Hershey Trust Company as of March 31, 2013
Portfolio Holdings for Hershey Trust Company
Hershey Trust Company holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
Market Value Account Investment Authority Asset name Asset Typ Cusip (in '000s) Shares Discretion Sole Shared Others {C} {C} {C} {C} {C} {C} {C} {C} {C} ABAXIS INC COM Equity 002567105 1,465 30,962 DEFINED 30,962 0 0 ACCESS MIDSTREAM PARTNERS L P Equity 00434L109 47 1,176 DEFINED 1,176 0 0 ADR SKY-MOBI LTD-SP SPONSORED Equity 83084G109 28 15,510 SOLE 15,510 0 0 ADVISORY BRD CO COM Equity 00762W107 998 19,000 DEFINED 19,000 0 0 ALIMERA SCIENCES INC COM STK Equity 016259103 5 1,723 SOLE 1,723 0 0 ATHENAHEALTH INC COM MON STOCK Equity 04685W103 1,885 19,424 DEFINED 19,424 0 0 BEACON ROOFING SUPPLY INC COM Equity 073685109 2,018 52,200 DEFINED 52,200 0 0 BIO-REFERENCE LABS INC COM PAR Equity 09057G602 1,264 48,652 DEFINED 48,652 0 0 BRIGHTCOVE INC Equity 10921T101 425 68,466 SOLE 68,466 0 0 CABOT MICROELECTRONICS CORP CO Equity 12709P103 843 24,265 DEFINED 24,265 0 0 CARTER INC FORMERLY CARTER HLD Equity 146229109 268 4,673 SOLE 4,673 0 0 CASS INFORMATION SYS INC COM Equity 14808P109 941 22,385 DEFINED 22,385 0 0 CEPHEID INC COM Equity 15670R107 2,025 52,769 DEFINED 52,769 0 0 CHEESECAKE FACTORY INC COM Equity 163072101 1,560 40,400 DEFINED 40,400 0 0 CHEMED CORP NEW COM Equity 16359R103 2,319 29,000 DEFINED 29,000 0 0 CONCUR TECHNOLOGIES INC COM Equity 206708109 1,294 18,851 DEFINED 18,851 0 0 CONSTANT CONTACT INC COM STK Equity 210313102 21 1,600 DEFINED 1,600 0 0 COSTAR GROUP INC COM Equity 22160N109 1,994 18,215 DEFINED 18,215 0 0 DEALERTRACK TECHNOLOGY Equity 242309102 1,446 49,215 DEFINED 49,215 0 0 DEMANDWARE INC COM Equity 24802Y105 361 14,237 SOLE 14,237 0 0 DIGI INTL INC COM Equity 253798102 765 85,700 DEFINED 85,700 0 0 EBIX INC FORMERLY EBIX COM INC Equity 278715206 708 43,639 DEFINED 43,639 0 0 ECHO GLOBAL LOGISTICS INC COM Equity 27875T101 973 44,008 DEFINED 44,008 0 0 EXTERRAN HLDGS INC COM STK Equity 30225X103 405 15,000 DEFINED 15,000 0 0 FARO TECHNOLOGIES INC COM Equity 311642102 829 19,100 DEFINED 19,100 0 0 FINANCIAL ENGINES INC COM Equity 317485100 1,244 34,333 DEFINED 34,333 0 0 FORWARD AIR CORP COM Equity 349853101 738 19,800 DEFINED 19,800 0 0 FRACTIONAL FIRST HORIZON NATIO Equity DCA517101 0 76,450 SOLE 76,450 0 0 FRESH MKT INC COM Equity 35804H106 922 21,563 DEFINED 21,563 0 0 GASLOG LTD Equity G37585109 129 10,000 DEFINED 10,000 0 0 GENTEX CORP COM Equity 371901109 957 47,840 DEFINED 47,840 0 0 GRAND CANYON ED INC COM STK Equity 38526M106 1,898 74,742 DEFINED 74,742 0 0 GREENWAY MED TECHNOLOGIES INC Equity 39679B103 627 39,435 DEFINED 39,435 0 0 HERSHEY COMPANY COM STK USD1 Equity 427866108 1,095,317 12,513,621 SOLE 0 12,513,621 0 Hershey Company (The) - Class B Equity 427866306 5,305,369 60,612,012 Defined 0 60,612,012 0 INNERWORKINGS INC COM Equity 45773Y105 1,221 80,635 DEFINED 80,635 0 0 IPC THE HOSPITALIST CO INC STK Equity 44984A105 1,217 27,360 DEFINED 27,360 0 0 JIVE SOFTWARE INC Equity 47760A108 258 16,951 SOLE 16,951 0 0 KINDER MORGAN MGMT LLC SHS COM Equity 49455U100 1,757 20,000 DEFINED 20,000 0 0 K12 INC COM STOCK USD.0001 Equity 48273U102 815 33,824 DEFINED 33,824 0 0 LKQ CORP COM LKQ CORP Equity 501889208 2,441 112,200 DEFINED 112,200 0 0 MAXIMUS INC COM Equity 577933104 2,607 32,600 DEFINED 32,600 0 0 MEDNAX INC COM Equity 58502B106 1,900 21,200 DEFINED 21,200 0 0 MILLENNIAL MEDIA INC Equity 60040N105 67 10,526 SOLE 10,526 0 0 MOBILE MINI INC COM Equity 60740F105 1,585 53,870 DEFINED 53,870 0 0 NATIONAL INSTRS CORP COM Equity 636518102 2,260 69,000 DEFINED 69,000 0 0 NEOGEN CORP COM Equity 640491106 1,610 32,478 DEFINED 32,478 0 0 PEGASYSTEMS INC COM Equity 705573103 635 22,607 DEFINED 22,607 0 0 PORTFOLIO RECOVERY ASSOCS INC Equity 73640Q105 2,273 17,905 DEFINED 17,905 0 0 POWER INTEGRATIONS INC COM Equity 739276103 1,233 28,400 DEFINED 28,400 0 0 PROOFPOINT INC COM Equity 743424103 54 3,175 SOLE 3,175 0 0 PROTO LABS INC COM Equity 743713109 689 14,040 DEFINED 14,040 0 0 RITCHIE BROS AUCTIONEERS INC C Equity 767744105 1,324 60,991 DEFINED 60,991 0 0 ROLLINS INC COM Equity 775711104 2,504 102,000 DEFINED 102,000 0 0 RPX CORP COM Equity 74972G103 335 23,729 SOLE 23,729 0 0 SCIQUEST INC NEW COM Equity 80908T101 1,216 50,575 DEFINED 50,575 0 0 SEMTECH CORP COM Equity 816850101 2,205 62,300 DEFINED 62,300 0 0 SICO LLC Equity 784299109 64 60,000 Defined 60,000 0 0 SPS COMM INC COM Equity 78463M107 1,406 32,958 DEFINED 32,958 0 0 STRATASYS INC SHS Equity M85548101 1,058 14,256 DEFINED 14,256 0 0 TECHNE CORP COM Equity 878377100 1,252 18,450 DEFINED 18,450 0 0 UBIQUITI NETWORKS INC COM USD0 Equity 90347A100 69 5,065 SOLE 5,065 0 0 ULTIMATE SOFTWARE GROUP INC CO Equity 90385D107 3,159 30,330 DEFINED 30,330 0 0 UNITED NAT FOODS INC COM Equity 911163103 1,749 35,555 DEFINED 35,555 0 0 Vanguard Emerging Markets ETF Equity 922042858 429 10,000 Defined 10,000 0 0 VERINT SYS INC COM Equity 92343X100 1,104 30,200 DEFINED 30,200 0 0 WILLIAMS CO INC COM Equity 969457100 468 12,500 DEFINED 12,500 0 0