Kopp Investment Advisors

Kopp Investment Advisors as of June 30, 2012

Portfolio Holdings for Kopp Investment Advisors

Kopp Investment Advisors holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

                VOTING AUTHORITY
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                                       TITLE OF                VALUE     SHARES/  SH/ PUT/ INVSTMT  OTHER
NAME OF ISSUER                           CLASS        CUSIP   (X$1000)   PRN AMT  PRN CALL DSCRET  MANAGERS   SOLE    SHARED  NONE
--------------                           -----        -----   -------   --------  --- ---- ------  --------   -----   ------  ----


3M Company                                COM        88579Y101      836     9,334 SH  N/A  Other     N/A        8,229          1,105
Accelrys, Inc.                            COM        00430U103      952   117,650 SH  N/A  Other     N/A      117,650
Adept Technologies Inc.                 COM NEW      006854202    2,454   564,200 SH  N/A  Defined   N/A      564,200
Adept Technologies Inc.                 COM NEW      006854202    1,501   345,000 SH  N/A  Other     N/A      345,000
Aflac Incorporated                        COM        001055102      730    17,151 SH  N/A  Other     N/A       14,971          2,180
Akorn, Inc.                               COM        009728106    5,543   351,500 SH  N/A  Defined   N/A      351,500
Akorn, Inc.                               COM        009728106   21,332 1,352,721 SH  N/A  Other     N/A    1,286,391         66,330
Alcatel Lucent Spons ADR             SPONSORED ADR   013904305      489   300,000 SH  N/A  Defined   N/A      300,000
Alcatel Lucent Spons ADR             SPONSORED ADR   013904305    3,839 2,355,424 SH  N/A  Other     N/A    2,171,184        184,240
Align Technology Inc.                     COM        016255101      522    15,602 SH  N/A  Other     N/A       15,602
Amarin Corp. PLC ADS                 SPONS ADR NEW   023111206    1,012    70,000 SH  N/A  Defined   N/A       70,000
Amarin Corp. PLC ADS                 SPONS ADR NEW   023111206   12,971   897,040 SH  N/A  Other     N/A      851,920         45,120
American Express Company                  COM        025816109      957    16,432 SH  N/A  Other     N/A       14,127          2,305
Angiodynamics, Inc.                       COM        03475V101    2,229   185,554 SH  N/A  Other     N/A      162,371         23,183
Apache Corp.                              COM        037411105      749     8,520 SH  N/A  Other     N/A        7,345          1,175
Array Biopharma Inc.                      COM        04269X105    2,707   780,000 SH  N/A  Defined   N/A      780,000
Array Biopharma Inc.                      COM        04269X105    7,120 2,051,987 SH  N/A  Other     N/A    1,893,952        158,035
AtriCure Inc.                             COM        04963C209      286    29,755 SH  N/A  Other     N/A       29,755
BlackRock Inc.                            COM        09247X101      807     4,750 SH  N/A  Other     N/A        4,125            625
Calavo Growers Inc.                       COM        128246105    2,256    88,175 SH  N/A  Other     N/A       75,825         12,350
Callidus Software Inc.                    COM        13123E500      495    99,415 SH  N/A  Other     N/A       99,415
Cardiome Pharma Corp.                   COM NEW      14159U202       51   112,500 SH  N/A  Defined   N/A      112,500
Cardiome Pharma Corp.                   COM NEW      14159U202      321   714,155 SH  N/A  Other     N/A      669,865         44,290
Cepheid Inc.                              COM        15670R107      485    10,855 SH  N/A  Other     N/A       10,780             75
Constant Contact, Inc.                    COM        210313102    1,293    72,412 SH  N/A  Other     N/A       64,512          7,900
Covidien PLC Ordinary Shares              SHS        G2554F113      393     7,345 SH  N/A  Other     N/A        7,345
Cummins Inc.                              COM        231021106      776     8,010 SH  N/A  Other     N/A        6,925          1,085
Datalink Corp.                            COM        237934104    4,411   461,855 SH  N/A  Other     N/A      419,215         42,640
Dynavax Technologies Corp.                COM        268158102    1,519   351,620 SH  N/A  Other     N/A      327,006         24,614
Eastman Chemical Co.                      COM        277432100      770    15,290 SH  N/A  Other     N/A       13,135          2,155
Emcore Corp.                            COM NEW      290846203    5,917 1,338,750 SH  N/A  Defined   N/A    1,338,750
Emcore Corp.                            COM NEW      290846203    4,443 1,005,236 SH  N/A  Other     N/A    1,002,980          2,256
Exxon Mobil Corporation                   COM        30231G102      924    10,804 SH  N/A  Other     N/A        9,320          1,484
Finisar Corp.                           COM NEW      31787A507    6,218   415,625 SH  N/A  Defined   N/A      415,625
Finisar Corp.                           COM NEW      31787A507   10,157   678,929 SH  N/A  Other     N/A      651,576         27,353
Fluidigm Corp.                            COM        34385P108      325    21,620 SH  N/A  Other     N/A       21,620
Gentherm Inc.                             COM        03070L300    2,453   213,492 SH  N/A  Other     N/A      184,477         29,015
Heckmann Corp.                            COM        422680108      601   177,755 SH  N/A  Other     N/A      157,820         19,935
International Business Machines Corp.     COM        459200101      939     4,804 SH  N/A  Other     N/A        4,104            700
Iris International Inc.                   COM        46270W105      904    80,000 SH  N/A  Defined   N/A       80,000
Iris International Inc.                   COM        46270W105    7,657   677,651 SH  N/A  Other     N/A      618,121         59,530
JDS Uniphase Corp.                    COM PAR $0.001 46612J507      110    10,000 SH  N/A  Defined   N/A       10,000
JDS Uniphase Corp.                    COM PAR $0.001 46612J507    2,503   227,541 SH  N/A  Other     N/A      220,351          7,190
Johnson & Johnson                         COM        478160104      780    11,543 SH  N/A  Other     N/A       10,073          1,470
Johnson Controls Inc.                     COM        478366107      721    26,007 SH  N/A  Other     N/A       22,552          3,455
Life Technologies Corp.                   COM        53217V109      276     6,135 SH  N/A  Other     N/A        6,135
Ligand Pharmaceuticals Inc.             COM NEW      53220K504      514    30,365 SH  N/A  Other     N/A       30,365
Marriott International Inc.              CL A        571903202      951    24,248 SH  N/A  Other     N/A       20,859          3,389
Masimo Corporation                        COM        574795100      315    14,055 SH  N/A  Other     N/A       14,055
Medtox Scientific Inc.                  COM NEW      584977201    9,071   336,458 SH  N/A  Other     N/A      301,693         34,765
Mindspeed Technologies, Inc.            COM NEW      602682205    1,599   650,000 SH  N/A  Defined   N/A      650,000
Mindspeed Technologies, Inc.            COM NEW      602682205    4,130 1,679,055 SH  N/A  Other     N/A    1,595,150         83,905
National Oilwell Varco Inc.               COM        637071101      783    12,150 SH  N/A  Other     N/A       10,495          1,655
Neogen Corp.                              COM        640491106      392     8,480 SH  N/A  Other     N/A        8,480
Network Equipment Technologies, Inc.      COM        641208103    2,286 1,744,800 SH  N/A  Defined   N/A    1,744,800
Network Equipment Technologies, Inc.      COM        641208103    1,409 1,075,576 SH  N/A  Other     N/A      996,271         79,305
Northern Oil & Gas Inc.                   COM        665531109      862    54,091 SH  N/A  Other     N/A       48,121          5,970
Nuvasive Inc.                             COM        670704105      757    29,864 SH  N/A  Other     N/A       25,639          4,225
Oclaro, Inc.                            COM NEW      67555N206    4,727 1,555,000 SH  N/A  Defined   N/A    1,555,000
Oclaro, Inc.                            COM NEW      67555N206    6,893 2,267,300 SH  N/A  Other     N/A    2,222,520         44,780
Omnicell Inc.                             COM        68213N109      673    45,960 SH  N/A  Other     N/A       45,960
Oplink Communications, Inc.             COM NEW      68375Q403    2,261   167,145 SH  N/A  Defined   N/A      167,145
Oplink Communications, Inc.             COM NEW      68375Q403    3,571   263,921 SH  N/A  Other     N/A      256,736          7,185
OraSure Technologies Inc.                 COM        68554V108      269    23,905 SH  N/A  Other     N/A       23,905
Pepsico Inc.                              COM        713448108      776    10,978 SH  N/A  Other     N/A        9,443          1,535
PLX Technology, Inc.                      COM        693417107    2,938   462,654 SH  N/A  Other     N/A      404,849         57,805
PMC-Sierra Inc.                           COM        69344F106      123    20,000 SH  N/A  Other     N/A       20,000
The Procter & Gamble Company              COM        742718109      660    10,778 SH  N/A  Other     N/A        9,418          1,360
Quidel Corp.                              COM        74838J101    2,164   138,001 SH  N/A  Other     N/A      125,306         12,695
Regeneron Pharmaceuticals, Inc.           COM        75886F107    1,283    11,232 SH  N/A  Other     N/A        9,895          1,337
Rochester Medical Corp.                   COM        771497104      527    48,935 SH  N/A  Other     N/A       48,935
RTI Biologics, Inc.                       COM        74975N105    1,128   300,000 SH  N/A  Defined   N/A      300,000
RTI Biologics, Inc.                       COM        74975N105   11,604 3,086,258 SH  N/A  Other     N/A    2,873,385        212,873
Saba Software                           COM NEW      784932600    1,171   126,165 SH  N/A  Other     N/A      109,825         16,340
Sangamo Biosciences, Inc.                 COM        800677106      497    90,000 SH  N/A  Defined   N/A       90,000
Sangamo Biosciences, Inc.                 COM        800677106      898   162,700 SH  N/A  Other     N/A      162,700
Skyworks Solutions                        COM        83088M102    1,554    56,879 SH  N/A  Other     N/A       51,089          5,790
Solta Medical Inc.                        COM        83438K103       79    26,980 SH  N/A  Other     N/A       26,980
Southern Company                          COM        842587107      961    20,752 SH  N/A  Other     N/A       17,887          2,865
Southwest Airlines Co.                    COM        844741108      792    85,911 SH  N/A  Other     N/A       74,236         11,675
SPDR Trust Ser 1                        TR UNIT      78462F103      681     5,000 SH  N/A  Other     N/A        5,000
Spectranetics Corp.                       COM        84760C107      948    82,995 SH  N/A  Other     N/A       82,995
Staar Surgical Co.                   COM PAR $0.01   852312305    2,234   287,544 SH  N/A  Other     N/A      266,729         20,815
Staples Inc                               COM        855030102      560    42,930 SH  N/A  Other     N/A       37,275          5,655
Streamline Health Solutions Inc.          COM        86323X106      426   115,255 SH  N/A  Other     N/A      115,255
SunOpta, Inc.                             COM        8676EP108    6,624 1,180,833 SH  N/A  Other     N/A    1,098,713         82,120
Superconductor Technologies, Inc.       COM NEW      867931305    2,857 4,534,400 SH  N/A  Defined   N/A    4,534,400
Superconductor Technologies, Inc.       COM NEW      867931305    1,720 2,730,769 SH  N/A  Other     N/A    2,728,169          2,600
Synergetics USA, Inc.                     COM        87160G107      223    50,000 SH  N/A  Defined   N/A       50,000
Synergetics USA, Inc.                     COM        87160G107    6,252 1,401,770 SH  N/A  Other     N/A    1,277,540        124,230
TearLab Corp.                             COM        878193101    1,309   407,740 SH  N/A  Other     N/A      407,740
Thoratec Corp.                          COM NEW      885175307    1,365    40,648 SH  N/A  Other     N/A       37,253          3,395
Titan Machinery Inc.                      COM        88830R101    2,536    83,507 SH  N/A  Other     N/A       71,992         11,515
Triquint Semiconductor Inc.               COM        89674K103    1,856   337,470 SH  N/A  Other     N/A      293,138         44,332
Unilife Corp.                             COM        90478E103      244    72,150 SH  N/A  Other     N/A       72,150
Uroplasty Inc.                          COM NEW      917277204      533   116,108 SH  N/A  Other     N/A      116,108
Vanguard Total Stock                 TOTAL STK MKT   922908769      216     3,100 SH  N/A  Other     N/A        3,100
Verizon Communications, Inc.              COM        92343V104      973    21,891 SH  N/A  Other     N/A       18,976          2,915
Vitesse Semiconductor Corporation       COM NEW      928497304    2,603   982,300 SH  N/A  Defined   N/A      982,300
Vitesse Semiconductor Corporation       COM NEW      928497304    4,098 1,546,518 SH  N/A  Other     N/A    1,544,818          1,700
Vivus Inc.                                COM        928551100      478    16,760 SH  N/A  Other     N/A       16,760
Volcano Corporation                       COM        928645100      260     9,068 SH  N/A  Other     N/A        9,068
Wells Fargo & Co.                         COM        949746101      912    27,278 SH  N/A  Other     N/A       23,703          3,575
Westport Innovations Inc.               COM NEW      960908309      931    25,335 SH  N/A  Other     N/A       21,280          4,055
REPORT SUMMARY                            104                   234,191