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Fund Holdings of WASHINGTON CAPITAL MANAGEMENT INC Filed on 2012-02-13

Link to Original SEC 13F filings sorted on filing date: 2012-02-13 | 2011-11-10 | 2011-08-05 | 2011-05-10 | 2011-02-07 | 2010-10-26 | 2010-08-13 | 2010-05-03 | 2010-01-29 | 2009-11-04 | 2009-08-14 | 2009-05-04 | 2009-02-03 | 2008-11-07 | 2008-07-30 | 2008-05-05 |

1. Fund Information

Fund NameWASHINGTON CAPITAL MANAGEMENT INC
Fund Manager
Address1301 FIFTH AVENUE STE 3100,
SEATTLE, WA, 98101
::Google Map
Phone(206) 382-0825
13F Asset Last Qtr$372,711,000
13F Asset This Qtr$407,132,000
Asset Change9.24%

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.)COMPLETE PRODUCTION SERVICES INCCPX222,192$7,457Added 15.65%1.83%
2.)HMS HOLDINGS CORPHMSY201,078$6,430Added 8.94%1.58%
3.)GENESCO INC.GCO94,053$5,807Added 17.17%1.43%
4.)MAGMA DESIGN AUTOMATION, INC.LAVA785,480$5,640Added 15.48%1.39%
5.)KEY ENERGY SERVICES, INC. COMMON STOCKKEG361,248$5,589Added 7.14%1.37%
6.)CHART INDUSTRIES, INC.GTLS99,867$5,400Added 15.47%1.33%
7.)PLANTRONICS, INC.PLT150,911$5,378Added 12.59%1.32%
8.)ENERSYSENS205,034$5,325Added 15.46%1.31%
9.)TITAN MACHINERY INC.TITN240,539$5,227Added 15.98%1.28%
10.)NICE-SYSTEMS LIMITED - AMERICAN DEPOSITARY SHARESNICE151,334$5,213Added 6.77%1.28%
11.)CLARCOR INC.CLC102,373$5,118Added 15.68%1.26%
12.)CLEARWATER PAPER CORPORATION COMMON STOCKCLW142,962$5,091Added 15.98%1.25%
13.)HAYNES INTERNATIONAL, INC.HAYN89,712$4,898Added 15.98%1.20%
14.)PHARMASSET, INC.VRUS37,671$4,829Added 7.65%1.19%
15.)CATALYST HEALTH SOLUTIONS, INCCHSI90,523$4,707Added 5.96%1.16%
16.)TEXAS CAPITAL BANCSHARES, INC.TCBI153,274$4,692Added 10.95%1.15%
17.)TYLER TECHNOLOGIES, INC.TYL155,632$4,686Added 9.20%1.15%
18.)SOURCEFIRE, INC.FIRE143,761$4,655Added 15.48%1.14%
19.)GT ADVANCED TECHNOLOGIES INCGTAT627,563$4,544Added 15.98%1.12%
20.)HEXCEL CORP.HXL187,094$4,530Added 15.92%1.11%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)RIGHTNOW TECHNOLOGIES, INC.RNOW96,034$4,1041.01%
2.)ICU MEDICAL, INC.ICUI81,770$3,6800.90%
3.)VITAMIN SHOPPE, INC COMMON STOCKVSI91,784$3,6600.90%
4.)MERIT MEDICAL SYSTEMS, INC.MMSI268,387$3,5910.88%
5.)UNITED NATURAL FOODS, INC.UNFI86,927$3,4780.85%
6.)GLU MOBILE INC.GLUU1,089,435$3,4210.84%
7.)ENDOLOGIX INCELGX289,852$3,3280.82%
8.)JAKKS PACIFIC, INC.JAKK183,544$2,5900.64%
9.)KIRBY CORP.KEX30,549$2,0110.49%
10.)SIGNET JEWELERS LTDSIG42,256$1,8580.46%
11.)CROWN HOLDINGS INCCCK53,522$1,7970.44%
12.)ABBOTT LABORATORIESABT30,426$1,7110.42%
13.)MERGE HEALTHCARE INCORPORATED.MRGE327,265$1,5870.39%
14.)IPG PHOTONICS CORPORATIONIPGP37,300$1,2630.31%
15.)GRAINGER (W.W.) INC.GWW1,764$3300.08%
16.)COOPER INDUSTRIES PLCCBE5,691$3080.08%
17.)ENDOCYTE, INC.ECYT40,533$1520.04%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)VARIAN SEMICONDUCTOR EQUIPMENT ASSOCIATES, INC.VSEA107,642$6,5821.77%
2.)GARTNER, INC.IT99,724$3,4770.93%
3.)BLACKBOARD INC.BBBB76,109$3,3990.91%
4.)ANN INCANN141,184$3,2250.87%
5.)HAEMONETICS CORP.HAE52,413$3,0650.82%
6.)HANGER ORTHOPEDIC GROUP, INC.HGR139,414$2,6340.71%
7.)MENTOR GRAPHICS CORPORATIONMENT264,283$2,5420.68%
8.)TEXAS ROADHOUSE, INC.TXRH166,890$2,2060.59%
9.)ASCENA RETAIL GROUP, INC.ASNA79,461$2,1510.58%
10.)ROVI CORPORATIONROVI32,059$1,3780.37%
11.)ALBEMARLE CORP.ALB24,571$9930.27%
12.)VERTEX PHARMACEUTICALS INCORPORATEDVRTX17,399$7740.21%
13.)ASSURED GUARANTY LTDAGO69,270$7610.20%
14.)EXPEDIA, INC.EXPE27,665$7120.19%
15.)SALIX PHARMACEUTICALS, LTD.SLXP23,752$7030.19%
16.)NVIDIA CORPORATIONNVDA54,295$6790.18%
17.)GUESS ?, INC.GES20,136$5740.15%
18.)ALLEGHENY TECHNOLOGIES, INCATI14,642$5420.15%
19.)WESCO INTERNATIONAL, INC.WCC14,298$4800.13%
20.)MANITOWOC CO., INC.MTW65,166$4370.12%