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Fund Holdings of FIRST INVESTORS MANAGEMENT CO INC Filed on 2012-02-14

Link to Original SEC 13F filings sorted on filing date: 2012-02-14 | 2011-11-14 | 2011-08-12 | 2011-05-13 | 2011-02-14 | 2010-11-15 | 2010-08-13 | 2010-05-13 | 2010-02-10 | 2009-11-13 | 2009-08-14 | 2009-05-15 | 2009-02-13 | 2008-11-14 | 2008-08-14 | 2008-05-14 |

1. Fund Information

Fund NameFIRST INVESTORS MANAGEMENT CO INC
Fund Manager
Address110 WALL STREET,
NEW YORK, NY, 10005
::Google Map
Phone(212) 858-8000
13F Asset Last Qtr$2,214,782,000
13F Asset This Qtr$2,458,918,000
Asset Change11.02%

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.)INTERNATIONAL BUSINESS MACHINES CORP.IBM233,554$42,946Cut -1.27%1.75%
2.)PHILIP MORRIS INTERNATIONAL INC COMMON STOCKPM536,200$42,081Unchanged1.71%
3.)MICROSOFT CORPORATIONMSFT1,523,445$39,549Added 3.39%1.61%
4.)EXXON MOBIL CORP.XOM442,428$37,500Unchanged1.53%
5.)GOODRICH CORP.GR288,735$35,717Cut -0.35%1.45%
6.)PFIZER INCPFE1,550,272$33,548Added 2.15%1.36%
7.)JOHNSON & JOHNSONJNJ504,100$33,059Unchanged1.34%
8.)TAL INTERNATIONAL GROUP INCTAL1,090,200$31,387Added 4.34%1.28%
9.)ABBOTT LABORATORIESABT548,200$30,825Unchanged1.25%
10.)CONOCOPHILLIPSCOP404,209$29,455Added 2.54%1.20%
11.)VERIZON COMMUNICATIONS INCVZ733,400$29,424Unchanged1.20%
12.)3M COMMM349,394$28,556Unchanged1.16%
13.)CHEVRON CORPORATIONCVX266,600$28,366Added 1.91%1.15%
14.)WYNDHAM WORLDWIDE CORPWYN736,543$27,863Added 5.96%1.13%
15.)COCA-COLA CO (THE)KO391,289$27,378Unchanged1.11%
16.)TYCO INTERNATIONAL LTD. (SWITZERLAND)TYC581,118$27,144Cut -0.34%1.10%
17.)AT&T INCT870,513$26,324Added 2.35%1.07%
18.)NCR CORP.NCR1,594,600$26,247Added 9.56%1.07%
19.)LIMITED BRANDS INC.LTD649,800$26,219Unchanged1.07%
20.)PIER 1 IMPORTS INC.PIR1,872,700$26,087Unchanged1.06%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)YAHOO! INC.YHOO1,015,600$16,3820.67%
2.)ITT CORPORATION NEWITT605,100$11,6970.48%
3.)COVIDIEN PLC, DUBLINSHSCOV241,500$10,8700.44%
4.)LYONDELLBASELL INDUSTRIES NV ORDINARY SHARES CLASS A (NETHERLANDS)LYB280,600$9,1170.37%
5.)DELPHI AUTOMOTIVE PLC CSD258,000$5,5570.23%
6.)XYLEM INCXYL163,100$4,1900.17%
7.)NVIDIA CORPORATIONNVDA260,000$3,6040.15%
8.)NTELOS HOLDINGS CORPORATIONNTLS135,000$2,7510.11%
9.)BEAM INCBEAM36,300$1,8600.08%
10.)PRESTIGE BRANDS HOLDINGS INCPBH150,000$1,6910.07%
11.)LUMOS NETWORKS CORPORATIONLMOS100,000$1,5340.06%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)VARIAN SEMICONDUCTOR EQUIPMENT ASSOCIATES, INC.VSEA152,300$9,3130.42%
2.)ST. JUDE MEDICAL, INC.STJ234,900$8,5010.38%
3.)AMGEN INC.AMGN152,378$8,3730.38%
4.)REPUBLIC SERVICES, INC.RSG259,660$7,2860.33%
5.)BROCADE COMMUNICATIONS SYSTEMS, INC.BRCD1,633,400$7,0560.32%
6.)ITT CORPORATIONITT163,100$6,8500.31%
7.)CHECKPOINT SYSTEMS INCCKP497,900$6,7610.31%
8.)TRANSOCEAN LTD (SWITZERLAND) COMMON STOCKRIG131,478$6,2770.28%
9.)MEDTRONIC, INC.MDT128,600$4,2750.19%
10.)MERIT MEDICAL SYSTEMS, INC.MMSI280,000$3,6790.17%
11.)GAMESTOP CORPGME155,900$3,6010.16%
12.)NTELOS HOLDINGS CORP.NTLS200,000$3,5460.16%
13.)DELL INC.DELL215,100$3,0440.14%
14.)STATE STREET CORP.STT86,000$2,7660.13%
15.)ADOBE SYSTEMS INCORPORATEDADBE110,000$2,6590.12%
16.)CA INC.CA127,300$2,4710.11%
17.)INGERSOLL-RAND PLCIR86,000$2,4160.11%
18.)VIACOM INC CL B VIA-B56,000$2,1690.10%
19.)FORTUNE BRANDS INCFO36,300$1,9630.09%
20.)FULLER (H.B.) COMPANYFUL101,400$1,8480.08%