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Fund Holdings of KORNITZER CAPITAL MANAGEMENT INC KS Filed on 2012-02-01

Link to Original SEC 13F filings sorted on filing date: 2012-02-01 | 2011-10-26 | 2011-07-28 | 2011-04-28 | 2011-01-26 | 2010-11-09 | 2010-07-22 | 2010-05-21 | 2010-02-10 | 2009-11-05 | 2009-08-10 | 2009-05-11 | 2009-02-05 | 2008-11-13 | 2008-08-14 | 2008-05-14 |

1. Fund Information

Fund NameKORNITZER CAPITAL MANAGEMENT INC KS
Fund Manager
AddressP O BOX 918,
SHAWNEE MISSION, KS, 66201
::Google Map
Phone(913) 677-7778
13F Asset Last Qtr$4,926,273,000
13F Asset This Qtr$5,368,453,000
Asset Change8.98%

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.)ALIGN TECHNOLOGY, INC.ALGN6,743,942$160,000Cut -9.14%2.98%
2.)LIFE-TIME FITNESS INCLTM2,947,630$137,802Cut -2.13%2.57%
3.)CORPORATE EXECUTIVE BOARD CO.EXBD3,229,001$123,025Cut -5.99%2.29%
4.)NEUSTAR INCNSR3,533,010$120,723Cut -21.00%2.25%
5.)DEALERTRACK HOLDINGS, INC.TRAK3,882,668$105,842Cut -2.14%1.97%
6.)PANERA BREAD COMPANYPNRA745,262$105,417Cut -1.99%1.96%
7.)ADTRAN, INC.ADTN3,387,800$102,176Cut -0.17%1.90%
8.)GENTEX CORPORATIONGNTX3,384,915$100,160Cut -5.56%1.87%
9.)HEXCEL CORP.HXL3,989,285$96,581Cut -2.15%1.80%
10.)HARMAN INTERNATIONAL INDUSTRIES, INC.HAR2,508,925$95,440Cut -1.26%1.78%
11.)MKS INSTRUMENTS, INC.MKSI3,286,185$91,422Cut -2.03%1.70%
12.)MORNINGSTAR, INC.MORN1,420,279$84,436Cut -1.31%1.57%
13.)WMS INDUSTRIES INC.WMS3,966,971$81,402Cut -11.26%1.52%
14.)WADDELL & REED FINANCIAL, INC.WDR2,988,462$74,024Cut -1.92%1.38%
15.)ATHENAHEALTH, INC.ATHN1,490,350$73,206Added 3.97%1.36%
16.)COSTAR GROUP, INC.CSGP1,091,963$72,867Cut -1.74%1.36%
17.)SEMTECH CORPORATIONSMTC2,930,040$72,724Cut -2.06%1.35%
18.)TECHNE CORPORATIONTECH1,030,075$70,313Cut -2.51%1.31%
19.)AMYLIN PHARMACEUTICALS, INC.AMLN5,953,673$67,753Cut -3.47%1.26%
20.)P.F.CHANG CHINA BISTRO, INC.PFCB2,187,575$67,618Cut -2.84%1.26%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)POLYPORE INTERNATIONAL INCPPO468,100$20,5920.38%
2.)OPNET TECHNOLOGIES INC.OPNT540,350$19,8150.37%
3.)LUFKIN INDUSTRIES, INC.LUFK277,325$18,6670.35%
4.)VERIFONE SYSTEMS INC.PAY312,450$11,0980.21%
5.)LKQ CORPORATION - LKQ CORPORATION COMMON STOCKLKQX219,500$6,6030.12%
6.)ISHARE RUS 2000 GROWIWO65,800$5,5420.10%
7.)ALTERA CORPORATIONALTR136,100$5,0490.09%
8.)BLUE NILE, INC.NILE84,950$3,4730.06%
9.)F5 NETWORKS, INC.FFIV16,900$1,7930.03%
10.)RIVERBED TECHNOLOGY, INC.RVBD75,400$1,7720.03%
11.)TIM PARTICIPACOES SA NEWTSU63,380$1,6350.03%
12.)XYLEM INCXYL48,985$1,2580.02%
13.)OSI SYSTEMS, INC.OSIS19,100$9320.02%
14.)ITT CORPORATION NEWITT25,316$4890.01%
15.)EXELIS INCXLS50,585$4580.01%
16.)BHP BILLITON LTD.BHP6,300$4450.01%
17.)IMPERVA INCIMPV10,000$3480.01%
18.)WAL-MART DE MEX V S/ADRWMMVY12,000$3290.01%
19.)TECK RESOURCES LTDTCK8,400$2960.01%
20.)CAMECO CORP.CCJ15,000$2710.01%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)PHARMACEUTICAL PRODUCT DEVELOPMENT, INC.PPDI3,449,378$88,5111.80%
2.)VCA ANTECH, INC.WOOF993,150$15,8710.32%
3.)SIGMA-ALDRICH CORPORATIONSIAL202,385$12,5050.25%
4.)ITT EDUCATIONAL SERVICES, INC.ESI178,869$10,2990.21%
5.)UNIVERSAL TECHNICAL INSTITUTE, INC.UTI581,348$7,9010.16%
6.)JANUS CAPITAL GROUP INCJNS980,500$5,8830.12%
7.)CHICO FAS INCCHS508,325$5,8100.12%
8.)TIFFANY & CO.TIF71,025$4,3200.09%
9.)LIONS GATE ENTERTAINMENT(2.937 CONV3,924,000$3,9240.08%
10.)MONSTER WORLDWIDE INCMWW505,900$3,6320.07%
11.)ITT CORPORATIONITT52,835$2,2190.05%
12.)TIM PARTICIPACOES SA NEWTSU63,380$1,4930.03%
13.)CIENA CORP PRIVATE PLACEMENT CONV1,500,000$1,4380.03%
14.)MEDICIS PHARMACEUTICAL (MRX)D CONV1,000,000$1,2950.03%
15.)CONMED CORP (CNMD) DISCRETE CONV840,000$8360.02%
16.)LINCOLN EDUCATIONAL SERVICES CORPORATIONLINC98,900$8000.02%
17.)GOLDMAN SACHS GROUP, INC.GS7,445$7040.01%
18.)FORMFACTOR, INC.FORM88,475$5510.01%
19.)BLACKBOARD INC.BBBB12,125$5420.01%
20.)SONOSITE, INC.SONO15,100$4580.01%