FMR LLC
Email Notification.
Schedule 13D and 13G filings submitted since 09/30/2011
| Subject Company | Symbol | Date of Filing | Total Reported Shares Owned |
Shares Reported on 13F |
Change | |
|---|---|---|---|---|---|---|
| SC 13G/A | AOL, Inc. | AOL | 10/11/2011 | 3,999,679 | 3,999,679 |
Decreased position by
0
|
| SC 13G | Franco Nev Corp Common (Canada) | FNV | 10/11/2011 | 20,037,300 | 19,601,700 |
Increased position by
435,600
|
| SC 13G/A | ACCURIDE CORP | ACUZD | 10/11/2011 | 299,502 | 186,420 |
Increased position by
113,082
|
| SC 13G/A | Agilent Technologies Inc. | A | 10/11/2011 | 8,643,734 | 7,114,806 |
Increased position by
1,528,928
|
| SC 13G/A | Acuity Brands, Inc. | AYI | 10/11/2011 | 2,627,270 | 2,609,570 |
Increased position by
17,700
|
| SC 13G/A | Alexandria Real Estate Equities Inc. | ARE | 10/11/2011 | 3,154,081 | 1,826,590 |
Increased position by
1,327,491
|
| SC 13G/A | Applied Materials Inc. | AMAT | 10/11/2011 | 38,301,914 | 36,960,327 |
Increased position by
1,341,587
|
| SC 13G/A | Almost Family Inc. | AFAM | 10/11/2011 | 940,814 | 940,814 |
Decreased position by
0
|
| SC 13G/A | CR Bard Inc. | BCR | 10/11/2011 | 4,681,256 | 4,467,182 |
Increased position by
214,074
|
| SC 13G/A | ArQule Inc. | ARQL | 10/11/2011 | 6,249,702 | 6,249,702 |
Decreased position by
0
|
| SC 13G/A | Blyth, Inc. | BTH | 10/11/2011 | 238,094 | 238,094 |
Decreased position by
0
|
| SC 13G/A | Beazer Homes USA Inc. | BZH | 10/11/2011 | 6,431,597 | 6,431,597 |
Decreased position by
0
|
| SC 13G/A | Brunswick Corporation | BC | 10/11/2011 | 8,883,137 | 8,883,137 |
Decreased position by
0
|
| SC 13G/A | Changyou.com Limited | CYOU | 10/11/2011 | 1,195,048 | 597,524 |
Increased position by
597,524
|
| SC 13G/A | Celanese Corp. | CE | 10/11/2011 | 4,340,126 | 4,324,506 |
Increased position by
15,620
|
| SC 13G/A | Charming Shoppes Inc. | CHRS | 10/11/2011 | 7,744,062 | 7,744,062 |
Decreased position by
0
|
| SC 13G/A | CIENA Corp. | CIEN | 10/11/2011 | 5,490,101 | 5,430,140 |
Increased position by
59,961
|
| SC 13G/A | Douglas Emmett Inc | DEI | 10/11/2011 | 12,891,670 | 10,519,470 |
Increased position by
2,372,200
|
| SC 13G/A | Collective Brands, Inc. | PSS | 10/11/2011 | 6,752,830 | 6,752,830 |
Decreased position by
0
|
| SC 13G/A | Cognizant Technology Solutions Corp. | CTSH | 10/11/2011 | 31,594,844 | 30,925,867 |
Increased position by
668,977
|
| SC 13G/A | Edwards Lifesciences Corp. | EW | 10/11/2011 | 10,386,204 | 10,322,738 |
Increased position by
63,466
|
| SC 13G/A | Eagle Materials Inc. | EXP | 10/11/2011 | 1,589,360 | 1,589,360 |
Decreased position by
0
|
| SC 13G/A | Greatbatch, Inc. | GB | 10/11/2011 | 845,420 | 844,669 |
Increased position by
751
|
| SC 13G/A | Fuel Systems Solutions, Inc. | FSYS | 10/11/2011 | 1,353,631 | 1,353,631 |
Decreased position by
0
|
| SC 13G/A | Insulet Corporation | PODD | 10/11/2011 | 5,665,800 | 5,665,800 |
Decreased position by
0
|
| SC 13G/A | Incyte Corporation | INCY | 10/11/2011 | 4,886,460 | 4,811,247 |
Increased position by
75,213
|
| SC 13G/A | JinkoSolar Holding Co., Ltd. | JKS | 10/11/2011 | 0 | 0 | |
| SC 13G/A | Intersil Corporation | ISIL | 10/11/2011 | 18,881,076 | 18,864,076 |
Increased position by
17,000
|
| SC 13G/A | Kraton Performance Polymers Inc. | KRA | 10/11/2011 | 2,139,639 | 2,115,139 |
Increased position by
24,500
|
| SC 13G/A | Keryx Biopharmaceuticals Inc. | KERX | 10/11/2011 | 875,800 | 875,800 |
Decreased position by
0
|
| SC 13G/A | Lennox International, Inc. | LII | 10/11/2011 | 4,158,075 | 4,158,075 |
Decreased position by
0
|
| SC 13G/A | Longtop Financial Technologies | LGFTY.PK | 10/11/2011 | 273,800 | 0 |
New Position
|
| SC 13G/A | Momenta Pharmaceuticals Inc. | MNTA | 10/11/2011 | 1,917,214 | 1,917,214 |
Decreased position by
0
|
| SC 13G/A | Minerals Technologies Inc. | MTX | 10/11/2011 | 926,586 | 926,586 |
Decreased position by
0
|
| SC 13G/A | NetLogic Microsystems Inc. | NETL | 10/11/2011 | 146,159 | 146,159 |
Decreased position by
0
|
| SC 13G/A | Myriad Genetics Inc. | MYGN | 10/11/2011 | 72,100 | 71,400 |
Increased position by
700
|
| SC 13G/A | REX American Resources Corporation | REX | 10/11/2011 | 710,000 | 710,000 |
Decreased position by
0
|
| SC 13G/A | Pall Corp. | PLL | 10/11/2011 | 2,342,553 | 2,342,553 |
Decreased position by
0
|
| SC 13G/A | SIGA Technologies, Inc. | SIGA | 10/11/2011 | 3,387,055 | 3,387,055 |
Decreased position by
0
|
| SC 13G/A | SVB Financial Group | SIVB | 10/11/2011 | 1,592,574 | 1,592,574 |
Decreased position by
0
|
| SC 13G/A | Susser Holdings Corporation | SUSS | 10/11/2011 | 41,163 | 41,163 |
Decreased position by
0
|
| SC 13G/A | CubeSmart | CUBE | 10/11/2011 | 0 | 1,611,100 |
Decreased position by
-1,611,100
|
| SC 13G/A | Symmetry Medical, Inc. | SMA | 10/11/2011 | 0 | 0 | |
| SC 13G/A | VeriFone Systems, Inc | PAY | 10/11/2011 | 1,165,590 | 1,165,590 |
Decreased position by
0
|
| SC 13G/A | Urban Outfitters Inc. | URBN | 10/11/2011 | 1,846,978 | 3,562,010 |
Decreased position by
-1,715,032
|
| SC 13G | Amyris, Inc. | AMRS | 11/10/2011 | 4,894,607 | 3,663,907 |
Increased position by
1,230,700
|
| SC 13G/A | ADOLOR CORPORATION | ADLR | 11/10/2011 | 3,000 | 3,767,989 |
Decreased position by
-3,764,989
|
| SC 13G/A | MF GLOBAL HLDGS LTD COM | MFGLQ | 11/10/2011 | 8,766,389 | 18,396,999 |
Decreased position by
-9,630,610
|
| SC 13G/A | Tempur Pedic International Inc. | TPX | 11/10/2011 | 9,670,554 | 9,119,487 |
Increased position by
551,067
|
| SC 13G/A | Pinnacle Entertainment Inc. | PNK | 11/10/2011 | 526,800 | 3,866,570 |
Decreased position by
-3,339,770
|
| SC 13G/A | Sequenom Inc. | SQNM | 11/10/2011 | 4,707,388 | 14,866,800 |
Decreased position by
-10,159,412
|
| SC 13G/A | DIGITAL GENERATION INC | DGIT | 11/10/2011 | 2,054,597 | 4,061,559 |
Decreased position by
-2,006,962
|
| SC 13G/A | Western Liberty Bancorp | WLBC | 11/10/2011 | 2,750,000 | 3,599,000 |
Decreased position by
-849,000
|
| SC 13G | Amyris, Inc. | AMRS | 11/10/2011 | 4,894,607 | 3,663,907 |
Increased position by
1,230,700
|
| SC 13G/A | ADOLOR CORPORATION | ADLR | 11/10/2011 | 3,000 | 3,767,989 |
Decreased position by
-3,764,989
|
| SC 13G/A | Rush Enterprises, Inc. | RUSHA | 11/10/2011 | 3,312,519 | 3,485,584 |
Decreased position by
-173,065
|
| SC 13G | Skechers USA Inc. | SKX | 11/10/2011 | 4,443,862 | 2,878,804 |
Increased position by
1,565,058
|
| SC 13G/A | S1 Corporation | SONE | 11/10/2011 | 0 | 3,057,080 |
Decreased position by
-3,057,080
|
| SC 13G | iShares MSCI Australia Index | EWA | 11/10/2011 | 12,409,638 | 10,996,916 |
Increased position by
1,412,722
|
| SC 13G/A | Citrix Systems, Inc. | CTXS | 11/10/2011 | 26,424,967 | 20,067,574 |
Increased position by
6,357,393
|
| SC 13G/A | Cedar Shopping Centers Inc. | CDR | 11/10/2011 | 368,500 | 1,486,070 |
Decreased position by
-1,117,570
|
| SC 13G/A | Minerals Technologies Inc. | MTX | 11/10/2011 | 0 | 926,586 |
Decreased position by
-926,586
|
| SC 13G/A | Myrexis, Inc. | MYRX | 11/10/2011 | 918,938 | 1,366,507 |
Decreased position by
-447,569
|
| SC 13G/A | HOUSTON WIRE & CABLE COMPANY | HWCC | 11/10/2011 | 1,348,818 | 2,448,818 |
Decreased position by
-1,100,000
|
| SC 13G/A | Kodiak Oil & Gas Corp. | KOG | 11/10/2011 | 8,026,051 | 16,604,351 |
Decreased position by
-8,578,300
|
| SC 13G/A | Group 1 Automotive Inc. | GPI | 11/10/2011 | 996,500 | 1,117,600 |
Decreased position by
-121,100
|
| SC 13G/A | Janus Capital Group Inc. | JNS | 11/10/2011 | 1,673,547 | 9,382,730 |
Decreased position by
-7,709,183
|
| SC 13G | RF Micro Devices Inc. | RFMD | 11/10/2011 | 35,927,068 | 27,097,297 |
Increased position by
8,829,771
|
| SC 13G/A | Huntington Bancshares Inc. | HBAN | 11/10/2011 | 78,349,616 | 77,311,599 |
Increased position by
1,038,017
|
| SC 13G/A | Starfield Resources Inc. | SRFDF.OB | 11/10/2011 | 14,911,436 | 0 |
New Position
|
| SC 13G/A | Valeant Pharmaceuticals International | VRX | 11/10/2011 | 31,433,796 | 36,710,997 |
Decreased position by
-5,277,201
|
| SC 13G | Douglas Dynamics, Inc. | PLOW | 11/10/2011 | 2,273,839 | 2,062,186 |
Increased position by
211,653
|
| SC 13G | Wright Medical Group Inc. | WMGI | 11/10/2011 | 4,218,610 | 3,807,920 |
Increased position by
410,690
|
| SC 13G/A | GILDAN ACTIVEWEAR | GIL | 11/10/2011 | 12,495,044 | 14,005,918 |
Decreased position by
-1,510,874
|
| SC 13G/A | Masco Corporation | MAS | 11/10/2011 | 2,904,899 | 11,358,270 |
Decreased position by
-8,453,371
|
| SC 13G | Texas Roadhouse Inc. | TXRH | 11/10/2011 | 7,950,339 | 6,092,909 |
Increased position by
1,857,430
|
| SC 13G/A | Shaw Group Inc. | SHAW | 11/10/2011 | 3,974,289 | 4,965,079 |
Decreased position by
-990,790
|
| SC 13G | Avery Dennison Corporation | AVY | 11/10/2011 | 11,418,697 | 8,983,716 |
Increased position by
2,434,981
|
| SC 13G/A | Pegasystems Inc. | PEGA | 11/10/2011 | 1,273,871 | 2,070,114 |
Decreased position by
-796,243
|
| SC 13G/A | REX American Resources Corporation | REX | 11/10/2011 | 0 | 710,000 |
Decreased position by
-710,000
|
| SC 13G/A | Western Digital Corp. | WDC | 11/10/2011 | 2,484,359 | 8,350,535 |
Decreased position by
-5,866,176
|
| SC 13G | MicroStrategy Inc. | MSTR | 11/10/2011 | 844,250 | 769,150 |
Increased position by
75,100
|
| SC 13G/A | United Natural Foods, Inc. | UNFI | 11/10/2011 | 2,189,033 | 4,404,082 |
Decreased position by
-2,215,049
|
| SC 13G/A | Mid-America Apartment Communities Inc. | MAA | 11/10/2011 | 727,773 | 1,155,670 |
Decreased position by
-427,897
|
| SC 13G/A | BioScrip Inc. | BIOS | 11/10/2011 | 2,538,843 | 3,172,487 |
Decreased position by
-633,644
|
| SC 13G | Entegris, Inc. | ENTG | 11/10/2011 | 14,450,065 | 13,499,665 |
Increased position by
950,400
|
| SC 13G/A | Harry Winston Diamond Corporation | HWD | 11/10/2011 | 30,370 | 1,293,123 |
Decreased position by
-1,262,753
|
| SC 13G/A | EASTMAN KODAK CO | EKDKQ | 11/10/2011 | 11,013,712 | 4,056,308 |
Increased position by
6,957,404
|
| SC 13G/A | Stanley Black & Decker, Inc. | SWK | 11/10/2011 | 4,321,510 | 4,237,993 |
Increased position by
83,517
|
| SC 13G/A | JetBlue Airways Corporation | JBLU | 12/12/2011 | 29,295,623 | 41,153,324 |
Decreased position by
-11,857,701
|
| SC 13G/A | NCI Building Systems Inc. | NCS | 12/12/2011 | 400,000 | 1,800,000 |
Decreased position by
-1,400,000
|
| SC 13G/A | SXC Health Solutions, Corp. | SXC | 12/12/2011 | 5,072,603 | 4,256,500 |
Increased position by
816,103
|
| SC 13G/A | TransAtlantic Petroleum Ltd. | TAT | 12/12/2011 | 3,179,551 | 5,813,051 |
Decreased position by
-2,633,500
|
| SC 13G/A | Targacept, Inc. | TRGT | 12/12/2011 | 1,606,346 | 5,006,672 |
Decreased position by
-3,400,326
|
| SC 13G/A | Coventry Health Care Inc. | CVH | 12/12/2011 | 14,840,498 | 14,840,490 |
Increased position by
8
|
| SC 13G/A | TriQuint Semiconductor, Inc. | TQNT | 12/12/2011 | 2,812,566 | 9,670,729 |
Decreased position by
-6,858,163
|
| SC 13G/A | Belo Corp. | BLC | 12/12/2011 | 300,000 | 3,095,359 |
Decreased position by
-2,795,359
|
| SC 13G/A | Applied Micro Circuits Corp. | AMCC | 12/12/2011 | 9,128,810 | 6,397,310 |
Increased position by
2,731,500
|
| SC 13G/A | Changyou.com Limited | CYOU | 12/12/2011 | 202,200 | 597,524 |
Decreased position by
-395,324
|
| SC 13G/A | RTI Biologics, Inc. | RTIX | 12/12/2011 | 86,600 | 2,033,300 |
Decreased position by
-1,946,700
|
| SC 13G/A | SONIC AUTOMOTIVE INC | SAH | 12/12/2011 | 4,059,489 | 3,864,344 |
Increased position by
195,145
|
| SC 13G/A | Transocean Ltd. | RIG | 12/12/2011 | 11,065,898 | 26,388,109 |
Decreased position by
-15,322,211
|
| SC 13G/A | Discovery Communications, Inc. | DISCA | 12/12/2011 | 25,699,140 | 24,502,520 |
Increased position by
1,196,620
|
| SC 13G/A | Quanex Building Products Corporation | NX | 12/12/2011 | 2,107,826 | 2,636,878 |
Decreased position by
-529,052
|
| SC 13G | Under Armour, Inc. | UA | 12/12/2011 | 4,859,685 | 3,699,541 |
Increased position by
1,160,144
|
| SC 13G/A | Goodyear Tire & Rubber Co. | GT | 12/12/2011 | 295,560 | 1,793,645 |
Decreased position by
-1,498,085
|
| SC 13G | Lions Gate Entertainment Corp. | LGF | 12/12/2011 | 14,062,701 | 1,951,245 |
Increased position by
12,111,456
|
| SC 13G/A | OFFICEMAX INC. | OMX | 12/12/2011 | 7,301,084 | 8,957,369 |
Decreased position by
-1,656,285
|
| SC 13G/A | Volcano Corporation | VOLC | 12/12/2011 | 2,870,315 | 5,016,883 |
Decreased position by
-2,146,568
|
| SC 13G/A | Whiting Petroleum Corp. | WLL | 12/12/2011 | 4,947,043 | 7,933,629 |
Decreased position by
-2,986,586
|
| SC 13G/A | Lexicon Pharmaceuticals, Inc. | LXRX | 12/12/2011 | 62,558,269 | 43,833,635 |
Increased position by
18,724,634
|
| SC 13G/A | Meru Networks, Inc. | MERU | 12/12/2011 | 784,214 | 2,503,897 |
Decreased position by
-1,719,683
|
| SC 13G | Optimer Pharmaceuticals, Inc. | OPTR | 12/12/2011 | 6,031,673 | 3,785,240 |
Increased position by
2,246,433
|
| SC 13G/A | Teradyne Inc. | TER | 12/12/2011 | 7,147,316 | 10,908,811 |
Decreased position by
-3,761,495
|
| SC 13G/A | Terreno Realty Corp. | TRNO | 12/12/2011 | 534,900 | 839,001 |
Decreased position by
-304,101
|
| SC 13G/A | Advantage Oil & Gas Ltd. | AAV | 12/12/2011 | 407,500 | 11,611,830 |
Decreased position by
-11,204,330
|
| SC 13G/A | Modine Manufacturing Company | MOD | 12/12/2011 | 4,770,118 | 4,185,008 |
Increased position by
585,110
|
| SC 13G/A | Kulicke & Soffa Industries Inc. | KLIC | 12/12/2011 | 1,227,336 | 5,969,200 |
Decreased position by
-4,741,864
|
| SC 13G/A | CVR Energy, Inc. | CVI | 12/12/2011 | 5,420,102 | 11,015,480 |
Decreased position by
-5,595,378
|
| SC 13G/A | Euronet Worldwide Inc. | EEFT | 12/12/2011 | 5,092,762 | 4,282,300 |
Increased position by
810,462
|
| SC 13G/A | Coinstar Inc. | CSTR | 12/12/2011 | 14,600 | 2,136,535 |
Decreased position by
-2,121,935
|
| SC 13G/A | Covance Inc. | CVD | 12/12/2011 | 307,693 | 968,949 |
Decreased position by
-661,256
|
| SC 13G/A | Micron Technology Inc. | MU | 12/12/2011 | 93,329,282 | 112,713,556 |
Decreased position by
-19,384,274
|
| SC 13G/A | MF GLOBAL HLDGS LTD COM | MFGLQ | 12/12/2011 | 0 | 18,396,999 |
Decreased position by
-18,396,999
|
| SC 13G/A | Briggs & Stratton Corp. | BGG | 12/12/2011 | 2,112,404 | 4,347,599 |
Decreased position by
-2,235,195
|
| SC 13G/A | Ambassadors Group Inc. | EPAX | 12/12/2011 | 1,770,356 | 1,254,897 |
Increased position by
515,459
|
| SC 13G/A | Winnebago Industries Inc. | WGO | 12/12/2011 | 2,900,590 | 4,074,538 |
Decreased position by
-1,173,948
|
| SC 13G/A | CARPENTER TECH | CRS | 12/12/2011 | 2,425,862 | 4,309,025 |
Decreased position by
-1,883,163
|
| SC 13G | DUNKIN' BRANDS GROUP, INC. | DNKN | 12/12/2011 | 13,876,560 | 6,675,000 |
Increased position by
7,201,560
|
| SC 13G/A | Himax Technologies, Inc. | HIMX | 12/12/2011 | 33,606,248 | 23,348,666 |
Increased position by
10,257,582
|
| SC 13G/A | American Dental Partners, Inc. | ADPI | 12/12/2011 | 273,058 | 1,571,168 |
Decreased position by
-1,298,110
|
| SC 13G/A | CC Media Holdings, Inc. | CCMO.PK | 12/12/2011 | 0 | 0 | |
| SC 13G/A | Ctrip.com International Ltd. | CTRP | 12/12/2011 | 937,893 | 5,955,165 |
Decreased position by
-5,017,272
|
| SC 13G/A | PMC-Sierra Inc. | PMCS | 12/12/2011 | 22,939,305 | 32,505,012 |
Decreased position by
-9,565,707
|
| SC 13G | El Paso Electric Co. | EE | 12/12/2011 | 4,178,103 | 3,987,753 |
Increased position by
190,350
|
| SC 13G | BODY CENTRAL CORP. | BODY | 12/12/2011 | 1,703,112 | 425,794 |
Increased position by
1,277,318
|
| SC 13G | Greenbrier Companies | GBX | 12/12/2011 | 3,179,251 | 1,317,053 |
Increased position by
1,862,198
|
| SC 13G/A | Dana Holding Corporation | DAN | 01/10/2012 | 1,491,332 | 6,644,075 |
Decreased position by
-5,152,743
|
| SC 13G | FUSION-IO, INC. COMMON STOCK | FIO | 01/10/2012 | 11,214,477 | 3,690,000 |
Increased position by
7,524,477
|
| SC 13G/A | Acme Packet, Inc. | APKT | 01/10/2012 | 2,568,058 | 5,191,169 |
Decreased position by
-2,623,111
|
| SC 13G/A | Lionbridge Technologies Inc. | LIOX | 01/10/2012 | 6,271,340 | 5,175,807 |
Increased position by
1,095,533
|
| SC 13G/A | REACHLOCAL INC | RLOC | 01/10/2012 | 511,600 | 1,798,528 |
Decreased position by
-1,286,928
|
| SC 13G/A | support.com, Inc. | SPRT | 01/10/2012 | 2,042,949 | 5,341,767 |
Decreased position by
-3,298,818
|
| SC 13G/A | United Continental Holdings | UAL | 01/10/2012 | 24,346,257 | 26,482,857 |
Decreased position by
-2,136,600
|
| SC 13G/A | SuccessFactors, Inc. | SFSF | 01/10/2012 | 891,743 | 12,256,538 |
Decreased position by
-11,364,795
|
| SC 13G/A | HealthSpring Inc. | HS | 01/10/2012 | 780,525 | 6,552,231 |
Decreased position by
-5,771,706
|
| SC 13G/A | WebMD Health Corp. | WBMD | 01/10/2012 | 1,036,434 | 2,257,974 |
Decreased position by
-1,221,540
|
| SC 13G/A | ENDOCYTE INC | ECYT | 01/10/2012 | 2,223,994 | 5,202,894 |
Decreased position by
-2,978,900
|
| SC 13G/A | Arctic Cat Inc. | ACAT | 01/10/2012 | 112 | 582,907 |
Decreased position by
-582,795
|
| SC 13G/A | The Cooper Companies Inc. | COO | 01/10/2012 | 6,558,676 | 4,695,909 |
Increased position by
1,862,767
|
| SC 13G/A | Ingles Markets Inc. | IMKTA | 01/10/2012 | 756,521 | 1,310,339 |
Decreased position by
-553,818
|
| SC 13G/A | International Rectifier Corporation | IRF | 01/10/2012 | 4,397,895 | 6,423,695 |
Decreased position by
-2,025,800
|
| SC 13G/A | Telik Inc. | TELK | 01/10/2012 | 0 | 2,486,404 |
Decreased position by
-2,486,404
|
| SC 13G/A | Magma Design Automation Inc. | LAVA | 01/10/2012 | 1,922,394 | 10,266,807 |
Decreased position by
-8,344,413
|
| SC 13G/A | SWIFT TRANSPORTATION COMPANY CLASS A COMMON STOCK | SWFT | 01/10/2012 | 6,015,820 | 4,379,060 |
Increased position by
1,636,760
|
| SC 13G/A | Spreadtrum Communications Inc. | SPRD | 01/10/2012 | 14,687,700 | 1,660,200 |
Increased position by
13,027,500
|
| SC 13G/A | TRW Automotive Holdings Corp. | TRW | 01/10/2012 | 11,178,952 | 11,217,140 |
Decreased position by
-38,188
|
| SC 13G/A | BJ's Restaurants, Inc. | BJRI | 01/10/2012 | 2,673,755 | 3,708,577 |
Decreased position by
-1,034,822
|
| SC 13G/A | Synovus Financial Corp. | SNV | 01/10/2012 | 25,045,327 | 44,116,867 |
Decreased position by
-19,071,540
|
| SC 13G | ASCENA RETAIL GROUP INC COM | ASNA | 01/10/2012 | 8,456,858 | 5,934,038 |
Increased position by
2,522,820
|
| SC 13G/A | Weight Watchers International, Inc. | WTW | 01/10/2012 | 4,397,785 | 9,106,413 |
Decreased position by
-4,708,628
|
| SC 13G | VELTI PLC | VELT | 01/10/2012 | 9,250,318 | 8,437,649 |
Increased position by
812,669
|
| SC 13G/A | Spansion Inc. | CODE | 01/10/2012 | 6,283,432 | 2,719,478 |
Increased position by
3,563,954
|
| SC 13G/A | China Finance Online Co. Ltd. | JRJC | 01/10/2012 | 1,172,070 | 1,732,199 |
Decreased position by
-560,129
|
| SC 13G/A | Cutera Inc. | CUTR | 01/10/2012 | 0 | 1,159,150 |
Decreased position by
-1,159,150
|
| SC 13G | SPS Commerce, Inc. | SPSC | 01/10/2012 | 1,246,136 | 138,807 |
Increased position by
1,107,329
|
| SC 13G/A | Home Properties Inc. | HME | 01/10/2012 | 2,181,219 | 1,336,707 |
Increased position by
844,512
|
| SC 13G/A | Rovi Corporation | ROVI | 01/10/2012 | 5,692,592 | 14,690,067 |
Decreased position by
-8,997,475
|
| SC 13G | Destination Maternity Corporation | DEST | 01/10/2012 | 1,991,319 | 333,100 |
Increased position by
1,658,219
|
| SC 13G/A | Hill-Rom Holdings, Inc. | HRC | 01/10/2012 | 4,941,490 | 6,530,355 |
Decreased position by
-1,588,865
|
| SC 13G/A | PHARMASSET, INC. COM | VRUS | 01/10/2012 | 4,018,203 | 10,619,450 |
Decreased position by
-6,601,247
|
| SC 13G/A | DemandTec, Inc. | DMAN | 01/10/2012 | 1,062,131 | 4,870,260 |
Decreased position by
-3,808,129
|
| SC 13G | Affymax, Inc. | AFFY | 01/10/2012 | 4,644,504 | 1,626,554 |
Increased position by
3,017,950
|
| SC 13G/A | Express Inc. | EXPR | 02/10/2012 | 10,300,607 | 4,714,352 |
Increased position by
5,586,255
|
| SC 13G/A | MANAS PETROLEUM CORP | MNAP | 02/10/2012 | 4,809,094 | 0 |
New Position
|
| SC 13G/A | Uroplasty Inc. | UPI | 02/10/2012 | 500,000 | 1,483,800 |
Decreased position by
-983,800
|
| SC 13G/A | Greenbrier Companies | GBX | 02/10/2012 | 1,470,639 | 1,317,053 |
Increased position by
153,586
|
| SC 13G/A | Comtech Telecommunications Corp. | CMTL | 02/10/2012 | 2,211,404 | 1,653,183 |
Increased position by
558,221
|
| SC 13G/A | Convio, Inc. | CNVO | 02/10/2012 | 715,947 | 2,377,117 |
Decreased position by
-1,661,170
|
| SC 13G/A | SPDR S&P Pharmaceuticals | XPH | 02/10/2012 | 8,825 | 625 |
Increased position by
8,200
|
| SC 13G/A | Sun Communities Inc. | SUI | 02/10/2012 | 2,791,546 | 597,500 |
Increased position by
2,194,046
|
| SC 13G/A | Deckers Outdoor Corp. | DECK | 02/10/2012 | 4,304,595 | 1,988,113 |
Increased position by
2,316,482
|
| SC 13G/A | Vical Inc. | VICL | 02/10/2012 | 9,729,907 | 5,412,307 |
Increased position by
4,317,600
|
| SC 13G/A | Inhibitex Inc. | INHX | 02/10/2012 | 5,665,700 | 10,403,465 |
Decreased position by
-4,737,765
|
| SC 13G | Acme Packet, Inc. | APKT | 02/10/2012 | 10,068,733 | 5,191,169 |
Increased position by
4,877,564
|
| SC 13G/A | Arrow Electronics, Inc. | ARW | 02/10/2012 | 11,364,576 | 7,060,116 |
Increased position by
4,304,460
|
| SC 13G/A | Micromet, Inc. | MITI | 02/10/2012 | 855,092 | 13,797,757 |
Decreased position by
-12,942,665
|
| SC 13G | Medivation, Inc. | MDVN | 02/10/2012 | 4,301,654 | 453,700 |
Increased position by
3,847,954
|
| SC 13G | MANNING & NAPIER, INC. | MN | 02/10/2012 | 1,399,990 | 0 |
New Position
|
| SC 13G/A | WESTPORT INNOVATIONS NEW | WPRT | 02/10/2012 | 5,809,276 | 1,185,449 |
Increased position by
4,623,827
|
| SC 13G/A | PANDORA MEDIA | P | 02/10/2012 | 17,182,363 | 4,866,246 |
Increased position by
12,316,117
|
| SC 13G/A | EPOCRATES INC | EPOC | 02/10/2012 | 2,501,028 | 1,971,713 |
Increased position by
529,315
|
| SC 13G/A | Best Buy Co. Inc. | BBY | 02/10/2012 | 35,482,031 | 32,678,592 |
Increased position by
2,803,439
|
| SC 13G/A | Spectrum Pharmaceuticals, Inc. | SPPI | 02/10/2012 | 7,462,965 | 1,957,147 |
Increased position by
5,505,818
|
| SC 13G/A | DreamWorks Animation SKG Inc. | DWA | 02/10/2012 | 8,293,950 | 6,436,590 |
Increased position by
1,857,360
|
| SC 13G/A | Spreadtrum Communications Inc. | SPRD | 02/10/2012 | 6,633,438 | 1,660,200 |
Increased position by
4,973,238
|
| SC 13G/A | Bed Bath & Beyond, Inc. | BBBY | 02/10/2012 | 26,629,232 | 20,543,141 |
Increased position by
6,086,091
|
