BANK OF NEW YORK MELLON CORP
Schedule 13D and 13G filings submitted since 12/31/2011
| Subject Company | Symbol | Date of Filing | Total Reported Shares Owned |
Shares Reported on 13F |
Change | |
|---|---|---|---|---|---|---|
| SC 13G/A | Camelot Information Systems Inc. | CIS | 01/09/2012 | 2,184,705 | 2,184,705 |
Decreased position by
0
|
| SC 13G/A | Vitamin Shoppe, Inc. | VSI | 01/09/2012 | 319,797 | 305,397 |
Increased position by
14,400
|
| SC 13G/A | Emergent BioSolutions, Inc. | EBS | 01/09/2012 | 1,733,515 | 1,709,965 |
Increased position by
23,550
|
| SC 13G/A | Columbus Mckinnon Corp. | CMCO | 01/09/2012 | 1,254,821 | 1,254,821 |
Decreased position by
0
|
| SC 13G/A | Amphenol Corporation | APH | 01/27/2012 | 10,118,947 | 10,117,074 |
Increased position by
1,873
|
| SC 13G/A | Align Technology Inc. | ALGN | 01/27/2012 | 4,486,452 | 4,486,452 |
Decreased position by
0
|
| SC 13G/A | Ariba Inc. | ARBA | 01/27/2012 | 5,044,046 | 5,028,696 |
Increased position by
15,350
|
| SC 13G/A | Tele Norte Leste Participacoes S.A. | TNE | 01/27/2012 | 24,075,219 | 24,075,219 |
Decreased position by
0
|
| SC 13G/A | Vishay Intertechnology Inc. | VSH | 01/27/2012 | 8,780,454 | 8,438,102 |
Increased position by
342,352
|
| SC 13G/A | ITT Educational Services Inc. | ESI | 01/27/2012 | 1,513,014 | 1,512,696 |
Increased position by
318
|
| SC 13G/A | Meritage Homes Corporation | MTH | 01/27/2012 | 3,168,404 | 3,161,418 |
Increased position by
6,986
|
| SC 13G/A | MAP Pharmaceuticals, Inc. | MAPP | 01/27/2012 | 2,877,462 | 2,871,218 |
Increased position by
6,244
|
| SC 13G/A | iShares S&P GSCI Commodity-Indexed Trust | GSG | 01/27/2012 | 5,660,368 | 5,645,157 |
Increased position by
15,211
|
| SC 13G/A | Liz Claiborne Inc. | LIZ | 01/27/2012 | 7,183,983 | 7,162,034 |
Increased position by
21,949
|
| SC 13G/A | ScanSource, Inc. | SCSC | 01/30/2012 | 1,434,784 | 1,434,784 |
Decreased position by
0
|
| SC 13G/A | Spartan Stores Inc. | SPTN | 01/30/2012 | 1,529,980 | 1,480,645 |
Increased position by
49,335
|
| SC 13G/A | PDL BioPharma, Inc. | PDLI | 01/30/2012 | 13,331,969 | 13,331,969 |
Decreased position by
0
|
| SC 13G/A | Newell Rubbermaid Inc. | NWL | 01/30/2012 | 17,479,783 | 17,478,967 |
Increased position by
816
|
| SC 13G/A | Granite Construction Incorporated | GVA | 01/30/2012 | 2,287,894 | 2,262,055 |
Increased position by
25,839
|
| SC 13G/A | FLIR Systems, Inc. | FLIR | 01/30/2012 | 14,399,004 | 14,377,404 |
Increased position by
21,600
|
| SC 13G/A | GeoEye, Inc. | GEOY | 01/30/2012 | 2,847,756 | 2,847,756 |
Decreased position by
0
|
| SC 13G/A | Sprint Nextel Corp. | S | 01/30/2012 | 152,814,980 | 152,664,087 |
Increased position by
150,893
|
| SC 13G/A | CR Bard Inc. | BCR | 01/30/2012 | 5,726,218 | 5,697,405 |
Increased position by
28,813
|
| SC 13G/A | DealerTrack Holdings, Inc. | TRAK | 01/30/2012 | 2,482,327 | 2,436,527 |
Increased position by
45,800
|
| SC 13G | ANGLOGOLD ASHANTI LTD. 6% MANDATORY CONVERTIBLE SUBORDINATED BONDS DUE 2013 | AU/PA | 01/30/2012 | 1,160,303 | 1,160,303 |
Decreased position by
0
|
| SC 13G | Adobe Systems Inc. | ADBE | 01/30/2012 | 27,557,276 | 27,556,518 |
Increased position by
758
|
| SC 13G | CSG Systems International Inc. | CSGS | 01/30/2012 | 1,880,460 | 1,880,460 |
Decreased position by
0
|
| SC 13G | Corporate Executive Board Co. | EXBD | 01/30/2012 | 1,791,055 | 1,782,005 |
Increased position by
9,050
|
| SC 13G | Con-way Inc. | CNW | 01/30/2012 | 2,903,677 | 2,903,677 |
Decreased position by
0
|
| SC 13G | Homex Development Corp. | HXM | 01/30/2012 | 3,160,809 | 3,160,809 |
Decreased position by
0
|
| SC 13G | Cypress Semiconductor Corporation | CY | 01/30/2012 | 9,978,330 | 9,968,460 |
Increased position by
9,870
|
| SC 13G | Equifax Inc. | EFX | 01/30/2012 | 7,844,717 | 7,841,118 |
Increased position by
3,599
|
| SC 13G | Gulfport Energy Corp. | GPOR | 01/30/2012 | 2,923,062 | 2,868,716 |
Increased position by
54,346
|
| SC 13G | Fastenal Co. | FAST | 01/30/2012 | 15,169,215 | 15,142,539 |
Increased position by
26,676
|
| SC 13G | Merit Medical Systems, Inc. | MMSI | 01/30/2012 | 2,168,576 | 2,137,616 |
Increased position by
30,960
|
| SC 13G | Meredith Corp. | MDP | 01/30/2012 | 1,981,890 | 1,914,716 |
Increased position by
67,174
|
| SC 13G | MAXIMUS, Inc. | MMS | 01/30/2012 | 2,020,047 | 1,975,568 |
Increased position by
44,479
|
| SC 13G | Marchex, Inc. | MCHX | 01/30/2012 | 1,875,139 | 1,863,147 |
Increased position by
11,992
|
| SC 13G | ICF International Inc. | ICFI | 01/30/2012 | 1,212,534 | 1,212,534 |
Decreased position by
0
|
| SC 13G | Hanger Orthopedic Group Inc. | HGR | 01/30/2012 | 2,921,365 | 2,908,165 |
Increased position by
13,200
|
| SC 13G | Shuffle Master Inc. | SHFL | 01/30/2012 | 3,015,615 | 2,916,934 |
Increased position by
98,681
|
| SC 13G | Shaw Group Inc. | SHAW | 01/30/2012 | 5,860,378 | 5,832,157 |
Increased position by
28,221
|
| SC 13G | Piper Jaffray Companies | PJC | 01/30/2012 | 966,482 | 951,402 |
Increased position by
15,080
|
| SC 13G | MSC Industrial Direct Co. Inc. | MSM | 01/30/2012 | 2,638,874 | 2,633,499 |
Increased position by
5,375
|
| SC 13G | Mitek Systems Inc. | MITK | 01/30/2012 | 1,309,677 | 1,298,459 |
Increased position by
11,218
|
| SC 13G | Standard Pacific Corp. | SPF | 01/30/2012 | 10,456,432 | 10,456,432 |
Decreased position by
0
|
| SC 13G | Stamps.com Inc. | STMP | 01/30/2012 | 952,979 | 952,979 |
Decreased position by
0
|
| SC 13G | Trinity Industries Inc. | TRN | 01/30/2012 | 4,316,238 | 4,230,525 |
Increased position by
85,713
|
| SC 13G | Taleo Corp. | TLEO | 01/30/2012 | 2,122,107 | 2,119,420 |
Increased position by
2,687
|
| SC 13G | Steelcase Inc. | SCS | 01/30/2012 | 4,869,867 | 4,835,063 |
Increased position by
34,804
|
| SC 13G | ZALE CP | ZLC | 01/30/2012 | 1,820,550 | 1,820,550 |
Decreased position by
0
|
| SC 13G | WisdomTree India Earnings | EPI | 01/30/2012 | 3,102,961 | 3,102,961 |
Decreased position by
0
|
| SC 13G | VELTI PLC | VELT | 01/30/2012 | 4,103,360 | 4,103,360 |
Decreased position by
0
|
| SC 13G | Zoltek Companies Inc. | ZOLT | 01/30/2012 | 1,887,251 | 1,887,251 |
Decreased position by
0
|
| SC 13G/A | ZAGG Incorporated | ZAGG | 01/31/2012 | 3,041,042 | 3,041,042 |
Decreased position by
0
|
| SC 13G/A | Kellogg Company | K | 02/09/2012 | 83,228,741 | 83,206,457 |
Increased position by
22,284
|
| SC 13G/A | Columbus Mckinnon Corp. | CMCO | 02/10/2012 | 689,260 | 1,254,821 |
Decreased position by
-565,561
|
| SC 13G/A | Stamps.com Inc. | STMP | 02/10/2012 | 597,020 | 952,979 |
Decreased position by
-355,959
|
| SC 13G/A | ScanSource, Inc. | SCSC | 02/10/2012 | 1,306,904 | 1,434,784 |
Decreased position by
-127,880
|
| SC 13G/A | Mitek Systems Inc. | MITK | 02/10/2012 | 696,729 | 1,298,459 |
Decreased position by
-601,730
|
| SC 13G/A | Merit Medical Systems, Inc. | MMSI | 02/10/2012 | 1,939,401 | 2,137,616 |
Decreased position by
-198,215
|
| SC 13G/A | Standard Pacific Corp. | SPF | 02/10/2012 | 5,400,065 | 10,456,432 |
Decreased position by
-5,056,367
|
| SC 13G/A | ZALE CP | ZLC | 02/10/2012 | 460,857 | 1,820,550 |
Decreased position by
-1,359,693
|
| SC 13G/A | ZAGG Incorporated | ZAGG | 02/10/2012 | 1,525,408 | 3,041,042 |
Decreased position by
-1,515,634
|
