Roumell Asset Management

"Roumell Asset Management, LLC" as of March 31, 2012

Portfolio Holdings for "Roumell Asset Management, LLC"

"Roumell Asset Management, LLC" holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                FORM 13F INFORMATION TABLE
				TITLE				VALUE  	SHARES/	   SH/	PUT/ 	INVSTMT  OTHER	  VOTING AUTHORITY
NAME OF ISSUER			OF CLASS	CUSIP		(x$1000)PRN AMT	   PRN	CALL	DSCRETN  MGRS	SOLE	SHARED	NONE
 {S}				{C}    		{C}		{C}	{C}	  {C}	{C}	{C}	{C}	{C}	{C}	{C}
AMERICAN SAFETY INSURANCE HLDGS	COM	G02995101	6820.024	"361,805"	SH		SOLE			361805
AMERICAN SELECT PORTFOLIO INC	COM	29570108	5420.877	"520,968"	SH		SOLE			520968
AMERICAN STRATEGIC PTFL	COM	30098107	717.145	61452	SH		SOLE			61452
AMERICAN STRATEGIC PTFL II	COM	30099105	1908.967	"229,996"	SH		SOLE			229996
CHECKPOINT SYSTEMS INC	COM	162825103	7871.985	697871	SH		SOLE			697871
COMPUWARE CORP	COM	205638109	11800.787	1284090	SH		SOLE			1284090
DIGITAL GENERATION INC	COM	25400B108	11705.255	1146450	SH		SOLE			1146450
DOVER MOTORSPORTS INC	COM	260174107	2950.895	1993848	SH		SOLE			1993848
DSP GROUP INC	COM	23332B106	9577.213	1438020	SH		SOLE			1438020
GILAT SATELLITE NETWORKS LTD	SHS NEW	M51474118	8440.517	2089237	SH		SOLE			2089237
GMX RESOURCES INC	NOTE 4.5%	38011MAJ7	1663.025	3655000	PRN		SOLE			3655000
INTEROIL CORPORATION	COM	460951106	2378.805	"46,280"	SH		SOLE			"46,280"
KVH INDS INC	COM	482738101	2037.042	"194,004"	SH		SOLE			"194,004"
QAD INC	CL A	74727D306	10365.927	791292	SH		SOLE			791292
QAD INC	CL B	74727D207	2790.957	214524	SH		SOLE			214524
SAIZEN REIT	COM	Y74432108	3671.157	32281900	SH		SOLE			32281900
SEACHANGE INTL INC	COM	811699107	11373.201	1461851	SH		SOLE			1461851
SIERRA WIRELESS INC	COM	826516106	9440.897	1289740	SH		SOLE			1289740
SKECHERS USA INC	CL A	830566105	3363.041	264390	SH		SOLE			264390
TECUMSEH PRODUCTS CO	CL A	878895200	10012.715	2490725	SH		SOLE			2490725
TECUMSEH PRODUCTS CO	CL B	878895101	649.4	162350	SH		SOLE			162350
TELLABS INC	COM	879664100	5801.91	1432570	SH		SOLE			1432570
TETRA TECHNOLOGIES INC	COM	88162F106	4693.398	498210	SH		SOLE			498210
TRANSACT TECHNOLOGIES INC	COM	892918103	10876.552	1385548	SH		SOLE			1385548
ULTRA PETROLEUM CORP	COM	903914109	3396.417	"150,090"	SH		SOLE			"150,090"