0001140361-16-062036.txt : 20160426
0001140361-16-062036.hdr.sgml : 20160426
20160426114949
ACCESSION NUMBER: 0001140361-16-062036
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20160331
FILED AS OF DATE: 20160426
DATE AS OF CHANGE: 20160426
EFFECTIVENESS DATE: 20160426
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: RICE HALL JAMES & ASSOCIATES, LLC
CENTRAL INDEX KEY: 0001230765
IRS NUMBER: 431992529
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-10467
FILM NUMBER: 161590999
BUSINESS ADDRESS:
STREET 1: 600 WEST BROADWAY STE 1000
CITY: SAN DIEGO
STATE: CA
ZIP: 92101-3383
BUSINESS PHONE: 6192399005
MAIL ADDRESS:
STREET 1: 600 WEST BROADWAY STE 1000
CITY: SAN DIEGO
STATE: CA
ZIP: 92101-3383
FORMER COMPANY:
FORMER CONFORMED NAME: RICE HALL JAMES & ASSOCIATES LLC
DATE OF NAME CHANGE: 20030516
FORMER COMPANY:
FORMER CONFORMED NAME: RICE JAMES HALL & ASSOCIATES LLC
DATE OF NAME CHANGE: 20030502
13F-HR
1
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0001230765
XXXXXXXX
03-31-2016
03-31-2016
RICE HALL JAMES & ASSOCIATES, LLC
600 WEST BROADWAY STE 1000
SAN DIEGO
CA
92101-3383
13F COMBINATION REPORT
028-10467
0001390777
028-12592
Bank of New York Mellon Corp
N
Janine Marquez
Chief Compliance Officer
619-239-9005
Janine Marquez
San Diego
CA
04-25-2016
0
294
1732268
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Analogic Corp
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Apple Inc
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Applied Optoelectronics Inc
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Associated Capital Group Inc C
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Astronics Corp
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046433108
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AT&T Inc
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Atrion Corp
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229
Attunity Ltd
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Autobytel Inc
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Balchem Corp
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19168
309069
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Beacon Roofing Supply Inc
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427
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Blackhawk Network Holdings Inc
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BOFI Holding Inc
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389547
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Boingo Wireless Inc
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602785
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110122108
402
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SOLE
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52443
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Calix Inc
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Capella Education Co
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14104
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Cardinal Health Inc
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23358
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Carrols Restaurant Group Inc
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80182
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80912
Cathay General Bancorp
COM
149150104
16779
592260
SH
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172944
Cavco Inds Inc
COM
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2820
30171
SH
SOLE
15035
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15136
CBRE Group Inc Class A
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59279
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55296
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CDW Corp
COM
12514G108
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48049
SH
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CEB Inc
COM
125134106
16544
255588
SH
SOLE
239727
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15861
Century Casinos Inc
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4529
735259
SH
SOLE
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CEVA Inc
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157210105
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483676
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24313
Check Point Software Tech Ltd
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M22465104
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Cheesecake Factory Inc
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Chefs Warehouse Inc
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Chevron Corp
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Ciena Corporation
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Cimpress NV
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Cleco Corp
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Coherent Inc
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Columbia Banking System Inc
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Core Laboratories NV
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CRA International Inc
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Cray Inc
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18012
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Crocs Inc
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Cross Country Healthcare Inc
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Deckers Outdoor Corporation
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Disney Walt Co
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Dover Corp
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Drew Industries Inc
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E M C Corp Mass
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Electronics For Imaging Inc Co
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ePlus inc
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Knoll Inc
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50187A107
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54508
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19744
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Livanova PLC
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MCBC Holdings Inc
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MeetMe Inc
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615369105
379
3929
SH
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2765
0
1164
Mueller Water Products Inc
COM
624758108
18108
1832789
SH
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1296271
0
536518
Nanometrics Inc
COM
630077105
1931
121909
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60766
0
61143
National Instruments Corp
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636518102
2380
79042
SH
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74889
0
4153
National Oilwell Varco Inc
COM
637071101
405
13026
SH
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13026
0
0
National Research Corp Class A
COM
637372202
186
11988
SH
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10193
0
1795
National Research Corp Class B
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637372301
282
8043
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6841
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1202
Natural Grocers by Vitamin Cot
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63888U108
1984
93288
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87625
0
5663
Natus Medical Inc
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639050103
18962
493407
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338222
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155185
Nautilus Inc
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63910B102
1721
89053
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44306
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44747
Navigant Consulting Inc
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63935N107
2170
137283
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68240
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69043
Navigator Holdings Ltd
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Y62132108
1783
110427
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54939
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Nektar Therapeutics
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640268108
12652
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55699
NeuStar Inc
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64126X201
6305
256288
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241058
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15230
NIC Inc
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62914B100
11529
639456
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453574
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185882
Nordson Corp
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655663102
2446
32164
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30356
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1808
Nordstrom Inc
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655664100
1954
34147
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31816
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Norwegian Cruise Line Holdings
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2076
37555
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34942
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2613
NVIDIA Corp
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67066G104
2253
63241
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59438
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3803
Omnicell Inc
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68213N109
1577
56601
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28242
0
28359
ON Semiconductor Corp
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682189105
4013
418425
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383777
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Ophthotech Corp
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683745103
2218
52471
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49191
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3280
Owens & Minor Inc
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690732102
17891
442634
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312913
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129721
Oxford Industries Inc
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691497309
22740
338242
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260406
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77836
Pacific Continental Corp
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69412V108
2067
128150
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63814
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64336
Pacira Pharmaceuticals Inc
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695127100
3791
71558
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67015
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4543
Park City Group Inc
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700215304
1001
110758
SH
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55110
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55648
Pegasystems Inc
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705573103
23385
921379
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653461
0
267918
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712706209
1293
81693
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40594
0
41099
PepsiCo Inc
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713448108
2143
20916
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20416
0
500
Photronics Inc
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719405102
1342
128869
SH
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64080
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64789
Pinnacle Foods Inc
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72348P104
2286
51153
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47912
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3241
Points Intl Ltd
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730843208
2422
278126
SH
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260341
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17785
Pool Corp
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73278L105
22767
259480
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243496
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15984
Potbelly Corp
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73754Y100
2456
180441
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89843
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Procter & Gamble Co
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742718109
264
3206
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1889
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1317
Progenics Pharmaceuticals Inc
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743187106
4011
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51498
Proto Labs Inc
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11796
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Providence Service Corp
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743815102
2665
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PTC Inc
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69370C100
15814
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338227
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138658
QLogic Corp
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747277101
7272
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509864
0
31185
Qualcomm Inc
COM
747525103
1625
31766
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31766
0
0
Quality Systems Inc
COM
747582104
10657
699286
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495544
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203742
Quanex Building Products Corpo
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747619104
1590
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75689M101
15774
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173412
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71258
Relypsa Inc
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759531106
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123244
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Repligen Corp
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759916109
2022
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Rocky Mountain Chocolate Facto
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77467x101
363
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5348
Sagent Pharmaceuticals Inc
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786692103
1264
103830
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51593
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52237
Saia Inc
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78709Y105
1902
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33619
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SeaChange Intl Inc
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811699107
2186
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373744
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22333
Senomyx Inc
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81724Q107
3081
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1126903
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58036
Sensient Technologies Corp
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81725T100
17242
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Sharps Compliance Corp
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820017101
237
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Shutterfly
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82568P304
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323895
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Shutterstock Inc
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825690100
5887
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150440
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Silicon Graphics Intl Corp
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82706L108
2577
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180340
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Silicon Laboratories Inc
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826919102
16388
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257538
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Simulations Plus Inc
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829214105
586
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Snyders-Lance Inc
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Spark Networks Inc
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84651P100
176
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256
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STERIS PLC
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11731
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Team Health Holdings Inc
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87817A107
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Teleflex Inc
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Tennant Co
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Teradyne Inc
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880770102
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Tetra Tech Inc
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88162G103
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17965
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302
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Universal Electronics Inc
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Vail Resorts Inc
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91879Q109
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VCA Inc
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438
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98956P102
751
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0
0
Zions Bancorporation
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98974P100
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21207
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464287176
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550
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464285105
393
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464286871
293
14800
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14800
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0
iShares Inc MSCI Singapore Ind
N/A
464286673
230
21151
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21151
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0
iShares Inc MSCI Taiwan Index
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464286731
199
14360
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iShares Russell 2000 Growth In
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464287648
1285
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46625H365
379
13972
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0