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Fund Holdings of INSIGHT CAPITAL RESEARCH & MANAGEMENT INC Filed on 2012-02-07

Link to Original SEC 13F filings sorted on filing date: 2012-02-07 | 2011-11-02 | 2011-08-01 | 2011-05-10 | 2011-02-11 | 2010-11-09 | 2010-08-03 | 2010-05-06 | 2010-02-05 | 2009-11-04 | 2009-08-12 | 2009-05-11 | 2009-02-06 | 2008-11-12 | 2008-08-05 | 2008-05-09 |

1. Fund Information

Fund NameINSIGHT CAPITAL RESEARCH & MANAGEMENT INC
Fund Manager
Address2121 N CALIFORNIA BLVD, STE 560
WALNUT CREEK, CA, 94596
::Google Map
Phone
13F Asset Last Qtr$270,016,000
13F Asset This Qtr$296,166,000
Asset Change9.68%

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.)UNITED RENTALS, INC.URI497,110$14,689New4.96%
2.)SPREADTRUM COMMUNICATIONS, INC. - AMERICAN DEPOSITORY SHARESSPRD662,801$13,839New4.67%
3.)LENNAR CORP.LEN546,538$10,739New3.63%
4.)FUSION IO INCFIO441,970$10,695New3.61%
5.)JAZZ PHARMACEUTICALS, INC.JAZZ233,741$9,029Added 86.61%3.05%
6.)INHIBITEX, INC.INHX816,298$8,930New3.02%
7.)CARBO CERAMICS INC.CRR72,068$8,888Added 200.76%3.00%
8.)HHGREGG, INC. COMMON STOCKHGG602,993$8,713New2.94%
9.)CLEAN HARBORS, INCCLH129,541$8,255Added 48.32%2.79%
10.)CARPENTER TECHNOLOGY CORP.CRS159,070$8,188New2.76%
11.)CUBIST PHARMACEUTICALS, INC.CBST197,193$7,812Cut -19.39%2.64%
12.)HORNBECK OFFSHORE SERVICES INCHOS248,774$7,716New2.61%
13.)TRIUMPH GROUP INC.TGI124,051$7,250Cut -1.76%2.45%
14.)AKORN, INC.AKRX601,160$6,684New2.26%
15.)NEWPARK RESOURCES, INC.NR664,643$6,314New2.13%
16.)SILICON MOTION TECHNOLOGY CORPORATION - AMERICAN DEPOSITARY SHARESSIMO302,310$6,191New2.09%
17.)GROUP 1 AUTOMOTIVE, INC.GPI118,946$6,161New2.08%
18.)UNIVERSAL DISPLAY CORPORATIONPANL166,799$6,119Cut -21.58%2.07%
19.)THE FINISH LINE, INC.FINL308,454$5,948New2.01%
20.)BASIC ENERGY SERVICES INCBAS266,206$5,244Cut -10.26%1.77%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)UNITED RENTALS, INC.URI497,110$14,6894.96%
2.)SPREADTRUM COMMUNICATIONS, INC. - AMERICAN DEPOSITORY SHARESSPRD662,801$13,8394.67%
3.)LENNAR CORP.LEN546,538$10,7393.63%
4.)FUSION IO INCFIO441,970$10,6953.61%
5.)INHIBITEX, INC.INHX816,298$8,9303.02%
6.)HHGREGG, INC. COMMON STOCKHGG602,993$8,7132.94%
7.)CARPENTER TECHNOLOGY CORP.CRS159,070$8,1882.76%
8.)HORNBECK OFFSHORE SERVICES INCHOS248,774$7,7162.61%
9.)AKORN, INC.AKRX601,160$6,6842.26%
10.)NEWPARK RESOURCES, INC.NR664,643$6,3142.13%
11.)SILICON MOTION TECHNOLOGY CORPORATION - AMERICAN DEPOSITARY SHARESSIMO302,310$6,1912.09%
12.)GROUP 1 AUTOMOTIVE, INC.GPI118,946$6,1612.08%
13.)THE FINISH LINE, INC.FINL308,454$5,9482.01%
14.)RSC HOLDINGS INC. RSC HOLDINGS INC. COMMON STOCKRRR279,195$5,1651.74%
15.)BUFFALO WILD WINGS, INC.BWLD67,839$4,5791.55%
16.)SALLY BEAUTY HOLDINGS INCSBH214,877$4,5401.53%
17.)HALOZYME THERAPEUTICS, INC.HALO473,566$4,5031.52%
18.)VIROPHARMA INCORPORATEDVPHM163,090$4,4671.51%
19.)DOMINOS PIZZA INC.DPZ126,896$4,3081.45%
20.)CARDTRONICS, INC.CATM157,874$4,2721.44%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)CROCS, INC.CROX491,493$11,6384.31%
2.)CEPHEIDCPHD253,615$9,8473.65%
3.)DFC GLOBAL CORPORATIONDLLR421,367$9,1943.41%
4.)POLARIS INDUSTRIES INC.PII147,529$7,3722.73%
5.)PHARMASSET, INC.VRUS85,077$7,0072.60%
6.)SXC HEALTH SOLUTIONS CORP.SXCI120,762$6,7262.49%
7.)WORLD ACCEPTANCE CORPORATIONWRLD99,945$5,5912.07%
8.)EZCORP, INC.EZPW161,085$4,5971.70%
9.)FEI COMPANYFEIC145,101$4,3471.61%
10.)HOME PROPERTIES INCHME72,923$4,1391.53%
11.)PORTLAND GENERAL ELECTRIC CO.POR170,707$4,0441.50%
12.)IPG PHOTONICS CORPORATIONIPGP88,987$3,8651.43%
13.)COMPLETE PRODUCTION SERVICES INCCPX204,504$3,8541.43%
14.)COOPER COMPANIES, INC.COO48,398$3,8301.42%
15.)CASH AMERICA INTERNATIONAL, INC.CSH65,421$3,3461.24%
16.)COHERENT, INC.COHR76,832$3,3001.22%
17.)MAKO SURGICAL CORP.MAKO96,238$3,2931.22%
18.)SHUTTERFLY, INC.SFLY73,859$3,0411.13%
19.)MELLANOX TECHNOLOGIES, LTD.MLNX88,662$2,7681.03%
20.)ANWORTH MORTGAGE ASSET CORP.ANH352,556$2,3970.89%