Partner Investment Management

Partner Investment Management as of March 31, 2012

Portfolio Holdings for Partner Investment Management

Partner Investment Management holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

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                            TITLE OF              VALUE   SHRS OR  SH/ PUT/    INVESTMENT    OTHER
NAME OF ISSUER               CLASS     CUSIP    (x$1000)  PRN AMT  PRN CALL    DISCRETION   MANAGER  SOLE  SHARED  NONE
--------------              --------   -----    --------  -------  --- ----    ----------   -------  ----  ------  ----
{S}                           {C}    {C}          {C}      {C}      {C} {C}   {C}            {C}      {C}   {C}      {C}
AETNA INC NEW                 COM    00817Y108    1,391     27,727 SH        Shared-defined            0     27,727   0
AGILENT TECHNOLOGIES INC      COM    00846U101    2,250     50,548 SH        Shared-defined            0     50,548   0
AMERICAN TOWER CORP NEW       COM    03027X100    6,029     95,661 SH        Shared-defined            0     95,661   0
AMERIGROUP CORP               COM    03073T102    2,357     35,030 SH        Shared-defined            0     35,030   0
AMYLIN PHARMACEUTICALS INC    COM    032346908      229     41,600 SH  Call  Shared-defined            0     41,600   0
AMYLIN PHARMACEUTICALS INC    COM    032346108    5,566    222,980 SH        Shared-defined            0    222,980   0
APPLE INC                     COM    037833100    9,912     16,533 SH        Shared-defined            0     16,533   0
BARD C R INC                  COM    067383109    4,921     49,844 SH        Shared-defined            0     49,844   0
BORGWARNER INC                COM    099724106   21,087    250,026 SH        Shared-defined            0    250,026   0
BROOKDALE SR LIVING INC       COM    112463104    5,586    298,384 SH        Shared-defined            0    298,384   0
CBRE GROUP INC                COM    12504L109   11,816    591,973 SH        Shared-defined            0    591,973   0
CHECK POINT SOFTWARE TECH LT  COM    M22465104   12,615    197,601 SH        Shared-defined            0    197,601   0
CISCO SYS INC                 COM    17275R102   22,218  1,050,510 SH        Shared-defined            0  1,050,510   0
CITRIX SYS INC                COM    177376100    6,288     79,682 SH        Shared-defined            0     79,682   0
CME GROUP INC                 COM    12572Q105    6,298     21,767 SH        Shared-defined            0     21,767   0
COGNIZANT TECHNOLOGY SOLUTIO  COM    192446102   20,161    262,003 SH        Shared-defined            0    262,003   0
COMMUNITY HEALTH SYS INC NEW  COM    203668108    3,512    157,924 SH        Shared-defined            0    157,924   0
COOPER COS INC                COM    216648402    5,112     62,566 SH        Shared-defined            0     62,566   0
DENDREON CORP                 COM    24823Q907       13     52,000 SH  Call  Shared-defined            0     52,000   0
EXPRESS SCRIPTS INC           COM    302182100   22,697    418,926 SH        Shared-defined            0    418,926   0
EXPRESS SCRIPTS INC           COM    302182950       10     68,800 SH  Put   Shared-defined            0     68,800   0
F5 NETWORKS INC               COM    315616102   23,191    171,839 SH        Shared-defined            0    171,839   0
GILEAD SCIENCES INC           COM    375558103   54,329  1,111,928 SH        Shared-defined            0  1,111,928   0
GILEAD SCIENCES INC           COM    375558903      989    344,100 SH  Call  Shared-defined            0    344,100   0
HCA HOLDINGS INC              COM    40412C101    9,822    397,005 SH        Shared-defined            0    397,005   0
HEALTH NET INC                COM    42222G108   21,250    534,987 SH        Shared-defined            0    534,987   0
ILLUMINA INC                  COM    452327109    2,074     39,424 SH        Shared-defined            0     39,424   0
INGERSOLL-RAND PLC            COM    G47791101   40,793    986,533 SH        Shared-defined            0    986,533   0
INTERMUNE INC                 COM    45884X103    4,265    290,749 SH        Shared-defined            0    290,749   0
INVENSENSE INC                COM    46123D205    2,717    150,113 SH        Shared-defined            0    150,113   0
ISHARES TR                    COM    464287904       30    129,300 SH  Call  Shared-defined            0    129,300   0
K V PHARMACEUTICAL CO         COM    482740206      165    125,103 SH        Shared-defined            0    125,103   0
LAS VEGAS SANDS CORP          COM    517834107   45,248    785,969 SH        Shared-defined            0    785,969   0
LENNAR CORP                   COM    526057104    2,135     78,568 SH        Shared-defined            0     78,568   0
LOWES COS INC                 COM    548661107   14,168    451,494 SH        Shared-defined            0    451,494   0
MEDIVATION INC                COM    58501N101   35,839    479,646 SH        Shared-defined            0    479,646   0
MICROSOFT CORP                COM    594918104   54,409  1,686,832 SH        Shared-defined            0  1,686,832   0
MOLINA HEALTHCARE INC         COM    60855R100    9,584    284,978 SH        Shared-defined            0    284,978   0
NVIDIA CORP                   COM    67066G104   10,392    675,050 SH        Shared-defined            0    675,050   0
OREXIGEN THERAPEUTICS INC     COM    686164104    4,097    999,194 SH        Shared-defined            0    999,194   0
PATTERSON COMPANIES INC       COM    703395103    2,078     62,205 SH        Shared-defined            0     62,205   0
PFIZER INC                    COM    717081103   34,046  1,503,479 SH        Shared-defined            0  1,503,479   0
PSS WORLD MED INC             COM    69366A100    4,512    178,074 SH        Shared-defined            0    178,074   0
PULTE GROUP INC               COM    745867101    3,569    403,257 SH        Shared-defined            0    403,257   0
QIAGEN NV                     COM    N72482107    4,118    264,509 SH        Shared-defined            0    264,509   0
QUESTCOR PHARMACEUTICALS INC  COM    74835Y101   15,520    412,551 SH        Shared-defined            0    412,551   0
RED HAT INC                   COM    756577102    4,597     76,759 SH        Shared-defined            0     76,759   0
RITE AID CORP                 COM    767754104    2,048  1,177,215 SH        Shared-defined            0  1,177,215   0
ROCKWELL AUTOMATION INC       COM    773903109    3,680     46,169 SH        Shared-defined            0     46,169   0
SALESFORCE COM INC            COM    79466L302   16,453    106,485 SH        Shared-defined            0    106,485   0
SINA CORP                     COM    G81477104    4,123     63,430 SH        Shared-defined            0     63,430   0
ST JUDE MED INC               COM    790849103    4,121     93,013 SH        Shared-defined            0     93,013   0
STANLEY BLACK & DECKER INC    COM    854502101   20,749    269,603 SH        Shared-defined            0    269,603   0
SUNTRUST BKS INC              COM    867914103   20,732    857,748 SH        Shared-defined            0    857,748   0
THERMO FISHER SCIENTIFIC INC  COM    883556102   16,235    287,952 SH        Shared-defined            0    287,952   0
THRESHOLD PHARMACEUTICAL INC  COM    885807206      703     79,843 SH        Shared-defined            0     79,843   0
TIFFANY & CO NEW              COM    886547108   30,515    441,412 SH        Shared-defined            0    441,412   0
TOLL BROTHERS INC             COM    889478103    2,009     83,726 SH        Shared-defined            0     83,726   0
UNITEDHEALTH GROUP INC        COM    91324P102      698     11,851 SH        Shared-defined            0     11,851   0
UNIVERSAL AMERN CORP NEW      COM    91338E101    2,990    277,403 SH        Shared-defined            0    277,403   0
VCA ANTECH INC                COM    918194101    1,402     60,418 SH        Shared-defined            0     60,418   0
VIVUS INC                     COM    928551950       32     62,400 SH  Put   Shared-defined            0     62,400   0
VOLCANO CORPORATION           COM    928645100      888     31,275 SH        Shared-defined            0     31,275   0
WALGREEN CO                   COM    931422109    9,084    271,249 SH        Shared-defined            0    271,249   0
WARNACO GROUP INC             COM    934390402    1,212     20,747 SH        Shared-defined            0     20,747   0
WATSON PHARMACEUTICALS INC    COM    942683103    1,373     20,476 SH        Shared-defined            0     20,476   0
WELLCARE HEALTH PLANS INC     COM    94946T106   12,855    178,842 SH        Shared-defined            0    178,842   0
WHIRLPOOL CORP                COM    963320106   25,606    333,150 SH        Shared-defined            0    333,150   0
WHITING PETE CORP NEW         COM    966387102    9,716    178,940 SH        Shared-defined            0    178,940   0
WYNDHAM WORLDWIDE CORP        COM    98310W108   12,322    264,925 SH        Shared-defined            0    264,925   0
YUM BRANDS INC                COM    988498101   34,732    487,948 SH        Shared-defined            0    487,948   0
ZELTIQ AESTHETICS INC         COM    98933Q108      122     19,801 SH        Shared-defined            0     19,801   0
ZIMMER HLDGS INC              COM    98956P102   11,004    171,191 SH        Shared-defined            0    171,191   0
ZYNGA INC                     COM    98986T108   19,663  1,495,297 SH        Shared-defined            0  1,495,297   0