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Historical All Holdings
 
  Holdings as of 3/31/2010 (in alphabetical order)
  Company Name   Symbol   # of Shares   Market Value ($)  
 
  Aaron Rents, Inc.   RNT   1,103,375   36,786,522  
  Affiliated Managers Group, Inc.   AMG   749,400   59,202,600  
  AGCO Corp.   AG   446,100   16,001,607  
  Airgas, Inc.   ARG   957,525   60,917,740  
  Akamai Technologies, Inc.   AKAM   922,200   28,966,302  
  Amedisys, Inc.   AMED   868,400   47,953,048  
  American Superconductor Corp.   AMSC   872,210   25,206,869  
  American Tower Corp.   AMT   1,375,950   58,629,229  
  Annaly Capital Management, Inc.   NLY   2,743,500   47,133,330  
  Arena Resources, Inc.   ARD   964,625   32,218,475  
  Arm Hldgs Plc   ARMHY   3,324,224   35,535,954  
  Atlas Energy Inc   ATLS   1,759,100   54,743,192  
  Atwood Oceanics, Inc.   ATW   40,800   1,412,904  
  Axis Capital Holdings Limited   AXS   1,490,000   46,577,400  
 
  BioMarin Pharmaceutical, Inc.   BMRN   2,706,525   63,251,489  
  BorgWarner, Inc.   BWA   1,828,800   69,823,584  
 
  CarMax, Inc.   KMX   290,300   7,292,336  
  Catalyst Health Solutions, Inc.   CHSI   1,020,600   42,232,428  
  Central European Distribution Corp.   CEDC   1,458,300   51,055,083  
  Check Point Software Technologies, Ltd.   CHKP   1,507,575   52,855,579  
  Chipotle Mexican Grill, Inc.   CMG   504,500   56,842,015  
  Church & Dwight Co., Inc.   CHD   798,075   53,431,121  
  Cognizant Technology Solutions Corporation   CTSH   1,785,160   91,007,456  
  Compass Minerals International, Inc.   CMP   567,635   45,541,356  
  Core Laboratories N.V.   CLB   477,725   62,486,430  
  Corporate Office Properties Trust   OFC   951,200   38,171,656  
  Corrections Corporation of America   CXW   287,500   5,709,750  
  Coventry Health Care, Inc.   CVH   399,167   9,867,408  
  Cree, Inc.   CREE   1,059,250   74,380,535  
  Crown Holdings Inc   CCK   2,387,350   64,362,956  
 
  DaVita, Inc.   DVA   779,850   49,442,490  
  Denbury Resources, Inc.   DNR   2,682,200   45,248,714  
  DeVry, Inc.   DV   680,900   44,394,680  
  Digital Realty Trust, Inc.   DLR   1,202,725   65,187,695  
  Discovery Communications, Inc. (A Shares)   DISAD   605,137   20,447,579  
  Discovery Communications, Inc. (C Shares)   DISCK   960,387   28,244,981  
 
  Eaton Corporation   ETN   376,600   28,534,982  
  Eaton Vance Corp.   EV   1,301,150   43,640,571  
  Elbit Systems Ltd   ESLT   166,176   10,636,925  
  EQT Corp   EQT   1,384,440   56,762,040  
  Essex Property Trust, Inc.   ESS   437,650   39,366,617  
 
  FactSet Research Systems, Inc.   FDS   524,200   38,460,554  
  Fifth Third Bancorp   FITB   3,674,000   49,929,660  
  FirstMerit Corp.   FMER   2,463,000   53,126,910  
  Fiserv, Inc.   FISV   923,075   46,855,287  
  Flowers Foods, Inc.   FLO   176,300   4,361,662  
  Flowserve Corp.   FLS   585,900   64,607,193  
 
  GameStop Corp.   GME   2,483,845   54,421,043  
  Genuine Parts Company   GPC   1,082,600   45,729,024  
  Guess?, Inc.   GES   691,300   32,477,274  
 
  Haemonetics Corporation   HAE   747,550   42,722,482  
  Humana, Inc.   HUM   28,525   1,334,114  
 
  IHS, Inc.   IHS   1,100,150   58,825,020  
  Intuitive Surgical, Inc.   ISRG   82,000   28,546,660  
  ITC Holdings Corp.   ITC   854,000   46,970,000  
  Itron, Inc.   ITRI   597,431   43,355,567  
  ITT Industries, Inc.   ITT   750,600   40,239,666  
 
  J.M. Smucker Co. (The)   SJM   717,000   43,206,420  
 
  Kansas City Southern   KSU   671,825   24,299,910  
 
  L-3 Communications Holdings, Inc.   LLL   370,880   33,983,734  
  Laboratory Corporation of America Holdings   LH   572,415   43,337,539  
  Lazard Ltd -Cl A   LAZ   46,470   1,658,979  
  Liberty Media-Starz   LSTZA   755,800   41,327,144  
  Lincoln National Corporation   LNC   1,906,800   58,538,760  
  LKQ Corp.   LKQX   3,883,400   78,833,020  
 
  Masimo Corp.   MASI   787,900   20,918,745  
  McAfee, Inc.   MFE   926,275   37,171,415  
  Microchip Technology Incorporated   MCHP   1,668,500   46,984,960  
  MICROS Systems, Inc.   MCRS   1,342,400   44,138,112  
  MSCI Inc.   MXB   1,530,500   55,251,050  
 
  New Oriental Education & Technology Group, Inc.   EDU   478,200   40,890,882  
  NII Holdings, Inc.   NIHD   1,008,050   41,995,363  
  Northeast Utilities   NU   2,240,700   61,932,948  
  NorthWestern Corp.   NWEC   1,994,925   53,483,939  
 
  O'Reilly Automotive, Inc.   ORLY   1,088,450   45,399,249  
  Oil States International, Inc.   OIS   635,518   28,814,386  
 
  Portland General Corp.   1718Q   1,816,375   35,074,201  
  Precision Castparts Corp.   PCP   218,800   27,724,148  
  ProAssurance Corporation   PRA   993,200   58,141,928  
 
  Regal Entertainment Group-A   RGC   2,294,796   40,319,565  
  ResMed, Inc.   RMD   1,045,400   66,539,710  
 
  Signature Bank   SBNY   1,175,875   43,566,168  
  Solera Holdings, Inc.   SLH   1,405,475   54,321,608  
  Southwestern Energy Company   SWN   1,040,385   42,364,477  
  SPDR S&P MidCap 400 ETF Trust   MDY   377,560   54,051,489  
  Stericycle, Inc.   SRCL   917,525   50,005,112  
  Sybase, Inc.   SY   1,228,450   57,270,339  
 
  TD AMERITRADE Holding Corporation   AMTD   2,997,725   57,136,638  
  Teradata Corp.   TDC   1,041,900   30,100,491  
  The Shaw Group Inc.   SGR   1,399,632   48,175,333  
  Tupperware Brands Corporation   TUP   995,475   48,001,804  
 
  URS Corp.   URS   661,525   32,818,255  
 
  Valmont Industries, Inc.   VMI   451,350   37,385,320  
  Valspar Corp.   VAL   1,527,900   45,042,492  
  VF Corp.   VFC   262,800   21,063,420  
 
  West Pharmaceutical Services, Inc.   WST   996,825   41,816,808  
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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.

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