Highside Capital Management

Highside Capital Management as of March 31, 2012

Portfolio Holdings for Highside Capital Management

Highside Capital Management holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                {C}               {C}
                                                                FORM 13F INFORMATION TABLE
                                                              VALUE   SHARES/ SH/ PUT/ INVSTMT   OTHER        VOTING AUTHORITY
           NAME OF ISSUER        TITLE OF CLASS     CUSIP   x($1000) PRN AMT  PRN CALL DISCRETN MANAGERS   SOLE    SHARED    NONE
  ------------------------------ ---------------- --------- -------- -------- --- ---- -------- --------- -------- -------- --------
D	AON PLC			 COMMON STOCK	  037389103  48,015    978,700 SH	SOLE		   978,700 	0	0
D	AUTOZONE INC		 COMMON STOCK	  053332102  38,630    103,900 SH	SOLE		   103,900 	0	0
D	BARRICK GOLD CORP	 COMMON STOCK	  067901108  29,397    676,100 SH	SOLE		   676,100 	0	0
D	BP PLC-SPONS ADR	 SPON ADR	  055622104  29,520    656,000 SH	SOLE		   656,000 	0	0
D	CBRE GROUP INC - A	 COMMON STOCK	  12504L109  19,639    983,900 SH	SOLE		   983,900 	0	0
D	CENTENE CORP		 COMMON STOCK	  15135B101  55,840  1,140,300 SH	SOLE		 1,140,300 	0	0
D	CHARTER COMMUNICATION-A	 COMMON STOCK	  16117M305  48,609    766,100 SH	SOLE		   766,100 	0	0
D	CHECK POINT SOFTWARE TEC COMMON STOCK	  M22465104  33,822    529,800 SH	SOLE		   529,800 	0	0
D	CIT GROUP INC		 COMMON STOCK	  125581801  13,527    328,000 SH	SOLE		   328,000 	0	0
D	CLEARWIRE CORP-CLASS A	 COMMON STOCK	  18538Q105  51,080 22,403,500 SH	SOLE		22,403,500 	0	0
D	DEVRY INC		 COMMON STOCK	  251893103  30,090    888,400 SH	SOLE		   888,400 	0	0
D	DISH NETWORK CORP-A	 COMMON STOCK	  25470M109  32,400    983,900 SH	SOLE		   983,900 	0	0
D	DOLLAR TREE INC		 COMMON STOCK	  256746108  24,785    262,300 SH	SOLE		   262,300 	0	0
D	EXPRESS SCRIPTS HOLDING  COMMON STOCK	  30219G108  53,037    978,900 SH	SOLE		   978,900 	0	0
D	FIDELITY NATIONAL FINL-A COMMON STOCK	  31620R105  28,385  1,574,300 SH	SOLE		 1,574,300 	0	0
D	LABORATORY CRP OF AMER H COMMON STOCK	  50540R409  29,558    322,900 SH	SOLE		   322,900 	0	0
D	LAMAR ADVERTISING CO-CLA COMMON STOCK	  512815101  49,056  1,513,600 SH	SOLE		 1,513,600 	0	0
D	LENDER PROCESSING SERV   COMMON STOCK	  52602E102  22,699    873,035 SH	SOLE		   873,035 	0	0
D	MICROSOFT CORP		 COMMON STOCK	  594918104  35,806  1,110,100 SH	SOLE		 1,110,100 	0	0
D	MOTOROLA SOLUTIONS INC	 COMMON STOCK	  620076307  71,818  1,412,900 SH	SOLE		 1,412,900 	0	0
D	NCR CORPORATION		 COMMON STOCK	  62886E108  34,397  1,584,400 SH	SOLE		 1,584,400 	0	0
D	NVR INC			 COMMON STOCK	  62944T105  18,304 	25,200 SH	SOLE		    25,200 	0	0
D	PMC - SIERRA INC	 COMMON STOCK	  69344F106  39,396  5,448,900 SH	SOLE		 5,448,900 	0	0
D	QUALCOMM INC		 COMMON STOCK	  747525103  61,819    908,300 SH	SOLE		   908,300 	0	0
D	RALPH LAUREN CORP	 COMMON STOCK	  751212101  36,069    206,900 SH	SOLE		   206,900 	0	0
D	SBA COMMUNICATIONS CORP  COMMON STOCK	  78388J106  24,358    479,400 SH	SOLE		   479,400 	0	0
D	SOHU.COM INC		 COMMON STOCK	  83408W103  20,043    363,300 SH	SOLE		   363,300 	0	0
D	THORATEC CORP		 COMMON STOCK	  885175307  31,809    943,600 SH	SOLE		   943,600 	0	0
D	TIVO INC		 COMMON STOCK	  888706108  19,177  1,599,400 SH	SOLE		 1,599,400 	0	0
D	TRIPADVISOR INC		 COMMON STOCK	  896945201  25,904    726,200 SH	SOLE		   726,200 	0	0
D	UNDER ARMOUR INC-CLASS A COMMON STOCK	  904311107  24,186    257,300 SH	SOLE		   257,300 	0	0
D	VERISIGN INC		 COMMON STOCK	  92343E102  58,043  1,513,500 SH	SOLE		 1,513,500 	0	0
D	VF CORP			 COMMON STOCK	  918204108  18,408    126,100 SH	SOLE		   126,100 	0	0
D	WELLS FARGO & CO	 COMMON STOCK	  949746101  31,006    908,200 SH	SOLE		   908,200 	0	0
D	YAHOO! INC		 COMMON STOCK	  984332106  67,571  4,439,600 SH	SOLE		 4,439,600 	0	0
D	YUM! BRANDS INC		 COMMON STOCK	  988498101  37,348    524,700 SH	SOLE		   524,700 	0	0





S REPORT SUMMARY                 36 DATA RECORDS            1,293,551        0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED