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Wednesday, October 04, 2006 2:18:46 PM
from:http://www.nasdaq.com/asp/Holdings.asp?symbol=CSHD&selected=CSHD
Holdings Summary
BKMP BKMP
BLACKOUT MEDIA CORP Other OTC
Institutional Portfolio Description | Hide Summary
Address
ROCKVIEW MANAGEMENT, LLC
900 THIRD AVENUE
NEW YORK, NY 10022
212-821-8700
Position Statistics
Report Date: 6/30/2006
Total Positions: 102
New Positions: 39
Increased Positions: 51
Decreased Positions: 34
Positions With Activity: 85
Sold Out Positions: 27
Total Market Value (in $ millions): 84
Sector Weighting Percent
Services 24.8%
Unknown 19.6%
Technology 14.3%
Consumer Cyclical 11%
Utilities 7.9%
Healthcare 5.9%
Basic Materials 5.6%
Energy 4.1%
Transportation 3.6%
Financial 2%
Capital Goods 1%
Consumer/Non-Cyclical 0.2%
Conglomerates 0%
Click on the column header links to resort ascending () or descending ().
Company Class Value
of Shares
($1000) Change
in Value
($1000) % Change
in Value Shares
Held
L-1 IDENTITY SOLUTIONS ... COM $4,254 $2,761 184.86% 324,970
UNIVISION COMMUNICATION... CL A $3,532 $948 36.67% 102,500
SOVEREIGN CAP TR IV PFD CNT CV INC $3,259 $0 0.00% 70,000
ANDRX CORP DEL ANDRX GROUP $3,182 $3,182 New 130,000
MILLICOM INTL CELLULAR ... SHS NEW $3,049 $3,049 New 74,333
MOSSIMO INC COM $2,838 $2,416 573.79% 361,476
PRICE COMMUNICATIONS CO... COM NEW $2,783 $2,783 New 143,100
INCO LTD COM $2,386 $2,386 New 31,500
JONES APPAREL GROUP INC COM $2,376 $1,401 143.67% 73,100
NIKO RES LTD COM $2,272 $2,272 New 38,100
FALCONBRIDGE LTD NEW 20... COM $2,239 $2,239 New 40,000
AQUILA INC COM $2,201 $2,201 New 500,200
TITAN INTL INC ILL COM $2,148 $52 2.49% 119,200
CORTS TR US WEST COMMUN... CORTS 7.5% $2,052 $2,052 New 86,200
INVESTCOM LLC SPON GDR REG S $2,014 - New 105,000
MCCLATCHY CO CL A $1,933 $1,291 200.98% 46,829
KEYSPAN CORP COM $1,853 $618 50.00% 45,000
SCHERING A G COM $1,780 - New 20,000
INTER TEL INC COM $1,734 $593 51.96% 80,000
EMBRATEL PARTICIPACOES ... SP ADR PFD NEW $1,734 $1,734 New 110,000
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