Kopp Investment Advisors

Kopp Investment Advisors as of March 31, 2013

Portfolio Holdings for Kopp Investment Advisors

Kopp Investment Advisors holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                VOTING AUTHORITY
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NAME OF ISSUER                         TITLE OF                   VALUE    SHARES/  SH/ PUT/ INVSTMT  OTHER
--------------                           CLASS           CUSIP   (X$1000)  PRN AMT  PRN CALL DSCRET  MANAGERS   SOLE  SHARED  NONE
                                       --------          -----   -------   -------  --- ---- ------  --------   ----  ------  ----

3M Company                                COM          88579Y101      887     8,341 SH  N/A  Other    N/A        7,411          930
Accelrys, Inc.                            COM          00430U103    1,870   191,645 SH  N/A  Other    N/A      191,645
Achillion Pharmaceuticals Inc.            COM          00448Q201      677    77,315 SH  N/A  Other    N/A       77,315
Adept Technologies Inc.                 COM NEW        006854202      844   288,300 SH  N/A  Defined  N/A      288,300
Adept Technologies Inc.                 COM NEW        006854202      201    68,800 SH  N/A  Other    N/A       68,800
Aflac Incorporated                        COM          001055102      811    15,586 SH  N/A  Other    N/A       13,631        1,955
Akorn, Inc.                               COM          009728106    3,181   230,000 SH  N/A  Defined  N/A      230,000
Akorn, Inc.                               COM          009728106   14,152 1,023,250 SH  N/A  Other    N/A      979,640       43,610
Alcatel Lucent Spons ADR             SPONSORED ADR     013904305    3,529 2,653,129 SH  N/A  Other    N/A    2,359,529      293,600
Align Technology Inc.                     COM          016255101      538    16,054 SH  N/A  Other    N/A       16,054
Alkermes PLC                              SHS          G01767105    1,077    45,425 SH  N/A  Other    N/A       45,425
Amarin Corp. PLC ADS                 SPONSORED ADR NEW 023111206      619    83,600 SH  N/A  Defined  N/A       83,600
Amarin Corp. PLC ADS                 SPONSORED ADR NEW 023111206    3,005   405,590 SH  N/A  Other    N/A      390,000       15,590
American Express Company                  COM          025816109      897    13,302 SH  N/A  Other    N/A       11,552        1,750
Angiodynamics, Inc.                       COM          03475V101    2,137   186,939 SH  N/A  Other    N/A      164,681       22,258
Apache Corp.                              COM          037411105      592     7,675 SH  N/A  Other    N/A        6,645        1,030
Array Biopharma Inc.                      COM          04269X105    4,517   920,000 SH  N/A  Defined  N/A      920,000
Array Biopharma Inc.                      COM          04269X105   11,266 2,294,534 SH  N/A  Other    N/A    2,184,689      109,845
AtriCure Inc.                             COM          04963C209    1,510   190,642 SH  N/A  Other    N/A      190,642
Autozone Inc.                             COM          053332102      780     1,965 SH  N/A  Other    N/A        1,695          270
BioMarin Pharmaceutical Inc.              COM          09061G101      607     9,746 SH  N/A  Other    N/A        9,746
BlackRock Inc.                            COM          09247X101    1,013     3,945 SH  N/A  Other    N/A        3,450          495
Bristol Myers Squibb Co.                  COM          110122108      202     4,895 SH  N/A  Other    N/A        4,895
Cardiome Pharma Corp.                   COM NEW        14159U202       31    86,400 SH  N/A  Other    N/A       86,400
Celidex Therapeutics Inc.                 COM          15117B103    1,490   128,710 SH  N/A  Other    N/A      128,710
Cepheid Inc.                              COM          15670R107    1,161    30,270 SH  N/A  Other    N/A       30,270
Community Health Systems Inc.             COM          203668108      213     4,490 SH  N/A  Other    N/A        4,490
Constant Contact, Inc.                    COM          210313102    1,671   128,729 SH  N/A  Other    N/A      116,589       12,140
Covidien PLC Ordinary Shares              SHS          G2554F113      729    10,745 SH  N/A  Other    N/A       10,745
Cummins Inc.                              COM          231021106      841     7,260 SH  N/A  Other    N/A        6,300          960
Datalink Corp.                            COM          237934104    4,641   384,215 SH  N/A  Other    N/A      345,170       39,045
Eastman Chemical Co.                      COM          277432100      847    12,120 SH  N/A  Other    N/A       10,420        1,700
Emcore Corp.                            COM NEW        290846203    7,792 1,338,750 SH  N/A  Defined  N/A    1,338,750
Emcore Corp.                            COM NEW        290846203    7,445 1,279,268 SH  N/A  Other    N/A    1,274,132        5,136
Exxon Mobil Corporation                   COM          30231G102      859     9,538 SH  N/A  Other    N/A        8,230        1,308
Finisar Corp.                           COM NEW        31787A507    5,482   415,625 SH  N/A  Defined  N/A      415,625
Finisar Corp.                           COM NEW        31787A507    9,561   724,863 SH  N/A  Other    N/A      691,677       33,186
Fluidigm Corp.                            COM          34385P108      636    34,370 SH  N/A  Other    N/A       34,370
GenMark Diagnostics, Inc.                 COM          372309104    1,240    96,000 SH  N/A  Other    N/A       96,000
Gentherm Inc.                             COM          37253A103    1,397    85,285 SH  N/A  Other     N/A      76,890        8,395
HeartWare International Inc.              COM          422368100      481     5,446 SH  N/A  Other     N/A       5,446
Humana Inc.                               COM          444859102      217     3,145 SH  N/A  Other     N/A       3,145
Integrated Device Technology I            COM          458118106    3,299   441,695 SH  N/A  Other     N/A     382,895       58,800
International Business Machines Corp.     COM          459200101      851     3,989 SH  N/A  Other     N/A       3,439          550
IntraLinks Holdings Inc.                  COM          46118H104    1,705   268,035 SH  N/A  Other     N/A     237,025       31,010
JDS Uniphase Corp.                   COM PAR $0.001    46612J507    1,337   100,000 SH  N/A  Defined   N/A     100,000
JDS Uniphase Corp.                   COM PAR $0.001    46612J507    4,214   315,331 SH  N/A  Other     N/A     306,506        8,825
Johnson & Johnson                         COM          478160104    1,037    12,718 SH  N/A  Other     N/A      11,473        1,245
Life Technologies Corp.                   COM          53217V109      802    12,406 SH  N/A  Other     N/A      12,406
Ligand Pharmaceuticals Inc.             COM NEW        53220K504      960    36,020 SH  N/A  Other     N/A      36,020
Marriott International Inc.              CL A          571903202      886    20,969 SH  N/A  Other     N/A      18,128        2,841
Masimo Corporation                        COM          574795100      531    27,041 SH  N/A  Other     N/A      27,041
Mindspeed Technologies, Inc.            COM NEW        602682205    2,258   680,000 SH  N/A  Defined   N/A     680,000
Mindspeed Technologies, Inc.            COM NEW        602682205    6,289 1,894,160 SH  N/A  Other     N/A   1,793,505      100,655
National Oilwell Varco Inc.               COM          637071101      757    10,700 SH  N/A  Other     N/A       9,280        1,420
Neogen Corp.                              COM          640491106      696    14,035 SH  N/A  Other     N/A      14,035
NeoGenomics Inc.                        COM NEW        64049M209    1,941   493,335 SH  N/A  Other     N/A     493,335
Novadaq Technologies Inc.                 COM          66987G102      589    59,435 SH  N/A  Other     N/A      59,435
Nuvasive Inc.                             COM          670704105      495    23,229 SH  N/A  Other     N/A      19,919        3,310
Oclaro, Inc.                            COM NEW        67555N206    3,600 2,857,000 SH  N/A  Defined   N/A   2,857,000
Oclaro, Inc.                            COM NEW        67555N206    4,868 3,863,798 SH  N/A  Other     N/A   3,820,558       43,240
Omnicell Inc.                             COM          68213N109    6,557   347,297 SH  N/A  Other     N/A     322,432       24,865
Onyx Pharmaceuticals Inc.                 COM          683399109      572     6,439 SH  N/A  Other     N/A       6,439
Oplink Communications, Inc.             COM NEW        68375Q403    1,558    95,000 SH  N/A  Defined   N/A      95,000
Oplink Communications, Inc.             COM NEW        68375Q403    2,785   169,827 SH  N/A  Other     N/A     167,857        1,970
OraSure Technologies Inc.                 COM          68554V108      218    40,460 SH  N/A  Other     N/A      40,460
Orexigen Therapeutics Inc.                COM          686164104    1,147   183,265 SH  N/A  Other     N/A     183,265
Pepsico Inc.                              COM          713448108      787     9,943 SH  N/A  Other     N/A       8,628        1,315
Pfizer Inc.                               COM          717081103      214     7,400 SH  N/A  Other     N/A       7,400
PMC-Sierra Inc.                           COM          69344F106      136    20,000 SH  N/A  Other     N/A      20,000
The Procter & Gamble Company              COM          742718109      743     9,638 SH  N/A  Other     N/A       8,528        1,110
Quidel Corp.                              COM          74838J101    4,342   182,804 SH  N/A  Other     N/A     172,324       10,480
Regeneron Pharmaceuticals, Inc.           COM          75886F107    1,170     6,633 SH  N/A  Other     N/A       5,900          733
Rochester Medical Corp.                   COM          771497104    1,876   128,348 SH  N/A  Other     N/A     128,348
RTI Biologics, Inc.                       COM          74975N105    2,099   534,000 SH  N/A  Defined   N/A     534,000
RTI Biologics, Inc.                       COM          74975N105   13,228 3,365,984 SH  N/A  Other     N/A   3,190,994      174,990
Ruckus Wireless Inc.                      COM          781220108    1,905    90,698 SH  N/A  Other     N/A      80,203       10,495
Saba Software                           COM NEW        784932600    2,917   366,920 SH  N/A  Other     N/A     324,385       42,535
Sagent Pharmaceuticals Inc.               COM          786692103      595    33,905 SH  N/A  Other     N/A      33,905
Sangamo Biosciences, Inc.                 COM          800677106      813    85,000 SH  N/A  Defined   N/A      85,000
Sangamo Biosciences, Inc.                 COM          800677106    1,775   185,700 SH  N/A  Other     N/A     185,700
Skyworks Solutions                        COM          83088M102    3,190   144,839 SH  N/A  Other     N/A     127,934       16,905
Solta Medical Inc.                        COM          83438K103       61    27,795 SH  N/A  Other     N/A      27,795
Southern Company                          COM          842587107      853    18,182 SH  N/A  Other     N/A      15,807        2,375
Southwest Airlines Co.                    COM          844741108      964    71,521 SH  N/A  Other     N/A      61,941        9,580
SPDR Trust Ser 1                        TR UNIT        78462F103      768     4,900 SH  N/A  Other     N/A       4,900
Spectranetics Corp.                       COM          84760C107    5,565   300,318 SH  N/A  Other     N/A     279,688       20,630
Staar Surgical Co.                   COM PAR $0.01     852312305       23     4,000 SH  N/A  Defined   N/A       4,000
Staar Surgical Co.                   COM PAR $0.01     852312305    1,243   220,727 SH  N/A  Other     N/A     203,777       16,950
Streamline Health Solutions, Inc.         COM          86323X106    3,759   582,721 SH  N/A  Other     N/A     534,742       47,979
SunOpta, Inc.                             COM          8676EP108    9,625 1,336,778 SH  N/A  Other     N/A   1,258,138       78,640
Superconductor Technologies, Inc.   COM PAR $0.001     867931404    1,270   498,227 SH  N/A  Defined   N/A     498,227
Superconductor Technologies, Inc.   COM PAR $0.001     867931404      846   331,753 SH  N/A  Other     N/A     331,537          216
Synergetics USA, Inc.                     COM          87160G107       69    20,000 SH  N/A  Defined   N/A      20,000
Synergetics USA, Inc.                     COM          87160G107    6,535 1,883,428 SH  N/A  Other     N/A   1,745,253      138,175
TearLab Corp.                             COM          878193101   10,114 1,465,738 SH  N/A  Other     N/A   1,366,048       99,690
Thoratec Corp.                          COM NEW        885175307    1,517    40,445 SH  N/A  Other     N/A      37,640        2,805
Triquint Semiconductor Inc.               COM          89674K103      932   184,173 SH  N/A  Other     N/A     164,222       19,951
Uroplasty Inc.                          COM NEW        917277204      559   224,536 SH  N/A  Other     N/A     224,536
V F Corporation                           COM          918204108      813     4,845 SH  N/A  Other     N/A       4,220          625
Vanguard Total Stock                 TOTAL STK MKT     922908769      251     3,100 SH  N/A  Other     N/A       3,100
Verizon Communications, Inc.              COM          92343V104      895    18,216 SH  N/A  Other     N/A      15,826        2,390
Vitesse Semiconductor Corporation       COM NEW        928497304    2,141   991,300 SH  N/A  Defined   N/A     991,300
Vitesse Semiconductor Corporation       COM NEW        928497304    3,396 1,572,078 SH  N/A  Other     N/A   1,572,078
Vivus Inc.                                COM          928551100    1,857   168,796 SH  N/A  Other     N/A     153,051       15,745
Volcano Corporation                       COM          928645100      348    15,627 SH  N/A  Other     N/A      15,627
Warner Chilcott ADR                      SHS A         G94368100      175    12,905 SH  N/A  Other     N/A      12,905
Wells Fargo & Co.                         COM          949746101      876    23,678 SH  N/A  Other     N/A      20,603        3,075
REPORT SUMMARY                            108                     242,843