0001144204-11-043937.txt : 20110804
0001144204-11-043937.hdr.sgml : 20110804
20110804145929
ACCESSION NUMBER: 0001144204-11-043937
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20110630
FILED AS OF DATE: 20110804
DATE AS OF CHANGE: 20110804
EFFECTIVENESS DATE: 20110804
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: EAM Investors, LLC
CENTRAL INDEX KEY: 0001510989
IRS NUMBER: 260638588
STATE OF INCORPORATION: CA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-14070
FILM NUMBER: 111010186
BUSINESS ADDRESS:
STREET 1: 2533 SOUTH COAST HIGHWAY 101
STREET 2: SUITE 240
CITY: CARDIFF BY THE SEA
STATE: CA
ZIP: 92024
BUSINESS PHONE: 7604795075
MAIL ADDRESS:
STREET 1: 2533 SOUTH COAST HIGHWAY 101
STREET 2: SUITE 240
CITY: CARDIFF BY THE SEA
STATE: CA
ZIP: 92024
FORMER COMPANY:
FORMER CONFORMED NAME: Eudaimonia Asset Management LLC
DATE OF NAME CHANGE: 20110124
13F-HR
1
v230279_13fhr.txt
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13-F
FORM 13F COVER PAGE
Report for the Calendar Year of Quarter Ended: June 30, 2011
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: EAM Investors, LLC
Address: 2533 South Coast Highway 101, STE 240
Cardiff by the Sea, CA 92007
13F File Number: 28-14070
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: Derek Gaertner
Title: Chief Operating Officer
Phone: 760-479-5075
Signature: Derek Gaertner
--------------------------
Place: Cardiff by the Sea, CA
Date: August 4, 2011
Report Type:
[X] 13F Holdings Report.
[ ] 13F Notice.
[ ] 13F Combination Report.
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 192
Form 13F Information Value Total: 207,519
List of Other Included Managers:
No. 13F File Number Name
None
June 30, 2011 13F Report
Title of Value Shares/ SH/ PUT/ Investment Other Voting Authority
Name Of Issuer Class CUSIP X1000 PRN Amount PRN Call Discretion Managers Sole Shared None
----------------------------------------------------------------------------------------------------------------------------------
8X8 INC Equity 282914100 2649 541728 SH Sole 283233 0 258495
AAON INC Equity 000360206 776 35525 SH Sole 5031 0 30494
ACCELR8 TECH Equity 004304200 485 120290 SH Sole 99110 0 21180
ACHILLION PHARMA Equity 00448Q201 1550 208291 SH Sole 109947 0 98344
AEGERION PHARMACEUTICALS INC Equity 00767E102 561 35605 SH Sole 5050 0 30555
ALTRA HOLDINGS I Equity 02208R106 811 33822 SH Sole 5472 0 28350
AMER VANGUARD Equity 030371108 796 61395 SH Sole 8720 0 52675
AMERICA'S CAR-MART INC Equity 03062T105 827 25073 SH Sole 3558 0 21515
AMERICAN RAILCAR INDUSTRIES INC Equity 02916P103 840 35830 SH Sole 5065 0 30765
AMERIGON INC Equity 03070L300 1019 58648 SH Sole 8288 0 50360
AMERISAFE INC Equity 03071H100 786 34733 SH Sole 4908 0 29825
AMICUS THERAPEUT Equity 03152W109 953 160518 SH Sole 132188 0 28330
ANTARES PHARMA INC Equity 036642106 1704 771110 SH Sole 409785 0 361325
ARIAD PHARMACEUTICALS INC Equity 04033A100 158 13980 SH Sole 4048 0 9932
ARQULE INC Equity 04269E107 585 93559 SH Sole 13274 0 80285
ASTRONICS CORP Equity 046433108 317 10300 SH Sole 1461 0 8839
AT CROSS CO-A Equity 227478104 1142 100260 SH Sole 82625 0 17635
ATRICURE INC Equity 04963C209 1032 79982 SH Sole 65848 0 14134
AVEO PHARMACEUTICALS INC Equity 053588109 868 42093 SH Sole 6801 0 35292
BALCHEM CORP Equity 057665200 1145 26152 SH Sole 4085 0 22067
BARRY (R.G.) Equity 068798107 1036 91820 SH Sole 75650 0 16170
BIOSANTE PHARMA Equity 09065V203 1489 541347 SH Sole 277246 0 264101
BIOSCRIP INC Equity 09069N108 744 114580 SH Sole 16250 0 98330
BODY CENTRAL CORP Equity 09689U102 754 32031 SH Sole 4551 0 27480
BOTTOMLINE TECH Equity 101388106 900 36440 SH Sole 5774 0 30666
BRAVO BRIO RESTAURANT GROUP Equity 10567B109 1017 41611 SH Sole 5896 0 35715
CAI INTERNATIONA Equity 12477X106 706 34190 SH Sole 4830 0 29360
CALIPER LIFE SCIENCES INC Equity 130872104 776 95632 SH Sole 13522 0 82110
CALIX NETWORKS INC Equity 13100M509 678 32564 SH Sole 4619 0 27945
CALLIDUS SOFTWAR Equity 13123E500 1605 274440 SH Sole 151290 0 123150
CANTEL MEDICAL Equity 138098108 845 31416 SH Sole 4441 0 26975
CAP SENIOR LIVIN Equity 140475104 1988 214013 SH Sole 123078 0 90935
CAPITAL TRUST INC/NY Equity 14052H506 868 224254 SH Sole 184825 0 39429
CARDIOVASCULAR SYSTEMS INC Equity 141619106 1958 134445 SH Sole 70045 0 64400
CARIBOU COFFEE CO INC Equity 142042209 1943 146788 SH Sole 76935 0 69853
CARROLS RESTAURANT GROUP INC COM Equity 14574X104 1302 124698 SH Sole 102735 0 21963
CEVA INC Equity 157210105 897 29446 SH Sole 4741 0 24705
CLEARFIELD INC Equity 18482P103 1384 193030 SH Sole 159045 0 33985
CLEARONE COMMUNICATIONS INC Equity 185060100 678 103300 SH Sole 85125 0 18175
COFFEE HOLDING C Equity 192176105 1279 82542 SH Sole 68008 0 14534
COGENT COMMUNICATIONS GROUP INC Equity 19239V302 809 47580 SH Sole 6750 0 40830
COLEMAN CABLE IN Equity 193459302 1550 105487 SH Sole 83085 0 22402
COMM SYS INC Equity 203900105 985 54945 SH Sole 45270 0 9675
COMPLETE GENOMICS INC Equity 20454K104 1706 111631 SH Sole 58710 0 52921
COMPUTER PROGRAMS & SYSTEMS INC Equity 205306103 971 15304 SH Sole 2161 0 13143
COMPUTER TASK Equity 205477102 1218 92468 SH Sole 76193 0 16275
CONVIO INC Equity 21257W105 1103 102003 SH Sole 84040 0 17963
CORESITE REALTY CORP Equity 21870Q105 779 47530 SH Sole 6745 0 40785
CORNERSTONE THERAPEUTICS INC Equity 21924P103 910 101550 SH Sole 83665 0 17885
CURIS INC Equity 231269101 635 177474 SH Sole 25174 0 152300
CVD EQUIPMENT CO Equity 126601103 1338 102553 SH Sole 84495 0 18058
DEPOMED INC Equity 249908104 672 82211 SH Sole 13206 0 69005
DIGI INTERNATIONAL INC Equity 253798102 803 61795 SH Sole 8765 0 53030
DIGIMARC CORP Equity 25381B101 1991 56837 SH Sole 30085 0 26752
DOT HILL SYSTEMS CORP Equity 25848T109 774 272621 SH Sole 224726 0 47895
DUSA PHARMACEUTICALS INC Equity 266898105 2189 351994 SH Sole 199934 0 152060
EASYLINK SERVI-A Equity 277858106 1377 235719 SH Sole 194314 0 41405
ECHO GLOBAL LOGISTICS INC Equity 27875T101 866 48800 SH Sole 6925 0 41875
ECOLOGY AND ENV Equity 278878103 834 48635 SH Sole 40070 0 8565
EINSTEIN NOAH RE Equity 28257U104 671 44828 SH Sole 6338 0 38490
ENCORE CAPITAL GROUP INC Equity 292554102 1073 34932 SH Sole 5480 0 29452
ENDOCYTE INC Equity 29269A102 755 52723 SH Sole 7473 0 45250
ENDOLOGIX INC Equity 29266S106 804 86410 SH Sole 12210 0 74200
EVOLUTION PETROL Equity 30049A107 711 100107 SH Sole 82342 0 17765
EXPRESS-1 EXPEDI Equity 30217Q108 966 310635 SH Sole 255935 0 54700
FARO TECHNOLOGIES INC Equity 311642102 931 21252 SH Sole 3004 0 18248
FISHER COMMUNICATIONS INC Equity 337756209 1069 35843 SH Sole 29530 0 6313
FLOTEK INDS Equity 343389102 1365 160201 SH Sole 85341 0 74860
FREQUENCY ELECT Equity 358010106 1029 108295 SH Sole 89225 0 19070
GLOBAL GEOPHYSICAL SERVICES INC Equity 37946S107 780 43836 SH Sole 6196 0 37640
GLOBAL TRAFFIC Equity 37947B103 771 67075 SH Sole 55284 0 11791
GLOBECOMM SYSTEMS INC Equity 37956X103 1408 90475 SH Sole 74575 0 15900
GLU MOBILE INC Equity 379890106 2248 426590 SH Sole 245800 0 180790
GP STRATEGIES CORP Equity 36225V104 1290 94450 SH Sole 77815 0 16635
GREATBATCH INC Equity 39153L106 803 29938 SH Sole 4248 0 25690
GTX INC Equity 40052B108 888 185428 SH Sole 152777 0 32651
GUIDANCE SOFTWAR Equity 401692108 1157 141957 SH Sole 116992 0 24965
HACKETT GROUP Equity 404609109 1048 205915 SH Sole 169660 0 36255
HANSEN MEDICAL I Equity 411307101 2005 587933 SH Sole 345578 0 242355
HARDINGE INC Equity 412324303 1032 94590 SH Sole 77930 0 16660
HARVARD BIOSCIENCE INC Equity 416906105 978 183410 SH Sole 151110 0 32300
HAYNES INTL INC Equity 420877201 894 14443 SH Sole 2054 0 12389
HEALTHSTREAM INC Equity 42222N103 2169 163471 SH Sole 92591 0 70880
HERITAGE-CRYSTAL CLEAN INC Equity 42726M106 1407 73343 SH Sole 60425 0 12918
HFF INC-A Equity 40418F108 966 64029 SH Sole 9989 0 54040
HILL INTERNATION Equity 431466101 1550 269030 SH Sole 140825 0 128205
HOT TOPIC INC Equity 441339108 887 119276 SH Sole 16916 0 102360
HOUSTON WIRE & CABLE CO Equity 44244K109 806 51821 SH Sole 7351 0 44470
HURCO COS INC Equity 447324104 1360 42212 SH Sole 34775 0 7437
ID SYSTEMS INC Equity 449489103 1089 234172 SH Sole 192912 0 41260
IMMERSION CORP Equity 452521107 2331 273289 SH Sole 148139 0 125150
IMPERIAL SUGAR CO Equity 453096208 1825 91229 SH Sole 48777 0 42452
INCONTACT INC Equity 45336E109 1996 420255 SH Sole 242850 0 177405
INHIBITEX INC Equity 45719T103 1766 450556 SH Sole 243806 0 206750
INSMED INC Equity .457669208 570 47580 SH Sole 6755 0 40825
INTERACTIVE INTELLIGENCE INC Equity 45839M103 518 14786 SH Sole 2090 0 12696
INTERCLICK INC Equity 458483203 1227 154130 SH Sole 126983 0 27147
INTERNAP NETWORK SERVICES CORP Equity 45885A300 699 95077 SH Sole 13522 0 81555
INTERSECTIONS INC Equity 460981301 1445 79405 SH Sole 65430 0 13975
IROBOT CORP Equity 462726100 946 26803 SH Sole 4293 0 22510
IXYS CORP Equity 46600W106 843 56278 SH Sole 7978 0 48300
KADANT INC Equity 48282T104 1051 33364 SH Sole 5244 0 28120
KENEXA CORP Equity 488879107 504 21011 SH Sole 2986 0 18025
KEYNOTE SYSTEMS INC Equity 493308100 2627 121432 SH Sole 69352 0 52080
KRISPY KREME Equity 501014104 1147 120631 SH Sole 19162 0 101469
KULICKE & SOFFA INDUSTRIES INC Equity 501242101 768 68952 SH Sole 9782 0 59170
LECROY CORP Equity 52324W109 1338 111162 SH Sole 56572 0 54590
LIQUIDITY SERVICES INC Equity 53635B107 845 35780 SH Sole 5075 0 30705
LITHIA MOTORS INC Equity 536797103 970 49404 SH Sole 7004 0 42400
LMI AEROSPACE INC Equity 502079106 822 33658 SH Sole 4778 0 28880
LSB INDUS INC Equity 502160104 774 18034 SH Sole 2885 0 15149
LYDALL INC Equity 550819106 1181 98767 SH Sole 81375 0 17392
MAGMA DESIGN AUTOMATION INC Equity 559181102 1951 244226 SH Sole 125138 0 119088
MAKO SURGICAL CORP Equity 560879108 961 32312 SH Sole 5031 0 27281
MATRIX SERVICE CO Equity 576853105 587 43890 SH Sole 6230 0 37660
MEASUREMENT SPECIALTIES INC Equity 583421102 795 22266 SH Sole 3626 0 18640
MEDQUIST HOLDINGS INC Equity 58506K102 779 60332 SH Sole 8562 0 51770
MEDTOX SCIENTIFI Equity 584977201 1041 59590 SH Sole 49080 0 10510
MERGE HEALTHCARE INC Equity 589499102 853 164028 SH Sole 23183 0 140845
MERIT MEDICAL SYSTEMS INC Equity 589889104 984 4743.25 SH Sole 8625 0 46118.25
MISTRAS GROUP INC Equity 60649T107 808 49850 SH Sole 7045 0 42805
MITCHAM INDS Equity 606501104 1135 65592 SH Sole 54040 0 11552
MONOTYPE IMAGING Equity 61022P100 705 49912 SH Sole 7072 0 42840
MOVADO GROUP INC Equity 624580106 634 37061 SH Sole 5241 0 31820
NANOMETRICS INC Equity 630077105 932 49071 SH Sole 6941 0 42130
NATURE'S SUNSHNE Equity 639027101 1265 64925 SH Sole 53490 0 11435
NEOPROBE CORP Equity 640518106 524 157784 SH Sole 22284 0 135500
NN INC Equity 629337106 689 46031 SH Sole 6526 0 39505
NPS PHARMACEUTICALS INC Equity 62936P103 108 11470 SH Sole 3325 0 8145
NUMEREX CORP-A Equity 67053A102 1034 106264 SH Sole 87584 0 18680
NVE CORP Equity 629445206 677 11584 SH Sole 1640 0 9944
ON ASSIGNMENT INC Equity 682159108 757 77000 SH Sole 10920 0 66080
ONCOTHYREON INC Equity 682324108 784 85275 SH Sole 12105 0 73170
OPNET TECHNOLOGIES INC Equity 683757108 771 18827 SH Sole 2672 0 16155
ORASURE TECHNOLOGIES INC Equity 68554V108 757 88788 SH Sole 12548 0 76240
ORBCOMM INC Equity 68555P100 996 318320 SH Sole 262255 0 56065
OXFORD INDUSTRIES INC Equity 691497309 907 26862 SH Sole 3812 0 23050
PACIRA PHARMACEUTICALS INC/DE Equity 695127100 718 59846 SH Sole 49310 0 10536
PAETEC HOLDING Equity 695459107 825 172190 SH Sole 24445 0 147745
PEET'S COFFEE & TEA INC Equity 705560100 1011 17524 SH Sole 2477 0 15047
PERNIX THERAPEUTICS HOLDINGS Equity 71426V108 704 82766 SH Sole 68163 0 14603
PERVASIVE SOFTWA Equity 715710109 1026 159760 SH Sole 131625 0 28135
PFSWEB INC Equity 717098206 899 195930 SH Sole 161455 0 34475
PHARMACYCLICS Equity 716933106 875 83787 SH Sole 13588 0 70199
PHOTRONICS INC Equity 719405102 807 95282 SH Sole 15134 0 80148
PREFORMED LINE Equity 740444104 778 10924 SH Sole 1542 0 9382
PRG-SCHULTZ INTL Equity 69357C503 995 139155 SH Sole 114665 0 24490
PRIMO WATER CORP Equity 74165N105 855 59428 SH Sole 9453 0 49975
PRIMORIS SERVICES CORP Equity 74164F103 950 73628 SH Sole 10448 0 63180
PROCERA NETWORKS INC Equity 74269U203 2164 201688 SH Sole 118528 0 83160
PROGENICS PHARMACEUTICALS INC Equity 743187106 1094 152345 SH Sole 125535 0 26810
PROS HOLDINGS INC COM Equity 74346Y103 886 50678 SH Sole 7163 0 43515
QUALITY DISTRIBUTION INC Equity 74756M102 864 66358 SH Sole 9378 0 56980
RADNET INC Equity 750491102 961 218360 SH Sole 179945 0 38415
RAPTOR PHARMACEUTICAL CORP Equity 75382F106 1696 273919 SH Sole 153009 0 120910
REACHLOCAL INC Equity 75525F104 901 43267 SH Sole 6939 0 36328
RED ROBIN GOURMET BURGERS INC Equity 75689M101 1114 30624 SH Sole 4792 0 25832
ROCKWELL MED TEC Equity 774374102 944 73529 SH Sole 60583 0 12946
RUDOLPH TECHNOLOGIES INC Equity 781270103 881 82224 SH Sole 12902 0 69322
SABA SOFTWARE INC Equity 784932600 1606 177831 SH Sole 93831 0 84000
SCICLONE PHARM Equity 80862K104 2007 332362 SH Sole 184762 0 147600
SEACHANGE INTERNATIONAL INC Equity 811699107 815 75558 SH Sole 10718 0 64840
SEACUBE CONTAINER LEASING LTD Equity G79978105 800 46539 SH Sole 6584 0 39955
SHORETEL INC Equity 825211105 958 93889 SH Sole 15009 0 78880
SPS COMMERCE INC Equity 78463M107 1202 67590 SH Sole 55690 0 11900
STURM RUGER & CO Equity 864159108 859 39156 SH Sole 5536 0 33620
SUN HYDRAULICS CORP Equity 866942105 895 18724 SH Sole 2655 0 16069
SUREWEST COMMUNI Equity 868733106 1153 68963 SH Sole 56825 0 12138
SYNERGETICS USA Equity 87160G107 1125 204218 SH Sole 168258 0 35960
TELENAV INC Equity 879455103 854 48151 SH Sole 6831 0 41320
TOWERSTREAM CORP Equity 892000100 1812 363087 SH Sole 181298 0 181789
TRANS1 INC Equity 89385X105 980 214920 SH Sole 177090 0 37830
TRANSACT TECH Equity 892918103 961 82118 SH Sole 67660 0 14458
TRANSCEND SVCS Equity 893929208 2357 80204 SH Sole 45214 0 34990
TRANSWITCH CORP Equity 894065309 596 192840 SH Sole 158877 0 33963
TRC COS INC Equity 872625108 819 131040 SH Sole 107970 0 23070
TRIUS THERAPEUTICS INC Equity 89685K100 1215 153405 SH Sole 126390 0 27015
ULTRATECH INC Equity 904034105 872 28712 SH Sole 4062 0 24650
UNIVERSAL STAINL Equity 913837100 2259 48300 SH Sole 25666 0 22634
UROPLASTY INC Equity 917277204 1229 163915 SH Sole 135045 0 28870
US PHYSICAL THERAPY INC Equity 90337L108 846 34214 SH Sole 4849 0 29365
USA TECHNOLOGIES Equity 90328S500 842 379087 SH Sole 312406 0 66681
VALUEVISION MEDIA INC Equity 92047K107 2206 288392 SH Sole 156746 0 131646
VASCO DATA SECURITY INTERNATIONAL Equity 92230Y104 791 63574 SH Sole 9014 0 54560
VICAL INC Equity 925602104 671 162944 SH Sole 23134 0 139810
VIRTUSA CORP Equity 92827P102 617 32562 SH Sole 4617 0 27945
VOCUS INC Equity 92858J108 890 29064 SH Sole 4124 0 24940
WEB.COM GROUP INC Equity 94733A104 1722 139789 SH Sole 77464 0 62325
WESTMORELAND COA Equity 960878106 1089 61375 SH Sole 50574 0 10801
ZAGG INC Equity 98884U108 2444 182418 SH Sole 93461 0 88957
ZALICUS INC Equity 98887C105 1569 659210 SH Sole 379520 0 279690
ZIOPHARM ONCOLOG Equity 98973P101 612 100056 SH Sole 14186 0 85870