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Fund Holdings (%)1,2 as of Dec 31, 2012

Holding % of Net Assets
EV CASH RESERVES FUND 6.02%
Markel Corp 3.96%
LKQ Corp 3.45%
Affiliated Managers Group Inc 3.38%
Morningstar Inc 3.35%
HCC Insurance Holdings Inc 3.19%
DENTSPLY International Inc 2.86%
Sally Beauty Holdings Inc 2.70%
Henry Schein Inc 2.61%
Kirby Corp 2.56%
ANSYS Inc 2.43%
Bio-Rad Laboratories Inc 2.43%
Fair Isaac Corp 2.43%
John Wiley & Sons Inc 2.42%
Equifax Inc 2.25%
IDEX Corp 2.24%
Carlisle Cos Inc 2.23%
AMETEK Inc 2.17%
CLARCOR Inc 2.04%
Acuity Brands Inc 2.01%
Gentex Corp/MI 2.00%
Blackbaud Inc 1.97%
Jacobs Engineering Group Inc 1.97%
Aptargroup Inc 1.96%
City National Corp/CA 1.91%
O REILLY AUTOMOTIVE INC COMMON STOCK USD.01 1.88%
SEI Investments Co 1.74%
CarMax Inc 1.73%
JB Hunt Transport Services Inc 1.73%
Church & Dwight Co Inc 1.69%
Varian Medical Systems Inc 1.52%
Verisk Analytics Inc 1.50%
Forest City Enterprises Inc 1.49%
Graco Inc 1.47%
Umpqua Holdings Corp 1.46%
Oceaneering International Inc 1.45%
Aaron's Inc 1.45%
Jack Henry & Associates Inc 1.43%
FactSet Research Systems Inc 1.37%
FLIR Systems Inc 1.33%
Solera Holdings Inc 1.32%
Mettler-Toledo International Inc 1.22%
WEX Inc 0.99%
Airgas Inc 0.99%
TransDigm Group Inc 0.99%
Dril-Quip Inc 0.96%
Pall Corp 0.96%
Copart Inc 0.95%
Cullen/Frost Bankers Inc 0.94%
Columbia Sportswear Co 0.94%