13F-HR
	FORM 13F HOLDINGS REPORT

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

	FORM 13F

	FORM 13F COVER PAGE

REPORT FOR THE CALENDAR QUARTER ENDED March 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:	BOGLE INVESTMENT MANAGEMENT, L.P.
	2310 WASHINGTON STREET
	SUITE 310
	NEWTON LOWER FALLS, MA 02462

13F FILE NUMBER:	028-06193

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, 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 an integral part of this form.

Person signing this Report on Behalf of Reporting Manager:

Name:	John C. Bogle, Jr.
Title:	President
Phone:	781-283-5000
Signature, Place, and State of Signing:

John C. Bogle, Jr.	Newton Lower Falls, MA	5/14/2013

Report Type (check only one):

[X]	13F HOLDING REPORT
[ ]	13F NOTICE
[ ]	13F COMBINATION REPORT

FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:	0

FORM 13F INFORMATION TABLE ENTRY TOTAL:	240

FORM 13F INFORMATION TABLE VALUE TOTAL:	$629,141


LIST OF OTHER INCLUDED MANAGERS	NONE

NO.	 13F FILE NUMBER 	NAME

												Voting Authority
			FORM 13F INFORMATION TABLE
	Title of 							SHARES/	INVSTMT	OTHER
Name of Issuer			Class	Cusip	  Value(x$1000)	PRN AMT	SH/PRN	DSCRETN	MANAGERSSOLE	SHARED	NONE
AEP INDUSTRIES INC            	COM	001031103	964	13422	SH 	SOLE		13422
AGCO CORP COM                 	COM	001084102	1445	27734	SH 	SOLE		22888		4846
AMAG PHARMACEUTICALS INC      	COM	00163U106	1653	69316	SH 	SOLE		69316
AMN HEALTHCARE SRVCS COM      	COM	001744101	6250	394792	SH 	SOLE		367539		27253
ACTIVE NETWORK INC COM        	COM	00506D100	1316	314098	SH 	SOLE		314098
ADAMS RES & ENERGY INC COM NEW	COM	006351308	288	5656	SH 	SOLE		5656
ADDUS HOMECARE CORP COM       	COM	006739106	190	14400	SH 	SOLE		14400
AECOM TECH CORP DEL COM       	COM	00766T100	5684	173287	SH 	SOLE		164944		8343
ADVANCED ENERGY INDS COM      	COM	007973100	6102	333434	SH 	SOLE		313712		19722
ALBANY MOLECULAR RESH COM     	COM	012423109	6050	575685	SH 	SOLE		542466		33219
ALLSCRIPTS HLTHCAR SOL COM    	COM	01988P108	4791	352538	SH 	SOLE		348215		4323
ALON USA ENERGY INC COM       	COM	020520102	6419	336978	SH 	SOLE		317936		19042
AMERCO COM                    	COM	023586100	1729	9965	SH 	SOLE		8204		1761
AMERICAN PAC CORP COM         	COM	028740108	636	27500	SH 	SOLE		27500
AMERICAN RAILCAR INDS COM     	COM	02916P103	6719	143750	SH 	SOLE		136355		7395
AMERICAN WOODMARK CORP COM    	COM	030506109	2671	78500	SH 	SOLE		78500
ANIKA THERAPEUTICS INC COM    	COM	035255108	680	46833	SH 	SOLE		44202		2631
ANN INC                       	COM	035623107	1497	51578	SH 	SOLE		42571		9007
APOGEE ENTERPRISES INC COM    	COM	037598109	2602	89885	SH 	SOLE		89885
APOLLO GROUP INC  -CL A       	CL A	037604105	4171	240008	SH 	SOLE		240008
ARGAN INC COM                 	COM	04010E109	244	16369	SH 	SOLE		16369
ARTIO GLOBAL INVS INC COM     	COM	04315B107	55	20070	SH 	SOLE		16569		3501
ASPEN TECHNOLOGY INC          	COM	045327103	5488	169952	SH 	SOLE		163202		6750
ASTEX PHARMACEUTICALS COM     	COM	04624B103	3091	692227	SH 	SOLE		673067		19160
ATLANTIC TELE NETWORK COM NEW 	COM	049079205	1854	38218	SH 	SOLE		36886		1332
AUDIENCE INC COM              	COM	05070J102	1650	108197	SH 	SOLE		108197
BABCOCK & WILCOX CO COM       	COM	05615F102	2419	85147	SH 	SOLE		75640		9507
BARRETT BUSINESS SVCS COM     	COM	068463108	3789	71961	SH 	SOLE		65337		6624
BBVA BANCO FRANCES S A SPONSOR	SP ADR	07329M100	81	19400	SH 	SOLE		16006		3394
BIG 5 SPORTING GOODS COM      	COM	08915P101	4132	264702	SH 	SOLE		246158		18544
BOSTON SCIENTIFIC CORP COM    	COM	101137107	2646	338811	SH 	SOLE		338811
BRIGHTCOVE INC COM            	COM	10921T101	1783	287169	SH 	SOLE		278105		9064
BROCADE COMMUNCTNS SYS COM    	COM	111621306	1634	283157	SH 	SOLE		233719		49438
BROWN SHOE INC NEW COM        	COM	115736100	1715	107215	SH 	SOLE		100621		6594
BRUNSWICK CORP COM            	COM	117043109	1587	46390	SH 	SOLE		38299		8091
CVR ENERGY INC COM            	COM	12662P108	4128	79967	SH 	SOLE		79967
CALAMOS ASSET MGMT INC CL A   	CL A	12811R104	1712	145468	SH 	SOLE		119843		25625
CBEYOND INC COM               	COM	149847105	633	85184	SH 	SOLE		85184
CELLDEX THERAPEUTICS I COM    	COM	15117B103	4931	425848	SH 	SOLE		425848
CENTRAL GARDEN&PET CO CL A NON	CL A	153527205	838	101900	SH 	SOLE		101900
CHARLES RIV LABS INTL COM     	COM	159864107	6932	156589	SH 	SOLE		149875		6714
COEUR D ALENE MINES ID COM NEW	COM	192108504	1277	67699	SH 	SOLE		67699
COMBIMATRIX CORP COM NEW      	COM	20009T303	68	20283	SH 	SOLE		20283
CO BRASILEIRA DE DISTR SPON AD	ADR	20440T201	4128	77476	SH 	SOLE		77476
COMPANHIA DE SANEAMENT SPONSOR	ADR	20441A102	1616	33867	SH 	SOLE		33867
CONCURRENT COMPUTR NEW COM    	COM	206710402	1359	171818	SH 	SOLE		155577		16241
CONSUMER PORTFOLIO SVC COM    	COM	210502100	4627	395162	SH 	SOLE		362482		32680
CORE MARK HLDG CO INC COM     	COM	218681104	1589	30977	SH 	SOLE		25561		5416
CORELOGIC INC COM             	COM	21871D103	6026	233031	SH 	SOLE		221534		11497
COTT CORP QUE COM             	COM	22163N106	3986	393878	SH 	SOLE		364686		29192
CRANE CO COM                  	COM	224399105	1544	27644	SH 	SOLE		22812		4832
CRAY INC COM                  	COM	225223304	5167	222605	SH 	SOLE		222605
CULP INC COM                  	COM	230215105	680	42710	SH 	SOLE		39115		3595
CUTERA INC COM                	COM	232109108	1015	78069	SH 	SOLE		78069
CYBERONICS INC                	COM	23251P102	5884	125720	SH 	SOLE		119620		6100
CYNOSURE INC CL A             	CL A	232577205	4466	170656	SH 	SOLE		159017		11639
DAKTRONICS INC COM            	COM	234264109	2653	252646	SH 	SOLE		227732		24914
DAWSON GEOPHYSICAL CO COM     	COM	239359102	612	20400	SH 	SOLE		19022		1378
DEAN FOODS CO NEW COM         	COM	242370104	7074	390157	SH 	SOLE		372400		17757
DELEK US HLDGS INC COM        	COM	246647101	4704	119200	SH 	SOLE		119200
DELTA AIR LINES DEL COM       	COM	247361702	5565	337068	SH 	SOLE		337068
DEPOMED INC COM               	COM	249908104	1236	210600	SH 	SOLE		210600
DIGITAL RIV INC               	COM	25388B104	1291	91318	SH 	SOLE		75391		15927
DOMINION DIAMOND CORP         	COM	257287102	6199	379632	SH 	SOLE		361284		18348
EARTHLINK NETWORK INC         	COM	270321102	3430	634032	SH 	SOLE		582089		51943
ELECTRONICS FOR IMAGNG COM    	COM	286082102	545	21500	SH 	SOLE		21500
EMERGENT BIOSOLUTN INC COM    	COM	29089Q105	2754	197011	SH 	SOLE		179126		17885
ENERSIS S A SPONS ADR         	SP ADR	29274F104	3219	167330	SH 	SOLE		167330
ENERNOC INC COM               	COM	292764107	3714	213829	SH 	SOLE		213829
ENZON INC COM                 	COM	293904108	853	224438	SH 	SOLE		212945		11493
ERIE INDTY CO CL A            	CL A	29530P102	1435	18993	SH 	SOLE		15671		3322
EURONET WORLDWIDE INC COM     	COM	298736109	1166	44284	SH 	SOLE		36568		7716
EXPRESS INC COM               	COM	30219E103	525	29455	SH 	SOLE		24312		5143
FARMER BROS CO COM            	COM	307675108	625	42488	SH 	SOLE		39929		2559
FIRST AMERN CORP CALIF COM    	COM	31847R102	3666	143363	SH 	SOLE		131421		11942
FLY LEASING LTD SPONSORED ADR 	ADR	34407D109	1853	114512	SH 	SOLE		114512
FOSTER L B CO COM CL A        	COM	350060109	796	17973	SH 	SOLE		14838		3135
FURIEX PHARMAC INC COM        	COM	36106P101	1364	36400	SH 	SOLE		36400
GENERAC HLDGS INC COM         	COM	368736104	3972	112400	SH 	SOLE		112400
GENOMIC HEALTH INC COM        	COM	37244C101	1286	45474	SH 	SOLE		45474
GENTIVA HEALTH SERV COM       	COM	37247A102	3153	291428	SH 	SOLE		270710		20718
GENWORTH FINL INC COM CL A    	CL A	37247D106	2040	203987	SH 	SOLE		178518		25469
GOL LINHAS AEREAS INT SP ADR R	SP ADR	38045R107	5823	978700	SH 	SOLE		930926		47774
GOLDFIELD CORP COM            	COM	381370105	2401	650634	SH 	SOLE		650634
GOODYEAR TIRE & RUBR COM      	COM	382550101	1605	127325	SH 	SOLE		105087		22238
GRAPHIC PACKAGING INTL COM    	COM	388689101	1705	227657	SH 	SOLE		187857		39800
GRAY TELEVISION INC COM       	COM	389375106	1518	323742	SH 	SOLE		323742
GREEN PLAINS RENEWABLE COM    	COM	393222104	1510	132011	SH 	SOLE		128848		3163
GRIFOLS S A SP ADR REP B NVT  	SP ADR	398438408	4302	148300	SH 	SOLE		148300
HANMI FINL CORP COM NEW       	COM	410495204	221	13800	SH 	SOLE		13800
HARMONY GOLD MNG SPON ADR     	SP ADR	413216300	4197	654710	SH 	SOLE		654710
HARVARD BIOSCIENCE INC COM    	COM	416906105	652	115360	SH 	SOLE		112006		3354
HAVERTY FURNITURE INC         	COM	419596101	1249	60749	SH 	SOLE		60749
HEADWATERS INC COM            	COM	42210P102	5733	525942	SH 	SOLE		518286		7656
HILLSHIRE BRANDS CO           	COM	432589109	3892	110723	SH 	SOLE		102165		8558
HIMAX TECHNOLOGIES INC ADR    	ADR	43289P106	5590	1029469	SH 	SOLE		1029469
HUNTSMAN CORP COM             	COM	447011107	2005	107858	SH 	SOLE		89105		18753
IDT CORP CL B                 	CL B	448947507	785	65117	SH 	SOLE		61563		3554
IMPAX LABORATORIES INC COM    	COM	45256B101	2380	154174	SH 	SOLE		154174
INFINITY PHARMACEUTICL COM    	COM	45665G303	6938	143133	SH 	SOLE		143133
INFOBLOX INC COM              	COM	45672H104	6740	310582	SH 	SOLE		297037		13545
INSTEEL INDUSTRIES INC COM    	COM	45774W108	1428	87517	SH 	SOLE		76739		10778
INTER PARFUMS INC COM         	COM	458334109	2690	110102	SH 	SOLE		100247		9855
INTERACTIVE BROKERS GR CL A   	COM	45841N107	1593	106819	SH 	SOLE		87905		18914
INTRALINKS HLDGS INC COM      	COM	46118H104	1485	233517	SH 	SOLE		217702		15815
INVESTMENT TEC GRP NEW COM    	COM	46145F105	1565	141783	SH 	SOLE		117054		24729
ISIS PHARMACEUTICALS COM      	COM	464330109	1358	80168	SH 	SOLE		80168
JUST ENERGY GROUP INC COM     	COM	48213W101	4111	624742	SH 	SOLE		612241		12501
KFORCE.COM                    	COM	493732101	1544	94347	SH 	SOLE		86822		7525
KIRKLANDS INC COM             	COM	497498105	507	44228	SH 	SOLE		40403		3825
KRISPY KREME DOUGHNUTS COM    	COM	501014104	6523	451757	SH 	SOLE		425271		26486
LPL FINANCIAL HOLDINGS INC    	COM	50212V100	452	14032	SH 	SOLE		14032
LSI CORP COM                  	COM	502161102	1581	233218	SH 	SOLE		192499		40719
LANNET INC COM                	COM	516012101	2277	225218	SH 	SOLE		203536		21682
LIBERTY INTERACTIVE LBT VENT C	COM	53071M880	4705	62251	SH 	SOLE		62251
LIN TV CORP CL A              	CL A	532774106	3588	326438	SH 	SOLE		326438
LOUISIANA PAC CORP COM        	COM	546347105	5552	257050	SH 	SOLE		257050
MBIA INC COM                  	COM	55262C100	5465	532089	SH 	SOLE		505148		26941
MYR GROUP INC DEL COM         	COM	55405W104	1591	64780	SH 	SOLE		53065		11715
MAGNACHIP SEMICONDCTR COM     	COM	55933J203	6742	389504	SH 	SOLE		370847		18657
MANITOWOC CO                  	COM	563571108	1486	72281	SH 	SOLE		62276		10005
MARATHON PETE CORP COM        	COM	56585A102	3764	42011	SH 	SOLE		42011
MCG CAPITAL CORP COM          	COM	58047P107	679	142073	SH 	SOLE		117293		24780
MEADOWBROOK INS GROUP COM     	COM	58319P108	183	25976	SH 	SOLE		21439		4537
MEDASSETS INC COM             	COM	584045108	4344	225680	SH 	SOLE		211194		14486
MELCO CROWN ENTMNT LTD ADR    	ADR	585464100	4652	199221	SH 	SOLE		199221
MOLINA HEALTHCARE INC COM     	COM	60855R100	5330	172673	SH 	SOLE		162978		9695
MOVE INC                      	COM	62458M207	991	82913	SH 	SOLE		82289		624
MUELLER WATER PRODUCTS INC - C	COM	624758108	1636	275903	SH 	SOLE		227636		48267
MULTIMEDIA GAMES INC COM      	COM	625453105	5815	278645	SH 	SOLE		256696		21949
NACCO INDS INC CL A           	CL A	629579103	767	14372	SH 	SOLE		13528		844
NAM TAI ELECTRS INC COM PAR $0	COM	629865205	3535	259958	SH 	SOLE		259958
NAUTILUS GROUP INC            	COM	63910B102	3650	500019	SH 	SOLE		467916		32103
NELNET INC CL A               	CL A	64031N108	1620	47918	SH 	SOLE		39023		8895
NETSOL TECHNOLOGIES COM PAR $.	COM	64115A402	4434	336653	SH 	SOLE		323519		13134
NEUTRAL TANDEM INC COM        	COM	64128B108	609	186207	SH 	SOLE		186207
NEXSTAR BROADCASTING CL A     	CL A	65336K103	3354	186359	SH 	SOLE		185836		523
NORDION INC COM               	COM	65563C105	1044	157904	SH 	SOLE		157904
NORTEK INC                    	COM	656559309	591	8283	SH 	SOLE		8283
OCWEN FINL CORP COM           	COM	675746309	1339	35299	SH 	SOLE		28669		6630
OFFICE DEPOT INC COM          	COM	676220106	3822	972618	SH 	SOLE		972618
OLD REP INTL CORP COM         	COM	680223104	1602	126063	SH 	SOLE		104020		22043
ORBITZ WORLDWIDE INC COM      	COM	68557K109	1992	348845	SH 	SOLE		348845
PC CONNECTION INC             	COM	69318J100	656	40108	SH 	SOLE		39588		520
PGT INC COM                   	COM	69336V101	2093	304662	SH 	SOLE		304662
PACIFIC PREMIER BNCRP COM     	COM	69478X105	367	27894	SH 	SOLE		27894
PAREXEL INTERNATIONAL CORP    	COM	699462107	776	19615	SH 	SOLE		16183		3432
PERCEPTRON INC COM            	COM	71361F100	619	85769	SH 	SOLE		81576		4193
PETROBRAS ARGENTINA SP ADR    	SP ADR	71646J109	562	118847	SH 	SOLE		112847		6000
PHOENIX COS INC NEW COM       	COM	71902E604	575	18687	SH 	SOLE		15418		3269
PILGRIMS PRIDE CORP           	COM	72147K108	5980	650745	SH 	SOLE		618713		32032
PIPER JAFFRAY COS COM         	COM	724078100	1388	40473	SH 	SOLE		32870		7603
POOL CORP                     	COM	73278L105	1549	32272	SH 	SOLE		26215		6057
POPULAR INC COM               	COM	733174700	4054	146886	SH 	SOLE		146886
POWER SECURE INTERNATIONAL    	COM	73936N105	1229	96705	SH 	SOLE		96705
PREMIERE GLOBAL SVCS COM      	COM	740585104	232	21104	SH 	SOLE		21104
PROGENICS PHARMA INC COM      	COM	743187106	1735	322540	SH 	SOLE		322540
PROS HOLDINGS INC COM         	COM	74346Y103	4291	157945	SH 	SOLE		147505		10440
PROVIDENCE SVC CORP COM       	COM	743815102	1627	88018	SH 	SOLE		79581		8437
PROVIDENT FINL HLDGS COM      	COM	743868101	1196	70292	SH 	SOLE		57994		12298
PULTE HOMES INC COM           	COM	745867101	7690	379939	SH 	SOLE		367502		12437
RF MICRODEVICES INC COM       	COM	749941100	4566	858201	SH 	SOLE		800785		57416
REACHLOCAL INC COM            	COM	75525F104	1457	97418	SH 	SOLE		90396		7022
RENEWABLE ENERGY GROUP COM NEW	COM	75972A301	494	64179	SH 	SOLE		64179
REPUBLIC AWYS HLDGS COM       	COM	760276105	6600	571933	SH 	SOLE		540427		31506
REX AMERICAN RESOURCES CORP   	COM	761624105	218	9873	SH 	SOLE		9873
ROCHESTER MED CORP COM        	COM	771497104	175	11986	SH 	SOLE		11986
RYANAIR HOLDINGS PLC - SP ADR 	SP ADR	783513104	421	10065	SH 	SOLE		10065
RYDER SYS INC COM             	COM	783549108	1719	28766	SH 	SOLE		23734		5032
SLM CORP COM                  	COM	78442P106	4035	196849	SH 	SOLE		196849
SWS GROUP INC COM             	COM	78503N107	67	11125	SH 	SOLE		9179		1946
SAFETY INS GROUP INC COM      	COM	78648T100	610	12403	SH 	SOLE		10233		2170
SAFEWAY INC COM NEW           	COM	786514208	3709	140764	SH 	SOLE		140764
ST JUDE MED INC COM           	COM	790849103	3857	95384	SH 	SOLE		95384
SANFILLIPPO JOHN B SON COM    	COM	800422107	497	24873	SH 	SOLE		24553		320
SANTARUS INC COM              	COM	802817304	8695	501754	SH 	SOLE		484008		17746
SCRIPPS E W CO OHIO CL A      	CL A	811054402	946	78613	SH 	SOLE		64902		13711
SELECT MEDICAL HOLDINGS CORP  	COM	81619Q105	2662	295796	SH 	SOLE		263285		32511
SHUTTERFLY INC COM            	COM	82568P304	2030	45964	SH 	SOLE		45964
SHUTTERSTOCK INC COM          	COM	825690100	972	21610	SH 	SOLE		21610
SIERRA WIRELESS INC COM       	COM	826516106	1252	118205	SH 	SOLE		109715		8490
SILICON GRAPHICS INTL COM     	COM	82706L108	2880	209420	SH 	SOLE		209420
SKYWEST INC COM               	COM	830879102	4333	269991	SH 	SOLE		269991
SOUFUN HOLDINGS LTD ADR       	ADR	836034108	789	30100	SH 	SOLE		30100
SPIRIT AEROSYS HLDGS I COM CL 	COM	848574109	207	10908	SH 	SOLE		10908
STAGE STORES INC COM NEW      	COM	85254C305	492	19025	SH 	SOLE		15704		3321
STANDARD MOTOR PRODS          	COM	853666105	552	19923	SH 	SOLE		19923
STEEL DYNAMICS INC            	COM	858119100	572	36062	SH 	SOLE		29756		6306
STEELCASE INC CL A            	CL A	858155203	6572	446177	SH 	SOLE		419900		26277
STEWART INFORMATN SVCS COM    	COM	860372101	857	33643	SH 	SOLE		27775		5868
SUCAMPO PHARMACEUTICAL CL A   	CL A	864909106	247	37735	SH 	SOLE		37735
SUPPORT COM INC COM           	COM	86858W101	157	37524	SH 	SOLE		37524
SURMODICS INC                 	COM	868873100	3020	110830	SH 	SOLE		99620		11210
SWIFT TRANSPORTATION CO INC   	COM	87074U101	6718	473776	SH 	SOLE		452541		21235
TASER INTL INC COM            	COM	87651B104	4980	626387	SH 	SOLE		597661		28726
TECUMSEH PRODS CO CL A        	CL A	878895200	362	41458	SH 	SOLE		41213		245
TELENAV INC COM               	COM	879455103	1680	260441	SH 	SOLE		234248		26193
TESORO CORPORATION            	COM	881609101	8723	148989	SH 	SOLE		143664		5325
THORATEC CORP COM NEW         	COM	885175307	5930	158134	SH 	SOLE		150322		7812
TILE SHOP HLDGS COM           	COM	88677Q109	279	13277	SH 	SOLE		13277
TREE.COM INC                  	COM	894675107	661	35754	SH 	SOLE		31893		3861
TREX CO INC COM               	COM	89531P105	5195	105626	SH 	SOLE		105626
TUESDAY MORNING CORP          	COM	899035505	853	109878	SH 	SOLE		109878
ULTRATECH INC                 	COM	904034105	1620	40988	SH 	SOLE		33882		7106
UNIFI INC COM                 	COM	904677200	1075	56272	SH 	SOLE		56272
UNIFIRST CORP MASS COM        	COM	904708104	1662	18370	SH 	SOLE		15162		3208
UNISYS CORP COM               	COM	909214306	5829	256206	SH 	SOLE		244267		11939
UNITED FIRE GROUP INC         	COM	910340108	772	30319	SH 	SOLE		25024		5295
UNITED ONLINE INC COM         	COM	911268100	1630	270335	SH 	SOLE		223068		47267
UNITED STATIONERS INC         	COM	913004107	1650	42684	SH 	SOLE		34686		7998
UNITED THERAPEUTIC DEL COM    	COM	91307C102	5840	95937	SH 	SOLE		90988		4949
VALERO ENERGY CORP NEW COM    	COM	91913Y100	3853	84698	SH 	SOLE		84698
VASCULAR SOLUTIONS INC COM    	COM	92231M109	661	40724	SH 	SOLE		33959		6765
VIAD CORP COM                 	COM	92552R406	3566	128923	SH 	SOLE		118350		10573
VIMPELCOM - SP ADR            	ADR	92719A106	4038	339639	SH 	SOLE		339639
VISTEON CORP COM              	COM	92839U206	1625	28159	SH 	SOLE		28159
VOLTERRA SEMICONDUCTOR COM    	COM	928708106	240	16922	SH 	SOLE		16922
WAGEWORKS INC COM             	COM	930427109	2599	103838	SH 	SOLE		92489		11349
WASHINGTON FED INC COM        	COM	938824109	1599	91369	SH 	SOLE		75480		15889
THE WENDY'S CO                	COM	95058W100	3481	613462	SH 	SOLE		613462
WEST PHARMACEUTCL SVCS COM    	COM	955306105	996	15331	SH 	SOLE		12950		2381
WESTERN REFNG INC COM         	COM	959319104	8738	246774	SH 	SOLE		236607		10167
XERIUM TECHNOLOGIES COM       	COM	98416J118	125	22941	SH 	SOLE		22941
YY INC ADS REPCOM CLA         	CL A	98426T106	602	35623	SH 	SOLE		35623
AMBARELLA INC SHS             	SHS	G037AX101	2222	141888	SH 	SOLE		141888
AXIS CAPITAL HOLDINGS SHS     	SHS	G0692U109	1341	32222	SH 	SOLE		26509		5713
COSAN LTD SHS A               	SHS A	G25343107	6110	313334	SH 	SOLE		301766		11568
ICON PUB LTD CO SPONSORED ADR 	SP ADR	G4705A100	4149	128500	SH 	SOLE		128500
NORWEGIAN CRUISE LINE SHS     	SHS	G66721104	1632	55049	SH 	SOLE		55049
TSAKOS ENERGY NAVIGATN SHS    	SHS	G9108L108	519	119351	SH 	SOLE		119351
WARNER CHILCOTT LTD COM CL A  	SHS A	G94368100	5949	439055	SH 	SOLE		418106		20949
CAESARSTONE SDOT-YAM L ORD SHS	ORD SHS	M20598104	805	30500	SH 	SOLE		30500
CERAGON NETWORKS LTD ORD      	ORD	M22013102	201	46545	SH 	SOLE		46545
CIMATRON LTD ORD              	ORD	M23798107	1508	243209	SH 	SOLE		243209
SYNERON MEDICAL LTD ORD SHS   	ORD SHS	M87245102	937	91708	SH 	SOLE		84538		7170
AERCAP HOLDINGS NV SHS        	SHS	N00985106	5760	372819	SH 	SOLE		354089		18730
AVG TECHNOLOGIES N V SHS      	SHS	N07831105	3744	268990	SH 	SOLE		268990
NXP SEMICONDUCTORS N V COM    	COM	N6596X109	4881	161149	SH 	SOLE		161149
COPA HOLDINGS SA CL A         	CL A	P31076105	3493	29200	SH 	SOLE		29200
STEALTHGAS INC SHS            	SHS	Y81669106	2426	202351	SH 	SOLE		186862		15489