Jasper Ridge Partners

Jasper Ridge Partners as of March 31, 2013

Portfolio Holdings for Jasper Ridge Partners

Jasper Ridge Partners holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                NAME OF ISSUER         TITLE OF CLASS           CUSIP        VALUE   SHRS/PRN  SH/ PUT/CLL INVSTMNT  OTHER  VOTING AUTHORITY
                                                          (x$1000)     AMT    PRN          DISCRETN   MGRS   SOLE SHRD  NONE

{S}                         {C}

ACCRETIVE HEALTH INC        COM               00438V103       82314   8101774  SH          Sole            8101774
ALLERGAN INC                COM               018490102        2182     19551  SH          Sole              19551
AMGEN INC                   COM               031162100        4073     39737  SH          Sole              39737
AOL INC                     COM               00184X105        3101     80575  SH          Sole              80575
APPLE INC                   COM               037833100        3271      7390  SH          Sole               7390
AT^T INC                    COM               00206R102         563     15338  SH          Sole              15338
AVALONBAY CMNTYS INC        COM               053484101         376      2965  SH          Sole               2965
AVERY DENNISON CORP         COM               053611109         893     20729  SH          Sole              20729
BLACKSTONE GROUP L P        COM UNIT LTD      09253U108       12539    633929  SH          Sole             633929
BORGWARNER INC              COM               099724106        3563     46072  SH          Sole              46072
BOSTON BEER INC             CL A              100557107        5784     36229  SH          Sole              36229
BP PLC                      SPONSORED ADR     055622104        4464    105409  SH          Sole             105409
BRINKER INTL INC            COM               109641100        1413     37540  SH          Sole              37540
CADENCE DESIGN SYSTEM INC   COM               127387108        1071     76918  SH          Sole              76918
CBRE GROUP INC              COM               12504L109        1375     54452  SH          Sole              54452
CHEVRON CORP NEW            COM               166764100         996      8380  SH          Sole               8380
CINTAS CORP                 COM               172908105       36015    816107  SH          Sole             816107
COMPUTER SCIENCES CORP      COM               205363104        1960     39804  SH          Sole              39804
CONAGRA FOODS INC           COM               205887102        2747     76713  SH          Sole              76713
CONOCOPHILLIPS              COM               20825C104         470      7820  SH          Sole               7820
CORNERSTONE ONDEMAND INC    COM               21925Y103         379     11142  SH          Sole              11142
DIRECTV                     COM               25490A309         278      4920  SH          Sole               4920
DU PONT E I DE NEMOURS & CO COM               263534109         832     16930  SH          Sole              16930
E M C CORP MASS             COM               268648102       60440   2529926  SH          Sole            2529926
EXACTTARGET INC             COM               30064K105         311     13418  SH          Sole              13418
EXXON MOBIL CORP            COM               30231G102        3400     37732  SH          Sole              37732
FACEBOOK INC                CL A              30303M102        1707     66714  SH          Sole              66714
FAIR ISAAC CORP             COM               303250104        1736     37990  SH          Sole              37990
GAP INC DEL                 COM               364760108       84377   2383525  SH          Sole            2383525
GOLDMAN SACHS GROUP INC     COM               38141G104         338      2300  SH          Sole               2300
GOOGLE INC                  CL A              38259P508         747       940  SH          Sole                940
HILL ROM HLDGS INC          COM               431475102       20840    591716  SH          Sole             591716
HILLENBRAND INC             COM               431571108        8000    316468  SH          Sole             316468
HNI CORP                    COM               404251100        1185     33384  SH          Sole              33384
HOME DEPOT INC              COM               437076102       74654   1069846  SH          Sole            1069846
INTEL CORP                  COM               458140100       42958   1967389  SH          Sole            1967389
INTERNATIONAL BUSINESS MACH COM               459200101        1104      5175  SH          Sole               5175
INTUIT                      COM               461202103        4664     71026  SH          Sole              71026
INTUITIVE SURGICAL INC      COM               46120E602        8774     17862  SH          Sole              17862
ISHARES INC                 MSCI JAPAN        464286848       63363   5866909  SH          Sole            5866909
ISHARES INC                 MSCI STH KOR CAP  464286772        7829    131730  SH          Sole             131730
ISHARES TR                  MSCI EMERG MKT    464287234       57625   1347318  SH          Sole            1347318
ISHARES TR                  MSCI EAFE IDX     464287465      244985   4153698  SH          Sole            4153698
ISHARES TR                  MSCI GRW IDX      464288885        7473    118063  SH          Sole             118063
ISHARES TR                  CORE S^P 500      464287200       41878    266128  SH          Sole             266128
ISHARES TR                  S^P500 GRW        464287309        4373     53088  SH          Sole              53088
ISHARES TR                  RUSSELL1000VAL    464287598       46444    572176  SH          Sole             572176
ISHARES TR                  RUSSELL1000GRW    464287614        4977     69729  SH          Sole              69729
ISHARES TR                  RUSSELL 2000      464287655       11959    126641  SH          Sole             126641
ISHARES TR                  RUSL 2000 VALU    464287630        9084    108390  SH          Sole             108390
ISHARES TR                  RUSL 2000 GROW    464287648        3467     32210  SH          Sole              32210
JABIL CIRCUIT INC           COM               466313103       42256   2286585  SH          Sole            2286585
JPMORGAN & CHASE & CO       COM               46625H100         686     14445  SH          Sole              14445
KKR & CO L P DEL            COM UNITS         48248M102       10463    541560  SH          Sole             541560
MEREDITH CORP               COM               589433101         580     15164  SH          Sole              15164
MERU NETWORKS INC           COM               59047Q103          73     10808  SH          Sole              10808
MOHAWK INDS INC             COM               608190104         254      2245  SH          Sole               2245
NATIONAL OILWELL VARCO INC  COM               637071101        3145     44449  SH          Sole              44449
NEWS CORP                   CL A              65248E104       25246    827481  SH          Sole             827481
NIKE INC                    CL B              654106103      252496   4278860  SH          Sole            4278860
PACCAR INC                  COM               693718108       98557   1949313  SH          Sole            1949313
PEP BOYS MANNY MOE & JACK   COM               713278109         193     16396  SH          Sole              16396
PHILIP MORRIS INTL INC      COM               718172109         824      8890  SH          Sole               8890
PHILLIPS 66                 COM               718546104         274      3910  SH          Sole               3910
PRICE T ROWE GROUP INC      COM               74144T108        3567     47642  SH          Sole              47642
ROCKWELL AUTOMATION INC     COM               773903109         688      7968  SH          Sole               7968
ROCKWELL COLLINS INC        COM               774341101        2207     34966  SH          Sole              34966
SCHEIN HENRY INC            COM               806407102        3611     39012  SH          Sole              39012
SHERWIN WILLIAMS CO         COM               824348106        1977     11707  SH          Sole              11707
SPDR S^P 500 ETF TR         TR UNIT           78462F103      138441    883649  SH          Sole             883649
STARBUCKS CORP              COM               855244109        3524     61874  SH          Sole              61874
TELLABS INC                 COM               879664100         199     95094  SH          Sole              95094
TIME WARNER CABLE INC       COM               88732J207       21371    222476  SH          Sole             222476
TIME WARNER INC             COM               887317303       51070    886326  SH          Sole             886326
TORCHMARK CORP              COM               891027104        3201     53536  SH          Sole              53536
US BANCORP DEL              COM               902973304         433     12757  SH          Sole              12757
VALSPAR CORP                COM               920355104       52880    859192  SH          Sole             859192
VANGUARD INTL EQUITY INDEX  MSCI EMR MKT ETF  922042858      133076   3102371  SH          Sole            3102371
VONAGE HLDGS CORP           COM               92886T201          30     10257  SH          Sole              10257
WAL MART STORES INC         COM               931142103         694      9276  SH          Sole               9276
WHOLE FOODS MARKET INC      COM               966837106        1357     15645  SH          Sole              15645
YAHOO INC                   COM               984332106        1142     48523  SH          Sole              48523