RANCH CO  COM                $10,998,808       356,641        26,033 
LAWSON PRODUCTS INC  COM            $1,816,086       176,148        25,548 
INTERPUBLIC GROUP OF COS  COM      $22,414,763     1,304,701        25,401 
INTELSAT SA  COM                    $1,276,800        53,200        24,500 
LIFE TECHNOLOGIES CORP  COM        $99,890,417     1,334,898        23,378 
DIAMOND FOODS INC  COM              $8,124,750       345,000        22,000 
ORACLE CORP  COM                    $2,302,164        69,405        21,940 
BLOUNT INTERNATIONAL INC  COM         $662,114        54,675        21,675 
GLOBECOMM SYSTEMS INC  COM            $301,215        21,500        21,500 
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