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Historical All Holdings
 
  Holdings as of 12/31/2011 (in alphabetical order)
  Company Name   Symbol   # of Shares   Market Value ($)  
 
  1st United Bancorp Inc   FUBC   129,802   720,401  
 
  A.T. Cross Company   ATX   42,680   481,430  
  Achillion Pharmaceuticals   ACHN   60,560   461,467  
  Actuate Corp   BIRT   136,694   801,026  
  Affymetrix, Inc.   AFFX   96,092   393,016  
  Agree Realty Corp.   ADC   23,445   571,589  
  Air Methods Corp.   AIRM   13,960   1,178,922  
  Altra Holdings, Inc.   AIMC   43,423   817,655  
  America's Car-Mart, Inc.   CRMT   24,138   945,726  
  AMERISAFE, Inc.   AMSF   49,024   1,139,808  
  Arctic Cat Inc.   ACAT   32,887   741,601  
  Artio Global Investors Inc.   ART   47,500   231,800  
  Associated Estates Realty   AEC   46,642   743,939  
  Astex Pharmaceuticals   ASTX   298,362   563,904  
  AZZ, Inc.   AZZ   13,382   608,078  
 
  Bank of Marin Bancorp.   BMRC   17,685   664,779  
  Bank of the Ozarks, Inc.   OZRK   15,856   469,813  
  Barret Business Services, Inc.   BBSI   33,193   662,532  
 
  Calamos Asset Management A   CLMS   52,861   661,291  
  Cardinal Financial Corp   CFNL   58,435   627,591  
  Central Pacific Financial Corp.   CPF   61,777   798,158  
  Charming Shoppes, Inc.   CHRS   239,668   1,174,373  
  Commercial Vehicle Group, Inc.   CVGI   49,929   451,358  
  Consolidated Graphics Inc.   CGX   11,817   570,524  
  Cost Plus, Inc.   CPWM   76,934   750,106  
  Cowen Group Inc.   COWN   168,310   435,922  
 
  Datalink Corp   DTLK   75,778   625,926  
  Digi International, Inc.   DGII   36,125   403,155  
  Douglas Dynamics, Inc.   PLOW   47,584   695,678  
 
  Education Realty Trust Inc   EDR   74,771   764,907  
  Ellis Perry International, Inc.   PERY   33,018   469,515  
  Ethan Allen Interiors Inc.   ETH   26,753   634,313  
  Exponent, Inc.   EXPO   13,726   630,984  
 
  Financial Institutions Inc   FISI   46,518   750,800  
  First Cwlth Fincl. Corp. PA   FCF   158,107   831,642  
  First Pactrust Bancorp Inc   FPTB   44,489   456,012  
 
  GOLUB CAPITAL BDC INC   GBDC   39,852   617,706  
  GP Strategies Corp.   GPX   63,088   850,426  
  Greenbrier Cos. Inc.   GBX   43,726   1,061,667  
 
  Healthstream Inc   HSTM   57,819   1,066,760  
  Hercules Technology Growth Capital Inc   HTGC   74,025   698,796  
  Hersha Hospitality Trust   HT   187,078   912,940  
  Hibbett Sports, Inc.   HIBB   9,048   408,788  
 
  ICU Medical, Inc.   ICUI   25,185   1,133,325  
  Integramed America Inc   INMD   77,781   610,580  
  Inventure Foods Inc   SNAK   148,905   556,904  
  IPC The Hospitalist Co Inc   IPCM   14,874   680,039  
  Isle of Capri Casinos Inc.   ISLE   117,413   548,318  
 
  JMP Group Corp.   JMP   121,099   865,857  
  John Bean Technologies Corp.   JBT   35,743   549,369  
 
  Kennedy-Wilson Holdings Inc   KWIC   71,182   753,105  
  Kensey Nash Corp.   KNSY   16,726   320,971  
  Keynote Systems Inc.   KEYN   44,758   919,329  
  Kindred Healthcare, Inc.   KND   46,024   541,702  
  KMG Chemicals Inc   KMGB   39,381   680,109  
  Koppers Holdings Inc.   KOP   21,804   749,185  
  Kratos Defense & Security Solutions Inc   KTOS   77,249   461,176  
  Kulicke & Soffa Industries   KLIC   80,088   740,814  
 
  Leapfrog Enterprises, Inc.   LF   105,336   588,828  
  LIN TV Corp Cl A   TVL   188,901   799,051  
  Liquidity Services, Inc.   LQDT   18,632   687,520  
  LMI Aerospace Inc   LMIA   47,280   829,764  
 
  M/I Homes, Inc.   MHO   98,224   942,950  
  Main Street Capital Corp.   MAIN   28,468   604,660  
  Manitex International Inc   MNTX   95,729   405,890  
  Marten Transport, Ltd.   MRTN   24,146   434,386  
  MEDTOX Scientific, Inc.   MTOX   58,648   824,004  
  Mercury Computer Systems Inc.   MRCY   51,908   689,857  
  Mitcham Industries, Inc.   MIND   47,432   1,035,914  
  Monmouth REIT Cl A   MNRTA   74,958   685,865  
  Monotype Imaging Holdings In   TYPE   53,536   834,626  
  Monro Muffler Inc.   MNRO   7,784   301,941  
  MWI Veterinary Supply, Inc.   MWIV   8,612   572,181  
  MYR Group, Inc.   MYGR   44,400   849,816  
  MYR Group, Inc.   MYRG   2,230   42,682  
 
  Newpark Resources   NR   82,447   783,246  
  Northstar Realty Finance Corp.   NRF   176,263   840,774  
  NVE Corp.   NVEC   11,939   662,972  
 
  O'Charley's Inc.   CHUX   116,387   638,964  
  O2Micro International, Ltd.   OIIM   90,301   360,300  
  OceanFirst Financial Corp.   OCFC   50,040   654,022  
  OYO Geospace Corp.   OYOG   5,050   390,516  
 
  P.H. Glatfelter Co.   GLT   57,398   810,459  
  Pacific Continental Corp.   PCBK   50,721   448,880  
  Pain Therapeutics Inc   PTIE   148,712   565,105  
  Park-Ohio Holdings Corp.   PKOH   27,130   483,999  
  Pennsylvania REIT   PEI   44,138   460,800  
  Pericom Semiconductor Corp.   PSEM   90,017   685,029  
  Petroleum Development Corp.   PETD   26,145   917,950  
  Photronics, Inc.   PLAB   142,944   869,099  
  PRGX Global, Inc.   PRGX   74,116   440,990  
 
  Quaker Chemical Corp.   KWR   18,082   703,208  
  Quality Distribution Inc   QLTY   37,922   426,622  
 
  RadiSys Corp.   RSYS   93,555   473,388  
  RBC Bearings, Inc.   ROLL   8,055   335,893  
  Red Robin Gourmet Burgers, Inc   RRGB   27,994   775,433  
  Renasant Corp   RNST   58,534   878,010  
  Responsys Inc.   MKTG   48,490   431,076  
  Rigel Pharmaceuticals, Inc.   RIGL   106,241   838,241  
  Ruby Tuesday, Inc.   RT   70,445   486,070  
 
  S1 Corp.   SONE   55,404   530,216  
  Sabra Health Care Reit, Inc.   SBRA   35,800   432,822  
  Safeguard Scientifics, Inc.   SFE   50,321   794,568  
  Saia Inc   SAIA   52,380   653,702  
  Seacoast Banking Corp Fl   SBCF   577,021   877,071  
  Shoe Carnival Inc.   SCVL   16,020   411,714  
  Spectrum Pharmaceuticals Inc   SPPI   41,309   604,350  
  Standard Microsystems Corp.   SMSC   33,085   852,600  
  Standard Parking Corp   STAN   25,954   463,797  
  Standex International Corp.   SXI   18,721   639,696  
  Sterling Bancorp   STL   78,230   675,907  
  Sun Healthcare Group Inc   SUNH   77,435   300,447  
  SureWest Communications   SURW   59,486   715,616  
  SurModics, Inc.   SRDX   74,537   1,092,712  
 
  The Marcus Corp.   MCS   55,914   705,075  
  TPC Group Inc.   TPCG   28,553   666,141  
  Triangle Petroleum Corp   TPLM   128,339   766,183  
  TriMas Corporation   TRS   32,055   575,387  
  TTM Technologies, Inc.   TTMI   63,209   692,770  
 
  U.S. Physical Therapy, Inc.   USPH   49,770   979,473  
  Ultra Clean Holdings, Inc.   UCTT   71,447   436,541  
 
  Vanda Pharmaceuticals Inc   VNDA   89,226   424,715  
  Vical Inc.   VICL   118,280   521,614  
 
  Wabash National Corp.   WNC   76,677   601,147  
  WSFS Financial Corp.   WSFS   19,464   699,925  
 
  Zagg Inc.   ZAGG   69,799   493,478  
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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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