<Page>

                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:         3/31/2013
                                               -----------------------

Check Here if Amendment / /; Amendment Number:
                                               ---------
   This Amendment (Check only one.):    / / is a restatement.
                                        / / adds new holdings entries.

Institutional Investment Manager Filing this Report:

   Name:         FRED ALGER MANAGEMENT, INC.
                 ---------------------------
   Address:      360 PARK AVENUE SOUTH
                 ---------------------------
                 NEW YORK, NY 10010
                 ---------------------------

Form 13F File Number: 28-00869
                         ---------------------

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:     Hal Liebes
         -------------------------------
Title:    Executive Vice President
         -------------------------------
Phone:    212-806-2966
         -------------------------------

Signature, Place, and Date of Signing:

          /s/ Hal Liebes                New York, NY           5/15/2013
   -------------------------------    -----------------   ----------------
           [Signature]                  [City, State]          [Date]

Report Type (Check only one.):

/X/ 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
    manager are reported in this report.)

/ / 13F NOTICE. (Check here if no holdings reported are in this report,
    and all holdings are reported by other reporting manager(s).)

/ / 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

<Page>

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:               0
                                        --------------------

Form 13F Information Table Entry Total:         683
                                        --------------------

Form 13F Information Table Value Total:       17,273,520
                                        --------------------
                                            (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

NONE
<Page>

                                      FRED ALGER MANAGEMENT INC.
                                               FORM 13F
                                        FRED ALGER MANAGEMENT
                                            MARCH 31, 2013

<Table>
<Caption>
                                                                                                              VOTING AUTHORITY
                                                                                                         --------------------------
                                                         VALUE      SHARES/    SH/ PUT/ INVSTMT  OTHER
        NAME OF ISSUER         TITLE OF CLASS   CUSIP   (X$1000)    PRN AMT    PRN CALL DSCRETN MANAGERS   SOLE    SHARED    NONE
------------------------------ -------------- --------- -------- ------------- --- ---- ------- -------- -------- -------- --------
                                                                                          
3M COMPANY                     Common         88579Y101        7            70 SH       Sole                   70
A.O. SMITH CORP                Common         831865209    34769        472600 SH       Sole               471045              1555
ABBOTT LABORATORIES            Common         002824100        6           181 SH       Sole                  181
ABBVIE INC                     Common         00287Y109        8           194 SH       Sole                  194
ACCENTURE PLC IRELAND SHARES C Common         G1151C101     9088        119625 SH       Sole               119625
ACCRETIVE HEALTH INC           Common         00438V103        6           629 SH       Sole                  629
ACE LTD                        Common         H0023R105      268          3016 SH       Sole                 3016
ACHILLION PHARMACEUTICALS      Common         00448Q201     7235        826827 SH       Sole               826827
ACORDA THERAPEUTICS INC        Common         00484M106    19693        614842 SH       Sole               612637              2205
ACTAVIS INC                    Common         00507K103    95006       1031444 SH       Sole               940389             91055
                                                              82           885 SH       Defined               885
ACTIVISION BLIZZARD INC        Common         00507V109       12           833 SH       Sole                  833
ACTUANT CORP CL A              Common         00508X203    48588       1586795 SH       Sole              1580540              6255
ACUITY BRANDS INC              Common         00508Y102    11966        172549 SH       Sole               172549
ADOBE SYSTEMS INC.             Common         00724F101       31           714 SH       Sole                  714
ADT CORP                       Common         00101J106    71862       1468372 SH       Sole              1297657            170715
                                                              73          1494 SH       Defined              1494
AECOM TECHNOLOGY CORP          Common         00766T100      531         16190 SH       Sole                16190
AETNA INC NEW                  Common         00817Y108        9           185 SH       Sole                  185
AFFILIATED MANAGERS GROUP INC. Common         008252108    28913        188273 SH       Sole               187268              1005
AFLAC INC                      Common         001055102       10           187 SH       Sole                  187
AGILENT TECHNOLOGIES INC       Common         00846U101    17874        425875 SH       Sole               331075             94800
AGRIUM INC.                    Common         008916108        5            48 SH       Sole                   48
AIR PRODUCTS & CHEMICALS INC   Common         009158106     1530         17561 SH       Sole                17561
ALASKA AIR GROUP INC           Common         011659109    62173        972056 SH       Sole               952036             20020
ALEXION PHARMACEUTICALS INC    Common         015351109    18113        196586 SH       Sole               153986             42600
ALIGN TECHNOLOGY INC           Common         016255101    34992       1044218 SH       Sole              1040488              3730
ALKERMES PLC.                  Common         G01767105    33867       1429005 SH       Sole              1423550              5455
ALLERGAN INC.                  Common         018490102      939          8412 SH       Sole                 8412
ALLIANCE DATA SYSTEMS CORP     Common         018581108    34295        211841 SH       Sole               177301             34540
ALLISON TRANSMISSION HOLDINGS  Common         01973R101       23           965 SH       Sole                  965
ALLOT COMMUNICATIONS LTD       Common         M0854Q105     1194        100000 SH       Sole               100000
ALLSTATE CORP                  Common         020002101       26           527 SH       Sole                  527
ALTERA CORP                    Common         021441100      500         14089 SH       Sole                14089
ALTRIA GROUP INC.              Common         02209S103     2788         81078 SH       Sole                81078
AMAZON COM INC.                Common         023135106   289125       1084937 SH       Sole               995837             89100
                                                             335          1257 SH       Defined              1257
AMC NETWORKS INC               Common         00164V103    33240        525777 SH       Sole               443222             82555
AMERICAN AXLE & MFG HOLDINGS   Common         024061103    19237       1409336 SH       Sole              1409336
AMERICAN CAPITAL MORTGAGE INVE Common         02504A104    21876        846601 SH       Sole               842571              4030
AMERICAN ELECTRIC POWER CO INC Common         025537101       11           222 SH       Sole                  222
AMERICAN EXPRESS COMPANY       Common         025816109   107197       1589040 SH       Sole              1397355            191685
                                                              95          1415 SH       Defined              1415
AMERICAN INTERNATIONAL GROUP   Common         026874784    29014        747386 SH       Sole               747386
AMERICAN TOWER CORP.           Common         03027X100     9263        120430 SH       Sole                36130             84300
AMERIPRISE FINL INC            Common         03076C106     8725        118460 SH       Sole               118460
AMGEN INC                      Common         031162100    66919        652809 SH       Sole               568164             84645
                                                              80           780 SH       Defined               780
ANADARKO PETROLEUM CORP.       Common         032511107   202447       2315005 SH       Sole              2185107            129898
                                                             230          2625 SH       Defined              2625
ANN INC                        Common         035623107    33852       1166496 SH       Sole              1162441              4055
ANNIE'S INC                    Common         03600T104      741         19360 SH       Sole                19360
ANSYS INC                      Common         03662Q105     7293         89573 SH       Sole                88658               915
AON PLC                        Common         G0408V102        8           125 SH       Sole                  125
APACHE CORP                    Common         037411105        3            42 SH       Sole                   42
APOLLO GLOBAL MANAGEMENT       Common         037612306      362         16710 SH       Sole                  875             15835
APOLLO GROUP INC CL A          Common         037604105        7           385 SH       Sole                  385
APPLE INC.                     Common         037833100   613883       1386804 SH       Sole              1271105            115699
                                                             670          1513 SH       Defined              1513
APPLIED MATERIALS INC          Common         038222105       32          2352 SH       Sole                 2352
APPLIED MICRO CIRCUITS CORP.   Common         03822W406     8676       1169303 SH       Sole              1169303
APPROACH RESOURCES INC         Common         03834A103    18607        756090 SH       Sole               756090
ARCHER DANIELS MIDLAND CO      Common         039483102        4           125 SH       Sole                  125
ARIAD PHARMACEUTICALS INC      Common         04033A100     7089        392106 SH       Sole               388236              3870
ARMSTRONG WORLD INDUSTRIES     Common         04247X102     8876        158815 SH       Sole               157340              1475
ARUBA NETWORKS INC             Common         043176106    21298        860854 SH       Sole               857044              3810
ASCENA RETAIL GROUP INC        Common         04351G101    10885        586804 SH       Sole               580704              6100
ASML HOLDING NV - ADR          Common         N07059210    51529        757892 SH       Sole               732790             25102
                                                              65           951 SH       Defined               951
ASPEN TECHNOLOGY INC           Common         045327103    39761       1231361 SH       Sole              1227576              3785
AT&T INC.                      Common         00206R102     2324         63344 SH       Sole                63344
ATHENAHEALTH INC               Common         04685W103    26670        274837 SH       Sole               273867               970
AUTOZONE INC                   Common         053332102        8            21 SH       Sole                   21
AUXILIUM PHARMACEUTICALS       Common         05334D107        7           385 SH       Sole                  385
AVAGO TECHNOLOGIES LTD         Common         Y0486S104     6166        171743 SH       Sole               171743
AVIS BUDGET GROUP INC          Common         053774105    23292        836941 SH       Sole               836941
B&G FOODS INC                  Common         05508R106    41743       1369084 SH       Sole              1363739              5345
BAIDU COM INC SPONSORED ADR RE Common         056752108      413          4710 SH       Sole                 4710
BAKER HUGHES INC               Common         057224107      328          7075 SH       Sole                 7075
BANK NEW YORK MELLON CORP      Common         064058100        2            84 SH       Sole                   84
BANK OF AMERICA CORP           Common         060505104    52587       4317481 SH       Sole              4246401             71080
                                                              33          2745 SH       Defined              2745
BANK OF MONTREAL               Common         063671101       24           389 SH       Sole                  389
BAXTER INTERNATIONAL INC       Common         071813109        2            28 SH       Sole                   28
BE AEROSPACE INC               Common         073302101    22668        376040 SH       Sole               373490              2550
BEACON ROOFING SUPPLY INC      Common         073685109    22365        578502 SH       Sole               578502
BEAM INC                       Common         073730103    80934       1273754 SH       Sole              1152169            121585
                                                              93          1465 SH       Defined              1465
BED BATH & BEYOND INC          Common         075896100       20           313 SH       Sole                  263                50
BERKSHIRE HATHAWAY INC CLASS B Common         084670702    23283        223450 SH       Sole               223450
BERRY PETROLEUM CO - CL A      Common         085789105     9566        206648 SH       Sole               206648
BERRY PLASTICS GROUP INC       Common         08579W103    18826        988232 SH       Sole               988232
BIOMARIN PHARMACEUTICALS INC   Common         09061G101    16901        271462 SH       Sole               269417              2045
BLACKROCK INC.                 Common         09247X101     2236          8706 SH       Sole                 8706
BLACKSTONE GROUP LP            Common         09253U108    47881       2420675 SH       Sole              2332331             88344
                                                              77          3890 SH       Defined              3890
BMC SOFTWARE INC.              Common         055921100     2395         51700 SH       Sole                                  51700
BOEING CO                      Common         097023105    53587        624199 SH       Sole               605819             18380
                                                              66           770 SH       Defined               770
BOISE CASCADE LLC              Common         09739D100    14425        425023 SH       Sole               425023
BRISTOL MYERS SQUIBB CO        Common         110122108   119345       2897433 SH       Sole              2629125            268308
                                                             114          2775 SH       Defined              2775
BRISTOW GROUP INC              Common         110394103    10093        153063 SH       Sole               153063
BROADCOM CORP.                 Common         111320107    69369       2000325 SH       Sole              1920900             79425
                                                             105          3020 SH       Defined              3020
BROADSOFT INC                  Common         11133B409    17555        663221 SH       Sole               663221
BROWN & BROWN INC              Common         115236101    13894        433644 SH       Sole               429369              4275
BROWN FORMAN CORP. CLASS B     Common         115637209        7            94 SH       Sole                   94
BRUNSWICK CORP.                Common         117043109    48673       1422353 SH       Sole              1417798              4555
BUFFALO WILD WINGS INC.        Common         119848109    24715        282328 SH       Sole               282328
CABOT OIL & GAS CORP-CL A      Common         127097103     5108         75548 SH       Sole                75548
CADENCE DESIGN SYSTEM INC      Common         127387108   182595      13108057 SH       Sole             12301175            806882
                                                             182         13100 SH       Defined             13100
CAMERON INTERNATIONAL CORP.    Common         13342B105   113303       1737780 SH       Sole              1594235            143545
                                                             108          1655 SH       Defined              1655
CANADIAN NATIONAL RAILWAY CO   Common         136375102        6            55 SH       Sole                   55
CAPITAL ONE FINANCIAL CORP.    Common         14040H105   117381       2136145 SH       Sole              2070225             65920
                                                             139          2535 SH       Defined              2535
CARDINAL HEALTH INC.           Common         14149Y108     5226        125564 SH       Sole               125564
CARLYLE GROUP LP               Common         14309L102    17131        566307 SH       Sole               557752              8555
CATAMARAN CORP                 Common         148887102    25358        478178 SH       Sole               474607              3571
CATERPILLAR INC.               Common         149123101    69635        800673 SH       Sole               773378             27295
                                                              91          1045 SH       Defined              1045
CBRE GROUP INC                 Common         12504L109      512         20290 SH       Sole                20290
CBS CORP. NEW CLASS B          Common         124857202   202211       4330928 SH       Sole              4063633            267295
                                                             225          4810 SH       Defined              4810
CEDAR FAIR LP                  Common         150185106     2513         63191 SH       Sole                49176             14015
                                                             114          2870 SH       Defined              2870
CELANESE CORP SERIES A         Common         150870103    80390       1824972 SH       Sole              1768027             56945
                                                              93          2115 SH       Defined              2115
CELGENE CORP                   Common         151020104        9            77 SH       Sole                   77
CEMEX SAB -SPONS ADR           Common         151290889      103          8400 SH       Sole                 8400
CENTENE CORP DEL               Common         15135B101    22393        508467 SH       Sole               506662              1805
CEPHEID INC                    Common         15670R107    39573       1031356 SH       Sole              1027686              3670
CF INDUSTRIES HOLDINGS         Common         125269100       18            97 SH       Sole                   97
CHARLES RIVER LABORATORIES INT Common         159864107    24463        552597 SH       Sole               430972            121625
CHART INDUSTRIES INC           Common         16115Q308    24694        308632 SH       Sole               308632
CHECK POINT SOFTWARE TECHNOLOG Common         M22465104       20           420 SH       Sole                  420
CHEMTURA CORP                  Common         163893209    35788       1656104 SH       Sole              1649729              6375
CHESAPEAKE ENERGY CORP         Common         165167107        4           185 SH       Sole                  185
CHEVRONTEXACO CORP             Common         166764100       30           249 SH       Sole                  249
CHICAGO BRIDGE & IRON -NY SHR  Common         167250109   119820       1929475 SH       Sole              1870960             58515
                                                             143          2305 SH       Defined              2305
CHILDRENS PLACE RETAIL STORE I Common         168905107    19630        437971 SH       Sole               436206              1765
CHIPMOS TECHNOLOGIES BERMUDA   Common         G2110R114      294         22060 SH       Sole                22060
CHIPOTLE MEXICAN GRILL-CL A    Common         169656105     7096         21777 SH       Sole                21777
CHUBB CORP.                    Common         171232101       13           154 SH       Sole                  154
CIA DE MINAS BUENAVENTURA ADR  Common         204448104       88          3400 SH       Sole                 3400
CIGNA CORP                     Common         125509109     1974         31650 SH       Sole                31650
CISCO SYSTEMS INC              Common         17275R102    28445       1361333 SH       Sole              1325963             35370
CITIGROUP INC.                 Common         172967424   186225       4209423 SH       Sole              4035168            174255
                                                             222          5015 SH       Defined              5015
CITRIX SYSTEMS INC             Common         177376100    93794       1299985 SH       Sole              1194181            105804
                                                              98          1365 SH       Defined              1365
CLEAN HARBORS INC              Common         184496107      289          4975 SH       Sole                 4975
CLIFFS NATURAL RESOURCES       Common         18683K101      238         12505 SH       Sole                12505
CME GROUP INC                  Common         12572Q105     2177         35454 SH       Sole                35454
COCA COLA CO.                  Common         191216100   112980       2793771 SH       Sole              2700656             93115
                                                             144          3560 SH       Defined              3560
COGENT COMMUNCATIONS           Common         19239V302    37110       1405664 SH       Sole              1405664
COGNEX CORP.                   Common         192422103    27672        656520 SH       Sole               656520
COGNIZANT TECH SOLUTIONS CRP   Common         192446102    40186        524481 SH       Sole               506431             18050
                                                              52           680 SH       Defined               680
COLGATE PALMOLIVE CO           Common         194162103       25           209 SH       Sole                  209
COMCAST CORP CL A              Common         20030N101   175137       4171908 SH       Sole              3860548            311360
                                                             181          4300 SH       Defined              4300
COMMVAULT SYSTEMS INC          Common         204166102    46497        567032 SH       Sole               564932              2100
CONAGRA FOODS INC              Common         205887102    14370        401285 SH       Sole               248670            152615
CONCHO RESOURCES INC           Common         20605P101        8            85 SH       Sole                   85
CONOCOPHILLIPS                 Common         20825C104     2523         41973 SH       Sole                41973
CONSOLIDATED EDISON            Common         209115104        4            69 SH       Sole                   69
COPA HOLDINGS SA CLASS A       Common         P31076105    32169        268949 SH       Sole               263273              5676
                                                              23           190 SH       Defined               190
CORNERSTONE ONDEMAND INC       Common         21925Y103    24715        724770 SH       Sole               718540              6230
CORNING INC                    Common         219350105     9362        702331 SH       Sole               297331            405000
COSTAR GROUP INC               Common         22160N109    25639        234229 SH       Sole               234229
COSTCO WHOLESALE CORP NEW      Common         22160K105    87372        823405 SH       Sole               718215            105190
                                                              91           860 SH       Defined               860
COVANTA HOLDING CORP           Common         22282E102      759         37680 SH       Sole                37680
COVIDIEN PLC.                  Common         G2554F113   122852       1810902 SH       Sole              1748316             62586
                                                             162          2394 SH       Defined              2394
CREDICORP LTD                  Common         G2519Y108      183          1100 SH       Sole                 1100
CREE INC                       Common         225447101     1033         18880 SH       Sole                18880
CROWN HOLDINGS INC.            Common         228368106    17744        426444 SH       Sole               422429              4015
CSX CORP                       Common         126408103     5240        212752 SH       Sole               212752
CUBIST PHARMACEUTICALS INC     Common         229678107    13064        279023 SH       Sole               279023
CUMMINS INC                    Common         231021106     7461         64423 SH       Sole                64423
CVS CAREMARK CORP              Common         126650100   253672       4613050 SH       Sole              4379445            233605
                                                             307          5575 SH       Defined              5575
CYPRESS SEMICONDUCTOR CORP     Common         232806109    14774       1339432 SH       Sole              1339432
CYTEC INDUSTRIES INC           Common         232820100    38764        523274 SH       Sole               521324              1950
DANA HOLDING CORP              Common         235825205    33296       1867402 SH       Sole              1860302              7100
DANAHER CORP                   Common         235851102       19           305 SH       Sole                  305
DARDEN RESTAURANTS INC         Common         237194105     1117         21614 SH       Sole                21614
DEALERTRACK TECHNOLOGIES INC   Common         242309102    44610       1518374 SH       Sole              1508364             10010
DEAN FOODS CO NEW              Common         242370104     2822        155671 SH       Sole                14571            141100
DEERE & CO.                    Common         244199105      248          2890 SH       Sole                 2890
DEL FRISCO'S RESTAURANT GROUP  Common         245077102      826         49730 SH       Sole                49730
DELL INC.                      Common         24702R101      591         41220 SH       Sole                41220
DELPHI AUTOMOTIVE PLC          Common         G27823106   112686       2537980 SH       Sole              2456600             81380
                                                             140          3145 SH       Defined              3145
DELTA AIR LINES INC.           Common         247361702    52390       3173252 SH       Sole              2856392            316860
                                                              50          3040 SH       Defined              3040
DENBURY RESOURCES INC          Common         247916208     7470        400547 SH       Sole               400547
DEUTSCHE BANK AG               Common         D18190898        9           231 SH       Sole                  231
DICKS SPORTING GOODS INC       Common         253393102    45974        971957 SH       Sole               946527             25430
                                                              35           735 SH       Defined               735
DIGITAL REALTY TRUST INC       Common         253868103        1            10 SH       Sole                   10
DISCOVER FINANCIAL SERVICES    Common         254709108       32           708 SH       Sole                  708
DISCOVERY COMMUNICATIONS INC C Common         25470F104     5022         63779 SH       Sole                63779
DISCOVERY COMMUNICATIONS INC C Common         25470F302     7932        114068 SH       Sole               114068
DISH NETWORK  CORP CL-A        Common         25470M109    54778       1445320 SH       Sole              1392285             53035
                                                              82          2160 SH       Defined              2160
DOLLAR GENERAL CORP.           Common         256677105    70941       1402547 SH       Sole              1287421            115126
                                                              74          1470 SH       Defined              1470
DOLLAR TREE INC                Common         256746108       20           412 SH       Sole                  412
DOMINO'S PIZZA INC             Common         25754A201    25850        502530 SH       Sole               502530
DOW CHEMICAL CO                Common         260543103      844         26515 SH       Sole                26515
DRESSER-RAND GROUP INC         Common         261608103    11534        187058 SH       Sole               185223              1835
DRIL-QUIP INC                  Common         262037104    12701        145708 SH       Sole               145708
DSW INC CL A                   Common         23334L102    24667        386630 SH       Sole               386630
DUKE ENERGY CORP               Common         26441C204      924         12726 SH       Sole                12726
DUNKIN' BRANDS GROUP INC       Common         265504100    19748        535478 SH       Sole               530653              4825
E I DUPONT DE NEMOURS & CO     Common         263534109       37           750 SH       Sole                  750
E2OPEN INC                     Common         29788A104     7577        380003 SH       Sole               380003
EAGLE MATERIALS INC            Common         26969P108    19375        290782 SH       Sole               290782
EASTMAN CHEMICAL COMPANY       Common         277432100    49655        710670 SH       Sole               688548             22122
                                                              59           845 SH       Defined               845
EATON CORP PLC                 Common         G29183103    99933       1631553 SH       Sole              1581088             50465
                                                             119          1935 SH       Defined              1935
EBAY INC                       Common         278642103   322321       5944684 SH       Sole              5560041            384643
                                                             372          6860 SH       Defined              6860
ECOLAB INC                     Common         278865100        6            69 SH       Sole                   69
EGAIN COMMUNICATIONS CORP      Common         28225C806     1462        168770 SH       Sole               168770
ELI LILLY & CO                 Common         532457108   111274       1959392 SH       Sole              1833712            125680
                                                             108          1910 SH       Defined              1910
EMC CORP.                      Common         268648102      528         22100 SH       Sole                22100
ENBRIDGE INC                   Common         29250N105        2            42 SH       Sole                   42
ENDOLOGIX INC                  Common         29266S106    31388       1943544 SH       Sole              1936874              6670
ENERGY XXI BERMUDA             Common         G10082140    21255        780858 SH       Sole               780858
ENERNOC INC                    Common         292764107      589         33925 SH       Sole                33925
EQUINIX INC.                   Common         29444U502    69177        319806 SH       Sole               309871              9935
                                                              88           405 SH       Defined               405
ESTERLINE TECHNOLOGIES         Common         297425100    19000        250994 SH       Sole               250994
ETHAN ALLEN INTERIORS INC.     Common         297602104    10651        323544 SH       Sole               323544
EXACTTARGET INC                Common         30064K105    25843       1110560 SH       Sole              1110560
EXONE COMPANY                  Common         302104104    19307        576333 SH       Sole               573398              2935
EXPEDIA INC                    Common         30212P303     4855         80900 SH       Sole                80900
EXPRESS SCRIPTS HOLDING CO     Common         30219G108   212062       3680359 SH       Sole              3434329            246030
                                                             242          4205 SH       Defined              4205
EXXON MOBIL CORP               Common         30231G102     6182         68600 SH       Sole                68600
EZCHIP SEMICONDUCTOR LTD       Common         M4146Y108      236          9795 SH       Sole                 9795
F5 NETWORKS INC                Common         315616102    81667        916782 SH       Sole               858077             58705
                                                             100          1120 SH       Defined              1120
FABRINET                       Common         G3323L100      901         61690 SH       Sole                61690
FACEBOOK INC                   Common         30303M102   105128       4109783 SH       Sole              3661408            448375
                                                             109          4255 SH       Defined              4255
FAMILY DOLLAR STORES INC       Common         307000109       17           280 SH       Sole                  280
FEDEX CORP.                    Common         31428X106    72069        733898 SH       Sole               713088             20810
                                                              79           800 SH       Defined               800
FEI COMPANY                    Common         30241L109    10108        156587 SH       Sole               155052              1535
FIDELITY NATIONAL FINANCIAL IN Common         31620R105        0            10 SH       Sole                   10
FIFTH & PACIFIC COMPANIES INC  Common         316645100    52013       2754908 SH       Sole              2746318              8590
FINISAR CORP                   Common         31787A507    11038        836863 SH       Sole               836863
FIRST HORIZON NATL FRAC SHARES Common         822500000        0        323828 SH       Sole               323828
FIRST SOLAR                    Common         336433107      627         23275 SH       Sole                23275
FISERV INC.                    Common         337738108     3190         36303 SH       Sole                36303
FIVE BELOW                     Common         33829M101    26329        694870 SH       Sole               694870
FOCUS MEDIA HOLDING - ADR      Common         34415V109    30261       1128713 SH       Sole              1092755             35958
                                                              45          1662 SH       Defined              1662
FORD MOTOR CO                  Common         345370860      561         42694 SH       Sole                42694
FORTINET INC                   Common         34959E109    24900       1051541 SH       Sole              1045306              6235
FORTRESS INVESTMENT GROUP CL A Common         34958B106    17086       2669657 SH       Sole              2669657
FOSSIL INC                     Common         349882100    59771        618746 SH       Sole               603436             15310
                                                              53           545 SH       Defined               545
FREEPORT- MCMORAN COPPER & GOL Common         35671D857        8           255 SH       Sole                   55               200
FREESCALE SEMICONDUCTOR HOLDIN Common         G3727Q101    10891        731409 SH       Sole               731409
FRESH MARKET INC               Common         35804H106    27343        639304 SH       Sole               637254              2050
FUSION-IO INC                  Common         36112J107    15822        966548 SH       Sole               963093              3455
GAP INC                        Common         364760108       20           561 SH       Sole                  561
GARTNER INC                    Common         366651107    17096        314199 SH       Sole               311384              2815
GENERAL DYNAMICS CORP          Common         369550108    55521        787414 SH       Sole               764034             23380
                                                              74          1045 SH       Defined              1045
GENERAL ELECTRIC COMPANY       Common         369604103    24365       1053867 SH       Sole               967077             86790
GENERAL MILLS INC.             Common         370334104      803         16291 SH       Sole                16291
GENESEE & WYOMING INC-CL A     Common         371559105    52967        568868 SH       Sole               566563              2305
GILEAD SCIENCES INC            Common         375558103   142445       2910611 SH       Sole              2692866            217745
                                                             155          3175 SH       Defined              3175
GLAXOSMITHKLINE PLC ADR        Common         37733W105     5162        110050 SH       Sole               110050
GNC HOLDINGS INC               Common         36191G107    15285        389129 SH       Sole               385214              3915
GOLDMAN SACHS GROUP INC        Common         38141G104     9538         64815 SH       Sole                64815
GOOGLE INC CL A                Common         38259P508   382266        481329 SH       Sole               439825             41504
                                                             435           548 SH       Defined               548
GREEN MOUNTAIN COFFEE INC.     Common         393122106     2857         50340 SH       Sole                26540             23800
GREENWAY MEDICAL TECHNOLOGIES  Common         39679B103    15753        990724 SH       Sole               990724
H J HEINZ CO                   Common         423074103        6            84 SH       Sole                   84
HAIN CELESTIAL GRP INC         Common         405217100    41010        671418 SH       Sole               668788              2630
HALLIBURTON CO                 Common         406216101    81113       2007259 SH       Sole              1942344             64915
                                                             102          2523 SH       Defined              2523
HARLEY DAVIDSON INC            Common         412822108    15445        289777 SH       Sole               201777             88000
HCA HOLDINGS INC               Common         40412C101   186599       4592648 SH       Sole              4281353            311295
                                                             196          4825 SH       Defined              4825
HEALTH CARE REIT INC           Common         42217K106     1896         27917 SH       Sole                27917
HEALTHSOUTH CORP               Common         421924309    28021       1062625 SH       Sole              1059670              2955
HEARTWARE INTERNATIONAL INC    Common         422368100    16033        181356 SH       Sole               181356
HECLA MINING COMPANY           Common         422704106       19          4885 SH       Sole                 4885
HELIX ENERGY SOLUTIONS GROUP   Common         42330P107    11681        510514 SH       Sole               510514
HERSHEY COMPANY (THE)          Common         427866108    13206        150871 SH       Sole               119071             31800
HEWLETT PACKARD CO.            Common         428236103       15           645 SH       Sole                  625                20
HEXCEL CORP                    Common         428291108    50001       1723570 SH       Sole              1722670               900
HMS HOLDINGS CORP              Common         40425J101    33593       1237295 SH       Sole              1233280              4015
HOME DEPOT INC                 Common         437076102    77803       1114978 SH       Sole              1009088            105890
                                                              72          1030 SH       Defined              1030
HONEYWELL INTERNATIONAL INC    Common         438516106   246910       3276840 SH       Sole              3051658            225182
                                                             280          3710 SH       Defined              3710
HOSPIRA INC                    Common         441060100       17           505 SH       Sole                  505
HUB GROUP INC                  Common         443320106    24181        628721 SH       Sole               628721
HUBBELL INC CL B               Common         443510201    14947        153915 SH       Sole               152875              1040
HUMANA INC                     Common         444859102       18           266 SH       Sole                  266
IAC/INTERACTIVECORP            Common         44919P508    10861        243084 SH       Sole               240914              2170
IDENIX PHARMACEUTICALS         Common         45166R204     8110       2290924 SH       Sole              2290924
ILLUMINA INC                   Common         452327109     2860         52975 SH       Sole                52975
IMPAX LABORATORIES INC         Common         45256B101      968         62726 SH       Sole                62726
IMPERIAL OIL LTD               Common         453038408        5           124 SH       Sole                  124
INFOBLOX INC                   Common         45672H104    20523        945742 SH       Sole               945742
INFORMATICA CORP               Common         45666Q102     3675        106610 SH       Sole               106610
INGERSOLL RAND PLC             Common         G47791101       24           438 SH       Sole                  438
INPHI CORP.                    Common         45772F107      757         72475 SH       Sole                72475
INSULET CORP                   Common         45784P101    62073       2400335 SH       Sole              2351750             48585
                                                              45          1750 SH       Defined              1750
INTEL CORP.                    Common         458140100     2450        112204 SH       Sole               112204
INTERCONTINENTAL EXCHANGE INC  Common         45865V100     3237         19850 SH       Sole                19850
INTERNATIONAL PAPER CO.        Common         460146103    68720       1475310 SH       Sole              1351574            123736
                                                              58          1252 SH       Defined              1252
INTERVAL LEISURE GROUP         Common         46113M108    16783        771974 SH       Sole               771974
INTERXION HOLDING NV           Common         N47279109    17684        730133 SH       Sole               730133
INTL BUSINESS MACHINES CORP    Common         459200101   357109       1674211 SH       Sole              1570969            103242
                                                             425          1993 SH       Defined              1993
INTUIT INC.                    Common         461202103     3355         51100 SH       Sole                51100
ITAU UNIBANCO HLDGS ADR        Common         465562106      287         16100 SH       Sole                16100
ITC HOLDINGS CORP              Common         465685105     4975         55737 SH       Sole                55737
ITRON INC.                     Common         465741106      513         11050 SH       Sole                11050
J P MORGAN CHASE & CO.         Common         46625H100    19303        406724 SH       Sole               406724
JACOBS ENGINEERING GROUP INC   Common         469814107       17           305 SH       Sole                  305
JARDEN CORP                    Common         471109108    20519        478856 SH       Sole               477011              1845
JDS UNIPHASE CORP NEW          Common         46612J507    11733        877922 SH       Sole               869802              8120
JOHNSON & JOHNSON              Common         478160104    44344        543892 SH       Sole               476592             67300
JOHNSON CTLS INC               Common         478366107      601         17130 SH       Sole                17130
JONES LANG LASALLE INC         Common         48020Q107    42323        425741 SH       Sole               385511             40230
JOY GLOBAL INC                 Common         481165108    16924        284346 SH       Sole               234266             50080
KB FINANCIAL GROUP ADR         Common         48241A105      120          3626 SH       Sole                 3626
KELLOGG CO                     Common         487836108        3            41 SH       Sole                   41
KIMBERLY CLARK CORP            Common         494368103       26           263 SH       Sole                  263
KKR & CO LP                    Common         48248M102    16823        870777 SH       Sole               625940            244837
KLA-TENCOR CORP.               Common         482480100     1026         19461 SH       Sole                19461
KODIAK OIL & GAS CORP          Common         50015Q100    17873       1966210 SH       Sole              1966210
KRAFT FOODS GROUP INC          Common         50076Q106      981         19031 SH       Sole                19031
KROGER CO.                     Common         501044101        3            77 SH       Sole                   77
LAM RESEARCH CORP.             Common         512807108   100199       2416767 SH       Sole              2336103             80664
                                                             119          2860 SH       Defined              2860
LAMAR ADVERTISING CO CL A      Common         512815101    25415        523159 SH       Sole               519614              3545
LAS VEGAS SANDS CORP           Common         517834107   121007       2147416 SH       Sole              2014801            132615
                                                             159          2830 SH       Defined              2830
LENNAR CORP                    Common         526057104    11985        288946 SH       Sole               194746             94200
LIBERTY GLOBAL INC CLASS A     Common         530555101       14           195 SH       Sole                  195
LIBERTY MEDIA CORP             Common         531229102        5            42 SH       Sole                   42
LIFE TECHNOLOGIES CORP         Common         53217V109      354          5485 SH       Sole                 5485
LIFE TIME FITNESS INC          Common         53217R207    30904        722384 SH       Sole               719264              3120
LINCOLN ELECTRIC HOLDINGS      Common         533900106    18030        332784 SH       Sole               329684              3100
LINCOLN NATIONAL CORP          Common         534187109    41154       1262013 SH       Sole              1216858             45155
                                                              40          1235 SH       Defined              1235
LINDSAY MANUFACTURING CO.      Common         535555106      509          5770 SH       Sole                 5770
LINKEDIN CORP                  Common         53578A108    48638        276259 SH       Sole               254259             22000
LIONS GATE ENTERTAINMENT CORP  Common         535919203    25002       1051829 SH       Sole               949929            101900
LKQ CORPORATION                Common         501889208     3132        143946 SH       Sole               143946
LOCKHEED MARTIN CORP.          Common         539830109       12           125 SH       Sole                  125
LOWES COMPANIES INC.           Common         548661107   119319       3146587 SH       Sole              3042566            104021
                                                             152          4004 SH       Defined              4004
LPL INVESTMENT HOLDINGS INC    Common         50212V100     8544        265010 SH       Sole               262460              2550
LYONDELLBASELL INDUSTRIES NV   Common         N53745100    18521        292640 SH       Sole               285400              7240
                                                              29           460 SH       Defined               460
MACY'S INC                     Common         55616P104       22           520 SH       Sole                  520
MARATHON OIL CORP              Common         565849106        2            62 SH       Sole                   62
MARATHON PETROLEUM CORP        Common         56585A102       29           326 SH       Sole                  326
MARIOTT INTERNATIONAL INC NEW  Common         571903202     1470         34811 SH       Sole                 6561             28250
MARRIOTT VACATIONS WORLD       Common         57164Y107    51007       1188686 SH       Sole              1178561             10125
MARTIN MARIETTA MATERIALS INC. Common         573284106     2755         27000 SH       Sole                27000
MARVELL TECHNOLOGY GROUP LTD   Common         G5876H105       12          1115 SH       Sole                 1115
MASTERCARD INC                 Common         57636Q104   111430        205921 SH       Sole               199591              6330
                                                             131           242 SH       Defined               242
MAXIMUS INC.                   Common         577933104    40774        509861 SH       Sole               508076              1785
MCDERMOTT INTERNATIONAL INC    Common         580037109        5           485 SH       Sole                  485
MCDONALDS CORP.                Common         580135101   126872       1272662 SH       Sole              1192022             80640
                                                             151          1515 SH       Defined              1515
MCGRAW HILL COMPANIES INC      Common         580645109        9           180 SH       Sole                  180
MEDIVATION INC                 Common         58501N101    13046        279000 SH       Sole               233725             45275
MEDTRONIC INC.                 Common         585055106     8357        177954 SH       Sole               177954
MELLANOX TECHNOLOGIES LTD      Common         M51363113     9346        168366 SH       Sole               166846              1520
MERCK & CO INC                 Common         58933Y105     3002         67925 SH       Sole                67925
MERRIMACK PHARMACEUTICALS INC  Common         590328100     6364       1043289 SH       Sole              1043289
METABOLIX INC                  Common         591018809        2           975 SH       Sole                  975
METLIFE INC                    Common         59156R108        5           139 SH       Sole                  139
METTLER-TOLEDO  INTERNATIONAL  Common         592688105    11873         55686 SH       Sole                55126               560
MICHAEL KORS HOLDINGS LTD      Common         G60754101    70400       1239657 SH       Sole              1196499             43158
                                                              96          1695 SH       Defined              1695
MICROSEMI CORP                 Common         595137100    55001       2373789 SH       Sole              2353580             20209
                                                              80          3440 SH       Defined              3440
MICROSOFT CORP                 Common         594918104     3474        121444 SH       Sole               121444
MIDDLEBY CORP                  Common         596278101    21620        142098 SH       Sole               142098
MOLINA HEALTHCARE INC          Common         60855R100    23836        772139 SH       Sole               769664              2475
MOLYCORP INC                   Common         608753109        3           655 SH       Sole                  655
MONDELEZ INTERNATIONAL INC     Common         609207105        4           146 SH       Sole                  146
MONSANTO CO NEW                Common         61166W101    40285        381374 SH       Sole               371069             10305
                                                              61           575 SH       Defined               575
MONSTER BEVERAGE CORP          Common         611740101       12           260 SH       Sole                  260
MOODYS CORP                    Common         615369105     2917         54699 SH       Sole                54699
MORGAN STANLEY                 Common         617446448   179206       8153151 SH       Sole              7790591            362560
                                                             215          9800 SH       Defined              9800
MORGANS HOTEL GROUP CO         Common         61748W108        9          1510 SH       Sole                 1510
MOSAIC CO/THE                  Common         61945C103    92157       1546006 SH       Sole              1393646            152360
                                                              96          1605 SH       Defined              1605
MOTOROLA SOLUTIONS INC.        Common         620076307     2153         33627 SH       Sole                33627
MRC GLOBAL INC                 Common         55345K103   109215       3316567 SH       Sole              3250977             65590
                                                              83          2525 SH       Defined              2525
MYLAN LABORATORIES INC.        Common         628530107     2303         79525 SH       Sole                79525
NABORS INDUSTRIES LTD.         Common         G6359F103        9           540 SH       Sole                  540
NATIONAL OILWELL VARCO INC.    Common         637071101    70615        998096 SH       Sole               850571            147525
                                                              22           315 SH       Defined               315
NETAPP INC.                    Common         64110D104       21           612 SH       Sole                  612
NETSUITE INC                   Common         64118Q107    19174        239499 SH       Sole               237349              2150
NEWS CORPORATION CLASS A       Common         65248E104    67475       2211566 SH       Sole              2033021            178545
                                                              75          2445 SH       Defined              2445
NEXTERA ENERGY INC             Common         65339F101       18           230 SH       Sole                  230
NIKE INC CL B                  Common         654106103    33560        568711 SH       Sole               548386             20325
                                                              46           785 SH       Defined               785
NORFOLK SOUTHERN CORP          Common         655844108      507          6575 SH       Sole                 6575
NORTHERN OIL & GAS INC         Common         665531109    19611       1363778 SH       Sole              1363778
NORTHROP GRUMMAN CORP.         Common         666807102       29           410 SH       Sole                  410
NORTHWEST BANCSHARES INC       Common         667340103    22782       1796704 SH       Sole              1790524              6180
NUANCE COMMUNICATIONS INC      Common         67020Y100    29914       1482374 SH       Sole              1462834             19540
NVR INC                        Common         62944T105    14310         13249 SH       Sole                13134               115
NXSTAGE MEDICAL INC            Common         67072V103    13431       1190735 SH       Sole              1190735
O REILLY AUTOMOTIVE INC        Common         67103H107        4            35 SH       Sole                   35
OASIS PETROLEUM INC            Common         674215108     7711        202543 SH       Sole               200568              1975
OCCIDENTAL PETROLEUM CORP. DEL Common         674599105        5            70 SH       Sole                   70
OCEANERRING INTERNATIONAL INC. Common         675232102     6842        103033 SH       Sole               102033              1000
OCH-ZIFF CAPITAL MANAGEMENT-A  Common         67551U105    12414       1327705 SH       Sole              1304445             23260
OIL STATES INTERNATIONAL INC.  Common         678026105    13826        169496 SH       Sole               167976              1520
OMNICOM GROUP INC              Common         681919106       19           325 SH       Sole                  325
ON ASSIGNMENT INC.             Common         682159108    19098        754554 SH       Sole               754554
ON SEMICONDUCTOR CORPORATION   Common         682189105     9450       1141985 SH       Sole              1131935             10050
ONYX PHARMACEUTICALS INC       Common         683399109    22343        251444 SH       Sole               217604             33840
OPENTABLE INC                  Common         68372A104    32136        510265 SH       Sole               465865             44400
ORACLE CORP.                   Common         68389X105       32           999 SH       Sole                  999
OREXIGEN THERAPEUTICS INC      Common         686164104     8048       1285567 SH       Sole              1285567
OSI SYSTEMS INC.               Common         671044105    15857        254573 SH       Sole               254573
OWENS CORNING INC              Common         690742101     2839         72011 SH       Sole                72011
OWENS ILLINOIS INC NEW         Common         690768403    14069        527908 SH       Sole               523968              3940
PALL CORP                      Common         696429307     9225        134931 SH       Sole                96426             38505
PAREXEL INTERNATIONAL CORP     Common         699462107    13866        350677 SH       Sole               350677
PAYCHEX INC.                   Common         704326107     3193         91079 SH       Sole                91079
PEABODY ENERGY CORP            Common         704549104      647         30610 SH       Sole                30610
PENTAIR LTD                    Common         H6169Q108        0             7 SH       Sole                    7
PEPSICO INC                    Common         713448108   178599       2257599 SH       Sole              2184953             72646
                                                             216          2734 SH       Defined              2734
PETSMART INC.                  Common         716768106       31           500 SH       Sole                  500
PFIZER INC                     Common         717081103   224996       7796134 SH       Sole              7577882            218252
                                                             254          8806 SH       Defined              8806
PHARMACYCLICS INC              Common         716933106    32644        405974 SH       Sole               404454              1520
PHILIP MORRIS INTERNATIONAL    Common         718172109   151802       1637390 SH       Sole              1620820             16570
                                                             272          2938 SH       Defined              2938
PHILLIPS 66                    Common         718546104       18           252 SH       Sole                  252
PIER 1 IMPORTS INC             Common         720279108    27283       1186229 SH       Sole              1186229
PIONEER NATURAL RESOURCES      Common         723787107    83731        673890 SH       Sole               627993             45897
                                                              75           600 SH       Defined               600
PLAINS EXPLORATION & PRODUCT   Common         726505100      289          6094 SH       Sole                 6094
PLUM CREEK TIMBER COMPANY INC. Common         729251108     2196         42076 SH       Sole                42076
PNC FINANCIAL SERVICES GROUP   Common         693475105     4366         65650 SH       Sole                65650
POLYONE CORPORATION            Common         73179P106    35503       1454459 SH       Sole              1448634              5825
PPG INDUSTRIES INC.            Common         693506107    42292        315755 SH       Sole               281430             34325
                                                              31           230 SH       Defined               230
PRAXAIR INC                    Common         74005P104      611          5480 SH       Sole                 5480
PRECISION CASTPARTS CORP       Common         740189105    57331        302348 SH       Sole               260153             42195
                                                              58           305 SH       Defined               305
PRICELINE.COM INC              Common         741503403     5230          7600 SH       Sole                                   7600
PRIMORIS SERVICES CORP         Common         74164F103    16106        728464 SH       Sole               728464
PROCERA NETWORKS INC           Common         74269U203      843         70865 SH       Sole                70865
PROCTER & GAMBLE CO            Common         742718109   134369       1743688 SH       Sole              1624083            119605
                                                             148          1920 SH       Defined              1920
PRUDENTIAL FINANCIAL INC       Common         744320102     6924        117382 SH       Sole               117382
PVH CORP                       Common         693656100   103917        972916 SH       Sole               916979             55937
                                                              92           860 SH       Defined               860
QUALCOMM INC.                  Common         747525103   174160       2601734 SH       Sole              2352436            249298
                                                             187          2801 SH       Defined              2801
QUANTA SERVICES INC.           Common         74762E102   108753       3805224 SH       Sole              3509524            295700
                                                             111          3880 SH       Defined              3880
QUESTCOR PHARMACEUTICALS       Common         74835Y101    33417       1026954 SH       Sole              1024214              2740
RADWARE LTD                    Common         M81873107    18957        502427 SH       Sole               502427
RALPH LAUREN CORP              Common         751212101     7468         44107 SH       Sole                44107
RAYTHEON COMPANY               Common         755111507       14           236 SH       Sole                  236
RBC BEARINGS INC               Common         75524B104    28212        557986 SH       Sole               557986
RED HAT INC                    Common         756577102    89557       1771297 SH       Sole              1568297            203000
                                                              95          1880 SH       Defined              1880
REYNOLDS AMERICAN INC          Common         761713106        4            96 SH       Sole                   96
ROBERT HALF INTL INC           Common         770323103    92654       2468809 SH       Sole              2399559             69250
                                                              81          2150 SH       Defined              2150
ROCHE HOLDINGS AG ADR          Common         771195104     1360         23315 SH       Sole                23315
ROCKWOOD HOLDINGS INC          Common         774415103   139026       2124473 SH       Sole              1976213            148260
                                                             107          1630 SH       Defined              1630
ROPER INDUSTRIES INC           Common         776696106       29           225 SH       Sole                  225
ROSETTA RESOURCES INC          Common         777779307    25414        534132 SH       Sole               534132
ROSS STORES INC. - DEL.        Common         778296103     3863         63729 SH       Sole                63729
ROWE T PRICE GROUP INC.        Common         74144T108    10013        133738 SH       Sole               133738
ROYAL CARIBBEAN CRUISES LTD.   Common         V7780T103        2            66 SH       Sole                   66
ROYAL DUTCH SHELL PLC ADR      Common         780259206     5003         76779 SH       Sole                76729                50
ROYAL GOLD INC                 Common         780287108     6148         86561 SH       Sole                85701               860
RUCKUS WIRELESS INC            Common         781220108    14747        702223 SH       Sole               702223
RUSH ENTERPRISES INC CL A      Common         781846209     1004         41620 SH       Sole                41620
RYMAN HOSPITALITY PROPERTIES   Common         78377T107   120045       2623925 SH       Sole              2569329             54596
                                                              83          1823 SH       Defined              1823
SALESFORCE.COM INC             Common         79466L302   124609        696802 SH       Sole               631122             65680
                                                             143           800 SH       Defined               800
SANDISK CORP                   Common         80004C101   115050       2093333 SH       Sole              1908398            184935
                                                             121          2195 SH       Defined              2195
SANOFI AVENTIS SPONSORED ADR   Common         80105N105    36784        720123 SH       Sole               693178             26945
                                                              51          1005 SH       Defined              1005
SAP AG ADR                     Common         803054204      592          7355 SH       Sole                 7355
SBA COMMUNICATIONS CORP        Common         78388J106    38766        538423 SH       Sole               535903              2520
SCHLUMBERGER LTD               Common         806857108      313          4181 SH       Sole                 3981               200
SCRIPPS NETWORKS INTERACTIVE   Common         811065101    32075        498531 SH       Sole               495431              3100
SEAGATE TECHNOLOGY PLC         Common         G7945M107        5           125 SH       Sole                  125
SEATTLE GENETICS INC           Common         812578102    11140        313746 SH       Sole               313746
SEMPRA ENERGY                  Common         816851109        6            76 SH       Sole                   76
SEMTECH CORP.                  Common         816850101     7660        216392 SH       Sole               216392
SHIRE PLC - SPONSORED ADR      Common         82481R106     3755         41100 SH       Sole                41100
SILICON GRAPHICS INTERNATIONAL Common         82706L108    17979       1307556 SH       Sole              1307556
SILVER BAY REALTY TRUST CORP   Common         82735Q102    27587       1332688 SH       Sole              1320528             12160
                                                               9           439 SH       Defined               439
SIMON PROPERTY GROUP INC NEW   Common         828806109     4227         26656 SH       Sole                26656
SINA CORPORATION               Common         G81477104    68020       1399868 SH       Sole              1347233             52635
                                                             111          2275 SH       Defined              2275
SIRIUS SATELLITE RADIO INC     Common         82967N108    29528       9586879 SH       Sole              9586879
SIRONA DENTAL SYSTEMS INC      Common         82966C103    10817        146708 SH       Sole               145258              1450
SIX FLAGS ENTERTAINMENT CORP   Common         83001A102    60321        832247 SH       Sole               829607              2640
SKYWORKS SOLUTIONS INC         Common         83088M102    24555       1114848 SH       Sole               825699            289149
SM ENERGY CO                   Common         78454L100    18199        307313 SH       Sole               304483              2830
SOLAZYME INC                   Common         83415T101       96         12305 SH       Sole                12305
SOTHEBY'S HLDGS INC.-CL A      Common         835898107    12604        336923 SH       Sole               335633              1290
SOURCEFIRE INC                 Common         83616T108    13794        232884 SH       Sole               232884
SOUTHERN CO.                   Common         842587107     2034         43356 SH       Sole                43356
SPIRIT AEROSYSTEMS HOLD CL A   Common         848574109       17           920 SH       Sole                  920
SPLUNK INC                     Common         848637104     4777        119332 SH       Sole               119332
SPS COMMERCE INC               Common         78463M107     2033         47644 SH       Sole                47644
SPX CORP.                      Common         784635104    14103        178615 SH       Sole               177545              1070
STANDARD PACIFIC CORP.         Common         85375C101     2823        326775 SH       Sole               326775
STANLEY BLACK & DECKER INC     Common         854502101        4            48 SH       Sole                   48
STARBUCKS CORP.                Common         855244109    80094       1406398 SH       Sole              1291563            114835
                                                              98          1725 SH       Defined              1725
STARZ - LIBERTY CAPITAL        Common         85571Q102        1            42 SH       Sole                   42
STATE STREET CORP              Common         857477103       27           464 SH       Sole                  464
STERICYCLE INC.                Common         858912108     9980         93988 SH       Sole                93988
STRYKER CORP                   Common         863667101        8           118 SH       Sole                  118
SUNTRUST BANKS INC             Common         867914103        5           174 SH       Sole                  174
SUPERIOR ENERGY SERVICES INC   Common         868157108     4118        158584 SH       Sole               158584
SYMANTEC CORP.                 Common         871503108       10           423 SH       Sole                  423
SYNAGEVA BIOPHARMA CORP        Common         87159A103    21689        394925 SH       Sole               394020               905
TAIWAN SEMICONDUCTOR ADR       Common         874039100       26          1501 SH       Sole                 1501
TANGER FACTORY OUTLET CENTERS  Common         875465106    12618        348760 SH       Sole               345685              3075
TARGET CORP                    Common         87612E106     2228         32549 SH       Sole                32549
TATA MOTORS LTD ADR            Common         876568502       90          3700 SH       Sole                 3700
TAUBMAN CENTERS INC            Common         876664103    12282        158150 SH       Sole               156745              1405
TEAM HEALTH HOLDINGS INC       Common         87817A107    31208        857845 SH       Sole               857845
TENET HEALTHCARE CORP          Common         88033G407    36750        772392 SH       Sole               772392
TEREX CORP NEW                 Common         880779103    86248       2505759 SH       Sole              2363064            142695
                                                              85          2480 SH       Defined              2480
TESLA MOTORS INC               Common         88160R101      666         17575 SH       Sole                17575
TESORO CORP                    Common         881609101    13550        231420 SH       Sole               160820             70600
TETRA TECH INC.                Common         88162G103    54822       1798037 SH       Sole              1791312              6725
TEXAS CAPITAL BANCSHARES INC   Common         88224Q107    38301        946866 SH       Sole               943221              3645
THE TRAVELERS COMPANIES INC    Common         89417E109       11           131 SH       Sole                  131
THE VALSPAR CORP               Common         920355104    20804        334200 SH       Sole               331890              2310
THERAVANCE INC                 Common         88338T104     9412        398483 SH       Sole               396798              1685
THERMO FISHER SCIENTIFIC INC   Common         883556102    24103        315115 SH       Sole               302735             12380
THOMSON REUTERS CORP           Common         884903105        8           237 SH       Sole                  237
THORATEC CORP                  Common         885175307    24475        652709 SH       Sole               650534              2175
TIFFANY & CO-NEW               Common         886547108     1110         15960 SH       Sole                15960
TIME WARNER CABLE              Common         88732J207     7411         77147 SH       Sole                77147
TIME WARNER INC.               Common         887317303        8           145 SH       Sole                  145
TJX COMPANY INC                Common         872540109    11444        244796 SH       Sole               137496            107300
TRACTOR SUPPLY COMPANY         Common         892356106     8044         77245 SH       Sole                77245
TRANSDIGM GROUP INC            Common         893641100    15559        101746 SH       Sole               101026               720
TRANSOCEAN LTD.                Common         H8817H100       10           195 SH       Sole                  195
TRI POINTE HOMES LLC           Common         87265H109      806         40000 SH       Sole                40000
TRIMBLE NAVIGATION LTD         Common         896239100     7193        239939 SH       Sole               237829              2110
TRULIA INC                     Common         897888103    14182        451928 SH       Sole               451928
TRW AUTOMOTIVE HOLDINGS CORP   Common         87264S106    26403        480049 SH       Sole               409579             70470
TUPPERWARE BRANDS              Common         899896104    21546        263589 SH       Sole               261754              1835
TW TELECOM INC.                Common         87311L104    12739        505702 SH       Sole               502472              3230
TWO HARBORS INVESTMENT CORP    Common         90187B101   127602      10119081 SH       Sole              9870754            248327
                                                             113          8965 SH       Defined              8965
TYCO INTERNATIONAL LTD NEW     Common         H89128104    71602       2237547 SH       Sole              2157307             80240
                                                              93          2909 SH       Defined              2909
U.S. BANCORP-NEW               Common         902973304    11323        333726 SH       Sole               333726
UBS AG NEW                     Common         H89231338       13           833 SH       Sole                  833
ULTIMATE SOFTWARE GROUP        Common         90385D107    40797        391677 SH       Sole               390412              1265
UNITED CONTINENTAL HOLDINGS    Common         910047109      404         12615 SH       Sole                12615
UNITED NATURAL FOODS INC       Common         911163103    37149        755051 SH       Sole               752076              2975
UNITED PARCEL SERVICE INC CL-B Common         911312106    75649        880665 SH       Sole               853695             26970
                                                              88          1030 SH       Defined              1030
UNITED RENTALS INC             Common         911363109    56435       1026656 SH       Sole              1001029             25627
                                                              50           913 SH       Defined               913
UNITED TECHNOLOGIES CORP.      Common         913017109     2635         28200 SH       Sole                                  28200
UNITED THERAPEUTICS CORP.      Common         91307C102     4482         73629 SH       Sole                72969               660
UNITEDHEALTH GROUP INC         Common         91324P102   134592       2352603 SH       Sole              2280298             72305
                                                             174          3040 SH       Defined              3040
UNIVERSAL DISPLAY CORP         Common         91347P105      764         25963 SH       Sole                25963
UNIVERSAL HEALTH SERVICES INC  Common         913903100    60666        949835 SH       Sole               930585             19250
URBAN OUTFITTERS INC           Common         917047102       41          1047 SH       Sole                 1047
US AIRWAY GROUP INC            Common         90341W108    28198       1661665 SH       Sole              1656250              5415
VALE SPONSORED ADR             Common         91912E105      127          7350 SH       Sole                 7350
VALEANT PHARMACEUTICALS INTERN Common         91911K102     6763         90154 SH       Sole                90154
VALERO ENERGY CORP             Common         91913Y100   102355       2250058 SH       Sole              2183913             66145
                                                             116          2555 SH       Defined              2555
VERINT SYSTEMS INC             Common         92343X100        0             5 SH       Sole                    5
VERISK ANALYTICS INC CLASS A   Common         92345Y106    12531        203364 SH       Sole               203364
VERIZON COMMUNICATIONS         Common         92343V104   135699       2760922 SH       Sole              2450217            310705
                                                             147          2995 SH       Defined              2995
VERTEX PHARMACEUTICALS INC     Common         92532F100    64116       1166374 SH       Sole              1093609             72765
                                                              73          1330 SH       Defined              1330
VF CORP                        Common         918204108    17119        102049 SH       Sole                98384              3665
                                                              25           150 SH       Defined               150
VIACOM INC NEW CLASS B         Common         92553P201    79699       1296340 SH       Sole              1245945             50395
                                                              91          1485 SH       Defined              1485
VIROPHARMA INC                 Common         928241108    21536        855960 SH       Sole               853315              2645
VISA INC CLASS A SHARES        Common         92826C839    40445        238136 SH       Sole               196661             41475
                                                              73           430 SH       Defined               430
VISTAPRINT NV                  Common         N93540107    35887        928262 SH       Sole               920812              7450
VITAMIN SHOPPE INC             Common         92849E101    22588        462385 SH       Sole               462385
VMWARE INC CLASS A             Common         928563402        3            34 SH       Sole                   34
VODAFONE GROUP PLC SPONSORED A Common         92857W209    51398       1809777 SH       Sole              1743847             65930
                                                              72          2530 SH       Defined              2530
VOLCANO CORP                   Common         928645100    29149       1309499 SH       Sole              1304769              4730
WABCO HOLDINGS INC             Common         92927K102   107319       1520320 SH       Sole              1408495            111825
                                                             107          1510 SH       Defined              1510
WAL-MART STORES INC            Common         931142103     2652         35442 SH       Sole                35292               150
WALGREEN CO.                   Common         931422109        3            56 SH       Sole                   56
WALT DISNEY CO.                Common         254687106    80685       1420514 SH       Sole              1306059            114455
                                                              94          1655 SH       Defined              1655
WALTER INDUSTRIES INC.         Common         93317Q105       10           340 SH       Sole                  340
WARNER CHILCOTT PLC CLASS A    Common         G94368100      877         64750 SH       Sole                64750
WASTE CONNECTIONS INC          Common         941053100    12503        347509 SH       Sole               344405              3104
WASTE MANAGEMENT INC NEW       Common         94106L109      695         17735 SH       Sole                17735
WEATHERFORD INTERNATIONAL LTD  Common         H27013103       26          2101 SH       Sole                 2101
WELLS FARGO & CO NEW           Common         949746101    25649        693398 SH       Sole               686423              6975
WESCO INTERNATIONAL INC        Common         95082P105    70954        977190 SH       Sole               951200             25990
                                                              88          1215 SH       Defined              1215
WEX INC                        Common         96208T104    40144        511394 SH       Sole               509304              2090
WHITING PETROLEUM CORP         Common         966387102    79749       1568633 SH       Sole              1382373            186260
                                                              44           865 SH       Defined               865
WHOLE FOODS MARKET INC.        Common         966837106     5960         68707 SH       Sole                68707
WILLIAMS COMPANIES INC         Common         969457100      965         25766 SH       Sole                25766
WILLIAMS SONOMA INC.           Common         969904101     3109         60352 SH       Sole                55797              4555
WISDOMTREE INVESTMENTS INC     Common         97717P104    30955       2976443 SH       Sole              2976443
WOLVERINE WORLD WIDE INC.      Common         978097103    12700        286221 SH       Sole               286221
WOODWARD INC.                  Common         980745103      698         17545 SH       Sole                17545
WORKDAY INC                    Common         98138H101     6526        105884 SH       Sole                22384             83500
WPX ENERGY INC                 Common         98212B103    10707        668370 SH       Sole               662445              5925
WRIGHT MEDICAL GROUP INC       Common         98235T107    17046        715923 SH       Sole               715923
WW GRAINGER INC                Common         384802104     6378         28349 SH       Sole                28349
WYNDHAM WORLDWIDE CORP         Common         98310W108    53020        822267 SH       Sole               817737              4530
WYNN RESORTS LTD               Common         983134107    10981         87736 SH       Sole                87736
XCEL ENERGY INC                Common         98389B100       13           437 SH       Sole                  437
XILINX INC                     Common         983919101     1045         27372 SH       Sole                27372
YAHOO INC.                     Common         984332106    64657       2747952 SH       Sole              2548762            199190
                                                              71          3030 SH       Defined              3030
YAMANA GOLD INC                Common         98462Y100       33          2140 SH       Sole                 2140
YANDEX NV                      Common         N97284108       56          2400 SH       Sole                 2400
YELP INC                       Common         985817105     2364         99720 SH       Sole                99720
ZIONS BANCCORPORATION          Common         989701107    74929       2998353 SH       Sole              2916873             81480
                                                              71          2825 SH       Defined              2825
ZOETIS INC                     Common         98978V103    14533        435128 SH       Sole               320128            115000
ISHARES RUSSELL 3000 GROWTH    Mutual Funds   464287671       22           378 SH       Sole                  378
REPORT SUMMARY                683 DATA RECORDS          17273520                 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</Table>