Columbia Partners L L C Investment Management

Columbia Partners, L.L.C. Investment Management as of March 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 March 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}
ABBOTT LABORATORIES	COM	002824100	6381	104109	SH		Sole	63630		40479
ABRAXAS PETROLEUM CORP	COM	003830106	3758	1204485	SH		Sole	836697		367788
ACACIA RESEARCH - ACACIA TECH	COM	003881307	64254	1539384	SH		Sole	951428		587956
ACCURAY INC	COM	004397105	5090	720999	SH		Sole	307917		413082
ACE LIMITED (formerly acl)	COM	H0023R105	1427	19494	SH		Sole	16623		2871
ACME PACKET INC COM	COM	004764106	5232	190110	SH		Sole	104880		85230
ACTUANT CORP	COM	00508X203	11476	395875	SH		Sole	207541		188334
AES CORP	COM	00130H105	929	71103	SH		Sole	60608		10495
AGCO CORP	COM	001084102	6818	144413	SH		Sole	80624		63789
ALEXION PHARMACEUTICALS INC	COM	015351109	6319	68049	SH		Sole	39510		28539
ALIGN TECHNOLOGY INC	COM	016255101	12551	455569	SH		Sole	239743		215826
ALLERGAN INC	COM	018490102	9989	104675	SH		Sole	60807		43868
ALLIANCE DATA SYSTEMS CORP	COM	018581108	43428	344774	SH		Sole	212400		132374
ALLOT COMMUNICATIONS SHS	COM	M0854Q105	9089	390911	SH		Sole	198589		192322
AMARING CORPORATION PLC - ADR	COM	023111206	2185	193015	SH		Sole	193015
AMAZON.COM INC	COM	023135106	15887	78450	SH		Sole	51061		27389
AMC NETWORK INC-A	COM	00164V103	2135	47828	SH		Sole	46628		1200
AMERICAN CAMPUS COMMUNITIES	COM	024835100	11432	255628	SH		Sole	161023		94605
AMERICAN INTERNATIONAL GROUP	COM	026874784	3083	100000	SH		Sole	100000
AMERICAN TOWER REIT INC	COM	03027X100	7456	118308	SH		Sole	116600		1708
AMETEK INC	COM	031100100	5879	121191	SH		Sole	120461		730
AMGEN INC	COM	031162100	1972	29020	SH		Sole	14510		14510
AMPHENOL CORP-CL A	COM	032095101	4179	69912	SH		Sole	40569		29343
ANALYSTS INTERNATIONAL CORP	COM	032681207	65	11857	SH		Sole	5467		6390
ANCESTRY.COM INC	COM	032803108	12297	540774	SH		Sole	310393		230381
ANDERSONS INC COM	COM	034164103	18852	387176	SH		Sole	234036		153140
ANHEUSER-BUSCH INBEV SPN ADR	COM	03524A108	1291	17752	SH		Sole	8876		8876
APACHE CORP	COM	037411105	5456	54324	SH		Sole	31557		22767
APPLE INC	COM	037833100	42844	71461	SH		Sole	48570		22891
ARCTIC CAT INC	COM	039670104	5784	135025	SH		Sole	70819		64206
ARM HOLDINGS PLC ADR	COM	042068106	10005	353658	SH		Sole	229787		123871
ARUBA NETWORKS INC	COM	043176106	5131	230279	SH		Sole	127656		102623
ASCENT SOLAR TECH INC COM	COM	043635101	83	132435	SH		Sole	46288		86147
ASSURANT INC	COM	04621X108	907	22394	SH		Sole	19089		3305
ASSURED GUARANTY LTD COM	COM	G0585R106	914	55313	SH		Sole	47150		8163
ASTRAZENECA PLC-SPONS ADR	COM	046353108	1033	23210	SH		Sole	11605		11605
ATHENAHEALTH INC	COM	04685W103	9821	132500	SH		Sole	74064		58436
AUTOLIV INC	COM	052800109	1079	16088	SH		Sole	13710		2378
AUTOZONE INC	COM	053332102	3917	10534	SH		Sole	6112		4422
BAIDU COM INC SPON ADR REP A	COM	056752108	8167	56025	SH		Sole	32519		23506
BANCORP INC/THE	COM	05969A105	1115	111094	SH		Sole	111094
BANKRATE INC DEL	COM	06647F102	2090	84457	SH		Sole	41763		42694
BE AEROSPACE INC	COM	073302101	5501	118376	SH		Sole	117176		1200
BEAM INC	COM	073730103	5308	90632	SH		Sole	52613		38019
BED BATH & BEYOND INC	COM	075896100	2061	31333	SH		Sole	30548		785
BIO-REFERENCE LABS INC	COM	09057G602	4187	178115	SH		Sole	90067		88048
BIOGEN IDEC INC	COM	09062X103	8896	70604	SH		Sole	47731		22873
BLACKROCK INC	COM	09247X101	7688	37520	SH		Sole	21804		15716
BP AMOCO PLC  -ADR	COM	055622104	4718	104834	SH		Sole	52417		52417
BRANDYWINE REALTY TRUST	COM	105368203	8997	783715	SH		Sole	525364		258351
BRAVO BRIO RESTAURANT GROUP	COM	10567B109	3379	169288	SH		Sole	92563		76725
BRITISH AMERICAN TOB-SP ADR	COM	110448107	5072	50104	SH		Sole	25052		25052
BROADSOFT INC	COM	11133B409	3864	101019	SH		Sole	55130		45889
BROCADE COMMUNICATIONS SYS	COM	111621306	562	97763	SH		Sole	97763
CABOT MICROELECTRONICS CORP	COM	12709P103	1098	28250	SH		Sole	27335		915
CADENCE DESIGN SYS INC	COM	127387108	1039	87743	SH		Sole	85540		2203
CALLAWAY GOLF CO	COM	131193104	4736	700521	SH		Sole	374468		326053
CAPITAL BK CORP COM	COM	139793103	64	28717	SH		Sole	11572		17145
CARBO CERAMICS INC	COM	140781105	2135	20251	SH		Sole	11072		9179
CARDTRONICS INC	COM	14161H108	13404	510637	SH		Sole	341404		169233
CASCADE BANCORP	COM	147154207	84	14805	SH		Sole	6706		8099
CATALYST HEALTH SOLUTI COM	COM	14888B103	19934	312794	SH		Sole	159564		153230
CERNER CORP	COM	156782104	5159	67743	SH		Sole	39296		28447
CF INDUSTRIES HOLDINGS INC	COM	125269100	1125	6162	SH		Sole	5253		909
CHESAPEAKE ENERGY CORP	COM	165167107	8633	372590	SH		Sole	370073		2517
CHEVRONTEXACO CORP	COM	166764100	7885	73550	SH		Sole	44106		29444
CHICAGO BRIDGE & IRON CO	COM	167250109	1806	41822	SH		Sole	35649		6173
CHIPOTLE MEXICAN GRILL-CL A	COM	169656105	16792	40172	SH		Sole	22487		17685
CINEMARK HOLDINGS INC	COM	17243V102	24700	1125302	SH		Sole	652497		472805
CISCO SYSTEMS INC	COM	17275R102	10375	490522	SH		Sole	245374		245148
COACH INC	COM	189754104	8156	105537	SH		Sole	61313		44224
COBIZ FINANCIAL INC	COM	190897108	6338	896492	SH		Sole	615054		281438
COCA-COLA CO	COM	191216100	15577	210465	SH		Sole	113625		96840
COGNIZANT TECH SOLUTIONS CRP	COM	192446102	7536	97935	SH		Sole	56890		41045
COLGATE-PALMOLIVE CO	COM	194162103	2830	28940	SH		Sole	14440		14500
COMPANHIA DE BEBIDAS-PRF ADR	COM	20441W203	8282	200435	SH		Sole	116386		84049
COMPUCREDIT HOLDINGS CORP	COM	20478T107	106	18172	SH		Sole	8493		9679
CONOCOPHILLIPS	COM	20825C104	1589	20904	SH		Sole	17739		3165
CONTINENTAL RESOURCES INC	COM	212015101	6893	80325	SH		Sole	46661		33664
COPART INC	COM	217204106	996	38196	SH		Sole	32558		5638
CORE LABORATORIES N V COM	COM	N22717107	81422	618846	SH		Sole	400523		218323
COVANTA HOLDINGS CORP	COM	22282E102	1968	121236	SH		Sole	121236
COVIDIEN PLC	COM	G2554F113	1345	24596	SH		Sole	20967		3629
CRAWFORD & CO CL B	COM	224633107	53	10915	SH		Sole	5101		5814
CROWN CASTLE INTL CORP	COM	228227104	14113	264593	SH		Sole	262675		1918
CUMMINS INC	COM	231021106	1928	16058	SH		Sole	13688		2370
CVS CAREMARK CORP (formerly me	COM	126650100	1828	40811	SH		Sole	34733		6078
DANA HOLDING CORP	COM	235825205	1621	104551	SH		Sole	101300		3251
DANAHER CORP	COM	235851102	1465	26161	SH		Sole	26083		78
DAWSON GEOPHYSICAL CO	COM	239359102	14362	418106	SH		Sole	212491		205615
DECKERS OUTDOOR CORP	COM	243537107	748	11865	SH		Sole	11675		190
DEERE & CO	COM	244199105	8689	107403	SH		Sole	62323		45080
DELL INC	COM	24702r101	1362	82047	SH		Sole	69851		12196
DIAMOND OFFSHRE DRILLING INC	COM	25271C102	991	14840	SH		Sole	12649		2191
DISCOVER FINANCIAL SERVICES	COM	254709108	1214	36427	SH		Sole	31011		5416
DONALDSON INC COM	COM	257651109	3330	93192	SH		Sole	54136		39056
DORAL FINANCIAL CORP	COM	25811P886	791	513785	SH		Sole	513500		285
EAST WEST BANCORP INC	COM	27579R104	1187	51411	SH		Sole	51411
EDUCATION REALTY TRUST INC	COM	28140H104	4057	374293	SH		Sole	235288		139005
ELAN CORP PLC  -ADR	COM	284131208	1686	112346	SH		Sole	112346
EMERSON RADIO CORP COM NEW	COM	291087203	73	36382	SH		Sole	14698		21684
ENDO PHARMACEUTC HLDGS COM	COM	29264F205	2183	56367	SH		Sole	54943		1424
ENTERPRISE PRODS PARTN COM	COM	293792107	1233	24425	SH		Sole	23267		1158
ENTERTAINMENT PROPERTIES REIT	COM	29380T105	52431	1130464	SH		Sole	729927		400537
ENTRAVISION COMMUNCTNS CL A	COM	29382R107	173	101050	SH		Sole	101050
EXPEDITORS INTL WASH INC	COM	302130109	6269	134779	SH		Sole	78265		56514
EXPRESS SCRIPTS INC CL A	COM	302182100	4090	75492	SH		Sole	52099		23393
EXTRA SPACE STORAGE INC	COM	30225T102	1221	42400	SH		Sole	3836		38564
EXXON MOBIL CORPORATION	COM	30231G102	4314	49741	SH		Sole	24761		24980
EZCORP INC	COM	302301106	7619	234747	SH		Sole	123094		111653
FINISAR CORPORATION	COM	31787A507	19721	978710	SH		Sole	609133		369577
FINISH LINE INC  -CL A	COM	317923100	830	39123	SH		Sole	3519		35604
FIRST CASH FINL SVCS INC	COM	31942D107	15810	368628	SH		Sole	193004		175624
FIRST COMMONWEALTH FINL CORP	COM	319829107	3902	637568	SH		Sole	632361		5207
FIRST FINANCIAL NORTHWEST	COM	32022K102	88	11397	SH		Sole	5327		6070
FLOWERS FOODS INC	COM	343498101	2338	114763	SH		Sole	114763
FMC TECHNOLOGIES INC	COM	30249U101	5110	101339	SH		Sole	58873		42466
FNB CORP	COM	302520101	15614	1292509	SH		Sole	811470		481039
FORD MOTOR CO	COM	345370860	1140	91411	SH		Sole	77480		13931
FORTINET INC	COM	34959E109	2020	73038	SH		Sole	71211		1827
FORTRESS INVT GRP LLC CL A	COM	34958B106	71	19894	SH		Sole	9298		10596
FRONTIER COMMUNICATIONS CORP	COM	35906A108	1469	352293	SH		Sole	349984		2309
FUSION-IO INC	COM	36112J107	3770	132713	SH		Sole	73774		58939
GAMESTOP CORP CLASS A NEW	COM	36467W109	596	27294	SH		Sole	23273		4021
GARDNER DENVER INC	COM	365558105	25253	400721	SH		Sole	248721		152000
GEORESOURCES INC	COM	372476101	3783	115553	SH		Sole	63169		52384
GLAXOSMITHLINE PLC-SPON ADR	COM	37733W105	3766	83850	SH		Sole	41925		41925
GLU MOBILE INC	COM	379890106	9564	1972053	SH		Sole	1118848		853205
GOLDCORP INC NEW COM	COM	380956409	1882	41759	SH		Sole	41759
GOLDMAN, SACHS & COMPANY	COM	38141g104	1331	10700	SH		Sole	9120		1580
GOOGLE INC-CL A	COM	38259P508	15514	24193	SH		Sole	18009		6184
GREAT WOLF RESORTS INC COM	COM	391523107	2509	438710	SH		Sole	367532		71178
GREEN DOT CORP-CLASS A	COM	39304D102	7721	291145	SH		Sole	152638		138507
HAIN CELESTIAL GROUP INC	COM	405217100	15701	358397	SH		Sole	188128		170269
HARSCO CORP	COM	415864107	377	16062	SH		Sole			16062
HEARTLAND PMT SYS INC COM	COM	42235N108	10151	351992	SH		Sole	221274		130718
HELMERICH & PAYNE	COM	423452101	1367	25342	SH		Sole	21598		3744
HENRY SCHEIN INC	COM	806407102	14990	198068	SH		Sole	105192		92876
HERCULES TECHNOLOGY GROWTH	COM	427096508	5361	483886	SH		Sole	304813		179073
HERSHA HOSPITALITY TRUST	COM	427825104	42200	7728872	SH		Sole	5075923		2652949
HEWLETT-PACKARD CO	COM	428236103	2181	91538	SH		Sole	45897		45641
HMS HLDGS CORP COM	COM	40425J101	2768	88701	SH		Sole	50011		38690
HOME PPTYS N Y INC COM	COM	437306103	1334	21869	SH		Sole	21869
HORNBECK OFFSHORE SERVICES	COM	440543106	14267	339439	SH		Sole	160243		179196
HUDSON HIGHLAND GROUP	COM	443792106	76	14037	SH		Sole	6560		7477
HUMANA INC	COM	444859102	1388	15014	SH		Sole	12770		2244
ICG GROUP INC	COM	44928D108	12501	1396804	SH		Sole	761326		635478
IMAX CORP	COM	45245E109	11036	451551	SH		Sole	295126		156425
IMPAX LABORATORIES INC COM	COM	45256B101	17156	697960	SH		Sole	408919		289041
INSIGNIA SYS INC COM	COM	45765Y105	54	29988	SH		Sole	12663		17325
INTERNAP NETWORK SERVICES	COM	45885A300	14157	1923544	SH		Sole	1060504		863040
INTL BUSINESS MACHINES CORP	COM	459200101	10101	48412	SH		Sole	26412		22000
INTUIT	COM	461202103	9192	152794	SH		Sole	88788		64006
ISHARES MSCI EAFE INDEX FUND	COM	464287465	1367	24903	SH		Sole			24903
ISHARES RUSSELL 1000 VALUE	COM	464287598	255	3643	SH		Sole	873		2770
ISHARES RUSSELL 3000 INDEX	COM	464287689	3253	39065	SH		Sole			39065
ISHARES SILVER TRUST	COM	46428Q109	4184	133338	SH		Sole	129898		3440
ITC HOLDINGS CORP	COM	465685105	2842	36932	SH		Sole	21460		15472
JOHNSON & JOHNSON	COM	478160104	10632	161183	SH		Sole	87950		73233
JP MORGAN CHASE & CO	COM	46625H100	1340	29138	SH		Sole	24822		4316
KFORCE INC	COM	493732101	21374	1434476	SH		Sole	878854		555622
KINGOLD JEWELRY INC COM NEW	COM	49579A204	87	58643	SH		Sole	27277		31366
KROGER CO	COM	501044101	3454	142532	SH		Sole	142532
LAREDO PETROLEUM HOLDING INC	COM	516806106	1591	67888	SH		Sole	37064		30824
LAS VEGAS SANDS CORP	COM	517834107	8370	145388	SH		Sole	84443		60945
LAZARD LTD-CL A	COM	G54050102	1234	43223	SH		Sole	36838		6385
LILLY (ELI) & CO	COM	532457108	465	11560	SH		Sole	5780		5780
LINCOLN NATIONAL CORP	COM	534187109	1381	52398	SH		Sole	44658		7740
LINN ENERGY LLC-UNITS	COM	536020100	5784	151615	SH		Sole	150188		1427
LIQUIDITY SERVICES INC	COM	53635B107	3329	74300	SH		Sole	40420		33880
LIVEPERSON INC	COM	538146101	6389	380961	SH		Sole	199673		181288
LIZ CLAIBORNE INC	COM	539320101	6438	481877	SH		Sole	252848		229029
LML PMT SYS INC COM	COM	50208P109	59	28857	SH		Sole	13487		15370
LOGMEIN INC	COM	54142L109	14998	425722	SH		Sole	267703		158019
LORILLARD INC	COM	544147101	1284	9918	SH		Sole	4959		4959
LOWES COS	COM	548661107	2292	73050	SH		Sole	36525		36525
LULULEMON ATHLETICA INC	COM	550021109	18408	246328	SH		Sole	138570		107758
LYONDELLBASELL INDU-CL A	COM	N53745100	3837	87897	SH		Sole	82782		5115
MAIDENFORM BRANDS INC	COM	560305104	4661	207046	SH		Sole	105005		102041
MAJESCO ENTERTAINMENT COMPANY	COM	560690208	68	27557	SH		Sole	12880		14677
MARVELL TECH GROUP LTD ORD	COM	G5876H105	3280	208520	SH		Sole	194820		13700
MASTERCARD INC CL A	COM	57636Q104	7072	16817	SH		Sole	14006		2811
MCDONALDS CORP	COM	580135101	6773	69041	SH		Sole	63794		5247
MCKESSON CORP	COM	58155Q103	1366	15566	SH		Sole	13177		2389
MDC HOLDINGS INC	COM	552676108	3866	149903	SH		Sole	94172		55731
MEAD JOHNSON NUTRITION CO	COM	582839106	7098	86057	SH		Sole	49956		36101
MEDIVATION INC	COM	58501N101	1250	16729	SH		Sole	16729
MEDLEY CAPITAL CORP	COM	58503F106	7037	624424	SH		Sole	329399		295025
MEDTRONIC INC	COM	585055106	2068	52778	SH		Sole	26389		26389
MERCADOLIBRE INC	COM	58733R102	8676	88716	SH		Sole	49695		39021
MERCK & CO INC	COM	58933Y105	2656	69176	SH		Sole	34588		34588
MICROSOFT CORP	COM	594918104	13255	410947	SH		Sole	220116		190831
MICROSTRATEGY INC CL-A	COM	594972408	5127	36623	SH		Sole	19217		17406
MIPS TECHNOLOGIES INC COM	COM	604567107	11865	2181028	SH		Sole	1342523		838505
MONSANTO CO	COM	61166W101	9327	116938	SH		Sole	66133		50805
MONSTER BEVERAGE CORP	COM	611740101	6119	98548	SH		Sole	55582		42966
MULTIBAND CORP COM NEW	COM	62544X209	63	20817	SH		Sole	9730		11087
NATIONAL CINEMEDIA INC	COM	635309107	7680	501957	SH		Sole	358450		143507
NATIONAL-OILWELL INC VARCO INC	COM	637071101	9382	118054	SH		Sole	68539		49515
NATURAL GAS SERVICES GROUP	COM	63886Q109	1757	133138	SH		Sole	56935		76203
NATUS MEDICAL INC	COM	639050103	5263	441176	SH		Sole	278068		163108
NEWCASTLE INVT CORP COM	COM	65105M108	91	14459	SH		Sole	6758		7701
NICE SYSTEMS LTD-SPONS ADR	COM	653656108	18006	458171	SH		Sole	241990		216181
NIKE INC  -CL B	COM	654106103	2406	22190	SH		Sole	11095		11095
NORTHROP GRUMMAN CORP	COM	666807102	1291	21141	SH		Sole	17917		3224
NOVARTIS AG-ADR	COM	66987V109	2145	38706	SH		Sole	19353		19353
NOVO-NORDISK A S ADR	COM	670100205	10767	77625	SH		Sole	45069		32556
NU SKIN ASIA PACIFIC  -CL A	COM	67018T105	2053	35457	SH		Sole	35457
OCCIDENTAL PETROLEUM CORP	COM	674599105	1069	11224	SH		Sole	9571		1653
ODYSSEY MARINE EXPLORATION	COM	676118102	5268	1693985	SH		Sole	937469		756516
OLD DOMINION FGHT LINE COM	COM	679580100	10238	214761	SH		Sole	112753		102008
ORACLE CORP	COM	68389X105	7102	243568	SH		Sole	121784		121784
ORASURE TECHNOLOGIES COM	COM	68554V108	2084	181345	SH		Sole	16320		165025
OSI SYSTEMS INC	COM	671044105	18965	309388	SH		Sole	178113		131275
PACER INTL INC TENN COM	COM	69373H106	79	12568	SH		Sole	5874		6694
PAR PHARMACEUTICAL COS INC	COM	69888P106	9828	253758	SH		Sole	152539		101219
PC MALL INC COM	COM	69323K100	64	10707	SH		Sole	5004		5703
PENDRELL CORP COM	COM	70686R104	69	26267	SH		Sole	12277		13990
PEPSICO INC	COM	713448108	4371	65871	SH		Sole	32988		32883
PERMA-FIX ENVIRON SVCS COM	COM	714157104	69	43380	SH		Sole	20275		23105
PFIZER INC	COM	717081103	7321	323281	SH		Sole	161573		161708
PHILIP MORRIS INTERNATIONAL	COM	718172109	10940	123460	SH		Sole	64456		59004
PIER 1 IMPORTS INC/DE	COM	720279108	11043	607446	SH		Sole	435056		172390
PINNACLE FINANCIAL PARTNERS	COM	72346Q104	7559	411959	SH		Sole	259505		152454
PIZZA INN HOLDINGS INC COM	COM	725846109	59	12225	SH		Sole	5714		6511
POLYPORE INTERNATIONAL INC	COM	73179V103	3713	105595	SH		Sole	57739		47856
POPULAR INC	COM	733174106	4901	2390617	SH		Sole	1501896		888721
PRAXAIR INC	COM	74005P104	3604	31439	SH		Sole	31439
PRICELINE.COM INC	COM	741503403	16411	22873	SH		Sole	13284		9589
PRICESMART INC	COM	741511109	8125	111593	SH		Sole	52535		59058
PROCTER & GAMBLE CO	COM	742718109	4184	62251	SH		Sole	31177		31074
QLIK TECHNOLOGIES INC	COM	74733T105	4161	130023	SH		Sole	70956		59067
QUALCOMM INC	COM	747525103	15405	226342	SH		Sole	128915		97427
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	12668	336726	SH		Sole	210362		126364
RANGE RES CORP COM	COM	75281A109	9823	168954	SH		Sole	96126		72828
REALPAGE INC	COM	75606N109	3380	176322	SH		Sole	96408		79914
RED HAT INC	COM	756577102	8212	137114	SH		Sole	79565		57549
REGAL ENTERTAINMENT GROUP-A	COM	758766109	19476	1432023	SH		Sole	932557		499466
REINSURANCE GROUP AMER COM	COM	759351604	1542	25931	SH		Sole	22059		3872
RENTECH INC	COM	760112102	107	51327	SH		Sole	23990		27337
RIVERBED TECHNOLOGY INC	COM	768573107	8346	297235	SH		Sole	167438		129797
ROUNDY'S PARENT CO INC	COM	779268101	4999	467212	SH		Sole	314818		152394
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	595	20223	SH		Sole	20223
ROYAL DUTCH SHELL PLC-ADR	COM	780259206	4235	60392	SH		Sole	30196		30196
SALESFORCE.COM INC	COM	79466L302	11850	76697	SH		Sole	44505		32192
SANOFI-ADR	COM	80105N105	879	22672	SH		Sole	11336		11336
SAP AG-SPONSORED ADR	COM	803054204	1706	24434	SH		Sole	12217		12217
SBA COMMUNICATIONS CORP	COM	78388J106	45289	891343	SH		Sole	478557		412786
SCHLUMBERGER LTD	COM	806857108	3866	55291	SH		Sole	54646		645
SEADRILL LTD	COM	G7945E105	3240	86374	SH		Sole	85736		638
SELECT COMFORT CORP	COM	81616X103	3134	96743	SH		Sole	56140		40603
SHIRE PHARMACEUTICALS	COM	82481R106	8736	92202	SH		Sole	57389		34813
SMF ENERGY CORPORATION COM NEW	COM	78453M208	28	23592	SH		Sole	11027		12565
SODASTREAM INTERNATIONAL LTD	COM	M9068E105	4842	143766	SH		Sole	52055		91711
SOLTA MEDICAL INC	COM	83438K103	1773	585132	SH		Sole	52970		532162
SOTHEBY'S	COM	835898107	2245	57070	SH		Sole	55589		1481
SPDR GOLD TRUST	COM	78463V107	4974	30683	SH		Sole	30337		346
SPIRIT AIRLINES INC	COM	848577102	951	47363	SH		Sole	4262		43101
STAPLES INC	COM	855030102	1547	95574	SH		Sole	81564		14010
STARBUCKS CORP	COM	855244109	7613	136220	SH		Sole	79048		57172
STEEL DYNAMICS INC COM	COM	858119100	1117	76826	SH		Sole	65508		11318
STEINER LEISURE LTD ORD	COM	P8744Y102	2899	59375	SH		Sole	5343		54032
SUNTRUST BANKS INC	COM	867914103	3194	132138	SH		Sole	125382		6756
SUSQUEHANNA BKSHS PA COM	COM	869099101	5030	509104	SH		Sole	308811		200293
SXC HEALTH SOLUTIONS CORP	COM	78505P100	41917	559186	SH		Sole	348488		210698
SYNERGETICS USA INC COM	COM	87160G107	1056	162510	SH		Sole	14638		147872
SYNERON MEDICAL LTD	COM	M87245102	8839	824518	SH		Sole	584986		239532
SYSCO CORP	COM	871829107	597	19988	SH		Sole	9994		9994
T.G.C. INDUSTRIES INC	COM	872417308	2720	274159	SH		Sole	234729		39430
TARGA RESOURCES CORP	COM	87612G101	7463	164192	SH		Sole	92016		72176
TARGET CORP	COM	87612E106	2403	41238	SH		Sole	20584		20654
TD AMERITRADE HOLDING CORP	COM	87236Y108	1433	72604	SH		Sole	61894		10710
TECH DATA CORP	COM	878237106	1454	26797	SH		Sole	22849		3948
TEMPUR-PEDIC INTERNATIONAL	COM	88023U101	11965	141713	SH		Sole	75683		66030
TERADATA CORPORATION	COM	88076W103	6018	88310	SH		Sole	51245		37065
TERADYNE INC	COM	880770102	1341	79388	SH		Sole	67670		11718
TESSERA TECHNOLOGIES COM	COM	88164L100	8322	482413	SH		Sole	324563		157850
TIBCO SOFTWARE INC	COM	88632Q103	5099	167196	SH		Sole	91288		75908
TIMKEN CO	COM	887389104	6258	123327	SH		Sole	121797		1530
TITAN INTERNATIONAL INC	COM	88830M102	4391	185651	SH		Sole	116959		68692
TIVO INC	COM	888706108	12332	1028548	SH		Sole	632528		396020
TOTAL SA SPONSORED ADR	COM	89151E109	2405	47042	SH		Sole	23521		23521
TOTAL SYS SVCS INC	COM	891906109	1007	43638	SH		Sole	37198		6440
TRACTOR SUPPLY COMPANY	COM	892356106	2129	23513	SH		Sole	23513
TRANS WORLD ENTERTAINMENT CORP	COM	89336Q100	42	19601	SH		Sole	8777		10824
TRAVELCENTERS OF AMERICA LLC	COM	894174101	100	15821	SH		Sole	7394		8427
U S HOME SYS INC COM	COM	90335C100	94	10110	SH		Sole	4725		5385
UBIQUITI NETWORKS INC	COM	90347A100	3844	121541	SH		Sole	66116		55425
ULTA SALON COSMETICS & FRAGANC	COM	90384S303	5061	54488	SH		Sole	30212		24276
UNDER ARMOUR INC-CLASS A	COM	904311107	8251	87780	SH		Sole	48909		38871
UNILEVER NV NY SHARES	COM	904784709	3555	104462	SH		Sole	52231		52231
UNITED BANKSHS INC WVA COM	COM	909907107	3977	137796	SH		Sole	86721		51075
UNITED NATURAL FOOD	COM	911163103	22120	474073	SH		Sole	262308		211765
UNITEDHEALTH GROUP INC	COM	91324P102	4995	84754	SH		Sole	49792		34962
UNUMPROVIDENT CORP	COM	91529Y106	1195	48813	SH		Sole	41620		7193
US BANCORP DEL	COM	902973304	1067	33676	SH		Sole	26831		6845
US ECOLOGY INC	COM	91732J102	6639	305392	SH		Sole	192138		113254
VALERO ENERGY CORP	COM	91913Y100	1137	44127	SH		Sole	37629		6498
VENTAS INC	COM	92276F100	13785	241423	SH		Sole	237583		3840
VERA BRADLEY INC	COM	92335c106	13437	445080	SH		Sole	270726		174354
VERINT SYSTEMS INC	COM	92343X100	4426	136639	SH		Sole	68747		67892
VIACOM INC  -CL B	COM	92553P201	1500	31598	SH		Sole	26937		4661
VISA INC-CLASS A	COM	92826C839	2383	20194	SH		Sole	10097		10097
VITAMIN SHOPPE INC	COM	92849E101	6693	151401	SH		Sole	84719		66682
VMWARE INC-CLASS A	COM	928563402	9251	82322	SH		Sole	47811		34511
VOLTERRA SEMICONDUCTOR CORP	COM	928708106	3958	114996	SH		Sole	10407		104589
VONAGE HOLDINGS CORP	COM	92886T201	61	27445	SH		Sole	12827		14618
WADDELL & REED FINANCIAL -A	COM	930059100	1367	42189	SH		Sole	35956		6233
WAL-MART STORES	COM	931142103	5872	95954	SH		Sole	47977		47977
WALGREEN CO	COM	931422109	1152	34407	SH		Sole	17156		17251
WASTE CONNECTIONS INC	COM	941053100	13991	430109	SH		Sole	240509		189600
WELLS FARGO & CO	COM	949746101	2118	62031	SH		Sole	60472		1559
WHITING PETROLEUM CORP	COM	966387102	9912	182543	SH		Sole	115406		67137
WHOLE FOODS MARKET INC	COM	966837106	6836	82166	SH		Sole	47711		34455
WILLIAMS COS INC	COM	969457100	1359	44117	SH		Sole	37538		6579
WPX ENERGY INC	COM	98212B103	259	14365	SH		Sole	12224		2141
ZIMMER HOLDINGS INC	COM	98956P102	1311	20390	SH		Sole	10195		10195