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 sales of GAMCO Asset Management Inc.
are listed below, ordered by the number of shares sold during the
three months ended Sep. 30.
Company Name Value Holdings Change
EATON CORP PLC COM $12,853,529 186,716 (414,455)
BOSTON SCIENTIFIC CORP COM $26,237,785 2,234,905 (304,600)
HUNTSMAN CORP COM $9,606,321 466,100 (127,507)
TELEPHONE & DATA SYSTEMS INC $147,620,541 4,995,619 (123,285)
HALLIBURTON CO COM $32,085,764 666,371 (119,872)
CURTISS WRIGHT CORP COM $113,878,376 2,425,008 (119,100)
CRANE CO COM $212,650,617 3,448,202 (115,994)
FORD MOTOR CO COM $27,605,073 1,636,341 (115,000)
AMC NETWORKS INC CL A $157,300,386 2,296,356 (111,388)
YAHOO INC COM $25,028,092 754,540 (104,200)
GRAFTECH INTERNATIONAL LTD CO $46,316,833 5,481,282 (96,858)
JOURNAL COMMUNICATIONS INC CL $39,366,021 4,604,213 (93,407)
CHARLES SCHWAB CORP COM $2,494,520 118,000 (92,000)
AMETEK INC COM $154,413,161 3,355,349 (86,658)
EXELIS INC COM $29,804,132 1,897,144 (86,501)
BOYD GAMING CORP COM $42,215,704 2,983,442 (86,308)
AMERICAN INTERNATIONAL GROUP $16,109,903 331,275 (80,900)
FLOWSERVE CORP COM $193,317,474 3,098,533 (80,721)
FORTUNE BRANDS HOME & SECURITY $94,271,926 2,264,519 (79,256)
MODINE MANUFACTURING CO COM $27,862,894 1,904,504 (78,707)
DIRECTV COM $282,248,221 4,721,449 (76,264)
IDEX CORP COM $83,978,969 1,287,034 (68,750)
SENSIENT TECHNOLOGIES CORP CO $63,992,581 1,336,241 (67,753)
US CELLULAR CORP COM $161,736,447 3,552,305 (67,553)
WADDELL & REED FINANCIAL INC $23,075,910 448,250 (66,600)
AURICO GOLD INC COM $331,470 87,000 (64,500)
BOEING CO COM $56,625,600 481,920 (63,835)
ENERGIZER HOLDINGS INC COM $106,437,678 1,167,720 (63,296)
CIRCOR INTERNATIONAL INC COM $121,336,498 1,951,375 (62,650)
NATIONAL FUEL GAS CO (NJ) COM $254,378,514 3,699,513 (60,878)
CTS CORP COM $49,393,122 3,132,094 (60,359)
KAR AUCTION SERVICES INC COM $13,425,139 475,900 (60,000)
WELLS FARGO & CO COM $188,842,441 4,570,243 (59,669)
ROLLINS INC COM $88,394,122 3,334,369 (59,617)
CYNOSURE INC CL A $540,278 23,686 (58,067)
MEAD JOHNSON NUTRITION CO COM $13,270,411 178,702 (56,830)
TRACTOR SUPPLY CO COM $14,508,720 216,000 (53,000)
MACYS INC COM $29,300,454 677,154 (50,090)
SCRIPPS NETWORKS INTERACTIVE $96,816,876 1,239,494 (49,992)
CBS CORP CL A $126,641,407 2,288,838 (49,946)
STANDARD MOTOR PRODUCTS INC C $5,554,932 172,728 (49,854)
KRAFT FOODS GROUP INC COM $19,557,669 372,669 (49,066)
PENTAIR LTD COM $714,145 10,997 (48,557)
MATERION CORP COM $38,468,794 1,199,900 (45,600)
PAIN THERAPEUTICS INC COM $680,000 250,000 (45,000)
GRUPO TELEVISA SAB ADR PC A/B $60,068,044 2,149,125 (44,200)
DANA HOLDING CORP COM $87,464,981 3,829,465 (43,750)
FLOWERS FOODS INC COM $29,597,856 1,380,497 (42,394)
PATTERSON UTI ENERGY INC COM $1,406,804 65,800 (41,400)
MADISON SQUARE GARDEN CO CL A $169,672,236 2,921,857 (40,922)
TALISMAN ENERGY INC COM $1,055,700 91,800 (40,600)
LIN MEDIA LLC CL A $33,462,430 1,649,208 (40,007)
RPC INC COM $103,646,602 6,699,845 (37,400)
VIACOM INC CL B $32,543,795 389,373 (36,565)
HSN INC COM $8,350,779 155,740 (35,904)
ECOLAB INC COM $74,983,530 759,250 (35,365)
ANGIODYNAMICS INC COM $1,452,000 110,000 (35,000)
BRISTOL MYERS SQUIBB CO COM $35,630,972 769,900 (34,725)
AMERICAN EXPRESS CO COM $263,931,374 3,494,854 (34,659)
STATE STREET CORP COM $100,798,629 1,533,059 (33,176)
WATTS WATER TECHNOLOGIES INC $108,549,341 1,925,658 (32,702)
RYMAN HOSPITALITY PROPERTIES $162,599,801 4,711,672 (31,765)
SOUTHWEST GAS CORP COM $71,515,250 1,430,305 (31,633)
DONALDSON CO INC COM $80,767,424 2,118,212 (31,300)
INTERNATIONAL GAME TECHNOLOGY $13,406,737 708,227 (31,000)
WUXI PHARMATECH (CAYMAN) INC $2,372,840 86,600 (30,500)
DEERE & CO COM $112,965,983 1,387,959 (30,168)
NORTHEAST UTILITIES COM $32,660,059 791,759 (29,368)
ROCKWELL AUTOMATION INC COM $50,254,314 469,930 (29,350)
LIBERTY MEDIA CORP CL A $116,743,218 793,362 (29,115)
TRINITY INDUSTRIES INC COM $5,494,878 121,166 (28,800)
TIME WARNER INC COM $164,486,435 2,499,414 (28,586)
TENNECO INC COM $52,505,254 1,039,708 (28,202)
CABLEVISION SYSTEMS CORP CL A $193,588,598 11,495,760 (27,760)
COOPER TIRE & RUBBER CO COM $803,880 26,100 (27,100)
GENUINE PARTS CO COM $215,087,319 2,659,010 (27,022)
CASEYS GENERAL STORES INC COM $36,478,279 497,047 (26,800)
COCA COLA CO COM $111,791,570 2,951,203 (26,390)
ASCENT CAPITAL GROUP INC CL A $85,852,238 1,064,900 (25,073)
DR PEPPER SNAPPLE GROUP INC C $113,381,333 2,529,704 (24,618)
WESTWOOD HOLDINGS GROUP INC C $36,393,070 757,400 (24,600)
AUTONATION INC COM $58,469,371 1,120,747 (24,372)
PINNACLE ENTERTAINMENT INC CO $21,147,210 844,200 (23,700)
LIBERTY GLOBAL PLC CL A $59,310,872 747,459 (23,315)
GRIFFON CORP COM $81,780,425 6,521,565 (22,996)
BOULDER BRANDS INC COM $44,468,414 2,772,345 (22,573)
KELLOGG CO COM $53,901,219 917,780 (22,000)
INTERNATIONAL FLAVORS & FRAGRA $75,468,277 916,990 (21,005)
PNM RESOURCES INC COM $67,802,875 2,996,150 (21,000)
AMPCO PITTSBURGH CORP COM $19,494,021 1,087,836 (20,466)
STARZ INC CL A $24,764,724 880,367 (20,198)
AES CORP COM $10,919,064 821,600 (19,900)
REALD INC COM $3,952,928 564,704 (19,021)
TYLER TECHNOLOGIES INC COM $29,715,308 339,720 (18,650)
CLARCOR INC COM $39,763,700 716,076 (18,200)
HANDY & HARMAN HOLDINGS LTD C $11,976,462 501,737 (18,153)
BORGWARNER INC COM $59,933,961 591,123 (18,052)
HAIN CELESTIAL GROUP INC COM $16,657,920 216,000 (17,950)
HARMAN INTL INDS COM $11,954,515 180,500 (17,800)
FURMANITE CORP COM $15,700,420 1,585,901 (17,400)
PATTERSON COMPANIES INC COM $63,087,637 1,569,930 (17,190)
WESTAR ENERGY INC COM $40,120,360 1,308,984 (17,148)
TEXAS INSTRUMENTS INCORPORATED $24,374,402 604,974 (16,900)
ELECTRONIC ARTS INC COM $6,535,690 255,800 (16,500)
WALGREEN CO COM $10,300,010 191,450 (16,299)
GORMAN RUPP CO COM $23,167,013 577,443 (16,045)
FINANCIAL SELECT SECTOR SPDR F $577,245 29,000 (16,000)
ARCHER DANIELS MIDLAND CO COM $41,240,612 1,119,452 (15,635)
EXACTECH INC COM $13,577,775 673,835 (15,600)
MOLYCORP INC COM $690,768 105,300 (15,000)
FALCONSTOR SOFTWARE INC COM $715,440 542,000 (15,000)
TOOTSIE ROLL INDUSTRIES INC C $40,361,441 1,309,586 (14,529)
BROWN FORMAN CORP CL A COM $59,168,361 894,052 (14,152)
BIGLARI HOLDINGS INC COM $41,569,900 100,734 (13,786)
OMNOVA SOLUTIONS INC COM $12,488,771 1,460,675 (13,600)
M&T BANK CORP COM $22,968,894 205,226 (13,600)
KINDER MORGAN INC COM CL P $7,885,976 221,703 (13,263)
BEASLEY BROADCAST GROUP INC C $13,115,513 1,509,265 (13,035)
HB FULLER CO COM $14,164,806 313,450 (13,000)
CHURCH & DWIGHT INC COM $24,618,098 409,960 (12,400)
GREENBRIER COMPANIES INC COM $8,779,150 355,000 (12,000)
TE CONNECTIVITY LTD COM REG $3,180,949 61,432 (12,000)
ONEOK INC COM $20,114,224 377,236 (12,000)
ZIMMER HOLDINGS INC COM $26,067,293 317,352 (11,800)
TENNANT CO COM $28,603,452 461,346 (11,504)
LAS VEGAS SANDS CORP COM $63,651,415 958,317 (11,300)