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Fund Holdings of EAGLE ASSET MANAGEMENT INC Filed on 2012-01-27

Link to Original SEC 13F filings sorted on filing date: 2012-01-27 | 2011-10-18 | 2011-07-21 | 2011-04-18 | 2011-02-04 | 2010-10-28 | 2010-07-22 | 2010-05-13 | 2010-02-01 | 2009-10-22 | 2009-07-29 | 2009-05-04 | 2009-02-12 | 2008-10-30 | 2008-07-17 | 2008-05-09 |

1. Fund Information

Fund NameEAGLE ASSET MANAGEMENT INC
Fund Manager
Address880 CARILLON PARKWAY,
ST PETERSBURG, FL, 33716
::Google Map
Phone(813) 573-2453
13F Asset Last Qtr$9,677,354,000
13F Asset This Qtr$1,069,883,635
Asset Change-88.94%

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.)ASPEN TECHNOLOGY, INC.AZPN1,680,024$29,148Cut -46.21%2.72%
2.)CUBIST PHARMACEUTICALS, INC.CBST590,294$23,387Added 1,327.83%2.19%
3.)DYCOM INDUSTRIES, INC.DY1,104,425$23,105Added 1,445.04%2.16%
4.)ALLETE INC.ALE535,694$22,488Added 1,126.15%2.10%
5.)HERBALIFE LTD.HLF410,765$21,224Cut -71.10%1.98%
6.)AMERIGROUP CORPAGP353,970$20,913Added 1,174.19%1.95%
7.)DRESSER-RAND GROUP INCDRC416,713$20,798Added 48.51%1.94%
8.)MARKETAXESS HOLDINGS, INC.MKTX683,064$20,567Added 1,397.19%1.92%
9.)AFC ENTERPRISES, INC.AFCE1,394,144$20,494Added 1,417.70%1.92%
10.)AMSURG CORP.AMSG778,186$20,264Added 1,444.94%1.89%
11.)MERIT MEDICAL SYSTEMS, INC.MMSI1,496,066$20,017Added 1,263.47%1.87%
12.)OCEANEERING INTERNATIONAL, INC.OII413,259$19,064Added 892.05%1.78%
13.)EURONET WORLDWIDE, INC.EEFT998,947$18,461Added 1,905.84%1.73%
14.)ROSETTA RESOURCES INC.ROSE415,152$18,059Cut -55.88%1.69%
15.)ON ASSIGNMENT, INC.ASGN1,602,864$17,920Added 1,544.86%1.67%
16.)BOTTOMLINE TECHNOLOGIES, INC.EPAY760,524$17,621Added 12.28%1.65%
17.)DEALERTRACK HOLDINGS, INC.TRAK644,692$17,574Added 1,365.21%1.64%
18.)NU SKIN ENTERPRISES, INC.NUS350,303$17,014Added 1,337.73%1.59%
19.)CARTER INCCRI414,796$16,513Added 1,788.10%1.54%
20.)BARNES GROUP INC.B635,514$15,322Added 1,381.38%1.43%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)INNERWORKINGS, INC.INWK1,355,063$12,6161.18%
2.)SYMMETRICOM, INC.SYMM1,773,585$9,5600.89%
3.)CALAMOS ASSET MANAGEMENT, INC.CLMS731,449$9,1500.86%
4.)WALKER & DUNLOP, INC COMMON STOCKWD691,486$8,6850.81%
5.)WABTEC CORP.WAB106,872$7,4760.70%
6.)DOLAN COMPANY (THE) COMMON STOCKDM825,459$7,0330.66%
7.)THE PROVIDENCE SERVICE CORPORATIONPRSC510,051$7,0180.66%
8.)WABASH NATIONAL CORP.WNC869,590$6,8180.64%
9.)CAPITAL PRODUCT PARTNERS L.P. - COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTSCPLP1,084,274$6,6470.62%
10.)TMS INTERNATIONAL CORPTMS672,719$6,6460.62%
11.)STAG INDUSTRIAL INCSTAG555,068$6,3670.60%
12.)COLUMBUS MCKINNON CORPORATIONCMCO501,667$6,3660.60%
13.)CHEFS WAREHOUSE INCCHEF330,343$5,9000.55%
14.)MERCURY COMPUTER SYSTEMSMRCY417,988$5,5550.52%
15.)AMERICAN SCIENCE AND ENGINEERING, INC.ASEI81,433$5,5460.52%
16.)BENCHMARK ELECTRONICS, INC.BHE394,601$5,3150.50%
17.)CROSS COUNTRY HEALTHCARE, INC.CCRN953,007$5,2890.49%
18.)EMPIRE DISTRICT ELECTRIC CO.EDE245,464$5,1770.48%
19.)COLUMBIA BANKING SYSTEM, INC.COLB266,508$5,1360.48%
20.)QUIDEL CORPORATIONQDEL330,790$5,0050.47%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)GENESCO INC.GCO3,318,039$170,9781.77%
2.)LUFKIN INDUSTRIES, INC.LUFK2,454,728$130,6161.35%
3.)WASTE CONNECTIONS, INC.WCN3,340,284$112,9681.17%
4.)CASH AMERICA INTERNATIONAL, INC.CSH2,167,946$110,9121.15%
5.)BJ RESTAURANTS, INC.BJRI2,322,792$102,4581.06%
6.)VITAMIN SHOPPE, INC COMMON STOCKVSI2,663,040$99,7041.03%
7.)TRIUMPH GROUP INC.TGI1,916,264$93,3980.97%
8.)ACACIA RESEARCH CORPORATIONACTG2,540,806$91,4430.95%
9.)QUALITY SYSTEMS, INC.QSII1,737,200$84,2540.87%
10.)CATALYST HEALTH SOLUTIONS, INCCHSI1,450,104$83,6560.86%
11.)THORATEC CORPORATIONTHOR2,413,944$78,7910.81%
12.)WABCO HOLDINGS INC. COMMON STOCKWBC2,010,029$76,0990.79%
13.)COHERENT, INC.COHR1,753,471$75,3290.78%
14.)SOTHEBYBID2,708,016$74,6600.77%
15.)SIRONA DENTAL SYSTEMS, INC.SIRO1,743,451$73,9390.76%
16.)INFORMATICA CORPORATIONINFA1,738,328$71,1840.74%
17.)TIBCO SOFTWARE, INC.TIBX3,136,536$70,2270.73%
18.)IAC/INTERACTIVECORPIACI1,771,804$70,0740.72%
19.)ANSYS, INC.ANSS1,393,304$68,3270.71%
20.)PLANTRONICS, INC.PLT2,384,807$67,8470.70%