Hershey Trust Company

Hershey Trust Company as of March 31, 2013

Portfolio Holdings for Hershey Trust Company

Hershey Trust Company holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                Market Value            Account Investment Authority
Asset name                                Asset Typ   Cusip   (in '000s) Shares     Discretion  Sole    Shared    Others
{C}                                       {C}          {C}    {C}        {C}              {C} {C}     {C}        {C}


ABAXIS INC COM                            Equity     002567105      1,465     30,962  DEFINED   30,962          0       0
ACCESS MIDSTREAM PARTNERS L P             Equity    00434L109          47      1,176  DEFINED    1,176          0       0
ADR SKY-MOBI LTD-SP SPONSORED             Equity    83084G109          28     15,510     SOLE   15,510          0       0
ADVISORY BRD CO COM                       Equity    00762W107         998     19,000  DEFINED   19,000          0       0
ALIMERA SCIENCES INC COM STK              Equity     016259103          5      1,723     SOLE    1,723          0       0
ATHENAHEALTH INC COM MON STOCK            Equity    04685W103       1,885     19,424  DEFINED   19,424          0       0
BEACON ROOFING SUPPLY INC COM             Equity     073685109      2,018     52,200  DEFINED   52,200          0       0
BIO-REFERENCE LABS INC COM PAR            Equity    09057G602       1,264     48,652  DEFINED   48,652          0       0
BRIGHTCOVE INC                            Equity    10921T101         425     68,466     SOLE   68,466          0       0
CABOT MICROELECTRONICS CORP CO            Equity    12709P103         843     24,265  DEFINED   24,265          0       0
CARTER INC FORMERLY CARTER HLD            Equity     146229109        268      4,673     SOLE    4,673          0       0
CASS INFORMATION SYS INC COM              Equity    14808P109         941     22,385  DEFINED   22,385          0       0
CEPHEID INC COM                           Equity    15670R107       2,025     52,769  DEFINED   52,769          0       0
CHEESECAKE FACTORY INC COM                Equity     163072101      1,560     40,400  DEFINED   40,400          0       0
CHEMED CORP NEW COM                       Equity    16359R103       2,319     29,000  DEFINED   29,000          0       0
CONCUR TECHNOLOGIES INC COM               Equity     206708109      1,294     18,851  DEFINED   18,851          0       0
CONSTANT CONTACT INC COM STK              Equity     210313102         21      1,600  DEFINED    1,600          0       0
COSTAR GROUP INC COM                      Equity    22160N109       1,994     18,215  DEFINED   18,215          0       0
DEALERTRACK TECHNOLOGY                    Equity     242309102      1,446     49,215  DEFINED   49,215          0       0
DEMANDWARE INC COM                        Equity    24802Y105         361     14,237     SOLE   14,237          0       0
DIGI INTL INC COM                         Equity     253798102        765     85,700  DEFINED   85,700          0       0
EBIX INC FORMERLY EBIX COM INC            Equity     278715206        708     43,639  DEFINED   43,639          0       0
ECHO GLOBAL LOGISTICS INC COM             Equity    27875T101         973     44,008  DEFINED   44,008          0       0
EXTERRAN HLDGS INC COM STK                Equity    30225X103         405     15,000  DEFINED   15,000          0       0
FARO TECHNOLOGIES INC COM                 Equity     311642102        829     19,100  DEFINED   19,100          0       0
FINANCIAL ENGINES INC COM                 Equity     317485100      1,244     34,333  DEFINED   34,333          0       0
FORWARD AIR CORP COM                      Equity     349853101        738     19,800  DEFINED   19,800          0       0
FRACTIONAL FIRST HORIZON NATIO            Equity    DCA517101           0     76,450     SOLE   76,450          0       0
FRESH MKT INC COM                         Equity    35804H106         922     21,563  DEFINED   21,563          0       0
GASLOG LTD                                Equity    G37585109         129     10,000  DEFINED   10,000          0       0
GENTEX CORP COM                           Equity     371901109        957     47,840  DEFINED   47,840          0       0
GRAND CANYON ED INC COM STK               Equity    38526M106       1,898     74,742  DEFINED   74,742          0       0
GREENWAY MED TECHNOLOGIES INC             Equity    39679B103         627     39,435  DEFINED   39,435          0       0
HERSHEY COMPANY COM STK USD1              Equity     427866108  1,095,317 12,513,621     SOLE        0 12,513,621       0
Hershey Company (The) - Class B           Equity     427866306  5,305,369 60,612,012  Defined        0 60,612,012       0
INNERWORKINGS INC COM                     Equity    45773Y105       1,221     80,635  DEFINED   80,635          0       0
IPC THE HOSPITALIST CO INC STK            Equity    44984A105       1,217     27,360  DEFINED   27,360          0       0
JIVE SOFTWARE INC                         Equity    47760A108         258     16,951     SOLE   16,951          0       0
KINDER MORGAN MGMT LLC SHS COM            Equity    49455U100       1,757     20,000  DEFINED   20,000          0       0
K12 INC COM STOCK USD.0001                Equity    48273U102         815     33,824  DEFINED   33,824          0       0
LKQ CORP COM LKQ CORP                     Equity     501889208      2,441    112,200  DEFINED  112,200          0       0
MAXIMUS INC COM                           Equity     577933104      2,607     32,600  DEFINED   32,600          0       0
MEDNAX INC COM                            Equity    58502B106       1,900     21,200  DEFINED   21,200          0       0
MILLENNIAL MEDIA INC                      Equity    60040N105          67     10,526     SOLE   10,526          0       0
MOBILE MINI INC COM                       Equity    60740F105       1,585     53,870  DEFINED   53,870          0       0
NATIONAL INSTRS CORP COM                  Equity     636518102      2,260     69,000  DEFINED   69,000          0       0
NEOGEN CORP COM                           Equity     640491106      1,610     32,478  DEFINED   32,478          0       0
PEGASYSTEMS INC COM                       Equity     705573103        635     22,607  DEFINED   22,607          0       0
PORTFOLIO RECOVERY ASSOCS INC             Equity    73640Q105       2,273     17,905  DEFINED   17,905          0       0
POWER INTEGRATIONS INC COM                Equity     739276103      1,233     28,400  DEFINED   28,400          0       0
PROOFPOINT INC COM                        Equity     743424103         54      3,175     SOLE    3,175          0       0
PROTO LABS INC COM                        Equity     743713109        689     14,040  DEFINED   14,040          0       0
RITCHIE BROS AUCTIONEERS INC C            Equity     767744105      1,324     60,991  DEFINED   60,991          0       0
ROLLINS INC COM                           Equity     775711104      2,504    102,000  DEFINED  102,000          0       0
RPX CORP COM                              Equity    74972G103         335     23,729     SOLE   23,729          0       0
SCIQUEST INC NEW COM                      Equity    80908T101       1,216     50,575  DEFINED   50,575          0       0
SEMTECH CORP COM                          Equity     816850101      2,205     62,300  DEFINED   62,300          0       0
SICO LLC                                  Equity     784299109         64     60,000  Defined   60,000          0       0
SPS COMM INC COM                          Equity    78463M107       1,406     32,958  DEFINED   32,958          0       0
STRATASYS INC SHS                         Equity    M85548101       1,058     14,256  DEFINED   14,256          0       0
TECHNE CORP COM                           Equity     878377100      1,252     18,450  DEFINED   18,450          0       0
UBIQUITI NETWORKS INC COM USD0            Equity    90347A100          69      5,065     SOLE    5,065          0       0
ULTIMATE SOFTWARE GROUP INC CO            Equity    90385D107       3,159     30,330  DEFINED   30,330          0       0
UNITED NAT FOODS INC COM                  Equity     911163103      1,749     35,555  DEFINED   35,555          0       0
Vanguard Emerging Markets ETF             Equity     922042858        429     10,000  Defined   10,000          0       0
VERINT SYS INC COM                        Equity    92343X100       1,104     30,200  DEFINED   30,200          0       0
WILLIAMS CO INC COM                       Equity     969457100        468     12,500  DEFINED   12,500          0       0