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Historical All Holdings
 
  Holdings as of 3/31/2012 (in alphabetical order)
  Company Name   Symbol   # of Shares   Market Value ($)  
 
  Affiliated Managers Group, Inc.   AMG   771,900   86,306,139  
  AGCO Corp.   AG   820,400   38,731,084  
  Airgas, Inc.   ARG   911,325   81,080,585  
  Atwood Oceanics, Inc.   ATW   1,003,300   45,038,137  
 
  BioMarin Pharmaceutical, Inc.   BMRN   1,411,225   48,334,456  
  BorgWarner, Inc.   BWA   733,500   61,863,390  
 
  Catalyst Health Solutions, Inc.   CHSI   832,500   53,055,225  
  Cerner Corp.   CERN   625,900   47,668,544  
  Check Point Software Technologies, Ltd.   CHKP   880,075   56,183,988  
  Church & Dwight Co., Inc.   CHD   1,320,150   64,938,178  
  Cinemark Holdings Inc.   CNK   3,334,900   73,201,055  
  Cognizant Technology Solutions Corporation   CTSH   1,112,010   85,569,169  
  Core Laboratories N.V.   CLB   424,450   55,844,886  
  Crown Holdings Inc   CCK   1,896,350   69,842,570  
 
  DaVita, Inc.   DVA   706,650   63,718,630  
  Denbury Resources, Inc.   DNR   2,522,700   45,988,821  
  Dentsply International Inc.   XRAY   1,497,200   60,082,636  
  Digital Realty Trust, Inc.   DLR   770,025   56,958,749  
  Discovery Communications, Inc. (A Shares)   DISAD   410,624   20,777,574  
 
  Ecolab Inc.   ECL   1,161,300   71,675,436  
  Essex Property Trust, Inc.   ESS   285,450   43,248,529  
  Expeditors International of Washington, Inc.   EXPD   722,700   33,612,777  
  Ezcorp Inc. NV   EZPW   1,619,500   52,560,872  
 
  Family Dollar Stores, Inc.   FDO   1,050,800   66,494,624  
  Fifth Third Bancorp   FITB   4,266,000   59,937,300  
  First Niagara Financial Group, Inc.   FNFG   3,876,600   38,145,744  
  Fiserv, Inc.   FISV   664,875   46,135,676  
  Fossil, Inc.   FOSL   477,300   62,994,054  
 
  Green Mountain Coffee Roasters, Inc.   GMCR   777,300   36,408,732  
 
  Health Management Associates, Inc.   HMA   6,300,800   42,341,376  
  Healthsouth Corp   HLS   802,300   16,431,104  
  Herbalife, Ltd.   HLF   1,260,000   86,713,200  
 
  IHS, Inc.   IHS   569,450   53,328,992  
  Intuitive Surgical, Inc.   ISRG   94,800   51,357,900  
  Investco, Ltd.   IVZ   3,019,100   80,519,397  
  Iron Moutain, Inc. PA   IRM   1,521,200   43,810,560  
  ITC Holdings Corp.   ITC   821,100   63,175,434  
 
  Joy Global, Inc.   JOYG   603,502   44,357,397  
 
  Kansas City Southern   KSU   1,116,025   80,007,832  
 
  Liberty Media Corp - Liberty Capital Ser A   LCAPA   1,115,711   98,349,924  
  Limited Brands, Inc.   LTD   1,309,100   62,836,800  
  Lincoln National Corporation   LNC   2,671,000   70,407,560  
  LKQ Corp.   LKQX   2,693,600   83,959,512  
  LyondellBasell Industries NV   LYB.NA   1,336,700   58,346,955  
 
  Macerich Co.   MAC   1,861,900   107,524,725  
  Marriott International, Inc.   MAR   1,827,500   69,170,875  
  Marriott Vacations Worldwide Corp.   VAC   179,770   5,125,242  
  Mettler Toledo Intl Inc   MTD   303,000   55,979,250  
  Microchip Technology Incorporated   MCHP   1,478,100   54,985,320  
  MICROS Systems, Inc.   MCRS   1,212,000   67,011,480  
  Monster Beverage Corp.   MNST   1,040,100   64,579,809  
  MSCI Inc.   MXB   1,518,100   55,881,261  
 
  NiSource Inc.   NI   3,359,400   81,801,390  
  Northeast Utilities   NU   1,650,850   61,279,552  
  Northern Oil and Gas Inc   NOG   1,908,800   39,588,512  
  NorthWestern Corp.   NWEC   1,264,612   44,843,141  
 
  Oil States International, Inc.   OIS   735,500   57,413,130  
 
  Peabody Energy Corp.   BTU   1,237,000   35,823,520  
  Precision Castparts Corp.   PCP   220,200   38,072,580  
 
  Red Hat, Inc.   RHAT   1,183,000   70,849,870  
  Reinsurance Group of America, Inc.   RGA   1,075,600   63,965,932  
  RenaissanceRe Holdings Ltd.   RNR   678,400   51,375,232  
 
  Sally Beauty Holdings, Inc.   SBH   2,661,400   66,002,720  
  SBA Communications Corp   SBAC   1,451,800   73,765,958  
  Signature Bank   SBNY   905,575   57,087,448  
  Sirona Dental Systems Inc.   SIRO   1,139,200   58,714,368  
  Skyworks Solutions, Inc.   SWKS   3,047,700   84,268,905  
  Solera Holdings, Inc.   SLH   1,242,525   57,019,472  
  Southwestern Energy Company   SWN   918,885   28,117,881  
  SPDR S&P MidCap 400 ETF Trust   MDY   96,400   17,416,588  
  Stanley Black & Decker Inc.   SWK   878,200   67,586,272  
  Stericycle, Inc.   SRCL   629,075   52,615,833  
 
  Teradata Corp.   TDC   1,014,200   69,117,730  
  Terex Corp.   TEX   2,006,200   45,139,500  
  The Cooper Companies, Inc.   COO   671,700   54,884,607  
  TreeHouse Foods, Inc.   THS   646,500   38,466,750  
  Tupperware Brands Corporation   TUP   1,114,625   70,778,687  
 
  WABCO Holdings Inc.   WBC   1,016,900   61,502,112  
 
  Xerox Corp.   XRX   5,535,900   44,730,072  
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Portfolio holdings will change, should not be considered purchase recommendations and do not reflect cash, money markets or options/futures contracts holdings.

An investor should consider the Fund's investment objectives, risks, and charges and expenses carefully before sending money. This and other important information about the investment company can be found in the Fund's prospectus. To obtain a prospectus, please click here. Please read the prospectus carefully before investing.



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