SIT INVESTMENT ASSOCIATES

Latest statistics and disclosures from SIT INVESTMENT ASSOCIATES's latest quarterly 13F-HR filing:

SIT INVESTMENT ASSOCIATES portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
IBM International Business Machines 2.40 +4.00% 559050 213.30 208.37
CVX Chevron Corporation 2.33 973200 118.82 125.58
VZ Verizon Communications 1.73 +3.00% 1744975 49.15 53.35
PEP Pepsi 1.62 1019000 79.11 82.57
QCOM QUALCOMM 1.54 1142620 66.94 65.81
TGT Target Corporation 1.53 -2.00% 1107789 68.45 70.88
PG Procter & Gamble Company 1.45 +2.00% 932475 77.06 78.75
PFE Pfizer 1.37 +3.00% 2355525 28.86 28.41
JNJ Johnson & Johnson 1.34 +10.00% 817655 81.53 87.94
AAPL Apple 1.32 +3.00% 148405 442.66 446.26
JPM JPMorgan Chase & Co. 1.26 +2.00% 1319045 47.46 52.89
OXY Occidental Petroleum Corporation 1.25 791800 78.37 93.34
Marathon Petroleum 1.23 +9.00% 681126 89.60 0.00
MSFT Microsoft Corporation 1.20 +8.00% 2077000 28.61 34.92
Accenture 1.20 785440 75.97 0.00
PM Philip Morris International 1.10 590773 92.71 93.92
HON Honeywell International 1.06 697305 75.35 80.01
MCD McDonald's Corporation 1.04 520030 99.69 101.87
CVS CVS Caremark Corporation 1.04 940354 54.99 59.05
SNA Snap-on Incorporated 1.03 +6.00% 616000 82.70 91.37
MMC Marsh & McLennan Companies 1.00 +14.00% 1312100 37.97 41.38
ORCL Oracle Corporation 0.98 1504319 32.33 35.16
BMY Bristol Myers Squibb 0.94 1132075 41.19 44.03
Kinder Morgan 0.94 +4.00% 1201950 38.68 0.00
BAX Baxter International 0.92 +6.00% 625850 72.64 73.52
Ace Limited Cmn 0.90 502175 88.97 0.00
EMR Emerson Electric 0.90 +4.00% 801605 55.87 58.89
UTX United Technologies Corporation 0.90 +3.00% 475825 93.43 97.35
BEN Franklin Resources 0.88 +3.00% 289630 150.81 167.40
UNP Union Pacific Corporation 0.87 +2.00% 301995 142.41 159.91
UNH UnitedHealth 0.87 +27.00% 755300 57.21 62.84
Covidien 0.85 619425 67.84 0.00
HD Home Depot 0.84 595700 69.78 78.42
WFC Wells Fargo & Company 0.84 1127745 36.99 39.88
Rogers Communications -cl B 0.84 -11.00% 812843 51.06 0.00
MRK Merck & Co 0.83 +5.00% 930050 44.20 45.35
GIS General Mills 0.82 -12.00% 823500 49.31 48.94
TJX TJX Companies 0.82 875725 46.75 51.50
TUP Tupperware Brands Corporation 0.81 -6.00% 489815 81.74 84.24
INTC Intel Corporation 0.79 1792820 21.83 24.15
SYK Stryker Corporation 0.79 +7.00% 601625 65.24 69.02
WMT Wal-Mart Stores 0.77 507625 74.83 77.87
NKE NIKE 0.73 +7.00% 614940 59.01 65.12
BTZ BlackRock Credit All Inc Trust IV 0.71 2524992 14.00 14.24
KYN Kayne Anderson MLP Investment 0.70 +12.00% 997287 34.72 37.92
Brookfield Total Return Fd I 0.70 NEW 1386192 25.18 0.00
USB U.S. Ban 0.69 +9.00% 1014800 33.93 34.67
SWK Stanley Black & Decker 0.69 +9.00% 421775 80.97 81.10
BRCM Broadcom Corporation 0.69 -7.00% 993250 34.68 37.53
WEC Wisconsin Energy Corporation 0.68 +2.00% 787650 42.89 43.70
MMM 3M Company 0.67 +5.00% 310710 106.31 111.74
UPS United Parcel Service 0.66 +2.00% 381859 85.90 88.70
GOOG Google 0.66 41555 794.18 898.48
TRV Travelers Companies 0.65 383750 84.19 86.50
GS Goldman Sachs 0.63 +303.00% 212924 147.15 160.15
GE General Electric Company 0.62 +6.00% 1327800 23.12 23.63
DE Deere & Company 0.62 +6.00% 358300 85.98 87.49
RDS.B Royal Dutch Shell 0.62 -10.00% 463300 66.82 0.00
Nextera Energy 0.61 +4.00% 388650 77.68 0.00
DEO Diageo 0.60 +5.00% 238450 125.84 122.60
CELG Celgene Corporation 0.60 -5.00% 254967 115.91 124.00
Partner Re 0.57 -9.00% 304510 93.11 0.00
Validus Holdings 0.57 751292 37.37 0.00
MCK McKesson Corporation 0.56 -18.00% 258205 107.96 117.24
Seadrill 0.54 +2.00% 718150 37.21 0.00
FLS Flowserve Corporation 0.53 -6.00% 157355 167.71 171.90
Avago Technologies 0.53 +20.00% 733250 35.90 0.00
First Republic Bank/san F 0.52 665135 38.62 0.00
MRO Marathon Oil Corporation 0.51 +31.00% 753000 33.72 36.28
IP International Paper Company 0.50 +41.00% 532303 46.58 47.43
AMP Ameriprise Financial 0.49 327925 73.65 81.87
BKT BlackRock Income Trust 0.48 +10.00% 3332469 7.21 7.30
KO Coca-Cola Company 0.47 -3.00% 576100 40.44 42.17
NOV National-Oilwell Var 0.47 -13.00% 329700 70.75 70.20
Tyco International Ltd S hs 0.47 +9.00% 735600 32.00 0.00
FCX Freeport-McMoRan Copper & Gold 0.47 705472 33.10 32.52
EGF BlackRock Enhanced Government Fund 0.47 +3.00% 1516338 15.24 14.93
ADP Automatic Data Processing 0.46 +3.00% 353300 65.03 71.01
BSP American Strategic Income Portf. Inc II 0.44 -5.00% 2466036 8.89 9.02
VIA.B Via 0.42 +146.00% 342295 61.48 0.00
CHRW C.H. Robinson Worldwide 0.42 +1344.00% 348050 59.46 59.04
UGI UGI Corporation 0.42 539020 38.39 41.39
AMAT Applied Materials 0.41 1502200 13.48 14.70
Eaton 0.41 +2583.00% 335580 61.25 0.00
MCO Moody's Corporation 0.40 -9.00% 369100 53.32 68.05
CAH Cardinal Health 0.40 -14.00% 480875 41.62 48.15
CF CF Industries Holdings 0.40 104038 190.37 193.35
ECL Ecolab 0.39 242380 80.18 88.47
DKS Dick's Sporting Goods 0.39 -2.00% 413140 47.30 53.28
V Visa 0.39 +13.00% 112995 169.84 184.57
ERC Wells Fargo Adv Multi-Sector Inco Fund 0.38 1159967 16.39 16.67
ALL Allstate Corporation 0.37 NEW 372250 49.07 49.11
OII Oceaneering International 0.37 -11.00% 274800 66.41 76.07
MTS Montgomery Street Income Securities 0.36 1036168 17.26 16.99
ALV Autoliv 0.35 -12.00% 254696 69.14 78.51
ABT Abbott Laboratories 0.34 +64.00% 471930 35.32 37.93
ALXN Alexion Pharmaceuticals 0.33 +2.00% 177935 92.14 103.64
CL Colgate-Palmolive Company 0.32 -8.00% 136225 118.03 61.44
GILD Gilead Sciences 0.32 +99.00% 323550 48.94 56.07
ACG AllianceBernstein Income Fund 0.32 1915521 8.17 8.24
NPM Nuveen Premium Income Muni Fund 2 0.32 +4.00% 1072721 14.98 14.53
SLB Schlumberger 0.31 203225 74.89 77.24
GFY Western Asset Vrble Rate Strtgc Fnd 0.31 -8.00% 812428 18.89 18.68
EQT EQT Corporation 0.30 +3.00% 217200 67.75 81.40
PII Polaris Industries 0.29 +58.00% 156340 92.49 92.53
PCLN priceline.com Incorporated 0.29 21168 688.16 840.81
EVG Eaton Vance Short Duration Diversified I 0.29 -6.00% 829070 17.23 16.97
Adt 0.29 +5.00% 292175 48.94 0.00
ANSS ANSYS 0.28 173375 81.42 75.27
COH Coach 0.28 -22.00% 275765 49.99 59.35
ULTI Ultimate Software 0.28 133025 104.16 115.79
INFA Informatica Corporation 0.28 -6.00% 405235 34.47 35.98
ISRG Intuitive Surgical 0.27 -2.00% 27533 491.19 482.66
CSP American Strategic Income Portfolio III 0.27 +66.00% 1809450 7.29 7.34
CIEN Ciena Corporation 0.26 797415 16.01 15.98
Lululemon Athletica 0.26 +108.00% 207975 62.34 0.00
CTSH Cognizant Technology Solutions 0.25 160450 76.62 64.25
GPOR Gulfport Energy Corporation 0.25 -3.00% 271970 45.83 50.33
AGN Allergan 0.24 -12.00% 105045 111.63 98.70
DHR Danaher Corporation 0.24 +2.00% 187800 62.15 63.90
LLTC Linear Technology Corporation 0.24 -26.00% 310375 38.37 37.74
KTF DWS Municipal Income Trust 0.23 +4.00% 792452 14.69 14.41
Te Connectivity Ltd for 0.23 +5.00% 274650 41.93 0.00
WDR Waddell & Reed Financial 0.22 -9.00% 254000 43.78 47.46
PIM Putnam Master Int. Income 0.22 2128630 5.21 5.17
PPT Putnam Premier Income Trust 0.22 1993440 5.54 5.51
AMG Affiliated Managers 0.21 67885 153.57 167.27
TDC Teradata Corporation 0.21 +32.00% 176247 58.51 57.24
TRMB Trimble Navigation 0.21 +100.00% 343532 29.98 28.99
ICON Iconix Brand 0.21 -3.00% 399395 25.87 30.18
CBI Chicago Bridge & Iron Company N.V. 0.21 169650 62.10 63.17
Dunkin' Brands 0.21 288950 36.88 0.00
TMO Thermo Fisher Scientific 0.20 131750 76.49 87.50
PCP Precision Castparts 0.20 51940 189.62 213.58
WCN Waste Connections 0.19 +30.00% 267820 35.98 40.10
AME AMETEK 0.19 218968 43.36 43.49
EVV Eaton Vance Limited Duration Income Fund 0.19 -5.00% 564274 17.10 17.59
SBNY Signature Bank 0.18 111370 78.76 78.21
CAT Caterpillar 0.18 100750 86.97 88.58
AMZN Amazon 0.18 -20.00% 33613 266.50 265.92
TYY Tortoise Energy Capital Corporation 0.18 267409 32.62 34.60
FMY First Trust/FIDAC Mortgage Income Fund 0.18 +21.00% 534359 16.43 16.66
Express Scripts Holding 0.18 -3.00% 154466 57.62 0.00
MRF American Income Fund 0.17 997527 8.33 8.49
VGM Invesco Van Kampen Trust For Inv Grd Mun 0.17 +50.00% 572549 14.87 14.70
PNNT PennantPark Investment 0.16 +4.00% 706096 11.29 11.25
ULTA Ulta Salon, Cosmetics & Fragrance 0.16 95105 81.29 93.97
VMW VMware 0.16 -4.00% 97740 78.88 78.95
BNA BlackRock Income Opportunity Trust 0.16 706180 11.25 11.23
VKI Van Kampen Advantage Muni Incm Tr II 0.16 +39.00% 604240 12.76 12.71
PX Praxair 0.15 68650 111.54 115.55
SYNT Syntel 0.15 107765 67.52 66.13
SWKS Skyworks Solutions 0.15 +7.00% 338040 22.02 23.89
BWLD Buffalo Wild Wings 0.15 87200 87.53 96.57
BTA BlackRock LT Municipal Advantage Trust 0.15 -7.00% 594806 12.28 12.16
NIO Nuveen Insured Municipal Opp. Fund 0.15 +7.00% 494500 15.02 14.64
SBAC SBA Communications Corporation 0.14 +5.00% 93875 72.00 80.53
THOR Thoratec Corporation 0.13 -13.00% 171325 37.50 31.48
CASY Casey's General Stores 0.13 111185 58.30 62.67
CNQR Concur Technologies 0.13 96610 68.66 83.88
IEX IDEX Corporation 0.13 124800 53.42 56.77
PAY VeriFone Systems 0.13 -13.00% 308330 20.68 23.07
SWM Schweitzer-Mauduit International 0.13 172650 38.73 46.20
VRA Vera Bradley 0.13 267375 23.63 23.59
IQI Invesco Quality Municipal Inc Trust 0.13 -5.00% 477673 13.32 13.20
SRCL Stericycle 0.12 57795 106.19 111.90
EMC EMC Corporation 0.12 -5.00% 248195 23.89 24.09
Allied World Assurance 0.12 63255 92.72 0.00
MGF MFS Government Markets Income Trust 0.12 +23.00% 871321 6.56 6.48
Nuveen Mtg opportunity term fd 0.12 -6.00% 194440 30.09 0.00
Cutwater Select Income Fd 0.12 305978 20.06 0.00
COST Costco Wholesale Corporation 0.11 52635 106.11 112.55
AGCO AGCO Corporation 0.11 +46.00% 102085 52.12 54.85
Axis Capital Holdings 0.11 135685 41.62 0.00
ARCC Ares Capital Corporation 0.11 +12.00% 311000 18.10 18.25
MCR MFS Charter Income Trust 0.11 515431 10.14 10.44
AFB AllianceBernstein Natnl Muncpl Incm Fnd. 0.11 +32.00% 346099 15.10 14.99
Nuveen Oh Div Advantage Mun 0.11 +22.00% 329000 15.98 0.00
CLR Continental Resources 0.10 NEW 55875 86.93 87.89
FOSL Fossil 0.10 -7.00% 53435 96.60 108.12
MSM MSC Industrial Direct 0.10 59665 85.78 83.67
BHP BHP Billiton 0.10 70375 68.43 68.82
NOG Northern Oil & Gas 0.10 358050 14.38 14.50
WAB Wabtec Corporation 0.10 49050 102.10 112.06
SMG Scotts Miracle-Gro Company 0.10 117450 43.24 48.45
VECO Veeco Instruments 0.10 -10.00% 131010 38.41 36.84
PFL Pimco Income Strategy Fund 0.10 -9.00% 356707 13.31 13.18
VMO Invesco Van Kampen Muni Opp Trust 0.10 -62.00% 341733 14.16 14.09
Nuveen Oh Div Adv Muni Fd 2 0.10 +58.00% 302400 15.67 0.00
MCRS MICROS Systems 0.09 97375 45.51 43.61
GSK GlaxoSmithKline 0.09 +6.00% 93475 46.91 52.27
CRM salesforce 0.09 23705 178.82 46.75
SWC Stillwater Mining Company 0.09 331875 12.93 12.87
HAYN Haynes International 0.09 85120 55.30 48.35
VOLC Volcano Corporation 0.09 192965 22.26 16.63
SLA American Select Portfolio 0.09 -7.00% 441538 10.67 10.76
JPC Nuveen Multi-Strategy Income & Growth Fd 0.09 -44.00% 442946 10.27 10.54
BLE BlackRock Municipal Income Trust II 0.09 262444 16.15 16.69
VCV Invesco Van Kampen Cal Val Mun Inc Trust 0.09 -46.00% 330247 13.22 13.17
Nuveen Mortgage opportunity trm fd2 0.09 -7.00% 143861 29.86 0.00
Nuveen Build Amer Bd Opptny 0.09 -12.00% 210889 22.12 0.00
Pimco Dynamic Incm Fund 0.09 NEW 139900 31.10 0.00
CTXS Citrix Systems 0.08 56985 72.14 66.58
SLH Solera Holdings 0.08 -17.00% 70795 58.32 56.13
TCB TCF Financial Corporation 0.08 257550 14.96 14.28
TWTC tw tele 0.08 157625 25.19 28.74
AIT Applied Industrial Technologies 0.08 92000 45.00 47.86
LUFK Lufkin Industries 0.08 56154 66.39 88.20
VPV Invesco Van Kampen Penn Vl MI Trust 0.08 -7.00% 267220 14.82 14.54
BHK BlackRock Core Bond Trust 0.08 +2.00% 282533 14.74 14.68
Morgan Stanley income sec 0.08 +30.00% 217560 18.09 0.00
CLB Core Laboratories N.V. 0.07 25305 137.92 146.18
LECO Lincoln Electric Holdings 0.07 68600 54.18 59.31
PSO Pearson 0.07 -72.00% 191900 17.99 19.04
HAE Haemonetics Corporation 0.07 -4.00% 85554 41.66 41.05
CR Crane 0.07 NEW 64225 55.87 60.09
LTM Life Time Fitness 0.07 -2.00% 83272 42.78 50.01
HUBG Hub 0.07 92165 38.46 39.17
ATW Atwood Oceanics 0.07 -3.00% 65640 52.54 55.55
CLC CLARCOR 0.07 69255 52.39 55.24
PFN Pimco Income Strategy Fund II 0.07 -40.00% 320570 11.46 11.39
BKN BlackRock Inv. Quality Munic. Trust 0.07 -10.00% 204667 16.21 16.07
ABV Companhia de Bebidas das Americas 0.06 72000 42.33 42.20
PKI PerkinElmer 0.06 84350 33.65 32.37
OLN Olin Corporation 0.06 110500 25.22 24.86
ITC ITC Holdings 0.06 33535 89.25 90.38
KNX Knight Transportation 0.06 177560 16.10 17.32
TECH Techne Corporation 0.06 46470 67.85 68.20
TCBI Texas Capital Bancshares 0.06 +46.00% 72280 40.45 43.20
AVD American Vanguard 0.06 NEW 93595 30.54 31.92
SYNA Synaptics, Incorporated 0.06 78550 40.69 42.17
HMSY HMS Holdings 0.06 NEW 114755 27.15 25.35
FFIV F5 Networks 0.06 34515 89.09 82.88
NMA Nuveen Municipal Advantage Fund 0.06 194131 14.88 14.47
NPP Nuveen Performance Plus Municipal Fund 0.06 NEW 193000 15.95 15.62
MFL BlackRock MuniHolding Insured Investm 0.06 195598 15.54 15.24
Nuveen Build Amer Bd fd 0.06 -24.00% 138154 20.97 0.00
Nuveen Arizona Dvd Adv Mun 0.06 +81.00% 215400 14.67 0.00
Delaware Inv Mn Mun Inc Fd I 0.06 +76.00% 183100 15.63 0.00
Michael Kors Holdings Ltd shs 0.06 NEW 53660 56.78 0.00
CEO CNOOC 0.05 +10.00% 12275 191.53 186.04
CMI Cummins 0.05 20300 115.81 118.38
M Macy's 0.05 58600 41.84 48.86
NWSA News Corporation 0.05 NEW 86500 30.51 33.00
WBK Westpac Banking Corporation 0.05 -4.00% 15950 161.07 153.11
CBST Cubist Pharmaceuticals 0.05 57240 46.82 55.54
ABCO Advisory Board Company 0.05 NEW 51270 52.53 51.10
ESL Esterline Technologies Corporation 0.05 32920 75.70 78.20
ASP American Strategic Income Portfolio 0.05 -18.00% 215200 11.36 11.40
JHP Nuveen Qual Preferred Inc. Fund III 0.05 -8.00% 275714 9.06 9.29
MZF Managed Duration Invtmt Grd Mun Fund 0.05 164166 15.81 15.20
BBN Blackrock Build America Bond Trust 0.05 115124 22.52 22.43
MYM BlackRock Muniyield Michigan Ins. Fnd II 0.05 179879 14.07 14.05
DMO Western Asset Mrtg Defined Oppn Fund 0.05 -4.00% 98927 26.46 26.48
Tornier Nv 0.05 131625 18.85 0.00
VALE Vale 0.04 108500 17.29 15.61
HBC HSBC Holdings 0.04 41366 53.33 57.84
DFS Discover Financial Services 0.04 +29.00% 41750 44.84 48.70
XOM Exxon Mobil Corporation 0.04 21182 90.12 91.76
WNR Western Refining 0.04 NEW 59165 35.41 32.38
CBD Companhia Brasileira de Distrib. 0.04 +11.00% 35500 53.27 56.81
CMG Chipotle Mexican Grill 0.04 5800 325.86 375.97
FMC FMC Corporation 0.04 31200 57.02 63.20
SPW SPX Corporation 0.04 25500 78.94 79.58
BBD Banco Bradesco SA 0.04 +9.00% 113931 17.02 17.11
NUVA NuVasive 0.04 98791 21.31 22.93
SF Stifel Financial 0.04 63108 34.67 35.97
SSL Sasol 0.04 43100 44.34 44.87
ALB Albemarle Corporation 0.04 30400 62.53 67.10
SCCO Southern Copper Corporation 0.04 50451 37.56 32.87
Coca-cola Enterprises 0.04 -18.00% 52200 36.92 0.00
Embraer S A 0.04 57250 35.67 0.00
JTP Nuveen Quality Preferred Income Fund 0.04 -9.00% 233620 8.95 9.26
MYI Blackrock Muniyield Insured Fund 0.04 143600 15.26 15.08
JPS Nuveen Quality Pref. Inc. Fund II 0.04 -6.00% 220461 9.43 9.72
NQU Nuveen Quality Income Municipal Fund 0.04 +334.00% 146297 15.24 14.77
Nuveen Ins Ny Tx Fr Adv Mun 0.04 NEW 125416 14.43 0.00
MYF BlackRock MuniYield Investment Fund 0.04 121500 16.43 16.10
Minnesota Mun Income Ptfl In 0.04 111197 17.28 0.00
Nuveen Ohio Divid Advantage 0.04 +16.00% 129500 15.95 0.00
Proto Labs 0.04 NEW 40385 49.10 0.00
IBN ICICI Bank 0.03 29700 42.90 47.03
TSM Taiwan Semiconductor Mfg 0.03 85200 17.19 19.51
TROW T. Rowe Price 0.03 21400 74.86 78.36
ARG Airgas 0.03 17200 99.19 103.01
RIO Rio Tinto 0.03 -6.00% 26350 47.10 45.11
MUR Murphy Oil Corporation 0.03 24900 63.73 64.73
MAR Marriott International 0.03 39532 42.22 43.27
EDU New Oriental Education & Tech 0.03 -11.00% 80000 18.00 19.81
SAN Banco Santander-Chile 0.03 45173 28.47 7.02
VLTR Volterra Semiconductor Corporation 0.03 -29.00% 101015 14.20 13.87
TDSC 3D Systems Corporation 0.03 NEW 48441 32.25 0.00
BBK BlackRock Municipal Bond Trust 0.03 -8.00% 84634 16.44 16.42
EIM Eaton Vance Municipal Bond Fund 0.03 -30.00% 116854 13.75 13.56
NAD Nuveen Div. Advantage Muni. Fund 0.03 88200 15.29 14.93
MIY BlackRock MuniYield Michigan Insured Fnd 0.03 -23.00% 110110 15.30 15.47
HSA RMK Strategic Income Fund 0.03 -35.00% 243938 6.44 6.57
Telefonica Brasil Sa 0.03 +13.00% 53850 26.69 0.00
PBR Petroleo Brasileiro SA 0.02 -17.00% 58400 16.58 18.77
AJG Arthur J. Gallagher & Co. 0.02 NEW 19800 41.31 45.34
BBBY Bed Bath & Beyond 0.02 -81.00% 15800 64.43 67.97
EW Edwards Lifesciences 0.02 -26.00% 11300 82.12 65.11
IDXX IDEXX Laboratories 0.02 13400 92.39 85.66
JWN Nordstrom 0.02 18300 55.25 60.75
SYT Syngenta AG 0.02 NEW 12800 83.75 79.98
MELI MercadoLibre 0.02 11625 96.60 123.67
SWN Southwestern Energy Company 0.02 -28.00% 27500 37.27 40.04
CPN Calpine Corporation 0.02 51500 20.60 21.35
ICE IntercontinentalExchange 0.02 7200 163.06 177.00
BBVA Banco Bilbao Vizcaya Argentaria SA 0.02 NEW 85800 8.76 9.28
LFC China Life Insurance Company 0.02 27600 39.42 41.44
LGF Lions Gate Entertainment 0.02 NEW 45180 23.77 27.42
HTWR HeartWare International 0.02 NEW 9450 88.36 96.01
MUE Blackrock Muniholdings Insured Fund II 0.02 -77.00% 59600 15.32 15.44
GUT Gabelli Utility Trust 0.02 NEW 136375 6.90 6.95
MQT Blackrock Muniyield Quality Fund II 0.02 -6.00% 75400 14.23 14.11
MPA BlackRock MuniYield Pennsylvania Insured 0.02 54700 15.39 15.34
LEO Dreyfus Strategic Muni. 0.02 +3.00% 104520 9.20 9.22
Nuveen Mun High Inc Oppty Fd 0.02 NEW 80700 12.89 0.00
NZF Nuveen Div Adv Muni Fd 3 Ben Int 0.02 57242 14.95 14.41
NMY Nuveen Maryland Premium Income Municipal 0.02 54060 14.50 14.37
Eaton Vance Calif Mun Bd Fd 0.02 72872 13.20 0.00
IIM Invesco Insured Municipal Income Trust 0.02 -22.00% 51063 16.16 15.63
MGU Macquarie Global Infr Total Rtrn Fnd 0.02 NEW 55600 21.17 22.63
Federated Enhanced Treasury 0.02 -10.00% 72999 13.69 0.00
NUM Nuveen Michigan Qlity Incom Municipal Fd 0.02 NEW 63664 15.16 15.12
IMF Western Asset Inflation Mgnt Fnd 0.02 62300 18.46 18.15
Mosaic 0.02 17410 59.62 0.00
Arcos Dorados Holdings 0.02 61100 13.21 0.00
Firsthand Tech Value 0.02 NEW 48682 19.29 0.00
Volkswagen Ag-pfd 0.02 NEW 5275 198.67 0.00
* America Movil Sab De Cv spon adr l shs 0.01 -45.00% 35500 20.96 0.00
TV Grupo Televisa, S.A. 0.01 14400 26.60 26.89
TS Tenaris S.A. 0.01 6100 40.82 43.51
BK Bank of New York Mellon Corporation 0.01 21970 27.99 30.49
Canadian Natl Ry 0.01 3675 100.41 0.00
CSX CSX Corporation 0.01 12300 24.63 26.21
DVN Devon Energy Corporation 0.01 6720 56.40 59.98
VRTX Vertex Pharmaceuticals Incorporated 0.01 NEW 6900 54.93 79.49
ADSK Autodesk 0.01 6850 41.31 37.33
KSS Kohl's Corporation 0.01 6100 46.07 51.60
LH Laboratory Corp. of America Holdings 0.01 -18.00% 7700 90.26 99.90
DD E.I. du Pont de Nemours & Company 0.01 6200 49.19 56.17
ADI Analog Devices 0.01 11000 46.45 45.97
COP ConocoPhillips 0.01 8062 60.16 64.41
CS Credit Suisse Group AG 0.01 NEW 13800 26.23 29.65
HMC HONDA MOTOR 0.01 -3.00% 12900 38.29 41.78
PTR PetroChina Company 0.01 3550 131.83 126.70
PKX POS 0.01 9300 73.76 72.69
VCLK ValueClick 0.01 NEW 21650 29.56 26.57
CRZO Carrizo Oil & Gas 0.01 10800 25.74 29.00
CHU China Uni 0.01 30200 13.48 14.87
NICE Nice Systems 0.01 +2.00% 18900 36.83 36.77
Rbc Cad 0.01 7100 60.28 0.00
EWT iShares MSCI Taiwan Index 0.01 22400 13.35 14.19
EATON VANCE MI Municipal 0.01 -9.00% 27420 13.57 0.00
DSM Dreyfus Strategic Municipal Bond Fund 0.01 -23.00% 44400 9.03 9.11
FFC Flaherty & Crumrine/Claymore Preferred S 0.01 15000 20.47 20.93
NBH Neuberger Ber. Intermediate Muni. Fund 0.01 25378 15.56 16.30
ETJ Eaton Vance Risk Managed Diversified 0.01 NEW 38900 11.00 11.44
Nuveen Premier Mun Income Fd 0.01 48600 14.77 0.00
Nuveen Insd Dividend Advantage 0.01 20500 14.93 0.00
MMU Western Asset Managed Municipals Fnd 0.01 22000 14.50 14.53
VTN Invesco Van Kampen Trust for IGNYM Fund 0.01 -26.00% 30322 15.83 16.04
Nuveen Ca Invt Quality Mun F 0.01 -36.00% 31103 15.53 0.00
NQP Nuveen PA Investnt Quality Municipal Fd 0.01 48500 15.01 14.83
CPYYY Centrica 0.01 +8.00% 32200 22.55 23.81
NQM Nuveen Investment Quality Munl Fund 0.01 -40.00% 25400 15.98 15.83
MYN BlackRock MuniYield New York Insured Fnd 0.01 17200 14.83 14.54
NQJ Nuveen NJ Invmt Quality Municipal Fund. 0.01 17153 15.04 14.95
MNP Western Asset Municipal Partners Fnd 0.01 38366 16.32 16.94
MFT BlackRock MuniYield Insured Investment 0.01 21837 15.11 15.18
TF Thai Capital Fund 0.01 NEW 33738 14.02 14.27
NQS Nuveen Select Quality Municipal Fund 0.01 NEW 40000 15.02 14.62
NNC Nuveen North Carol Premium Incom Mun Fd 0.01 21775 14.42 14.51
BFO BlackRock Florida Municipal 2020 Term Tr 0.01 -22.00% 35930 15.73 15.62
First Amern Minn Mun Inc Fd 0.01 37696 16.16 0.00
Guggenheim Bld Amr Bds Mng D 0.01 NEW 16400 22.62 0.00
Nuveen Conn Prem Income Mun sh ben int 0.01 -5.00% 33769 14.33 0.00
HIF Western Asset High Income Fund 0.01 NEW 72957 9.65 9.77
Citi 0.01 -9.00% 13592 44.22 0.00
Avenue Income Cr Strat 0.01 NEW 21042 19.72 0.00
Phillips 66 0.01 4031 69.96 0.00
Zweig Total Return Fd 0.01 NEW 20300 13.05 0.00
Nuveen Preferred And equity 0.01 NEW 11600 25.60 0.00
Asml Holding N.v. 0.01 6622 67.96 0.00
Abbvie 0.01 NEW 17930 40.77 0.00
TEVA Teva Pharmaceutical Industries 0.00 -56.00% 5500 39.64 39.99
AFL AFLAC Incorporated 0.00 +8.00% 3700 51.89 55.72
WAT Waters Corporation 0.00 1125 94.22 98.00
MYL Mylan 0.00 -48.00% 1800 28.89 31.11
BHI Baker Hughes Incorporated 0.00 1150 46.09 47.94
EBAY eBay 0.00 -8.00% 2300 54.35 55.43
VOD Vodafone 0.00 -11.00% 6350 28.35 30.23
Lazard Ltd-cl A shs a 0.00 1900 34.21 0.00
NSRGY Nestle SA Reg Shs. Ser. B Spons 0.00 -13.00% 1625 72.62 68.61
DOV Dover Corporation 0.00 1975 72.91 77.95
HNZ H.J. Heinz Company 0.00 1150 72.17 72.44
EL Estee Lauder Companies 0.00 1800 63.89 70.76
E Eni S.p.A. 0.00 NEW 2400 45.00 47.18
AB AllianceBernstein Holding 0.00 5000 22.00 27.10
INTU Intuit 0.00 1100 65.45 58.45
KUB Kubota Corporation 0.00 2800 72.14 84.04
MET MetLife 0.00 1600 38.12 42.88
BTI British American Tobac 0.00 -8.00% 1100 107.27 113.67
RTI RTI International Metals 0.00 400 32.50 29.11
Blackrock Muniyield Ariz Fd 0.00 -48.00% 14050 15.44 0.00
CEE Central Europe and Russia Fund 0.00 NEW 838 32.22 32.95
FLC Flaherty & Crumrine/Claymore Total Retur 0.00 10000 21.20 22.04
VKQ Invesco Van Kampen Municipal Trust 0.00 7296 14.12 13.95
NCP Nuveen California Performanc Plus Mun Fd 0.00 -47.00% 9400 15.64 15.82
NMO Nuveen Munpl Markt Opp Fund 0.00 4100 14.39 14.04
Nuveen Ariz Divid Advantage 0.00 NEW 12200 15.08 0.00
Nuveen Pa Divid Advantage Mu 0.00 10100 14.36 0.00
Nuveen Premier Insd Mun In 0.00 +41.00% 13600 15.07 0.00
PMO Putnam Municipal Opportunities Trust 0.00 15929 12.56 12.53
SBW Western Asset Worldwide Income Fund 0.00 NEW 15100 15.43 15.14
VLKAY Volkswagen AG 0.00 NEW 3800 37.89 41.30
Western Asset Intm Muni Fd I 0.00 10000 10.20 0.00
CEV Eaton Vance California Mun. Income Trust 0.00 7000 14.00 13.98
MYD Blackrock Muniyield Fund 0.00 -34.00% 14128 16.00 15.81
MNE BlackRock Muni New York Intr. Dur. Fnd. 0.00 9600 15.52 15.24
Eaton Vance Nj Muni Income T sh ben int 0.00 7900 14.30 0.00
NNP Nuveen New York Perf. Plus Muni Fund 0.00 5300 16.42 16.38
Nuveen Nj Div Advantage Mun 0.00 12600 14.92 0.00
BKK Blackrock Municipal 2020 Term Trust 0.00 -76.00% 10730 16.50 16.58
Cornerstone Strategic Value 0.00 NEW 7938 7.05 0.00
Cornerstone Total Rtrn Fd In 0.00 NEW 9173 6.32 0.00
NAZ Nuveen Arizona Premium Income Mun Fd 0.00 NEW 9200 14.78 14.26
NPV Nuveen Va Premium Income Municipal Fund 0.00 9606 15.09 14.90
Oxford Lane Cap 0.00 NEW 13176 16.01 0.00

Past 13F-HR SEC Filings for SIT INVESTMENT ASSOCIATES