TigerShark Partners

TigerShark Partners as of Dec. 31, 2011

Portfolio Holdings for TigerShark Partners

TigerShark Partners holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

                {C}                         {C}
                                                         FORM 13F INFORMATION TABLE
                             TITLE OF                      VALUE      SHARES/ SH/PUT/  INVSTMT   OTHER   VOTING AUTHORITY
  NAME OF ISSUER             CLASS             	 CUSIP    x ($1000)   PRN AMT PRN CALL DISCRETN  MANAGERS SOLE   SHARED   NONe
  --------------------       ------------       --------  -------   ------- -------- -------- --------  ------  ------ -----
ALLIANT TECHSYSTEMS INC	      COM	        018804104  2439	     42677	SH	Sole	0	42677	0	0
AMERICAN CAMPUS CMNTYS INC    COM	      	024835100  4617	    110000	CALL	Sole	0	0	0	0
AMGEN INC	              COM	        031162100  5513      85856	SH	Sole	0	85856	0	0
AMKOR TECHNOLOGY INC	      COM	        031652100  1117	    256118	SH	Sole	0	256118	0	0
APPLE INC	              COM	       	037833100  2852	      7042	SH	Sole	0	7042	0	0
ASCENA RETAIL GROUP INC	      COM	        04351G101  2015	     67791	SH	Sole	0	67791	0	0
BED BATH & BEYOND INC	  COM	            075896100  3299	 56907	SH	Sole	0	56907	0	0
BENCHMARK ELECTRS INC	      COM	        08160H101  2697	    200243	SH	Sole	0	200243	0	0
CA INC	                      COM	        12673P105  1635	     80884	SH	Sole	0	80884	0	0
CABOT CORP	              COM    	        127055101  1125      35000	SH	Sole	0	35000	0	0
CAMPBELL SOUP CO	      COM	        134429109  3758	    113069	SH	Sole	0	113069	0	0
CISCO SYS INC	              COM        	17275R102  2288	    126551	SH	Sole	0	126551	0	0
DIGITAL RLTY TR INC	      COM  	        253868103  7334	    110000	CALL	Sole	0	0	0	0
DIODES INC	              COM	        254543101  1034	     48541	SH	Sole	0	48541	0	0
EMERSON ELEC CO	              COM	        291011104  1878	     40319	SH	Sole	0	40319	0	0
FLOWSERVE CORP	              COM	        34354P105  1801	     18137	SH	Sole	0	18137	0	0
GENERAL DYNAMICS CORP	      COM	        369550108  1944	     29269	SH	Sole	0	29269	0	0
HASBRO INC	              COM	        418056107  2090	     65546	SH	Sole	0	65546	0	0
ISHARES TR	              DJ US REAL EST	464287739 27122	    477423	SH	Sole	0	477423	0	0
ISHARES TR	              RUSSELL 2000	464287655  2296	     31138	SH	Sole	0	31138	0	0
ITRON INC	              COM	        465741106  1585	     44321	SH	Sole	0	44321	0	0
JOHNSON & JOHNSON	          COM	            478160104  5172	 78868	    SH	Sole	0	78868	0	0
L-3 COMMUNICATIONS HLDGS INC  COM	        502424104  2143	     32140	SH	Sole	0	32140	0	0
LILLY ELI & CO	          COM	            532457108  6159	 148187	    SH	Sole	0	148187	0	0
MARINEMAX INC	              COM	        567908108   388	     59484	SH	Sole	0	59484	0	0
MEMC ELECTR MATLS INC         COM	        552715104   768	    194911	SH	Sole	0	194911	0	0
MERITOR INC	              COM	        59001K100   961	    180656	SH	Sole	0	180656	0	0
METLIFE INC	              COM	        59156R108  3287	    105433	SH	Sole	0	105433	0	0
MOLSON COORS BREWING CO	      CL B	        60871R209  4791	    110039	SH	Sole	0	110039	0	0
NASDAQ OMX GROUP INC	      COM	        631103108  1989	     81139	SH	Sole	0	81139	0	0
NEUTRAL TANDEM INC   	      COM	        64128B108  3054     285661	SH	Sole	0	285661	0	0
NEWELL RUBBERMAID INC	      COM	        651229106  2312	    143187	SH	Sole	0	143187	0	0
NEWPORT CORP	              COM	        651824104  1725	    126731	SH	Sole	0	126731	0	0
ORACLE CORP	              COM	        68389X105  4116	    160465	SH	Sole	0	160465	0	0
OSHKOSH CORP	              COM	        688239201  2756	    128904	SH	Sole	0	128904	0	0
OSHKOSH CORP	              COM  	        688239201  1304	     61000	CALL	Sole	0	0	0	0
PALL CORP	              COM	        696429307  2025	     35435	SH	Sole	0	35435	0	0
PEPSICO INC	              COM	        713448108  7671	    115608	SH	Sole	0	115608	0	0
RALCORP HLDGS INC NEW	      COM	        751028101  2448	     28637	SH	Sole	0	28637	0	0
ROCK-TENN CO	              CL A	        772739207  1932	     33487	SH	Sole	0	33487	0	0
SCHULMAN A INC	              COM	        808194104  1799	     84935	SH	Sole	0	84935	0	0
SKECHERS U S A INC	      CL A 	        830566105   485      40000	SH	Sole	0	40000	0	0
SOLUTIA INC	              COM NEW	        834376501  1574	     91097	SH	Sole	0	91097	0	0
SPDR GOLD TRUST	              GOLD SHS	        78463V107  2902	     19092	SH	Sole	0	19092	0	0
STAPLES INC	              COM	        855030102  2896	    208478	SH	Sole	0	208478	0	0
SYMANTEC CORP	              COM	        871503108  6036	    385685	SH	Sole	0	385685	0	0
TE CONNECTIVITY LTD	      REG SHS	        H84989104  2178	     70680	SH	Sole	0	70680	0	0
TECH DATA CORP	              COM	        878237106  2889	     58467	SH	Sole	0	58467	0	0
TELLABS INC	              COM	        879664100  2519	    623402	SH	Sole	0	623402	0	0
THERMO FISHER SCIENTIFIC INC  COM	        883556102  3466	     77080	SH	Sole	0	77080	0	0
VALERO ENERGY CORP NEW	      COM	        91913Y100  2210	    105000	SH	Sole	0	105000	0	0




S REPORT SUMMARY             51 DATA RECORDS                164394  0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED