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Historical All Holdings
 
  Holdings as of 12/31/2011 (in alphabetical order)
  Company Name   Symbol   # of Shares   Market Value ($)  
 
  AAR Corp.   AIR   161,555   3,097,009  
  Actuant Corp.   ATU   161,905   3,673,624  
  AMCOL International Corp.   ACO   23,880   641,178  
  AMERIGROUP Corp.   AGP   24,533   1,449,409  
  AmTrust Financial Services Inc   AFSI   109,834   2,608,557  
  Arris Group, Inc.   ARRS   180,595   1,954,037  
  Associated Estates Realty   AEC   151,725   2,420,013  
 
  BancorpSouth, Inc.   BXS   296,658   3,269,171  
  BE Aerospace Inc.   BEAV   36,981   1,431,534  
  Belo Corp.   BLC   224,261   1,412,844  
  Benchmark Electronics, Inc.   BHE   158,604   2,136,395  
  Berry Petroleum Co Class A   BRY   39,987   1,680,253  
  BioMed Realty Trust, Inc.   BMR   95,126   1,719,878  
 
  Cardinal Financial Corp   CFNL   117,227   1,259,017  
  Carpenter Technology Corporation   CRS   42,825   2,204,631  
  Casey's General Stores Inc.   CASY   60,786   3,131,086  
  CEC Entertainment Inc.   CEC   80,980   2,789,761  
  Central Pacific Financial Corp.   CPF   175,276   2,264,565  
  Ceradyne, Inc.   CRDN   33,601   899,834  
  Cleco Corp.   CNL   56,018   2,134,285  
  Collective Brands Inc.   PSS   104,900   1,507,413  
  Colonial Properties Trust   CLP   84,457   1,761,773  
  Complete Production Services, Inc.   CPX   58,966   1,978,898  
  Consolidated Graphics Inc.   CGX   47,753   2,305,514  
  Crane Co.   CR   89,447   4,178,069  
  CubeSmart   CUBE   277,081   2,948,141  
  Curtiss-Wright Corp.   CW   105,644   3,732,402  
 
  Deluxe Corporation   DLX   66,300   1,508,988  
  Diamondrock Hospitality Co.   DRH   371,048   3,576,902  
  Dycom Industries Inc.   DY   166,215   3,477,217  
 
  Education Realty Trust Inc   EDR   278,738   2,851,489  
  El Paso Electric Co.   EE   67,689   2,344,746  
  EMCOR Group, Inc.   EME   87,543   2,347,027  
 
  Fairchild Semiconductor International, Inc.   FCS   233,386   2,809,967  
  First Financial Bancorp   FFBC   193,091   3,213,034  
  First Horizon National Corp.   FHN   204,300   1,634,400  
  FirstMerit Corp.   FMER   239,500   3,623,635  
  Fulton PA Financial Corp.   FULT   229,057   2,247,049  
 
  Gaylord Entertainment Co   GET   59,537   1,437,223  
  Genesco Inc.   GCO   47,719   2,946,171  
  Genesee & Wyoming, Inc.   GWR   39,182   2,373,645  
  Glacier Bancorp, Inc.   GBCI   74,106   891,495  
  Greenbrier Cos. Inc.   GBX   137,709   3,343,574  
  Gulfport Energy Corp.   GPOR   89,597   2,638,631  
 
  Hain Celestial Group, Inc. (The)   HAIN   69,464   2,546,550  
  Hancock Holding Co.   HBHC   96,069   3,071,325  
  Health Management Associates, Inc.   HMA   388,013   2,859,655  
  Healthsouth Corp   HLS   114,957   2,031,290  
  Hexcel Corp   HXL   91,575   2,217,030  
  Highwoods Properties Inc.   HIW   84,753   2,514,621  
 
  ICU Medical, Inc.   ICUI   49,099   2,209,455  
  IDACORP, Inc.   IDA   79,804   3,384,487  
  Impax Laboratories, Inc.   IPXL   81,859   1,651,096  
  Inland Real Estate Corp.   IRC   309,273   2,353,567  
  Innophos Holdings Inc   IPHS   51,024   2,477,725  
  Integrated Device Technology Inc   IDTI   384,927   2,101,701  
  International Rectifier Corp.   IRF   95,659   1,857,697  
  Invacare Corp.   IVC   55,025   841,332  
  Isle of Capri Casinos Inc.   ISLE   155,757   727,385  
 
  JDA Software Group Inc.   JDAS   79,929   2,588,900  
  Jones Group Inc/The   JNY   237,025   2,500,613  
 
  Key Energy Services, Inc.   KEG   125,487   1,941,283  
  Kindred Healthcare, Inc.   KND   101,977   1,200,269  
  Kodiak Oil & Gas Corporation   KOG   363,398   3,452,281  
 
  Lexington Corporate Properties Trust   LXP   289,015   2,164,722  
  LifePoint Hospitals, Inc.   LPNT   64,102   2,381,389  
  LTC Properties, Inc.   LTC   66,180   2,042,314  
 
  Magellan Health Services, Inc.   MGLN   75,117   3,716,037  
  Matthews International Corporation   MATW   31,178   979,924  
  MB Financial Inc   MBFI   92,079   1,574,550  
  Medicis Pharmaceutical Corp.   MRX   87,180   2,898,735  
  Mentor Graphics Corp.   MENT   232,340   3,150,530  
  Meritage Homes Corp.   MTH   96,199   2,230,854  
 
  National Penn Bcshs Inc.   NPBC   411,402   3,472,232  
  National Retail Properties, Inc.   NNN   100,974   2,663,694  
  New Jersey Resources Corp.   NJR   61,789   3,040,018  
  Noranda Aluminum Holding Cor   NOR   101,888   840,576  
  Northstar Realty Finance Corp.   NRF   410,849   1,959,749  
 
  Old Dominion Freight Line, Inc.   ODFL   86,431   3,503,048  
 
  Pacific Continental Corp.   PCBK   101,906   901,868  
  PacWest Bancorp.   PACW   111,497   2,112,868  
  Parametric Technology Corp.   PMTC   134,070   2,448,118  
  Petroleum Development Corp.   PETD   77,027   2,704,417  
  Photronics, Inc.   PLAB   295,974   1,799,521  
  Pioneer Drilling Co.   PDC   169,683   1,642,531  
  Plexus Corp.   PLXS   91,404   2,502,641  
  PNM Resources Inc.   PNM   211,395   3,853,730  
  PolyOne Corp.   POL   117,378   1,355,715  
  ProAssurance Corporation   PRA   26,900   2,147,158  
 
  Quaker Chemical Corp.   KWR   49,010   1,905,998  
 
  RLI Corp.   RLI   47,417   3,454,802  
  Robbins & Myers Inc.   RBN   72,459   3,517,884  
  RTI International Metals, Inc.   RTI   59,148   1,372,825  
  Ruby Tuesday, Inc.   RT   162,606   1,121,981  
  Ruddick Corporation   RDK   66,335   2,828,524  
  Ryland Group, Inc. (The)   RYL   198,830   3,133,560  
 
  Sanderson Farms, Inc.   SAFM   34,900   1,749,537  
  Sapient Corp.   SAPE   183,291   2,309,466  
  Stage Stores, Inc.   SSI   171,556   2,382,912  
  Standex International Corp.   SXI   36,334   1,241,532  
  Sunstone Hotel Investors, Inc.   SHO   367,534   2,995,402  
  Susquehanna Bancshares, Inc.   SUSQ   413,009   3,461,015  
  SYNNEX Corporation   SNX   72,700   2,214,442  
  Synovus Financial Corp.   SNV   1,504,711   2,121,642  
 
  Tenneco, Inc.   TEN   68,894   2,051,663  
  The Children's Place Retail Stores, Inc.   PLCE   54,371   2,888,187  
  The Hanover Insurance Group, Inc.   THG   73,186   2,557,850  
  TreeHouse Foods, Inc.   THS   41,921   2,740,794  
  Trustmark Corp.   TRMK   117,277   2,848,658  
  TTM Technologies, Inc.   TTMI   181,172   1,985,645  
 
  UIL Holding Corp.   UIL   58,905   2,083,469  
 
  Vectren Corporation   VVC   84,414   2,551,835  
  Vishay Intertechnology, Inc.   VSH   215,100   1,933,749  
 
  Wabash National Corp.   WNC   265,431   2,080,979  
  Waddell & Reed Financial, Inc.   WDR   77,565   1,921,285  
  Washington Real Estate Investment Trust   WRE   67,241   1,839,041  
  WellCare Health Plans, Inc.   WCG   41,024   2,153,760  
  Werner Enterprises Inc.   WERN   110,311   2,658,495  
  Western Alliance Bancorp   WAL   382,483   2,382,869  
  Wintrust Financial Corp.   WTFC   122,636   3,439,939  
  World Acceptance Corp.   WRLD   44,758   3,289,713  
  Worthington Industries, Inc.   WOR   82,452   1,350,563  
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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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