Hussman Econometrics Advisors

Hussman Strategic Advisors as of March 31, 2012

Portfolio Holdings for Hussman Strategic Advisors

Hussman Strategic Advisors holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

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                                   TITLE OF                    VALUE    SHARES OR   SH/  PUT/ INVESTMENT   OTHER   VOTING AUTHORITY
NAME OF ISSUER                      CLASS           CUSIP    (x1000'S)  PRN AMT     PRN  CALL DISCRETION  MANAGERS SOLE SHARED NONE
----------------------------       --------       ---------   -------  ---------    ---  ---- ----------  -------- ---- ------ ----
{S}                               {C}             {C}          {C}      {C}         {C}          {C}       {C}   {C}
ACE LTD                               SHS        H0023R105     21960     300000    SH           SOLE             300000
CHECK POINT SOFTWARE TECH LT          ORD        M22465104     19727     309000    SH           SOLE             309000
ASML HOLDING N V                   NY REG SHS    N07059186       501      10000    SH           SOLE              10000
AT^T INC                              COM        00206R102     46884    1501250    SH           SOLE            1501250
ABBOTT LABS                           COM        002824100     46029     751000    SH           SOLE             751000
ADTRAN INC                            COM        00738A106      4367     140000    SH           SOLE             140000
ADVANCED SEMICONDUCTOR ENGR      SPONSORED ADR   00756M404       256      50000    SH           SOLE              50000
AEROPOSTALE                           COM        007865108     87842    4063000    SH           SOLE            4063000
AETNA INC NEW                         COM        00817Y108     32604     650000    SH           SOLE             650000
AGILENT TECHNOLOGIES INC              COM        00846U101     44510    1000000    SH           SOLE            1000000
AGNICO EAGLE MINES LTD                COM        008474108      8145     244000    SH           SOLE             244000
ALIGN TECHNOLOGY INC                  COM        016255101     34438    1250000    SH           SOLE            1250000
ALTERA CORP                           COM        021441100     37909     952000    SH           SOLE             952000
AMAZON COM INC                        COM        023135106     30376     150000    SH           SOLE             150000
AMEDISYS INC                          COM        023436108      2111     146000    SH           SOLE             146000
AMEREN CORP                           COM        023608102        33       1000    SH           SOLE               1000
AMERICA MOVIL SAB DE CV          SPON ADR A SHS  02364W204       738      30000    SH           SOLE              30000
AMERICAN ELEC PWR INC                 COM        025537101        39       1000    SH           SOLE               1000
AMERICAN EAGLE OUTFITTERS NE          COM        02553E106     17242    1003000    SH           SOLE            1003000
AMGEN INC                             COM        031162100     85021    1250500    SH           SOLE            1250500
ANALOG DEVICES INC                    COM        032654105        40       1000    SH           SOLE               1000
ANGLOGOLD ASHANTI LTD            SPONSORED ADR   035128206      8270     224000    SH           SOLE             224000
APPLIED MATLS INC                     COM        038222105        31       2500    SH           SOLE               2500
ASTRAZENECA PLC                  SPONSORED ADR   046353108    111981    2517000    SH           SOLE            2517000
AVERY DENNISON CORP                   COM        053611109        45       1500    SH           SOLE               1500
AVON PRODS INC                        COM        054303102        39       2000    SH           SOLE               2000
BHP BILLITON PLC                 SPONSORED ADR   05545E209       798      13000    SH           SOLE              13000
BT GROUP PLC                          ADR        05577E101       362      10000    SH           SOLE              10000
BMC SOFTWARE INC                      COM        055921100     26104     650000    SH           SOLE             650000
BARRICK GOLD CORP                     COM        067901108     19609     451000    SH           SOLE             451000
BECTON DICKINSON & CO                 COM        075887109     23353     300750    SH           SOLE             300750
BED BATH & BEYOND INC                 COM        075896100     72347    1100000    SH           SOLE            1100000
BERKSHIRE HATHAWAY INC DEL          CL B NEW     084670702     30431     375000    SH           SOLE             375000
BEST BUY INC                          COM        086516101     53316    2251500    SH           SOLE            2251500
BIOGEN IDEC INC                       COM        09062X103    125970    1000000    SH           SOLE            1000000
BLOCK H & R INC                       COM        093671105     24738    1502000    SH           SOLE            1502000
BRISTOL MYERS SQUIBB CO               COM        110122108     33750    1000000    SH           SOLE            1000000
BROADCOM CORP                         CL A       111320107     17685     450000    SH           SOLE             450000
BUCKLE INC                            COM        118440106     30800     643000    SH           SOLE             643000
CIGNA CORPORATION                     COM        125509109     61562    1250000    SH           SOLE            1250000
CACI INTL INC                         CL A       127190304     15572     250000    SH           SOLE             250000
CAMPBELL SOUP CO                      COM        134429109     35779    1057000    SH           SOLE            1057000
CARNIVAL CORP                      PAIRED CTF    143658300        32       1000    SH           SOLE               1000
CHEESECAKE FACTORY INC                COM        163072101     67362    2292000    SH           SOLE            2292000
CHEVRON CORP NEW                      COM        166764100     26864     250500    SH           SOLE             250500
CHINA MOBILE LIMITED             SPONSORED ADR   16941M109     13770     250000    SH           SOLE             250000
CHUBB CORP                            COM        171232101     27644     400000    SH           SOLE             400000
CISCO SYS INC                         COM        17275R102     63450    3000000    SH           SOLE            3000000
CLOROX CO DEL                         COM        189054109     85972    1250500    SH           SOLE            1250500
COCA COLA CO                          COM        191216100    118694    1603750    SH           SOLE            1603750
COLGATE PALMOLIVE CO                  COM        194162103     97829    1000500    SH           SOLE            1000500
COMCAST CORP NEW                      CL A       20030N101     31510    1050000    SH           SOLE            1050000
COMPANHIA DE SANEAMENTO BASI     SPONSORED ADR   20441A102       383       5000    SH           SOLE               5000
COMPANIA DE MINAS BUENAVENTU     SPONSORED ADR   204448104      9070     225000    SH           SOLE             225000
COMTECH TELECOMMUNICATIONS C        COM NEW      205826209        49       1500    SH           SOLE               1500
CONAGRA FOODS INC                     COM        205887102     13156     501000    SH           SOLE             501000
CONOCOPHILLIPS                        COM        20825C104        57        750    SH           SOLE                750
CUBIST PHARMACEUTICALS INC            COM        229678107     29150     674000    SH           SOLE             674000
CURRENCYSHS BRIT POUND STER      BRIT POUND STE  23129S106     15858     100000    SH           SOLE             100000
CURRENCYSHARES SWISS FRANC T     SWISS FRANC SH  23129V109     10928     100000    SH           SOLE             100000
CYBERONICS INC                        COM        23251P102     38016     997000    SH           SOLE             997000
DTE ENERGY CO                         COM        233331107      3687      67000    SH           SOLE              67000
DARDEN RESTAURANTS INC                COM        237194105        38        750    SH           SOLE                750
DELL INC                              COM        24702R101     93109    5609000    SH           SOLE            5609000
DEVRY INC DEL                         COM        251893103      8468     250000    SH           SOLE             250000
DISH NETWORK CORP                     CL A       25470M109     49395    1500000    SH           SOLE            1500000
DIRECTV                            COM CL A      25490A101     27137     550000    SH           SOLE             550000
DOMINION RES INC VA NEW               COM        25746U109       819      16000    SH           SOLE              16000
DUKE ENERGY CORP NEW                  COM        26441C105        21       1000    SH           SOLE               1000
ENI S P A                        SPONSORED ADR   26874R108       468      10000    SH           SOLE              10000
EBAY INC                              COM        278642103     61791    1675000    SH           SOLE            1675000
EDISON INTL                           COM        281020107        43       1000    SH           SOLE               1000
EMBOTELLADORA ANDINA S A         SPONSORED ADR B 29081P303         7        200    SH           SOLE                200
EMERSON ELEC CO                       COM        291011104        52       1000    SH           SOLE               1000
ENDO PHARMACEUTICAL HLDGS I           COM        29264F205     74129    1914000    SH           SOLE            1914000
ENERGIZER HLDGS INC                   COM        29266R108     18545     250000    SH           SOLE             250000
ENERSIS S A                      SPONSORED ADR   29274F104       162       8000    SH           SOLE               8000
ENSCO PLC                        SPONSORED ADR   29358Q109       132       2500    SH           SOLE               2500
ENTERGY CORP NEW                      COM        29364G103       941      14000    SH           SOLE              14000
EXELON CORP                           COM        30161N101        39       1000    SH           SOLE               1000
EXXON MOBIL CORP                      COM        30231G102    108456    1250500    SH           SOLE            1250500
FAMILY DLR STORES INC                 COM        307000109     43853     693000    SH           SOLE             693000
FIRST SOLAR INC                       COM        336433107     10772     430000    SH           SOLE             430000
FIRSTENERGY CORP                      COM        337932107      3784      83000    SH           SOLE              83000
FLOWERS FOODS INC                     COM        343498101        41       2000    SH           SOLE               2000
FOREST LABS INC                       COM        345838106     12142     350000    SH           SOLE             350000
GAMESTOP CORP NEW                     CL A       36467W109     24286    1112000    SH           SOLE            1112000
GAP INC DEL                           COM        364760108     16991     650000    SH           SOLE             650000
GENERAL MLS INC                       COM        370334104     39480    1000750    SH           SOLE            1000750
GILEAD SCIENCES INC                   COM        375558103     31752     650000    SH           SOLE             650000
GLAXOSMITHKLINE PLC              SPONSORED ADR   37733W105       741      16500    SH           SOLE              16500
GOLD FIELDS LTD NEW              SPONSORED ADR   38059T106        14       1000    SH           SOLE               1000
GOLDCORP INC NEW                      COM        380956409        45       1000    SH           SOLE               1000
GRUMA SAB DE CV                  SPON ADR CL B   400131306       241      22400    SH           SOLE              22400
HARMONY GOLD MNG LTD             SPONSORED ADR   413216300      6951     636000    SH           SOLE             636000
HARRIS CORP DEL                       COM        413875105        45       1000    SH           SOLE               1000
HARVARD BIOSCIENCE INC                COM        416906105      3920    1000000    SH           SOLE            1000000
HASBRO INC                            COM        418056107        64       1750    SH           SOLE               1750
HEINZ H J CO                          COM        423074103        27        500    SH           SOLE                500
HERSHEY CO                            COM        427866108     20791     339000    SH           SOLE             339000
HUMANA INC                            COM        444859102     92480    1000000    SH           SOLE            1000000
ITT EDUCATIONAL SERVICES INC          COM        45068B109      3638      55000    SH           SOLE              55000
ILLINOIS TOOL WKS INC                 COM        452308109        29        500    SH           SOLE                500
ILLUMINA INC                          COM        452327109     42614     810000    SH           SOLE             810000
INTEL CORP                            COM        458140100    112510    4002500    SH           SOLE            4002500
INTERDIGITAL INC                      COM        45867G101     21195     608000    SH           SOLE             608000
INTL PAPER CO                         COM        460146103     18217     519000    SH           SOLE             519000
ISHARES INC                      MSCI UTD KINGD  464286699      1211      70000    SH           SOLE              70000
ISHARES INC                      MSCI SWITZERLD  464286749      1264      50500    SH           SOLE              50500
ISHARES INC                       MSCI SWEDEN    464286756      1247      43000    SH           SOLE              43000
ISHARES INC                       MSCI GERMAN    464286806      1245      53500    SH           SOLE              53500
ISHARES INC                      MSCI HONG KONG  464286871      1221      70000    SH           SOLE              70000
JACK IN THE BOX INC                   COM        466367109     28764    1200000    SH           SOLE            1200000
JOHNSON & JOHNSON                     COM        478160104    115496    1751000    SH           SOLE            1751000
J2 GLOBAL INC                         COM        48123V102     14340     500000    SH           SOLE             500000
KELLOGG CO                            COM        487836108     26869     501000    SH           SOLE             501000
KIMBERLY CLARK CORP                   COM        494368103     90552    1225500    SH           SOLE            1225500
KOHLS CORP                            COM        500255104     50080    1001000    SH           SOLE            1001000
KROGER CO                             COM        501044101     39980    1650000    SH           SOLE            1650000
LABORATORY CORP AMER HLDGS          COM NEW      50540R409     45770     500000    SH           SOLE             500000
LIFE TECHNOLOGIES CORP                COM        53217V109     95345    1953000    SH           SOLE            1953000
LILLY ELI & CO                        COM        532457108     90648    2251000    SH           SOLE            2251000
LINCARE HLDGS INC                     COM        532791100        52       2000    SH           SOLE               2000
LINEAR TECHNOLOGY CORP                COM        535678106        51       1500    SH           SOLE               1500
MARATHON OIL CORP                     COM        565849106     31732    1001000    SH           SOLE            1001000
MATTEL INC                            COM        577081102     33660    1000000    SH           SOLE            1000000
MAXIM INTEGRATED PRODS INC            COM        57772K101        57       2000    SH           SOLE               2000
MCCLATCHY CO                          CL A       579489105       413     143000    SH           SOLE             143000
MCDONALDS CORP                        COM        580135101        49        500    SH           SOLE                500
MCGRAW HILL COS INC                   COM        580645109     24235     500000    SH           SOLE             500000
MEDTRONIC INC                         COM        585055106     58832    1501200    SH           SOLE            1501200
MERCK & CO INC NEW                    COM        58933Y105        58       1500    SH           SOLE               1500
MEREDITH CORP                         COM        589433101        49       1500    SH           SOLE               1500
MICROSOFT CORP                        COM        594918104     48423    1501500    SH           SOLE            1501500
MICROCHIP TECHNOLOGY INC              COM        595017104      9877     265500    SH           SOLE             265500
MINDRAY MEDICAL INTL LTD            SPON ADR     602675100       165       5000    SH           SOLE               5000
MOLEX INC                             COM        608554101        42       1500    SH           SOLE               1500
NATIONAL GRID PLC                 SPON ADR NEW   636274300       656      13000    SH           SOLE              13000
NETAPP INC                            COM        64110D104     22385     500000    SH           SOLE             500000
NETEASE COM INC                  SPONSORED ADR   64110W102       465       8000    SH           SOLE               8000
NEWMONT MINING CORP                   COM        651639106     12869     251000    SH           SOLE             251000
NEXTERA ENERGY INC                    COM        65339F101        61       1000    SH           SOLE               1000
NIPPON TELEG & TEL CORP          SPONSORED ADR   654624105       452      20000    SH           SOLE              20000
NOVARTIS A G                     SPONSORED ADR   66987V109     28536     515000    SH           SOLE             515000
NOVO-NORDISK A S                      ADR        670100205       416       3000    SH           SOLE               3000
NUSTAR ENERGY LP                    UNIT COM     67058H102      5258      89000    SH           SOLE              89000
NUTRI SYS INC NEW                     COM        67069D108        45       4000    SH           SOLE               4000
ONEOK PARTNERS LP               UNIT LTD PARTN   68268N103      3772      69000    SH           SOLE              69000
ORACLE CORP                           COM        68389X105     21870     750000    SH           SOLE             750000
PDL BIOPHARMA INC                     COM        69329Y104      5747     905000    SH           SOLE             905000
P F CHANGS CHINA BISTRO INC           COM        69333Y108     19760     500000    SH           SOLE             500000
PPL CORP                              COM        69351T106        28       1000    SH           SOLE               1000
PANERA BREAD CO                       CL A       69840W108    120690     750000    SH           SOLE             750000
PATTERSON COMPANIES INC               COM        703395103      4275     128000    SH           SOLE             128000
PAYCHEX INC                           COM        704326107        54       1750    SH           SOLE               1750
PEPCO HOLDINGS INC                    COM        713291102      1039      55000    SH           SOLE              55000
PEPSICO INC                           COM        713448108     82987    1250750    SH           SOLE            1250750
PFIZER INC                            COM        717081103     45343    2001000    SH           SOLE            2001000
PINNACLE WEST CAP CORP                COM        723484101      1102      23000    SH           SOLE              23000
PROCTER & GAMBLE CO                   COM        742718109    100865    1500750    SH           SOLE            1500750
PUBLIC SVC ENTERPRISE GROUP           COM        744573106      7652     250000    SH           SOLE             250000
QLOGIC CORP                           COM        747277101     22200    1250000    SH           SOLE            1250000
RADIOSHACK CORP                       COM        750438103      6242    1003500    SH           SOLE            1003500
RANDGOLD RES LTD                      ADR        752344309      4399      50000    SH           SOLE              50000
RESEARCH IN MOTION LTD                COM        760975102     14710    1000000    SH           SOLE            1000000
RESMED INC                            COM        761152107     10818     350000    SH           SOLE             350000
ROYAL DUTCH SHELL PLC           SPONSORED ADR A  780259206       561       8000    SH           SOLE               8000
SPDR SERIES TRUST                DB INT GVT ETF  78464A490      9672     160000    SH           SOLE             160000
SAFEWAY INC                         COM NEW      786514208        61       3000    SH           SOLE               3000
ST JUDE MED INC                       COM        790849103     55387    1250000    SH           SOLE            1250000
SANOFI                           SPONSORED ADR   80105N105       856      22100    SH           SOLE              22100
SAP AG                             SPON ADR      803054204      1033      14800    SH           SOLE              14800
SCANA CORP NEW                        COM        80589M102      1688      37000    SH           SOLE              37000
SCOTTS MIRACLE GRO CO                 CL A       810186106        54       1000    SH           SOLE               1000
SHIRE PLC                        SPONSORED ADR   82481R106     17339     183000    SH           SOLE             183000
SMITH & NEPHEW PLC                SPDN ADR NEW   83175M205       631      12500    SH           SOLE              12500
STAPLES INC                           COM        855030102     24335    1504000    SH           SOLE            1504000
STARBUCKS CORP                        COM        855244109     55890    1000000    SH           SOLE            1000000
STILLWATER MNG CO                     COM        86074Q102       126      10000    SH           SOLE              10000
STRAYER ED INC                        COM        863236105        47        500    SH           SOLE                500
STRYKER CORP                          COM        863667101     27740     500000    SH           SOLE             500000
SUNPOWER CORP                         COM        867652406     17226    2700000    SH           SOLE            2700000
SUPERVALU INC                         COM        868536103        23       4000    SH           SOLE               4000
SYNAPTICS INC                         COM        87157D109     85433    2340000    SH           SOLE            2340000
SYNTEL INC                            COM        87162H103      8736     156000    SH           SOLE             156000
SYSCO CORP                            COM        871829107     19439     651000    SH           SOLE             651000
TJX COS INC NEW                       COM        872540109     17870     450000    SH           SOLE             450000
TAIWAN SEMICONDUCTOR MFG LTD     SPONSORED ADR   874039100      1024      67000    SH           SOLE              67000
TELECOM ARGENTINA S A            SPON ADR REP B  879273209       496      28000    SH           SOLE              28000
TELECOM CORP NEW ZEALAND LTD     SPONSORED ADR   879278208       918      92500    SH           SOLE              92500
TELEFONICA BRASIL SA             SPONSORED ADR   87936R106       704      23000    SH           SOLE              23000
TEXAS INSTRS INC                      COM        882508104     16805     500000    SH           SOLE             500000
3M CO                                 COM        88579Y101        45        500    SH           SOLE                500
TIM HORTONS INC                       COM        88706M103       535      10000    SH           SOLE              10000
TOTAL S A                        SPONSORED ADR   89151E109       639      12500    SH           SOLE              12500
TRIQUINT SEMICONDUCTOR INC            COM        89674K103      9095    1319000    SH           SOLE            1319000
UNDER ARMOUR INC                      CL A       904311107     26790     285000    SH           SOLE             285000
UNILEVER N V                      N Y SHS NEW    904784709       783      23000    SH           SOLE              23000
UNISOURCE ENERGY CORP                 COM        909205106      2048      56000    SH           SOLE              56000
UNITEDHEALTH GROUP INC                COM        91324P102     85640    1453000    SH           SOLE            1453000
VARIAN MED SYS INC                    COM        92220P105     86200    1250000    SH           SOLE            1250000
VERIZON COMMUNICATIONS INC            COM        92343V104     38230    1000000    SH           SOLE            1000000
VERTEX PHARMACEUTICALS INC            COM        92532F100     47982    1170000    SH           SOLE            1170000
VODAFONE GROUP PLC NEW           SPONS ADR NEW   92857W209       526      19000    SH           SOLE              19000
WAL MART STORES INC                   COM        931142103        61       1000    SH           SOLE               1000
WALGREEN CO                           COM        931422109    100520    3001500    SH           SOLE            3001500
WATERS CORP                           COM        941848103     78761     850000    SH           SOLE             850000
WELLPOINT INC                         COM        94973V107     59040     800000    SH           SOLE             800000
WILLIAMS PARTNERS L P             COM UNIT L P   96950F104      4810      85000    SH           SOLE              85000
WORLD ACCEP CORP DEL                  COM        981419104     21131     345000    SH           SOLE             345000
XILINX INC                            COM        983919101     54645    1500000    SH           SOLE            1500000