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