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Fund Holdings of WALL STREET ASSOCIATES Filed on 2012-02-14

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

1. Fund Information

Fund NameWALL STREET ASSOCIATES
Fund Manager
Address1200 PROSPECT ST STE 100, P O BOX 8589
LAJOLLA, CA, 92038-8589
::Google Map
Phone(858) 551-6321
13F Asset Last Qtr$1,048,424,000
13F Asset This Qtr$1,156,071,000
Asset Change10.27%

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.)WESTPORT INNOVATIONS INCWPRT726,210$24,139Cut -6.28%2.09%
2.)REALPAGE, INC.RP704,140$17,794Cut -5.90%1.54%
3.)PROCERA NETWORKS, INC. NEW COMMON STOCKPKT1,075,886$16,762Cut -17.34%1.45%
4.)OCZ TECHNOLOGY GROUP INCOCZ2,493,840$16,484Cut -4.63%1.43%
5.)THE SPECTRANETICS CORPORATIONSPNC2,261,470$16,328Added 9.88%1.41%
6.)QUESTCOR PHARMACEUTICALS, INC.QCOR360,190$14,977Cut -26.79%1.30%
7.)KIT DIGITAL, INC.KITD1,747,480$14,766Cut -7.59%1.28%
8.)J.B. HUNT TRANSPORT SERVICES, INC.JBHT319,010$14,378Cut -5.51%1.24%
9.)COINSTAR, INC.CSTR286,710$13,085Added 54.73%1.13%
10.)SPS COMMERCE INCSPSC499,900$12,972Cut -12.82%1.12%
11.)COMMVAULT SYSTEMS, INC.CVLT302,100$12,906Cut -41.93%1.12%
12.)FORTINET, INC.FTNT585,420$12,768Cut -33.03%1.10%
13.)RENTRAK CORPORATIONRENT839,600$11,989Cut -6.56%1.04%
14.)ACHILLION PHARMACEUTICALS, INC.ACHN1,497,150$11,408Added 0.35%0.99%
15.)DXP ENTERPRISES, INC.DXPE343,400$11,057Cut -5.94%0.96%
16.)BASIC ENERGY SERVICES INCBAS559,200$11,016Added 28.58%0.95%
17.)PIONEER DRILLING COMPANYPDC1,136,870$11,005Cut -3.93%0.95%
18.)OLD DOMINION FREIGHT LINE, INC.ODFL271,240$10,993Cut -5.59%0.95%
19.)VELTI PLC ORDVLTLF1,546,800$10,518Cut -6.35%0.91%
20.)CONCUR TECHNOLOGIES, INC.CNQR206,510$10,489Cut -5.53%0.91%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)EXPRESS, INC. COMMON STOCKEXPR326,000$6,5000.56%
2.)XYRATEX LTD. - COMMON SHARESXRTX469,900$6,2590.54%
3.)AMERIGON INCORPORATEDARGN380,500$5,4260.47%
4.)AMERICAN EAGLE OUTFITTERS, INC.AEO353,800$5,4100.47%
5.)CLOVIS ONCOLOGY INCCLVS378,200$5,3290.46%
6.)INNERWORKINGS, INC.INWK507,600$4,7260.41%
7.)TRIUMPH GROUP INC.TGI76,600$4,4770.39%
8.)NETSPEND HOLDINGS, INC.NTSP543,300$4,4060.38%
9.)SPIRIT AEROSYSTEMS HOLDINGS INCSPR202,000$4,1980.36%
10.)WESTERN DIGITAL CORP.WDC134,660$4,1680.36%
11.)KODIAK OIL & GAS CORPKOG405,900$3,8560.33%
12.)T. ROWE PRICE GROUP, INC.TROW65,706$3,7420.32%
13.)KIRKLAND, INC. - COMMONSTOCKKIRK278,500$3,7040.32%
14.)PRICESMART, INC.PSMT50,974$3,5470.31%
15.)ADA-ES, INC.ADES156,300$3,5390.31%
16.)MGM RESORTS INTERNATIONALMGM328,490$3,4260.30%
17.)VALUECLICK, INC.VCLK188,700$3,0740.27%
18.)DIGITAL DOMAIN MEDIA GRP (DDMG472,800$2,8750.25%
19.)NEWLINK GENETICS CORP (NLNK)378,100$2,6620.23%
20.)GREEN DOT CORPORATION CLASS A COMMON STOCK, $0.001 PAR VALUEGDOT84,800$2,6470.23%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)CONSTANT CONTACT, INC.CTCT723,700$12,5131.19%
2.)INTRALINKS HOLDINGS, INC. COMMON STOCK $0.001 PAR VALUEIL1,103,400$8,2870.79%
3.)SYNOVIS LIFE TECHNOLOGIES, INC.SYNO336,500$5,6200.54%
4.)INTERCLICK INCICLK1,001,700$5,5590.53%
5.)EXAMWORKS GROUP, INC. COMMON STOCKEXAM529,300$5,3880.51%
6.)BJ RESTAURANTS, INC.BJRI109,000$4,8080.46%
7.)LIFE TECHNOLOGIES CORPORATIONLIFE109,500$4,2080.40%
8.)SXC HEALTH SOLUTIONS CORP.SXCI72,200$4,0220.38%
9.)WYNN RESORTS, LIMITEDWYNN32,800$3,7750.36%
10.)VALUEVISION MEDIA, INC.VVTV1,562,400$3,6870.35%
11.)SALESFORCE.COM INCCRM28,128$3,2140.31%
12.)BE AEROSPACE, INC.BEAV94,800$3,1390.30%
13.)IDENIX PHARMACEUTICALS, INC.IDIX586,600$2,9270.28%
14.)TOWERSTREAM CORPORATIONTWER1,000,000$2,5600.24%
15.)MIPS TECHNOLOGIES, INC.MIPS508,000$2,4590.24%
16.)INTERMUNE, INC.ITMN113,600$2,2950.22%
17.)CIENA CORPORATIONCIEN184,200$2,0630.20%
18.)DIGITAL GENERATIONINC.(DGIT)(120,400$2,0410.20%
19.)AVON PRODUCTS, INC.AVP100,500$1,9700.19%
20.)NUVASIVE, INC.NUVA111,200$1,8970.18%