Kopp Investment Advisors

Kopp Investment Advisors as of Dec. 31, 2012

Portfolio Holdings for Kopp Investment Advisors

Kopp Investment Advisors holds 0 positions in its portfolio as reported in the December 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      814     8,771 SH  N/A  Other     N/A      7,716        1,055
Accelrys, Inc.                            COM          00430U103    1,316   145,435 SH  N/A  Other     N/A    145,435
Adept Technologies Inc.                 COM NEW        006854202      759   291,900 SH  N/A  Defined   N/A    291,900
Adept Technologies Inc.                 COM NEW        006854202      226    86,800 SH  N/A  Other     N/A     86,800
Aflac Incorporated                        COM          001055102      873    16,441 SH  N/A  Other     N/A     14,261        2,180
Akorn, Inc.                               COM          009728106    3,206   240,000 SH  N/A  Defined   N/A    240,000
Akorn, Inc.                               COM          009728106   13,678 1,023,770 SH  N/A  Other     N/A    978,455       45,315
Alcatel Lucent Spons ADR             SPONSORED ADR     013904305    3,491 2,511,584 SH  N/A  Other     N/A  2,229,259      282,325
Align Technology Inc.                     COM          016255101      341    12,276 SH  N/A  Other     N/A     12,276
Alkermes PLC                              SHS          G01767105      608    32,820 SH  N/A  Other     N/A     32,820
Amarin Corp. PLC ADS                 SPONSORED ADR NEW 023111206    1,084   134,000 SH  N/A  Defined   N/A    134,000
Amarin Corp. PLC ADS                 SPONSORED ADR NEW 023111206    4,360   538,959 SH  N/A  Other     N/A    522,734       16,225
American Express Company                  COM          025816109      863    15,017 SH  N/A  Other     N/A     12,857        2,160
Angiodynamics, Inc.                       COM          03475V101    2,011   182,954 SH  N/A  Other     N/A    160,101       22,853
Apache Corp.                              COM          037411105      586     7,470 SH  N/A  Other     N/A      6,325        1,145
Array Biopharma Inc.                      COM          04269X105    3,765 1,012,000 SH  N/A  Defined   N/A  1,012,000
Array Biopharma Inc.                      COM          04269X105    8,175 2,197,509 SH  N/A  Other     N/A  2,085,319      112,190
AtriCure Inc.                             COM          04963C209      630    91,265 SH  N/A  Other     N/A     91,265
Autozone Inc.                             COM          053332102      753     2,125 SH  N/A  Other     N/A      1,830          295
BlackRock Inc.                            COM          09247X101      939     4,545 SH  N/A  Other     N/A      3,940          605
Cardiome Pharma Corp.                   COM NEW        14159U202       33    86,400 SH  N/A  Other     N/A     86,400
Cepheid Inc.                              COM          15670R107    1,098    32,415 SH  N/A  Other     N/A     32,415
Constant Contact, Inc.                    COM          210313102    1,879   132,196 SH  N/A  Other     N/A    120,896       11,300
Covidien PLC Ordinary Shares              SHS          G2554F113      498     8,630 SH  N/A  Other     N/A      8,630
Cummins Inc.                              COM          231021106      834     7,700 SH  N/A  Other     N/A      6,635        1,065
Datalink Corp.                            COM          237934104    3,722   435,285 SH  N/A  Other     N/A    394,575       40,710
Eastman Chemical Co.                      COM          277432100      984    14,455 SH  N/A  Other     N/A     12,365        2,090
Emcore Corp.                            COM NEW        290846203    5,757 1,338,750 SH  N/A  Defined   N/A  1,338,750
Emcore Corp.                            COM NEW        290846203    5,248 1,220,400 SH  N/A  Other     N/A  1,215,264        5,136
Exxon Mobil Corporation                   COM          30231G102      868    10,034 SH  N/A  Other     N/A      8,605        1,429
Finisar Corp.                           COM NEW        31787A507    6,771   415,625 SH  N/A  Defined   N/A    415,625
Finisar Corp.                           COM NEW        31787A507   12,012   737,405 SH  N/A  Other     N/A    703,237       34,168
Fluidigm Corp.                            COM          34385P108      384    26,840 SH  N/A  Other     N/A     26,840
GenMark Diagnostics, Inc.                 COM          372309104      666    74,045 SH  N/A  Other     N/A     74,045
Gentherm Inc.                             COM          37253A103    2,269   170,605 SH  N/A  Other     N/A    148,580       22,025
Integrated Device Technology Inc.         COM          458118106    3,290   450,735 SH  N/A  Other     N/A    390,560       60,175
International Business Machines Corp.     COM          459200101      819     4,274 SH  N/A  Other     N/A      3,654          620
iShares Russell 2000 Growth          RUSL 2000 GROW    464287648      394     4,135 SH  N/A  Other     N/A      4,135
JDS Uniphase Corp.                   COM PAR $0.001    46612J507    1,350   100,000 SH  N/A  Defined   N/A    100,000
JDS Uniphase Corp.                   COM PAR $0.001    46612J507    4,277   316,796 SH  N/A  Other     N/A    307,971        8,825
Johnson & Johnson                         COM          478160104      767    10,943 SH  N/A  Other     N/A      9,538        1,405
Life Technologies Corp.                   COM          53217V109      371     7,574 SH  N/A  Other     N/A      7,574
Ligand Pharmaceuticals Inc.             COM NEW        53220K504      783    37,765 SH  N/A  Other     N/A     37,765
Marriott International Inc.              CL A          571903202      821    22,015 SH  N/A  Other     N/A     18,881        3,134
Masimo Corporation                        COM          574795100      604    28,752 SH  N/A  Other     N/A     28,752
Mindspeed Technologies, Inc.            COM NEW        602682205    3,182   680,000 SH  N/A  Defined   N/A    680,000
Mindspeed Technologies, Inc.            COM NEW        602682205    8,733 1,866,120 SH  N/A  Other     N/A  1,762,730      103,390
National Oilwell Varco Inc.               COM          637071101      766    11,200 SH  N/A  Other     N/A      9,645        1,555
Neogen Corp.                              COM          640491106      474    10,450 SH  N/A  Other     N/A     10,450
NeoGenomics Inc.                        COM NEW        64049M209      460   185,480 SH  N/A  Other     N/A    185,480
Northern Oil & Gas Inc.                   COM          665531109      662    39,341 SH  N/A  Other     N/A     36,511        2,830
Novadaq Technologies Inc.                 COM          66987G102      279    31,425 SH  N/A  Other     N/A     31,425
Nuvasive Inc.                             COM          670704105      388    25,074 SH  N/A  Other     N/A     21,764        3,310
Oclaro, Inc.                            COM NEW        67555N206    4,485 2,857,000 SH  N/A  Defined   N/A  2,857,000
Oclaro, Inc.                            COM NEW        67555N206    5,742 3,657,308 SH  N/A  Other     N/A  3,617,013       40,295
Omnicell Inc.                             COM          68213N109    4,991   335,642 SH  N/A  Other     N/A    310,167       25,475
Oplink Communications, Inc.             COM NEW        68375Q403    1,480    95,000 SH  N/A  Defined   N/A     95,000
Oplink Communications, Inc.             COM NEW        68375Q403    3,169   203,417 SH  N/A  Other     N/A    201,242        2,175
OraSure Technologies Inc.                 COM          68554V108      217    30,220 SH  N/A  Other     N/A     30,220
Orexigen Therapeutics Inc.                COM          686164104      725   138,005 SH  N/A  Other     N/A    138,005
Pepsico Inc.                              COM          713448108      715    10,443 SH  N/A  Other     N/A      8,978        1,465
PMC-Sierra Inc.                           COM          69344F106      104    20,000 SH  N/A  Other     N/A     20,000
The Procter & Gamble Company              COM          742718109      698    10,283 SH  N/A  Other     N/A      9,003        1,280
Quidel Corp.                              COM          74838J101    4,395   235,384 SH  N/A  Other     N/A    220,604       14,780
Regeneron Pharmaceuticals, Inc.           COM          75886F107    1,609     9,405 SH  N/A  Other     N/A      8,340        1,065
Rochester Medical Corp.                   COM          771497104      977    96,915 SH  N/A  Other     N/A     96,915
RTI Biologics, Inc.                       COM          74975N105    1,623   380,000 SH  N/A  Defined   N/A    380,000
RTI Biologics, Inc.                       COM          74975N105   13,548 3,172,774 SH  N/A  Other     N/A  2,994,249      178,525
Ruckus Wireless Inc.                      COM          781220108    1,511    67,053 SH  N/A  Other     N/A     59,373        7,680
Saba Software                           COM NEW        784932600    3,249   371,690 SH  N/A  Other     N/A    330,975       40,715
Sangamo Biosciences, Inc.                 COM          800677106      541    90,000 SH  N/A  Defined   N/A     90,000
Sangamo Biosciences, Inc.                 COM          800677106    1,218   202,700 SH  N/A  Other     N/A    202,700
Skyworks Solutions                        COM          83088M102    2,641   130,074 SH  N/A  Other     N/A    113,679       16,395
Solta Medical Inc.                        COM          83438K103       74    27,795 SH  N/A  Other     N/A     27,795
Southern Company                          COM          842587107      822    19,212 SH  N/A  Other     N/A     16,557        2,655
Southwest Airlines Co.                    COM          844741108      837    81,696 SH  N/A  Other     N/A     70,036       11,660
SPDR Trust Ser 1                        TR UNIT        78462F103      830     5,825 SH  N/A  Other     N/A      5,825
Spectranetics Corp.                       COM          84760C107    2,944   199,308 SH  N/A  Other     N/A    189,008       10,300
Staar Surgical Co.                   COM PAR $0.01     852312305       24     4,000 SH  N/A  Defined   N/A      4,000
Staar Surgical Co.                   COM PAR $0.01     852312305    1,683   275,844 SH  N/A  Other     N/A    260,929       14,915
Streamline Health Solutions, Inc.         COM          86323X106      935   164,320 SH  N/A  Other     N/A    164,320
SunOpta, Inc.                             COM          8676EP108    7,267 1,290,758 SH  N/A  Other     N/A  1,209,253       81,505
Superconductor Technologies, Inc.       COM NEW        867931305    1,743 5,867,733 SH  N/A  Defined   N/A    5,867,733
Superconductor Technologies, Inc.       COM NEW        867931305      865 2,911,202 SH  N/A  Other     N/A    2,908,602      2,600
Synergetics USA, Inc.                     COM          87160G107      192    40,000 SH  N/A  Defined   N/A       40,000
Synergetics USA, Inc.                     COM          87160G107    6,715 1,398,868 SH  N/A  Other     N/A    1,289,903    108,965
TearLab Corp.                             COM          878193101    5,549 1,353,443 SH  N/A  Other     N/A    1,250,188    103,255
Thoratec Corp.                          COM NEW        885175307    1,397    37,238 SH  N/A  Other     N/A       34,513      2,725
Triquint Semiconductor Inc.               COM          89674K103      892   184,605 SH  N/A  Other     N/A      173,279     11,326
Uroplasty Inc.                          COM NEW        917277204      676   207,942 SH  N/A  Other     N/A      207,942
V F Corporation                           COM          918204108      713     4,725 SH  N/A  Other     N/A        4,030        695
Vanguard Total Stock                 TOTAL STK MKT     922908769      227     3,100 SH  N/A  Other     N/A        3,100
Verizon Communications, Inc.              COM          92343V104      845    19,521 SH  N/A  Other     N/A       16,761      2,760
Vitesse Semiconductor Corporation       COM NEW        928497304    2,211   991,300 SH  N/A  Defined   N/A      991,300
Vitesse Semiconductor Corporation       COM NEW        928497304    3,502 1,570,188 SH  N/A  Other     N/A    1,569,388        800
Vivus Inc.                                COM          928551100    2,208   164,526 SH  N/A  Other     N/A      148,126     16,400
Volcano Corporation                       COM          928645100      275    11,632 SH  N/A  Other     N/A       11,632
Wells Fargo & Co.                         COM          949746101      863    25,243 SH  N/A  Other     N/A       21,853      3,390
REPORT SUMMARY                            98                      217,848