Columbia Partners L L C Investment Management

Columbia Partners, L.L.C. Investment Management as of Dec. 31, 2012

Portfolio Holdings for Columbia Partners, L.L.C. Investment Management

Columbia Partners, L.L.C. Investment Management holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

                FORM 13F	INFO	RMATIO	N TABLE
			VALUE	SHARES/	SH/	PUT/	INVSTMT	OTHER          VOT	ING AUTHO	RITY
NAME OF ISSUER	TITLE OF CLASS	CUSIP	(x$1000)	PRN AMT	PRN	CALL	DSCRETN	MANAGERS     SOLE	SHARED	NONE
------------------------------	----------------	---------	--------	--------	---	----	-------	------------ --------	--------	--------
{S}	{C}	{C}	{C}	{C}	{C}	{C}	{C}	{C}          {C}	{C}	{C}
3M CO	COM	88579Y101	1003	10804	SH		Sole	5402		5402
8X8 INC	COM	282914100	6670	903821	SH		Sole	426543		477278
ABBOTT LABORATORIES	COM	002824100	6074	92733	SH		Sole	51800		40933
ACACIA RESEARCH - ACACIA TECH	COM	003881307	46211	1800956	SH		Sole	1001871		799085
ACCURAY INC	COM	004397105	9796	1523569	SH		Sole	573453		950116
ACME PACKET INC COM	COM	004764106	4716	213211	SH		Sole	104210		109001
ACTUANT CORP	COM	00508X203	5056	181168	SH		Sole	85103		96065
AFLAC INC	COM	001055102	811	15276	SH		Sole	13345		1931
AGCO CORP	COM	001084102	7725	157286	SH		Sole	79457		77829
AKORN INC	COM	009728106	2951	220939	SH		Sole	101467		119472
ALCATEL-LUCENT SPONSORED ADR	COM	013904305	72	51817	SH		Sole	12421		39396
ALEXION PHARMACEUTICALS INC	COM	015351109	5953	63516	SH		Sole	37799		25717
ALKERMES PLC	COM	G01767105	2104	113637	SH		Sole	113637
ALLERGAN INC	COM	018490102	8965	97733	SH		Sole	58162		39571
ALLIANCE DATA SYSTEMS CORP	COM	018581108	45252	312606	SH		Sole	178240		134366
AMAZON.COM INC	COM	023135106	16134	64316	SH		Sole	43573		20743
AMC NETWORK INC-A	COM	00164V103	1837	37128	SH		Sole	37128
AMERICAN CAMPUS COMMUNITIES	COM	024835100	11797	255736	SH		Sole	156026		99710
AMERICAN TOWER REIT INC	COM	03027X100	13111	169690	SH		Sole	129964		39726
AMERIPRISE FINANCIAL INC	COM	03076C106	779	12454	SH		Sole	10834		1620
AMETEK INC	COM	031100100	3394	90345	SH		Sole	90345
AMGEN INC	COM	031162100	1390	16127	SH		Sole	11896		4231
ANHEUSER-BUSCH INBEV SPN ADR	COM	03524A108	1383	15825	SH		Sole	7886		7939
ANNIE'S INC	COM	03600T104	2715	81228	SH		Sole	37344		43884
APPLE INC	COM	037833100	33807	63527	SH		Sole	44961		18566
ARCTIC CAT INC	COM	039670104	2851	85395	SH		Sole	40093		45302
ARM HOLDINGS PLC ADR	COM	042068106	14092	372512	SH		Sole	204210		168302
ARMSTRONG WORLD INDUSTRIES	COM	04247X102	1014	20000	SH		Sole	20000
ARUBA NETWORKS INC	COM	043176106	5314	256237	SH		Sole	124147		132090
ASSURED GUARANTY LTD COM	COM	G0585R106	640	44993	SH		Sole	39122		5871
ASTRAZENECA PLC-SPONS ADR	COM	046353108	1004	21260	SH		Sole	10630		10630
ATHENAHEALTH INC	COM	04685W103	10546	143904	SH		Sole	72996		70908
AUTOZONE INC	COM	053332102	5405	15252	SH		Sole	9071		6181
BAIDU COM INC SPON ADR REP A	COM	056752108	5242	52278	SH		Sole	31091		21187
BANCORP INC/THE	COM	05969A105	992	90446	SH		Sole	90446
BAXTER INTERNATIONAL INC	COM	071813109	882	13234	SH		Sole	11561		1673
BB^T CORP	COM	054937107	828	28457	SH		Sole	24858		3599
BEAM INC	COM	073730103	5167	84596	SH		Sole	50333		34263
BIO-REFERENCE LABS INC	COM	09057G602	10729	374770	SH		Sole	176035		198735
BIOGEN IDEC INC	COM	09062X103	7374	50382	SH		Sole	29966		20416
BIOSCRIP INC	COM	09069N108	3581	332590	SH		Sole	114214		218376
BP AMOCO PLC  -ADR	COM	055622104	1806	43384	SH		Sole	21692		21692
BRANDYWINE REALTY TRUST	COM	105368203	9892	811521	SH		Sole	540321		271200
BRITISH AMERICAN TOB-SP ADR	COM	110448107	2808	27738	SH		Sole	13869		13869
BROADSOFT INC	COM	11133B409	4311	118674	SH		Sole	55352		63322
BUFFALO WILD WINGS INC COM	COM	119848109	2262	31068	SH		Sole	14267		16801
BUILDERS FIRSTSOURCE I COM	COM	12008R107	6145	1101295	SH		Sole	519642		581653
CA INC	COM	12673P105	622	28305	SH		Sole	24726		3579
CABOT MICROELECTRONICS CORP	COM	12709P103	792	22324	SH		Sole	1229		21095
CALLAWAY GOLF CO	COM	131193104	4151	638769	SH		Sole	305276		333493
CAPITAL ONE FINL CORP	COM	14040H105	856	14782	SH		Sole	12912		1870
CARDTRONICS INC	COM	14161H108	7518	316685	SH		Sole	235572		81113
CATAMARAN CORP	COM	148887102	41924	890121	SH		Sole	538573		351548
CERNER CORP	COM	156782104	4893	63131	SH		Sole	37537		25594
CF INDUSTRIES HOLDINGS INC	COM	125269100	747	3678	SH		Sole	3187		491
CHECK POINT SOFTWARE ORD	COM	M22465104	1476	30998	SH		Sole	30998
CHESAPEAKE ENERGY CORP	COM	165167107	4422	266066	SH		Sole	261087		4979
CHEVRONTEXACO CORP	COM	166764100	6975	64502	SH		Sole	35724		28778
CHICO'S FAS	COM	168615102	2237	121185	SH		Sole	121185
CHIPOTLE MEXICAN GRILL-CL A	COM	169656105	9908	33311	SH		Sole	17433		15878
CHURCH & DWIGHT INC COM	COM	171340102	842	15730	SH		Sole	7865		7865
CINEMARK HOLDINGS INC	COM	17243V102	27061	1041626	SH		Sole	567944		473682
CIRRUS LOGIC INC	COM	172755100	22712	783988	SH		Sole	458526		325462
CISCO SYSTEMS INC	COM	17275R102	9276	472116	SH		Sole	254083		218033
COACH INC	COM	189754104	4392	79135	SH		Sole	47065		32070
COBIZ FINANCIAL INC	COM	190897108	6172	826270	SH		Sole	529782		296488
COCA-COLA CO	COM	191216100	14881	410529	SH		Sole	223740		186789
COGNIZANT TECH SOLUTIONS CRP	COM	192446102	6755	91437	SH		Sole	54418		37019
COLGATE-PALMOLIVE CO	COM	194162103	4629	44288	SH		Sole	22114		22174
COMCAST CORP CL A	COM	20030N101	2682	71802	SH		Sole	71802
COMPANHIA DE BEBIDAS-PRF ADR	COM	20441W203	7857	187124	SH		Sole	111323		75801
CONOCOPHILLIPS	COM	20825C104	921	15890	SH		Sole	13836		2054
CONTINENTAL RESOURCES INC	COM	212015101	5511	74996	SH		Sole	44631		30365
CORE LABORATORIES N V COM	COM	N22717107	56654	518292	SH		Sole	325548		192744
COVIDIEN PLC	COM	G2554F113	836	14496	SH		Sole	12561		1935
CROWN CASTLE INTL CORP	COM	228227104	12073	167311	SH		Sole	167311
CSX CORP	COM	126408103	795	40315	SH		Sole	35261		5054
CVS CAREMARK CORP (formerly me	COM	126650100	934	19334	SH		Sole	16790		2544
DAWSON GEOPHYSICAL CO	COM	239359102	4523	171473	SH		Sole	77455		94018
DEERE & CO	COM	244199105	8661	100228	SH		Sole	59612		40616
DELPHI AUTOMOTIVE PLC	COM	G27823106	858	22441	SH		Sole	19409		3032
DIRECTV	COM	25490A309	844	16836	SH		Sole	14669		2167
DISCOVER FINANCIAL SERVICES	COM	254709108	777	20171	SH		Sole	17435		2736
DONALDSON INC COM	COM	257651109	2857	87014	SH		Sole	51783		35231
EDUCATION REALTY TRUST INC	COM	28140H104	3631	341300	SH		Sole	194696		146604
ELLIE MAE INC COM	COM	28849P100	5582	201174	SH		Sole	64535		136639
ENTRAVISION COMMUNCTNS CL A	COM	29382R107	2326	1401576	SH		Sole	891583		509993
EPR PROPERTIES	COM	26884U109	55146	1195980	SH		Sole	744194		451786
EXPEDITORS INTL WASH INC	COM	302130109	4976	125836	SH		Sole	74857		50979
EXPRESS SCRIPTS HOLDING CO	COM	30219G108	8603	159333	SH		Sole	111100		48233
EXTRA SPACE STORAGE INC	COM	30225T102	5791	159161	SH		Sole	90792		68369
EXXON MOBIL CORPORATION	COM	30231G102	3155	36454	SH		Sole	22521		13933
F M C CORP NEW	COM	302491303	3398	58080	SH		Sole	58080
FACEBOOK INC-A	COM	30303M102	1535	57680	SH		Sole	34309		23371
FIDELITY NATIONAL FINL-A	COM	31620R105	1031	43780	SH		Sole	43780
FIFTH & PACIFIC CO INC	COM	316645100	9849	791158	SH		Sole	371554		419604
FIFTH THIRD BANCORP	COM	316773100	823	54194	SH		Sole	47071		7123
FINISAR CORPORATION	COM	31787A507	7359	451794	SH		Sole	212269		239525
FIRST CASH FINL SVCS INC	COM	31942D107	16683	336220	SH		Sole	157115		179105
FIRST COMMONWEALTH FINL CORP	COM	319829107	1078	158089	SH		Sole	158089
FIRST REPUBLIC BANK/CA	COM	33616C100	674	20569	SH		Sole	17912		2657
FISERV INC	COM	337738108	620	7854	SH		Sole	6824		1030
FLUOR CORP	COM	343412102	789	13441	SH		Sole	11742		1699
FNB CORP	COM	302520101	12688	1194796	SH		Sole	685909		508887
FRONTIER COMMUNICATIONS CORP	COM	35906A108	5266	1230475	SH		Sole	1219937		10538
FUSION-IO INC	COM	36112J107	5273	230003	SH		Sole	110604		119399
GAMESTOP CORP CLASS A NEW	COM	36467W109	622	24818	SH		Sole	21680		3138
GARDNER DENVER INC	COM	365558105	13802	201498	SH		Sole	97254		104244
GENERAL DYNAMICS CORP	COM	369550108	853	12320	SH		Sole	10762		1558
GENERAL MOTORS CO	COM	37045V100	1007	34960	SH		Sole	30539		4421
GLAXOSMITHLINE PLC-SPON ADR	COM	37733W105	1833	42172	SH		Sole	21086		21086
GOLDCORP INC NEW COM	COM	380956409	1532	41759	SH		Sole	41759
"GOLDMAN, SACHS & COMPANY"	COM	38141g104	968	7593	SH		Sole	6633		960
GOOGLE INC-CL A	COM	38259P508	15824	22371	SH		Sole	17138		5233
GREIF INC CL A	COM	397624107	3205	72027	SH		Sole	72027
HAIN CELESTIAL GROUP INC	COM	405217100	8874	163669	SH		Sole	76834		86835
HANCOCK HLDG CO COM	COM	410120109	7190	226629	SH		Sole	129289		97340
HARMAN INTERNATIONAL INDS	COM	413086109	719	16120	SH		Sole	14038		2082
HARRIS CORP	COM	413875105	639	13053	SH		Sole	11351		1702
HARSCO CORP	COM	415864107	471	20062	SH		Sole			20062
HASBRO INC	COM	418056107	667	18595	SH		Sole	16245		2350
HEALTHWAYS INC	COM	422245100	8009	748571	SH		Sole	352235		396336
HEARTLAND PMT SYS INC COM	COM	42235N108	9358	317232	SH		Sole	180970		136262
HELMERICH & PAYNE	COM	423452101	723	12924	SH		Sole	11236		1688
HENRY SCHEIN INC	COM	806407102	14444	179613	SH		Sole	85317		94296
HERCULES TECHNOLOGY GROWTH	COM	427096508	6591	592249	SH		Sole	337811		254438
HERSHA HOSPITALITY TRUST	COM	427825104	39812	7962490	SH		Sole	4901450		3061040
HERTZ GLOBAL HOLDINGS INC	COM	42805T105	731	44963	SH		Sole	39112		5851
HEWLETT-PACKARD CO	COM	428236103	3838	269372	SH		Sole	134933		134439
HMS HLDGS CORP COM	COM	40425J101	4511	174069	SH		Sole	82394		91675
HOLLYFRONTIER CORP	COM	436106108	794	17062	SH		Sole	14905		2157
HORNBECK OFFSHORE SERVICES	COM	440543106	5323	155023	SH		Sole	64749		90274
HOST HOTELS & RESORTS	COM	44107P104	794	50692	SH		Sole	43963		6729
HUNTINGTON BANCSHARES INC	COM	446150104	727	113892	SH		Sole	99024		14868
HUNTSMAN CORP	COM	447011107	663	41721	SH		Sole	36320		5401
ICG GROUP INC	COM	44928D108	17338	1516936	SH		Sole	763089		753847
IMAX CORP	COM	45245E109	22449	998623	SH		Sole	548114		450509
IMPAX LABORATORIES INC COM	COM	45256B101	3608	176105	SH		Sole	74076		102029
INTERNAP NETWORK SERVICES	COM	45885A300	12066	1742229	SH		Sole	864359		877870
INTL BUSINESS MACHINES CORP	COM	459200101	5284	27589	SH		Sole	15752		11837
INTUIT	COM	461202103	8484	142664	SH		Sole	84926		57738
INTUITIVE SURGICAL INC	COM	46120E602	5533	11284	SH		Sole	6628		4656
INVENSENSE INC	COM	46123D205	1395	125650	SH		Sole	125650
ISHARES MSCI EAFE INDEX FUND	COM	464287465	1415	24903	SH		Sole			24903
ISHARES RUSSELL 2000	COM	464287655	532	6314	SH		Sole	5610		704
ISHARES RUSSELL 3000 INDEX	COM	464287689	3308	39065	SH		Sole			39065
ISHARES SILVER TRUST	COM	46428Q109	3869	131738	SH		Sole	128298		3440
JOHNSON & JOHNSON	COM	478160104	11713	167093	SH		Sole	90905		76188
JP MORGAN CHASE & CO	COM	46625H100	1039	23652	SH		Sole	20567		3085
KEYCORP	COM	493267108	770	91563	SH		Sole	79644		11919
KFORCE INC	COM	493732101	23038	1606561	SH		Sole	921383		685178
LABORATORY AMER HLDGS COM NEW	COM	50540R409	1734	20020	SH		Sole	13226		6794
LAREDO PETROLEUM HOLDING INC	COM	516806106	1449	79817	SH		Sole	37222		42595
LAS VEGAS SANDS CORP	COM	517834107	2847	61679	SH		Sole	36673		25006
LINN CO LLC	COM	535782106	216	5997	SH		Sole	4772		1225
LINN ENERGY LLC-UNITS	COM	536020100	2687	76252	SH		Sole	76252
LIQUIDITY SERVICES INC	COM	53635B107	3513	85982	SH		Sole	39536		46446
LIVEPERSON INC	COM	538146101	6001	456706	SH		Sole	214993		241713
LORILLARD INC	COM	544147101	2830	24264	SH		Sole	12132		12132
LOWES COS	COM	548661107	1184	33338	SH		Sole	16669		16669
LULULEMON ATHLETICA INC	COM	550021109	11442	150103	SH		Sole	79735		70368
LYONDELLBASELL INDU-CL A	COM	N53745100	941	16492	SH		Sole	14288		2204
MAIDENFORM BRANDS INC	COM	560305104	4316	221493	SH		Sole	103568		117925
MARATHON PETROLEUM CORP	COM	56585A102	874	13882	SH		Sole	12035		1847
MASTERCARD INC CL A	COM	57636Q104	15897	32360	SH		Sole	22612		9748
MATTRESS FIRM HOLDING CORP	COM	57722W106	1289	52574	SH		Sole	2894		49680
MCDONALDS CORP	COM	580135101	8435	95625	SH		Sole	77341		18284
MCGRAW HILL COS INC	COM	580645109	790	14462	SH		Sole	12633		1829
MDC HOLDINGS INC	COM	552676108	5030	136840	SH		Sole	78069		58771
MEDASSETS INC	COM	584045108	8976	535301	SH		Sole	305296		230005
MEDLEY CAPITAL CORP	COM	58503F106	9732	668410	SH		Sole	341140		327270
MEDTRONIC INC	COM	585055106	2451	59769	SH		Sole	37489		22280
MERCADOLIBRE INC	COM	58733R102	7420	94471	SH		Sole	48831		45640
MERCK & CO INC	COM	58933Y105	1693	41356	SH		Sole	28768		12588
METLIFE INC	COM	59156R108	857	26024	SH		Sole	22637		3387
MGM RESORTS INTERNATIONAL	COM	552953101	2262	194402	SH		Sole	194402
MICHAEL KORS HOLDINGS LTD	COM	G60754101	3233	63368	SH		Sole	37677		25691
MICROSOFT CORP	COM	594918104	7878	294961	SH		Sole	160623		134338
MOHAWK INDUSTRIES INC	COM	608190104	669	7400	SH		Sole	7400
MONSANTO CO	COM	61166W101	10351	109369	SH		Sole	63270		46099
MONSTER BEVERAGE CORP	COM	611740101	2446	46294	SH		Sole	26373		19921
MURPHY OIL CORP	COM	626717102	804	13505	SH		Sole	11753		1752
MYLAN LABORATORIES	COM	628530107	763	27831	SH		Sole	24312		3519
NATIONAL CINEMEDIA INC	COM	635309107	7803	552270	SH		Sole	365154		187116
NATIONAL-OILWELL INC VARCO INC	COM	637071101	7540	110320	SH		Sole	65653		44667
NATUS MEDICAL INC	COM	639050103	7787	697578	SH		Sole	397957		299621
NCI BUILDING SYSTEM INC	COM	628852204	4399	316476	SH		Sole	180508		135968
NICE SYSTEMS LTD-SPONS ADR	COM	653656108	13495	403106	SH		Sole	184276		218830
NIKE INC  -CL B	COM	654106103	744	14424	SH		Sole	7212		7212
NORFOLK SOUTHERN CORP	COM	655844108	809	13090	SH		Sole	11434		1656
NORTHROP GRUMMAN CORP	COM	666807102	799	11826	SH		Sole	10271		1555
NOVARTIS AG-ADR	COM	66987V109	2388	37728	SH		Sole	18864		18864
NOVO-NORDISK A S ADR	COM	670100205	10479	64210	SH		Sole	38130		26080
NTT DOCOMO INC-SPON ADR	COM	62942M201	1111	77118	SH		Sole	38559		38559
NU SKIN ASIA PACIFIC  -CL A	COM	67018T105	26680	720116	SH		Sole	430996		289120
NUMEREX CORP - CL A	COM	67053A102	717	54609	SH		Sole	54609
O'REILLY AUTOMTIVE INC	COM	67103H107	2126	23781	SH		Sole	23781
ODYSSEY MARINE EXPLORATION	COM	676118102	5085	1712277	SH		Sole	877784		834493
ORACLE CORP	COM	68389X105	11012	330505	SH		Sole	176568		153937
ORASURE TECHNOLOGIES COM	COM	68554V108	1513	210788	SH		Sole	11602		199186
OSI SYSTEMS INC	COM	671044105	13725	214334	SH		Sole	107054		107280
PANERA BREAD CO CL A	COM	69840W108	2674	16838	SH		Sole	10013		6825
PEPSICO INC	COM	713448108	5824	85122	SH		Sole	42612		42510
PFIZER INC	COM	717081103	8577	342021	SH		Sole	170818		171203
PHILIP MORRIS INTERNATIONAL	COM	718172109	8255	98707	SH		Sole	53419		45288
PHILLIPS 66	COM	718546104	886	16693	SH		Sole	14509		2184
PIER 1 IMPORTS INC/DE	COM	720279108	18309	915498	SH		Sole	532468		383030
PINNACLE FINANCIAL PARTNERS	COM	72346Q104	8640	458635	SH		Sole	261586		197049
PNC BANK CORP	COM	693475105	1956	33552	SH		Sole	33552
POLYPORE INTERNATIONAL INC	COM	73179V103	11795	253668	SH		Sole	120570		133098
POPULAR INC	COM	733174700	6762	325270	SH		Sole	186730		138540
PPG INDUSTRIES INC	COM	693506107	3376	24947	SH		Sole	24947
PRAXAIR INC	COM	74005P104	3440	31439	SH		Sole	31439
PRECISION CASTPARTS CORP	COM	740189105	9393	49590	SH		Sole	49590
PRICELINE.COM INC	COM	741503403	13249	21356	SH		Sole	12707		8649
PRICESMART INC	COM	741511109	9346	121395	SH		Sole	51436		69959
PROASSURANCE CORP COM	COM	74267C106	588	13958	SH		Sole	12194		1764
PROCTER & GAMBLE CO	COM	742718109	4660	68645	SH		Sole	34375		34270
PROTO LABS INC	COM	743713109	3458	87746	SH		Sole	40925		46821
QLIK TECHNOLOGIES INC	COM	74733T105	3197	147194	SH		Sole	69367		77827
QUALCOMM INC	COM	747525103	13027	210604	SH		Sole	122542		88062
QUEST DIAGNOSATICS	COM	74834L100	858	14732	SH		Sole	7366		7366
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	5982	223900	SH		Sole	112945		110955
RANGE RES CORP COM	COM	75281A109	10759	171247	SH		Sole	93403		77844
REALPAGE INC	COM	75606N109	4464	206958	SH		Sole	96718		110240
RED HAT INC	COM	756577102	6777	127975	SH		Sole	76115		51860
REGAL ENTERTAINMENT GROUP-A	COM	758766109	21122	1514174	SH		Sole	888696		625478
REGENERON PHARMACEUTICALS	COM	75886F107	5495	32122	SH		Sole	19100		13022
RELIANCE STEEL & ALUMINUM	COM	759509102	742	11964	SH		Sole	10451		1513
RIVERBED TECHNOLOGY INC	COM	768573107	6167	312750	SH		Sole	163849		148901
ROYAL DUTCH SHELL PLC-ADR	COM	780259206	2407	34910	SH		Sole	17414		17496
SALESFORCE.COM INC	COM	79466L302	10604	63087	SH		Sole	42873		20214
SALLY BEAUTY HOLDINGS INC	COM	79546E104	660	28032	SH		Sole	24488		3544
SANDISK CORP	COM	80004C101	2034	46767	SH		Sole	46767
SANOFI-ADR	COM	80105N105	2248	47448	SH		Sole	23724		23724
SAP AG-SPONSORED ADR	COM	803054204	1892	23542	SH		Sole	11771		11771
SBA COMMUNICATIONS CORP	COM	78388J106	8348	117622	SH		Sole	60718		56904
SCHLUMBERGER LTD	COM	806857108	3814	55050	SH		Sole	54647		403
SEADRILL LTD	COM	G7945E105	5233	142211	SH		Sole	142211
SHIRE PHARMACEUTICALS	COM	82481R106	2969	32210	SH		Sole	32210
SILVER STANDARD RESOURCES	COM	82823L106	5119	343845	SH		Sole	196153		147692
SLM CORP	COM	78442P106	741	43279	SH		Sole	37470		5809
SMART BALANCE INC	COM	83169Y108	2896	224546	SH		Sole	12305		212241
SMITH & WESSON HLDG COM	COM	831756101	4227	500913	SH		Sole	331488		169425
SODASTREAM INTERNATIONAL LTD	COM	M9068E105	33077	736847	SH		Sole	455629		281218
SOLTA MEDICAL INC	COM	83438K103	7475	2799904	SH		Sole	1302414		1497490
SPDR GOLD TRUST	COM	78463V107	5992	36989	SH		Sole	36643		346
SPIRIT AIRLINES INC	COM	848577102	6992	394355	SH		Sole	186176		208179
ST JUDE MED INC	COM	790849103	789	21832	SH		Sole	19072		2760
STANDARD PAC CORP NEW COM	COM	85375C101	13662	1858839	SH		Sole	886897		971942
STARBUCKS CORP	COM	855244109	6819	127152	SH		Sole	75629		51523
STEINER LEISURE LTD ORD	COM	P8744Y102	2661	55075	SH		Sole	3058		52017
STERICYCLE INC	COM	858912108	3600	38598	SH		Sole	22946		15652
STRATASYS LTD	COM	M85548101	4320	53904	SH		Sole	28529		25375
STRYKER CORP	COM	863667101	820	14962	SH		Sole	13011		1951
STURM RUGER & CO INC	COM	864159108	454	10000	SH		Sole	10000
SUSQUEHANNA BKSHS PA COM	COM	869099101	4764	454631	SH		Sole	245863		208768
SYMANTEC CORP	COM	871503108	684	36388	SH		Sole	31787		4601
SYNERON MEDICAL LTD	COM	M87245102	5958	687199	SH		Sole	434620		252579
SYSCO CORP	COM	871829107	1132	35774	SH		Sole	17887		17887
T.G.C. INDUSTRIES INC	COM	872417308	7833	956412	SH		Sole	621808		334604
TANGER FACTORY OUTLET CENTER	COM	875465106	1119	32746	SH		Sole	32746
TARGA RESOURCES CORP	COM	87612G101	9330	176579	SH		Sole	90500		86079
TARGET CORP	COM	87612E106	5486	92725	SH		Sole	51523		41202
TERADATA CORPORATION	COM	88076W103	5101	82431	SH		Sole	49028		33403
TIMKEN CO	COM	887389104	1421	29730	SH		Sole	28730		1000
TITAN INTERNATIONAL INC	COM	88830M102	3663	168666	SH		Sole	96221		72445
TIVO INC	COM	888706108	10521	854701	SH		Sole	450728		403973
TOLL BROTHERS	COM	889478103	2759	85356	SH		Sole	85356
TORCHMARK CORP	COM	891027104	698	13515	SH		Sole	11710		1805
TOTAL SA SPONSORED ADR	COM	89151E109	2105	40478	SH		Sole	20239		20239
TREE.COM	COM	894675107	1636	90750	SH		Sole	51864		38886
TREX COMPANY INC	COM	89531P105	12720	341685	SH		Sole	194784		146901
TYSON FOODS INC  -CL A	COM	902494103	712	36736	SH		Sole	32092		4644
UBIQUITI NETWORKS INC	COM	90347A100	6843	563703	SH		Sole	238362		325341
ULTA SALON COSMETICS & FRAGRAN	COM	90384S303	8163	83083	SH		Sole	43606		39477
UNDER ARMOUR INC-CLASS A	COM	904311107	9251	190643	SH		Sole	96489		94154
UNILEVER NV NY SHARES	COM	904784709	2817	73564	SH		Sole	36782		36782
UNION PACIFIC CORP	COM	907818108	910	7246	SH		Sole	6313		933
UNITED BANKSHS INC WVA COM	COM	909907107	3051	125369	SH		Sole	71503		53866
UNITED NATURAL FOOD	COM	911163103	26875	501493	SH		Sole	285424		216069
UNITED THERAPEUTICS CORP	COM	91307C102	657	12302	SH		Sole	10746		1556
UNITEDHEALTH GROUP INC	COM	91324P102	1359	25065	SH		Sole	12030		13035
UNWIRED PLANET INC	COM	91531F103	647	539763	SH		Sole	29907		509856
US BANCORP DEL	COM	902973304	973	30475	SH		Sole	24606		5869
VENTAS INC	COM	92276F100	15545	240193	SH		Sole	237583		2610
VERA BRADLEY INC	COM	92335c106	21571	859441	SH		Sole	485830		373611
VERINT SYSTEMS INC	COM	92343X100	3661	124708	SH		Sole	55836		68872
VERISK ANALYTICS INC-CLASS A	COM	92345Y106	1693	33217	SH		Sole	31323		1894
VIACOM INC  -CL B	COM	92553P201	836	15857	SH		Sole	13776		2081
VISA INC-CLASS A	COM	92826C839	2809	18536	SH		Sole	9268		9268
VITAMIN SHOPPE INC	COM	92849E101	9390	163704	SH		Sole	83440		80264
VMWARE INC-CLASS A	COM	928563402	7235	76861	SH		Sole	45727		31134
WAL-MART STORES	COM	931142103	5191	76090	SH		Sole	38045		38045
WALGREEN CO	COM	931422109	880	23792	SH		Sole	20628		3164
WASTE CONNECTIONS INC	COM	941053100	12324	364746	SH		Sole	171275		193471
WEB.COM GROUP INC	COM	94733a104	1693	114459	SH		Sole	6273		108186
WELLS FARGO & CO	COM	949746101	3889	113796	SH		Sole	109874		3922
WESTERN DIGITAL CORP	COM	958102105	849	19987	SH		Sole	17460		2527
WHITING PETROLEUM CORP	COM	966387102	6764	155961	SH		Sole	84285		71676
WHOLE FOODS MARKET INC	COM	966837106	8953	98213	SH		Sole	67355		30858
WISDOMTREE INVESTMENTS INC	COM	97717P104	3126	510901	SH		Sole	28133		482768
YAHOO! INC	COM	984332106	866	43552	SH		Sole	37550		6002
YUM! BRANDS INC	COM	988498101	6955	104747	SH		Sole	62292		42455
ZIMMER HOLDINGS INC	COM	98956P102	3409	51149	SH		Sole	29873		21276
ZUMIEZ INC	COM	989817101	3200	164895	SH		Sole	77140		87755