Harber Asset Management

Harber Asset Management as of Dec. 31, 2012

Portfolio Holdings for Harber Asset Management

Harber Asset Management holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

                TITLE OF                       VALUE     SHARES     SH/  PUT/     INVESTMENT       OTHER
     NAME OF ISSUER        CLASS         CUSIP         (x1000)     HELD       PRN  CALL     DISCRETION      MANAGERS   SHARED   NONE
{S}               {C}       {C}        {C}              {C}     {C}            {C}        {C}                  {C}     {C}
ABM INDS INC                COM        000957100        1,746      87,510      SH         Shared-Defined       1          87,510
ACTIVE NETWORK INC          COM        00506D100          737     150,000      SH         Shared-Defined       1         150,000
Activision Blizzard INC     COM        00507V109        3,090     291,000      SH         Shared-Defined       1         291,000
ALLOT COMMUNICATIONS LTD    SHS        M0854Q105          456      25,570      SH         Shared-Defined       1          25,570
AVAGO Technologies LTD      SHS        Y0486S104        1,529      48,300      SH         Shared-Defined       1          48,300
Avnet Inc                   COM        053807103          976      31,900      SH         Shared-Defined       1          31,900
Canadian Nat Res LTD        COM        136385101        1,812      62,780      SH         Shared-Defined       1          62,780
Checkpoint SOFTWARE TECH LT ORD        M22465 10 4      2,106      44,216      SH         Shared-Defined       1          44,216
CISCO SYS INC               COM        17275R102        2,311     117,609      SH         Shared-Defined       1         117,609
CITRIX SYS INC              COM        177376100        1,109      16,900      SH         Shared-Defined       1          16,900
Constant Contact Inc.       COM        210313102        3,103     218,340      SH         Shared-Defined       1         218,340
Corning Inc                 COM        219350105        4,861     385,215      SH         Shared-Defined       1         385,215
DIRECTV                     COM        25490A309        1,060      21,125      SH         Shared-Defined       1          21,125
Electronic Arts Inc         COM        285512109        1,235      85,045      SH         Shared-Defined       1          85,045
E M C CORP MASS             COM        268648102        2,618     103,485      SH         Shared-Defined       1         103,485
Enernoc Inc                 COM        292764107          280      23,875      SH         Shared-Defined       1          23,875
Entegris Inc                COM        29362U104        2,975     324,050      SH         Shared-Defined       1         324,050
ENVIVIO INC                 COM        29413T106          571     335,783      SH         Shared-Defined       1         335,783
ERICSSON                    ADR B SEK
                            10         294821608          930      92,045      SH         Shared-Defined       1          92,045
EXFO INC                    SUB VTG
                            SHS        302046107          412      77,200      SH         Shared-Defined       1          77,200
Gardner Denver INC          COM        365558105          835      12,190      SH         Shared-Defined       1          12,190
GOOGLE INC                  CL A       38259P508        3,763       5,320      SH         Shared-Defined       1           5,320
HARMONIC INC                COM        413160102        1,286     253,654      SH         Shared-Defined       1         253,654
INGLES MKTS INC             CL A       457030104        1,813     105,030      SH         Shared-Defined       1         105,030
INPHI CORP                  COM        45772F107        1,395     145,640      SH         Shared-Defined       1         145,640
INVENSENSE INC              COM        46123D205          750      67,500      SH         Shared-Defined       1          67,500
Ituran Location And
Control                     SHS        M6158M 104       1,013      74,670      SH         Shared-Defined       1          74,670
Jabil Circuit INC           COM        466313103        2,647     137,225      SH         Shared-Defined       1         137,225
KMG CHEMICALS INC           COM        482564101          985      56,079      SH         Shared-Defined       1          56,079
Lam Research Corp           COM        512807108        3,423      94,743      SH         Shared-Defined       1          94,743
LIVEPERSON INC              COM        538146101          526      40,000      SH         Shared-Defined       1          40,000
Mac-gray Corp               COM        554153106          745      59,364      SH         Shared-Defined       1          59,364
MELLANOX
TECHNOLOGIES LTD            SHS        M51363113          635      10,700      SH         Shared-Defined       1          10,700
Microsoft Corp              COM        594918104        2,152      80,570      SH         Shared-Defined       1          80,570
Moneygram INTL INC          COM NEW    60935Y208        3,676     276,580      SH         Shared-Defined       1         276,580
NQ MOBILE INC               ADR REPSTG
                            CL A       64118U108          661     109,400      SH         Shared-Defined       1         109,400
NVIDIA CORP                 COM        67066G104          995      81,170      SH         Shared-Defined       1          81,170
Orbotech Ltd                ORD        M75253100        4,772     563,370      SH         Shared-Defined       1         563,370
Pc-Tel Inc                  COM        69325Q105          360      50,055      SH         Shared-Defined       1          50,055
Pegasystems Inc             COM        705573103        1,502      66,240      SH         Shared-Defined       1          66,240
Performant FINL CORP        COM        71377E105          761      75,350      SH         Shared-Defined       1          75,350
PULSE ELECTRONICS           Note
CORP                        7.000%12/1 74586WAA4          689   1,000,000      SH         Shared-Defined       1       1,000,000
QUALCOMM Inc                COM        747525103        2,579      41,690      SH         Shared-Defined       1          41,690
Riverbed
Technology INC              COM        768573107          399      20,250      SH         Shared-Defined       1          20,250
Shoretel Inc                COM        825211105          956     225,418      SH         Shared-Defined       1         225,418
Silicon Image Inc           COM        82705T102        1,074     216,580      SH         Shared-Defined       1         216,580
TE CONNECTIVITY LTD         REG SHS    H84989104          835      22,500      SH         Shared-Defined       1          22,500
TIVO INC                    COM        888706108          419      34,000      SH         Shared-Defined       1          34,000
Tyson Foods Inc             CL A       902494103        2,614     134,750      SH         Shared-Defined       1         134,750
UBIQUITI NETWORKS INC       COM        90347A100          775      63,800      SH         Shared-Defined       1          63,800
UNI PIXEL INC               COM NEW    904572203          862      63,000      SH         Shared-Defined       1          63,000
VERISIGN INC                SDCV 3.250%
                            8/1        92343ead4        1,823      46,960      SH         Shared-Defined       1          46,960
Vishay Intertechnology Inc  COM        928298108        1,578     148,431      SH         Shared-Defined       1         148,431
VOLTERRA SEMICONDUCTOR
CORP                        COM        928708106          515      30,000      SH         Shared-Defined       1          30,000
Westell Technologies Inc    CL A       957541105          446     241,135      SH         Shared-Defined       1         241,135