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Historical All Holdings
 
  Holdings as of 12/31/2011 (in alphabetical order)
  Company Name   Symbol   # of Shares   Market Value ($)  
 
  Affiliated Managers Group, Inc.   AMG   745,400   71,521,130  
  AGCO Corp.   AG   793,200   34,083,804  
  Airgas, Inc.   ARG   881,325   68,813,856  
  Annaly Capital Management, Inc.   NLY   2,360,100   37,667,196  
  Atwood Oceanics, Inc.   ATW   967,000   38,476,930  
 
  BioMarin Pharmaceutical, Inc.   BMRN   1,379,025   47,410,879  
  BorgWarner, Inc.   BWA   708,600   45,166,164  
 
  Catalyst Health Solutions, Inc.   CHSI   885,400   46,040,800  
  Cerner Corp.   CERN   608,700   37,282,875  
  Check Point Software Technologies, Ltd.   CHKP   852,275   44,778,528  
  Church & Dwight Co., Inc.   CHD   1,413,850   64,697,776  
  Cinemark Holdings Inc.   CNK   2,728,600   50,451,814  
  Cognizant Technology Solutions Corporation   CTSH   1,073,210   69,018,135  
  Complete Production Services, Inc.   CPX   1,267,300   42,530,588  
  Core Laboratories N.V.   CLB   408,850   46,588,457  
  Crown Holdings Inc   CCK   1,832,250   61,526,955  
 
  DaVita, Inc.   DVA   686,250   52,024,612  
  Denbury Resources, Inc.   DNR   2,410,000   36,391,000  
  Dentsply International Inc.   XRAY   1,447,600   50,651,524  
  Digital Realty Trust, Inc.   DLR   1,005,425   67,031,684  
 
  Ecolab Inc.   ECL   1,121,800   64,851,258  
  EQT Corp   EQT   690,140   37,812,770  
  Essex Property Trust, Inc.   ESS   389,150   54,679,466  
  Expeditors International of Washington, Inc.   EXPD   699,500   28,651,520  
  Ezcorp Inc. NV   EZPW   1,570,800   41,421,996  
 
  FactSet Research Systems, Inc.   FDS   182,800   15,954,784  
  Family Dollar Stores, Inc.   FDO   1,013,200   58,421,112  
  Fifth Third Bancorp   FITB   4,111,500   52,298,280  
  First Niagara Financial Group, Inc.   FNFG   3,654,700   31,540,061  
  Fiserv, Inc.   FISV   644,775   37,874,083  
  Fossil, Inc.   FOSL   561,500   44,560,640  
 
  Gentex Corporation   GNTX   1,804,400   53,392,196  
 
  Hansen Natural Corporation   HANS   502,900   46,337,206  
  Health Management Associates, Inc.   HMA   5,462,600   40,259,362  
  Healthsouth Corp   HLS   772,900   13,657,143  
  Herbalife, Ltd.   HLF   1,473,600   76,140,912  
 
  IHS, Inc.   IHS   555,750   47,883,420  
  Intuitive Surgical, Inc.   ISRG   144,400   66,858,644  
  Investco, Ltd.   IVZ   2,432,800   48,874,952  
  Iron Moutain, Inc. PA   IRM   1,464,800   45,115,840  
  ITC Holdings Corp.   ITC   795,600   60,370,128  
 
  Joy Global, Inc.   JOYG   578,902   43,400,282  
 
  Kansas City Southern   KSU   1,076,225   73,194,062  
 
  Liberty Media Corp - Liberty Capital Ser A   LCAPA   1,253,446   97,831,460  
  Limited Brands, Inc.   LTD   1,263,000   50,962,050  
  Lincoln National Corporation   LNC   2,593,700   50,369,654  
  LKQ Corp.   LKQX   2,606,800   78,412,544  
  LyondellBasell Industries NV   LYB.NA   1,894,300   61,545,807  
 
  Macerich Co.   MAC   1,799,400   91,049,640  
  Marriott International, Inc.   MAR   1,764,500   51,470,465  
  Marriott Vacations Worldwide Corp.   VAC   172,270   2,956,153  
  Mettler Toledo Intl Inc   MTD   322,200   47,592,162  
  Microchip Technology Incorporated   MCHP   1,426,700   52,260,021  
  MICROS Systems, Inc.   MCRS   1,176,200   54,787,396  
  MSCI Inc.   MXB   1,468,400   48,354,412  
 
  NiSource Inc.   NI   3,246,200   77,292,022  
  Northeast Utilities   NU   1,594,950   57,529,846  
  Northern Oil and Gas Inc   NOG   2,593,600   62,194,528  
  NorthWestern Corp.   NWEC   1,225,612   43,864,653  
 
  Oil States International, Inc.   OIS   710,000   54,222,700  
 
  Peabody Energy Corp.   BTU   1,191,200   39,440,632  
  Precision Castparts Corp.   PCP   212,700   35,050,833  
 
  Red Hat, Inc.   RHAT   1,141,800   47,144,922  
  Reinsurance Group of America, Inc.   RGA   1,039,700   54,324,325  
  RenaissanceRe Holdings Ltd.   RNR   654,300   48,660,291  
 
  SBA Communications Corp   SBAC   1,403,100   60,277,176  
  Signature Bank   SBNY   1,101,575   66,083,484  
  Sirona Dental Systems Inc.   SIRO   1,104,700   48,650,988  
  Skyworks Solutions, Inc.   SWKS   2,953,500   47,905,770  
  Solera Holdings, Inc.   SLH   1,199,825   53,440,205  
  Southwestern Energy Company   SWN   879,485   28,090,750  
  SPDR S&P MidCap 400 ETF Trust   MDY   51,700   8,248,218  
  Stanley Black & Decker Inc.   SWK   848,300   57,345,080  
  Stericycle, Inc.   SRCL   606,375   47,248,740  
 
  Teradata Corp.   TDC   983,100   47,690,181  
  Terex Corp.   TEX   1,926,200   26,022,962  
  The Cooper Companies, Inc.   COO   648,600   45,739,272  
  Tiffany & Co.   TIF   949,000   62,880,740  
  TreeHouse Foods, Inc.   THS   624,800   40,849,424  
  Tupperware Brands Corporation   TUP   1,073,225   60,068,403  
 
  WABCO Holdings Inc.   WBC   985,800   42,783,720  
 
  Xerox Corp.   XRX   5,396,900   42,959,324  
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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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