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Fund Holdings of LEONARD CAPITAL MANAGEMENT INC Filed on 2012-02-09

Link to Original SEC 13F filings sorted on filing date: 2012-02-09 |

1. Fund Information

Fund NameLEONARD CAPITAL MANAGEMENT INC
Fund Manager
Address60 STARGAZER WAY,
SEDONA, AZ, 86336
::Google Map
Phone(734) 213-1384
13F Asset Last Qtr$0
13F Asset This Qtr$257,041,000
Asset Change0.00%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Port.
1.)IAC/INTERACTIVECORPIACI196,346$8,364New3.25%
2.)ASTEC INDUSTRIES170,000$5,476New2.13%
3.)MICROSOFT CORPORATIONMSFT200,000$5,192New2.02%
4.)CONTINENTAL RESOURCES, INC. COMMON STOCKCLR62,000$4,136New1.61%
5.)DISH NETWORK CORPORATIONDISH140,000$3,987New1.55%
6.)MKT VECT GOLD MNRSGDX75,000$3,857New1.50%
7.)HESS CORPHES63,000$3,578New1.39%
8.)SPDR HOMEBUILDERS ETXHB200,000$3,420New1.33%
9.)DEVON ENERGY CORP.DVN54,000$3,348New1.30%
10.)COVIDIEN PLC SHS72,823$3,278New1.28%
11.)VALUECLICK, INC.VCLK200,953$3,274New1.27%
12.)PAR PHARMACEUTICAL COMPANIES INCPRX100,000$3,273New1.27%
13.)COCA-COLA CO (THE)KO45,000$3,149New1.23%
14.)INTEL CORPORATIONINTC125,000$3,031New1.18%
15.)NEWMONT MINING CORP. (HOLDING CO.)NEM50,000$3,001New1.17%
16.)ATWOOD OCEANICS75,000$2,984New1.16%
17.)ORACLE CORPORATIONORCL115,000$2,950New1.15%
18.)CONOCOPHILLIPSCOP40,000$2,915New1.13%
19.)MARATHON OIL CORP.MRO97,000$2,839New1.10%
20.)MERCK & CO., INCMRK75,000$2,828New1.10%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)IAC/INTERACTIVECORPIACI196,346$8,3643.25%
2.)ASTEC INDUSTRIES170,000$5,4762.13%
3.)MICROSOFT CORPORATIONMSFT200,000$5,1922.02%
4.)CONTINENTAL RESOURCES, INC. COMMON STOCKCLR62,000$4,1361.61%
5.)DISH NETWORK CORPORATIONDISH140,000$3,9871.55%
6.)MKT VECT GOLD MNRSGDX75,000$3,8571.50%
7.)HESS CORPHES63,000$3,5781.39%
8.)SPDR HOMEBUILDERS ETXHB200,000$3,4201.33%
9.)DEVON ENERGY CORP.DVN54,000$3,3481.30%
10.)COVIDIEN PLC SHS72,823$3,2781.28%
11.)VALUECLICK, INC.VCLK200,953$3,2741.27%
12.)PAR PHARMACEUTICAL COMPANIES INCPRX100,000$3,2731.27%
13.)COCA-COLA CO (THE)KO45,000$3,1491.23%
14.)INTEL CORPORATIONINTC125,000$3,0311.18%
15.)NEWMONT MINING CORP. (HOLDING CO.)NEM50,000$3,0011.17%
16.)ATWOOD OCEANICS75,000$2,9841.16%
17.)ORACLE CORPORATIONORCL115,000$2,9501.15%
18.)CONOCOPHILLIPSCOP40,000$2,9151.13%
19.)MARATHON OIL CORP.MRO97,000$2,8391.10%
20.)MERCK & CO., INCMRK75,000$2,8281.10%

5. No Stock Was TOTALLY SOLD OUT in the Recent Quarter.