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Fund Holdings of MAZAMA CAPITAL MANAGEMENT INC Filed on 2012-02-10

Link to Original SEC 13F filings sorted on filing date: 2012-02-10 | 2011-11-16 | 2011-08-15 | 2011-05-12 | 2010-11-15 | 2010-08-13 | 2010-05-14 | 2010-02-17 | 2009-11-16 | 2009-05-14 | 2009-02-13 | 2008-11-14 | 2008-08-13 | 2008-05-14 |

1. Fund Information

Fund NameMAZAMA CAPITAL MANAGEMENT INC
Fund Manager
AddressONE SW COLUMBIA, STE 1860
PORTLAND, OR, 97258
::Google Map
Phone(503) 221-8725
13F Asset Last Qtr$284,837,000
13F Asset This Qtr$436,576,000
Asset Change53.27%

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.)INFOSEARCH MEDIA INCISHM45,000$45,000New10.31%
2.)TRIQUINT SEMICONDUCTOR, INC.TQNT2,487,362$12,113Added 46.01%2.77%
3.)JEFFERIES GROUP, INC.JEF748,725$10,295Added 233.82%2.36%
4.)LIMELIGHT NETWORKS, INC.LLNW3,144,990$9,309Cut -18.38%2.13%
5.)BLACKSTONE GRP LP UTBX632,771$8,865Added 46.26%2.03%
6.)DECKERS OUTDOOR CORPORATIONDECK108,544$8,203Cut -23.16%1.88%
7.)POLYCOM, INC.PLCM456,999$7,449Added 159.12%1.71%
8.)DENDREON CORPORATIONDNDN869,025$6,605Added 132.78%1.51%
9.)JDS UNIPHASE CORPORATIONJDSU600,816$6,273Added 84.11%1.44%
10.)MYRIAD GENETICS, INC.MYGN285,524$5,979Unchanged1.37%
11.)APPLE INC.AAPL13,351$5,407Added 360.70%1.24%
12.)CENTENE CORPCNC132,576$5,249Added 58.45%1.20%
13.)OASIS PETROLEUM INC. COMMON STOCKOAS179,896$5,233Cut -3.26%1.20%
14.)ONYX PHARMACEUTICALS, INC.ONXX116,985$5,141Unchanged1.18%
15.)GOOGLE INC.GOOG7,919$5,115Added 417.92%1.17%
16.)MASTERCARD INCMA13,685$5,102Added 111.03%1.17%
17.)SKYWORKS SOLUTIONS, INC.SWKS306,419$4,970Added 174.10%1.14%
18.)ADVENT SOFTWARE, INC.ADVS198,350$4,832Cut -11.62%1.11%
19.)ORBITZ WORLDWIDE, INC. COMMON STOCKOWW1,275,599$4,796Cut -30.95%1.10%
20.)HEXCEL CORP.HXL196,037$4,746Added 1.15%1.09%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)INFOSEARCH MEDIA INCISHM45,000$45,00010.31%
2.)COLUMBIA SPORTSWEAR COMPANYCOLM58,358$2,7170.62%
3.)UNIVERSAL DISPLAY CORPORATIONPANL73,608$2,7010.62%
4.)SOUTHWESTERN ENERGY COMPANYSWN77,916$2,4890.57%
5.)AKAMAI TECHNOLOGIES, INC.AKAM58,585$1,8910.43%
6.)INTERMOLECULAR INCIMI162,120$1,3910.32%
7.)SUNPOWER CORPORATIONSPWR214,302$1,3350.31%
8.)LUFKIN INDUSTRIES, INC.LUFK19,280$1,2980.30%
9.)MICHAEL KORS HOLDINGS LTDKORS40,132$1,0940.25%
10.)CHINA MOBILE LIMITEDCHL22,057$1,0700.25%
11.)F5 NETWORKS, INC.FFIV9,497$1,0080.23%
12.)PETROLEO BRASILEIRO S.A.PBR39,187$9740.22%
13.)ON SEMICONDUCTOR CORPORATIONONNN121,770$9400.22%
14.)CHICAGO BRIDGE & IRON CO., N.V. (NETHERLANDS)CBI24,660$9320.21%
15.)ALBEMARLE CORP.ALB16,844$8680.20%
16.)NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INCEDU32,838$7900.18%
17.)TERADYNE, INC.TER51,080$6960.16%
18.)SOTHEBYBID23,706$6760.15%
19.)MEAD JOHNSON NUTRITION COMPANY COMMON STOCKMJN9,631$6620.15%
20.)HOLLYFRONTIER CORPORATIONHFC27,406$6410.15%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)SHUTTERFLY, INC.SFLY88,865$3,6591.29%
2.)DIAMOND FOODS, INC.DMND32,405$2,5860.91%
3.)MOLINA HEALTHCARE INCMOH137,934$2,1300.75%
4.)ADOBE SYSTEMS INCORPORATEDADBE59,037$1,4270.50%
5.)BRUKER CORPORATIONBRKR90,302$1,2220.43%
6.)INTRALINKS HOLDINGS, INC. COMMON STOCK $0.001 PAR VALUEIL146,394$1,0990.39%
7.)CHURCH & DWIGHT CO., INC.CHD24,146$1,0670.38%
8.)KNOLL INCKNL75,056$1,0280.36%
9.)SUPERIOR ENERGY SERVICES, INC.SPN35,945$9430.33%
10.)CHICO FAS INCCHS79,525$9090.32%
11.)RESPONSYS INCMKTG67,840$7310.26%
12.)HERMAN MILLER, INC.MLHR37,859$6760.24%
13.)ROVI CORPORATIONROVI13,888$5970.21%
14.)ZILLOW INCZ19,610$5360.19%
15.)NII HOLDINGS, INC.NIHD16,412$4420.16%
16.)NOBLE ENERGY, INC.NBL6,201$4390.15%
17.)CONCHO RESOURCES INC. COMMON STOCKCXO5,928$4220.15%
18.)AMYRIS, INC.AMRS20,044$4060.14%
19.)UNDER ARMOUR INCUA5,866$3900.14%
20.)JACK HENRY & ASSOCIATES, INC.JKHY13,356$3870.14%