Fiduciary Management Associates

Fiduciary Management Associates as of March 31, 2013

Portfolio Holdings for Fiduciary Management Associates

Fiduciary Management Associates holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

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						 FIDUCIARY MANAGEMENT ASSOCIATES, LLC

						    FORM 13F INFORMATION TABLE
                                            	      AS OF DATE:  3/31/13

                  		TITLE OF           VALUE     SHARES/  SH/PUT/   INVSTMT  OTHER    VOTING AUTHORITY
NAME OF ISSUER    		CLASS    CUSIP     (x$1000)  PRN AMT  PRN CALL  DSCRETN  MGRS     SOLE   SHARED   NONE
--------------    		-------- -------   --------  -------  --------  -------  ------   --------------------
AARON'S INC			COM	 002535300   13149    458485	SH	Sole		  391505    0	 66980
ACI WORLDWIDE IN		COM	 004498101   15802    323405	SH	Sole		  276245    0	 47160
ACTUANT CORP			COM	 00508X203   15643    510885	SH	Sole		  436995    0	 73890
AIR LEASE CORP			COM	 00912X302   15034    512755	SH	Sole		  438065    0	 74690
AKORN INC			COM	 009728106   12669    916044	SH	Sole		  781716    0	134328
ALLETE INC			COM	 018522300   17073    348280	SH	Sole		  297520    0	 50760
AMSURG CORP			COM	 03232P405   15248    453260	SH	Sole		  386935    0	 66325
AMTRUST FINANCIAL SERVICES INC.	COM	 032359309   20078    579445	SH	Sole		  494781    0	 84664
ANALOGIC CORP			COM	 032657207   16329    206640	SH	Sole		  176560    0	 30080
ASSOC ESTATES			COM	 045604105   14626    784645	SH	Sole		  670835    0	113810
BANK OF THE OZARKS INC		COM	 063904106   16073    362402	SH	Sole		  309272    0	 53130
BBCN BANCORP INC		COM	 073295107    6548    501400	SH	Sole		  428160    0	 73240
BEACON ROOFING SUPPLY INC	COM	 073685109   16332    422455	SH	Sole		  360885    0	 61570
BELDEN INC			COM	 077454106   15733    304605	SH	Sole		  260685    0	 43920
BRANDYWINE REALTY TRUST		COM	 105368203   21252   1431130	SH	Sole		 1222040    0	209090
CAPITAL BANK FINANCIAL CORP	COM	 139794101    6880    400935	SH	Sole		  342605    0	 58330
CARDTRONICS INC COM		COM	 14161H108   13569    494140	SH	Sole		  422280    0	 71860
CHARLES RIVER LABS INTL INC	COM	 159864107   13166    297410	SH	Sole		  254060    0	 43350
CHART INDUSTRIES INC		COM	 16115Q308   13304    166285	SH	Sole		  142045    0	 24240
CHEESECAKE FACTORY/THE		COM	 163072101   16384    424340	SH	Sole		  362130    0	 62210
CIRCOR INTERNATIONAL INC	COM	 17273K109    8824    207625	SH	Sole		  177325    0	 30300
COLUMBIA BANKING SYSTEM INC	COM	 197236102   13433    611130	SH	Sole		  521780    0	 89350
COMMERCIAL METALS CO		COM	 201723103   12052    760400	SH	Sole		  649390    0	111010
CON-WAY INC			COM	 205944101   12765    362530	SH	Sole		  309850    0	 52680
CURTISS-WRIGHT CORP		COM	 231561101   13120    378090	SH	Sole		  322930    0	 55160
DREW INDS INC			COM	 26168L205   14289    393530	SH	Sole		  336240    0	 57290
EASTGROUP PROPERTIES INC	COM	 277276101   15362    263950	SH	Sole		  225710    0	 38240
ELECTRONICS FOR IMAGING		COM	 286082102    6265    247030	SH	Sole		  211030    0	 36000
ELIZABETH ARDEN INC		COM	 28660G106   13951    346600	SH	Sole		  295940    0	 50660
ENDURANCE SPECIALTY HOLDINGS	COM	 G30397106    6511    136180	SH	Sole		  116540    0	 19640
ENTEGRIS INC			COM	 29362U104   14036   1423510	SH	Sole		 1215150    0	208360
EPR PROPERTIES			COM	 26884U109   17751    341030	SH	Sole		  291170    0	 49860
ESTERLINE TECHNOLOGIES CORP	COM	 297425100   17551    231845	SH	Sole		  197935    0	 33910
EVERCORE PARTNERS INC		COM	 29977A105   15502    372645	SH	Sole		  318315    0	 54330
FEI CO				COM	 30241L109   14934    231350	SH	Sole		  197550    0	 33800
FIRSTMERIT CORP			COM	 337915102   21026   1272010	SH	Sole		 1086040    0	185970
FORUM ENERGY TECHNOLOGIES INC	COM	 34984V100   14480    503487	SH	Sole		  430047    0	 73440
FRANKLIN ELECTRIC CO INC	COM	 353514102    5834    173782	SH	Sole		  148810    0	 24972
FULTON FINANCIAL CORP		COM	 360271100   17264   1475525	SH	Sole		 1259005    0	216520
GLIMCHER REALTY TRUST		COM	 379302102   16759   1444720	SH	Sole		 1233540    0	211180
GULFMARK OFFSHORE INC		COM	 402629208   13482    346036	SH	Sole		  295456    0	 50580
H^E EQUIPMENT SERVICES INC	COM	 404030108   11895    583080	SH	Sole		  497970    0	 85110
HALCON RESOURCES CORP		COM	 40537Q209   16299   2092322	SH	Sole		 1787027    0	305295
HANOVER INSURANCE GROUP INC/THE	COM	 410867105    6765    136180	SH	Sole		  116530    0	 19650
HB FULLER CO			COM	 359694106   15461    395625	SH	Sole		  337575    0	 58050
HEARTLAND PAYMENT SYSTEMS INC	COM	 42235N108   15681    475620	SH	Sole		  406160    0	 69460
HELIX ENERGY SOLUTIONS GRP INC	COM	 42330P107   12839    561140	SH	Sole		  479369    0	 81771
HILL-ROM HOLDING		COM	 431475102    8399    238468	SH	Sole		  204018    0	 34450
INVENSENSE INC			COM	 46123D205    7766    727155	SH	Sole		  613875    0	113280
ISHARES RUSSELL 2000 INDEX FUND	COM	 464287655     851      9025	SH	Sole		    9025    0	     0
ISHARES RUSSELL MICROCAP INDEX 	COM	 464288869    2133     36370	SH	Sole		   36370    0	     0
IXIA				COM	 45071R109   13834    639260	SH	Sole		  545788    0	 93472
KEY ENERGY SERVICES INC		COM	 492914106    7439    920620	SH	Sole		  786050    0	134570
LEXINGTON CORPORATE PROPERTIES	COM	 529043101   19929   1688921	SH	Sole		 1440981    0	247940
MANHATTAN ASSOCIATES INC	COM	 562750109   19289    259645	SH	Sole		  221935    0	 37710
MANITOWOC CO INC/THE		COM	 563571108   18481    898880	SH	Sole		  768510    0	130370
MASIMO CORP			COM	 574795100   13158    670625	SH	Sole		  572905    0	 97720
MASTEC INC			COM	 576323109   18543    636115	SH	Sole		  543145    0	 92970
MEDICAL PROPERTIES TRUST INC	COM	 58463J304   13479    840355	SH	Sole		  717915    0	122440
MINERALS TECHNOLOGIES INC	COM	 603158106   13466    324400	SH	Sole		  276860    0	 47540
MOVADO GROUP INC		COM	 624580106   13904    414800	SH	Sole		  354170    0	 60630
ORBITAL SCIENCES CORP		COM	 685564106   14675    879265	SH	Sole		  750055    0	129210
OSI SYSTEMS INC			COM	 671044105   17779    285415	SH	Sole		  243915    0	 41500
OXFORD INDUSTRIES INC		COM	 691497309   16587    312369	SH	Sole		  267359    0	 45010
PIER 1 IMPORTS INC		COM	 720279108   13458    585110	SH	Sole		  499840    0	 85270
POLYONE CORP			COM	 73179P106   13722    562150	SH	Sole		  480170    0	 81980
POPULAR INC			COM	 733174700   13605    492742	SH	Sole		  420692    0	 72050
PROSPERITY BANCSHARES INC	COM	 743606105   19855    418970	SH	Sole		  357580    0	 61390
PROTO LABS INC			COM	 743713109    6859    139700	SH	Sole		  119340    0	 20360
ROSETTA RESOURCES INC		COM	 777779307   13289    279290	SH	Sole		  238480    0	 40810
RYLAND GROUP INC		COM	 783764103   18497    444425	SH	Sole		  379655    0	 64770
SEMTECH CORP			COM	 816850101   16634    470010	SH	Sole		  401280    0	 68730
SILICON LABORATORIES INC	COM	 826919102   15158    366480	SH	Sole		  312880    0	 53600
SNYDERS-LANCE INC		COM	 833551104   13238    524055	SH	Sole		  447425    0	 76630
SPECTRUM BRANDS HOLDINGS INC	COM	 84763R101   15628    276170	SH	Sole		  235720    0	 40450
STEVEN MADDEN LTD		COM	 556269108   16587    384498	SH	Sole		  328153    0	 56345
SUSQUEHANNA BANCSHARES INC	COM	 869099101   21730   1748152	SH	Sole		 1493512    0	254640
TAKE-TWO INTERACTIVE SOFTWARE	COM	 874054109   14118    874195	SH	Sole		  746285    0	127910
TANGOE INC			COM	 87582Y108   13316   1074765	SH	Sole		  917835    0	156930
TEAM HEALTH HOLDINGS INC	COM	 87817A107   21049    578600	SH	Sole		  493920    0	 84680
TELEDYNE TECHNOLOGIES INC	COM	 879360105   20969    267320	SH	Sole		  228100    0	 39220
TENNECO INC			COM	 880349105   16485    419350	SH	Sole		  358000    0	 61350
TEXAS CAPITAL BA		COM	 88224Q107   14094    348440	SH	Sole		  297493    0	 50947
TREX CO INC			COM	 89531P105   14716    299230	SH	Sole		  255560    0	 43670
UIL HOLDINGS CORP		COM	 902748102   16962    428430	SH	Sole		  365990    0	 62440
UNS ENERGY CORP			COM	 903119105   19622    400945	SH	Sole		  342195    0	 58750
VAIL RESORTS INC		COM	 91879Q109   14619    234585	SH	Sole		  200315    0	 34270
WASHINGTON FEDERAL INC		COM	 938824109   14593    833880	SH	Sole		  711460    0	122420
WEBSTER FINANCIAL CORP		COM	 947890109   20713    853785	SH	Sole		  728535    0	125250
WOODWARD INC			COM	 980745103   14431    362960	SH	Sole		  310038    0	 52922

LINE COUNT: 90