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% of Shares Held by All Insider and 5% Owners:
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% of Shares Held by Institutional & Mutual Fund Owners:
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% of Float Held by Institutional & Mutual Fund Owners:
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Number of Institutions Holding Shares:
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| MAJOR DIRECT HOLDERS (FORMS 3 & 4) |
| Holder | Shares | Reported | | BURKLAND, MARTIN C. | 181,118 | 2-Dec-03 | | BURKLAND, WILLIAM J. | 135,110 | 26-Nov-03 | | FULLER, MARK W. | 78,896 | 20-Aug-02 | | LINGENFELTER, CHARLES | 57,800 | 23-Aug-02 | | KRAMER, JOHN R. | 10,000 | 7-Nov-02 |
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| TOP INSTITUTIONAL HOLDERS |
| Holder | Shares | % Out | Value* | Reported | | PINNACLE ASSOCIATES, LTD. | 48,950 | | $812,570 | 30-Sep-09 | | THOMPSON, SIEGEL & WALMSLEY, INC. | 33,200 | | $551,120 | 30-Sep-09 | | Baltimore-Washington Finanial Advisors, Inc. | 32,530 | | $539,998 | 30-Sep-09 | | ACADIA TRUST NA | 23,450 | | $389,270 | 30-Sep-09 | | STEINBERG GLOBAL ASSET MANAGEMENT, LTD. | 20,500 | | $340,300 | 30-Sep-09 | | M&R CAPITAL MANAGEMENT, INC. | 13,000 | | $215,800 | 30-Sep-09 | | PRIVATE ASSET MANAGEMENT, INC. | 12,800 | | $212,480 | 30-Sep-09 | | ICON ADVISORS, INC. | 12,100 | | $200,860 | 30-Sep-09 | | WESTERN NATIONAL TRUST COMPANY | 12,000 | | $199,200 | 30-Sep-09 | | WESTPORT RESOURCES MANAGEMENT, INC. | 500 | | $8,300 | 30-Sep-09 |
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| Holder | Shares | % Out | Value* | Reported | | Powershares Exhg Traded Fd Tr-Pwrshs Financial Preferred | 2,740,709 | | $54,266,038 | 31-Jul-09 | | PRINCIPAL PREFERRED SECURITIES FD | 967,100 | | $17,117,670 | 30-Jun-09 | | COHEN & STEERS REIT & PREFERRED INCOME FUND | 328,300 | | $5,810,910 | 30-Jun-09 | | COHEN & STEERS SELECT UTILITY FUND, INC. | 325,000 | | $5,752,500 | 30-Jun-09 | | Cohen & Steers Global Income Builder, Inc. | 126,591 | | $2,240,660 | 30-Jun-09 | | NUVEEN QUALITY PREFERRED INCOME FUND | 50,000 | | $468,500 | 31-Mar-09 | | TS&W/CLAYMORE TAX ADVANTAGE BALANCED FUND | 33,200 | | $311,084 | 31-Mar-09 | | Principal Global Diversified Income Fund | 16,900 | | $299,130 | 30-Jun-09 | | PRINCIPAL BOND & MORTGAGE SECURITIES FD | 11,100 | | $196,470 | 30-Jun-09 |
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*
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Value shown is computed using the security's price on the report date given.
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