0001144204-12-026229.txt : 20120504
0001144204-12-026229.hdr.sgml : 20120504
20120504145753
ACCESSION NUMBER: 0001144204-12-026229
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20120331
FILED AS OF DATE: 20120504
DATE AS OF CHANGE: 20120504
EFFECTIVENESS DATE: 20120504
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: 12813773
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
v312021_13fhr.txt
13F-HR
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: March 31, 2012
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: May 4, 2012
Report Type:
[ ] 13F Holdings Report.
[ ] 13F Notice.
[X] 13F Combination Report.
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 194
Form 13F Information Value Total: 246,210
List of Other Managers Reporting for this Manager:
No. 13F File Number Name
28-01190 Russell Investment Company
MARCH 31, 2012 SEI 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
---------------------------------------------------------------------------------------------------------------------------------
ABIOMED INC Equity 003654100 747 33646 SH Sole 6405 0 27241
ACADIA HEALTHCARE CO INC Equity 00404A109 832 51015 SH Sole 9305 0 41710
ACCO BRANDS CORP Equity 00081T108 994 80131 SH Sole 15051 0 65080
ACORN ENERGY INC Equity 004848107 1785 164235 SH Sole 139010 0 25225
ADA-ES INC Equity 005208103 1771 72841 SH Sole 47466 0 25375
ADAMS RESOURCES & ENERGY INC Equity 006351308 1026 17947 SH Sole 15183 0 2764
AFFYMAX INC Equity 00826A109 748 63736 SH Sole 12199 0 51537
AKORN INC Equity 009728106 766 65502 SH Sole 12366 0 53136
ALNYLAM PHARMACEUTICALS INC Equity 02043Q107 545 49210 SH Sole 8975 0 40235
AMER VANGUARD Equity 030371108 885 40820 SH Sole 7730 0 33090
AMERICA'S CAR-MART INC Equity 03062T105 756 17186 SH Sole 3124 0 14062
AMERICAN RAILCAR INDUSTRIES INC Equity 02916P103 591 25158 SH Sole 4588 0 20570
AMERIS BANCORP Equity 03076K108 1484 112910 SH Sole 95592 0 17318
ANTARES PHARMA INC Equity 036642106 737 228185 SH Sole 41615 0 186570
ARABIAN AMERICAN DEVELOPMENT CO Equity 038465100 1371 147745 SH Sole 125080 0 22665
ARCTIC CAT INC Equity 039670104 1174 27420 SH Sole 5123 0 22297
ARGAN INC Equity 04010E109 1337 83363 SH Sole 70560 0 12803
ARQULE INC Equity 04269E107 542 77345 SH Sole 14105 0 63240
ASTRONICS CORP Equity 046433108 662 18935 SH Sole 3462 0 15473
ATMI INC Equity 00207R101 748 32085 SH Sole 5850 0 26235
BANNER CORP Equity 06652V208 788 35783 SH Sole 6523 0 29260
BARRY (R.G.) Equity 068798107 258 21155 SH Sole 17904 0 3251
BEBE STORES INC Equity 075571109 764 82733 SH Sole 15098 0 67635
BENIHANA INC Equity 082047200 1581 121167 SH Sole 102550 0 18617
BIOCRYST PHARM Equity 09058V103 2204 456235 SH Sole 279630 0 176605
BLACK DIAMOND INC Equity 09202G101 2331 251760 SH Sole 157535 0 94225
BODY CENTRAL CORP Equity 09689U102 700 24120 SH Sole 4395 0 19725
BOINGO WIRELESS INC Equity 09739C102 922 76190 SH Sole 13900 0 62290
BONANZA CREEK ENERGY INC Equity 097793103 1044 47774 SH Sole 9018 0 38756
BOSTON PRIVATE FINANCIAL HOLDINGS INC Equity 101119105 919 92736 SH Sole 16896 0 75840
BPZ RESOURCES INC Equity 055639108 704 174650 SH Sole 31855 0 142795
BRIGHTCOVE INC Equity 10921T101 763 30775 SH Sole 5605 0 25170
BUILDERS FIRSTSOURCE INC Equity 12008R107 854 202005 SH Sole 36845 0 165160
CALAMP CORP Equity 128126109 1356 279674 SH Sole 236654 0 43020
CALAVO GROWERS I Equity 128246105 707 26411 SH Sole 4811 0 21600
CALLIDUS SOFTWAR Equity 13123E500 2483 317937 SH Sole 208987 0 108950
CANTEL MEDICAL Equity 138098108 763 30408 SH Sole 5529 0 24879
CARIBOU COFFEE CO INC Equity 142042209 2307 123769 SH Sole 80648 0 43121
CARROLS RESTAURANT GROUP INC COM Equity 14574X104 2773 181854 SH Sole 115241 0 66613
CELLDEX THERAPEUTICS INC Equity 15117B103 1159 227705 SH Sole 192715 0 34990
CERUS CORP Equity 157085101 1360 338375 SH Sole 286465 0 51910
CHARLES & COLVARD LTD Equity 159765106 1398 302655 SH Sole 256222 0 46433
CHARMING SHOPPES INC Equity 161133103 805 136445 SH Sole 24905 0 111540
CHEFS' WAREHOUSE HOLDINGS INC Equity 163086101 918 39665 SH Sole 7230 0 32435
CITIZENS REPUBLIC BANCORP INC Equity 174420307 929 59516 SH Sole 10861 0 48655
CLOVIS ONCOLOGY INC Equity 189464100 752 29537 SH Sole 5386 0 24151
COMPUTER TASK Equity 205477102 1244 81179 SH Sole 68704 0 12475
CONN'S INC Equity 208242107 622 40513 SH Sole 7383 0 33130
CONSTANT CONTACT Equity 210313102 668 22438 SH Sole 4088 0 18350
CORE-MARK HOLDING CO INC Equity 218681104 738 18030 SH Sole 3292 0 14738
CORESITE REALTY CORP Equity 21870Q105 957 40567 SH Sole 7402 0 33165
COST PLUS INC Equity 221485105 3092 172735 SH Sole 105151 0 67584
CRAY INC Equity 225223304 706 96420 SH Sole 17590 0 78830
CURIS INC Equity 231269101 669 138837 SH Sole 25347 0 113490
CYANOTECH CORP Equity 232437301 1327 131012 SH Sole 110909 0 20103
CYNOSURE INC Equity 232577205 2350 131571 SH Sole 82817 0 48754
DATAWATCH CORP Equity 237917208 1413 106285 SH Sole 89950 0 16335
DDI CORP Equity 233162502 1415 115970 SH Sole 98180 0 17790
DELTEK INC Equity 24784L105 710 66640 SH Sole 12160 0 54480
DISCOVERY LABORATORIES INC Equity 254668403 1806 673760 SH Sole 416135 0 257625
DORMAN PRODUCTS Equity 258278100 863 17063 SH Sole 3115 0 13948
DXP ENTERPRISES INC Equity 233377407 821 18874 SH Sole 3430 0 15444
DYCOM INDUSTRIES INC Equity 267475101 841 35992 SH Sole 6557 0 29435
DYNAVAX TECHNOLOGIES CORP Equity 268158102 965 190675 SH Sole 34800 0 155875
EAGLE BANCRP INC Equity 268948106 669 39985 SH Sole 7290 0 32695
EDAC TECH Equity 279285100 1649 126193 SH Sole 106831 0 19362
ELLIE MAE INC Equity 28849P100 1749 156685 SH Sole 132640 0 24045
ENDOLOGIX INC Equity 29266S106 910 62090 SH Sole 11687 0 50403
EVOLUTION PETROL Equity 30049A107 1337 143760 SH Sole 121665 0 22095
EXACT SCIENCES Equity 30063P105 923 82695 SH Sole 15080 0 67615
EXAR CORP Equity 300645108 378 45031 SH Sole 8212 0 36819
FARO TECHNOLOGIES INC Equity 311642102 792 13571 SH Sole 2559 0 11012
FIRST MERCHANTS CORP Equity 320817109 762 61780 SH Sole 11270 0 50510
FISHER COMMUNICATIONS INC Equity 337756209 963 31341 SH Sole 26528 0 4813
FLOTEK INDS Equity 343389102 592 49220 SH Sole 8985 0 40235
FREIGHTCAR AMERICA INC Equity 357023100 616 27401 SH Sole 4998 0 22403
FSI INTERNATIONAL INC Equity 302633102 2949 603005 SH Sole 378331 0 224674
FUEL SYSTEMS SOLUTIONS Equity 35952W103 703 26870 SH Sole 4905 0 21965
FURIEX PHARMACEUTICALS INC Equity 36106P101 1478 62547 SH Sole 52952 0 9595
GEORESOURCES INC Equity 372476101 703 21473 SH Sole 3914 0 17559
GERMAN AMER BNCP Equity 373865104 1241 63878 SH Sole 54063 0 9815
GIBRALTAR INDUSTRIES INC Equity 374689107 684 45145 SH Sole 8240 0 36905
GLOBAL CASH ACCESS HOLDINGS INC Equity 378967103 3022 387441 SH Sole 231693 0 155748
GLU MOBILE INC Equity 379890106 2292 472480 SH Sole 293830 0 178650
GP STRATEGIES CORP Equity 36225V104 1473 84178 SH Sole 71253 0 12925
GREAT WOLF RESORTS INC Equity 391523107 1195 208940 SH Sole 176870 0 32070
GSV CAPITAL CORP Equity 36191J101 2544 136042 SH Sole 80704 0 55338
GUIDANCE SOFTWAR Equity 401692108 2385 215836 SH Sole 136452 0 79384
HALCON RESOURCES CORP Equity 40537Q209 619 66027 SH Sole 12045 0 53982
HALOZYME THERAPE Equity 40637H109 626 49081 SH Sole 8938 0 40143
HEALTHSTREAM INC Equity 42222N103 2629 113371 SH Sole 74121 0 39250
HERCULES OFFSHORE INC Equity 427093109 685 144810 SH Sole 26425 0 118385
HERITAGE COMMERCE CORP Equity 426927109 1445 224660 SH Sole 190200 0 34460
HERITAGE-CRYSTAL CLEAN INC Equity 42726M106 1316 65953 SH Sole 55827 0 10126
HESKA CORP Equity 42805E306 1316 115665 SH Sole 97919 0 17746
HFF INC-A Equity 40418F108 830 50405 SH Sole 9190 0 41215
HORNBECK OFFSHORE SERVICES INC Equity 440543106 804 19122 SH Sole 3614 0 15508
HOT TOPIC INC Equity 441339108 818 80561 SH Sole 14671 0 65890
HUDSON TECHNOLOGIES INC Equity 444144109 1343 408104 SH Sole 345506 0 62598
ID SYSTEMS INC Equity 449489103 1366 228446 SH Sole 193381 0 35065
IMPERVA INC Equity 45321L100 816 20844 SH Sole 3802 0 17042
INCONTACT INC Equity 45336E109 2926 524390 SH Sole 342515 0 181875
INFOSPACE INC Equity 45678T300 807 63030 SH Sole 11500 0 51530
INPHI CORP Equity 45772F107 690 48653 SH Sole 8873 0 39780
IPASS INC Equity 46261V108 1780 684445 SH Sole 579360 0 105085
IRIS INTERNATIONAL INC Equity 46270W105 1579 116840 SH Sole 98890 0 17950
JOE'S JEANS INC Equity 47777N101 967 792567 SH Sole 670908 0 121659
KEY TRONIC CORP Equity 493144109 1474 155455 SH Sole 131565 0 23890
KULICKE & SOFFA INDUSTRIES INC Equity 501242101 662 53284 SH Sole 9714 0 43570
LCA-VISION INC Equity 501803308 1231 196025 SH Sole 165913 0 30112
LEAPFROG ENTERPRISES INC Equity 52186N106 875 104720 SH Sole 19115 0 85605
LIGAND PHARMACEUTICALS INC Equity 53220K504 597 37430 SH Sole 6825 0 30605
LIQUIDITY SERVICES INC Equity 53635B107 828 18479 SH Sole 3567 0 14912
LITHIA MOTORS INC Equity 536797103 851 32480 SH Sole 6109 0 26371
LIVEPERSON INC Equity 538146101 993 59240 SH Sole 10810 0 48430
LIZ CLAIBORNE INC Equity 539320101 698 52282 SH Sole 9537 0 42745
MANITEX INTERNATIONAL INC Equity 563420108 1608 219390 SH Sole 185695 0 33695
MATTERSIGHT CORP Equity 577097108 1548 181695 SH Sole 153820 0 27875
MATTSON TECHNOLOGY INC Equity 577223100 2354 849680 SH Sole 549515 0 300165
MCGRATH RENTCORP Equity 580589109 774 24105 SH Sole 4400 0 19705
MEDIDATA SOLUTIONS INC Equity 58471A105 808 30313 SH Sole 5533 0 24780
MEDIWARE INFO Equity 584946107 1309 89113 SH Sole 75425 0 13688
MEMSIC INC Equity 586264103 1354 321510 SH Sole 272200 0 49310
METROPOLITAN HEALTH NETWORKS COM Equity 592142103 1974 210682 SH Sole 126752 0 83930
MINDSPEED TECHNOLOGIES INC Equity 602682205 1248 195890 SH Sole 165785 0 30105
MITCHAM INDS Equity 606501104 1989 88574 SH Sole 52835 0 35739
MITEK SYSTEMS Equity 606710200 2475 213328 SH Sole 133393 0 79935
MONOLITHIC POWER SYSTEMS INC Equity 609839105 728 37020 SH Sole 6755 0 30265
MOVADO GROUP INC Equity 624580106 916 37294 SH Sole 6784 0 30510
MTS SYSTEMS CORP Equity 553777103 939 17693 SH Sole 3325 0 14368
MULTIMEDIA GAMES INC Equity 625453105 2884 263095 SH Sole 169027 0 94068
NEENAH PAPER INC Equity 640079109 888 29875 SH Sole 5627 0 24248
NETLIST INC Equity 64118P109 2943 831330 SH Sole 532938 0 298392
NETSCOUT SYSTEMS INC Equity 64115T104 847 41632 SH Sole 7818 0 33814
OMEROS CORP Equity 682143102 1455 145895 SH Sole 123515 0 22380
ON ASSIGNMENT INC Equity 682159108 1230 70432 SH Sole 13343 0 57089
OPENWAVE SYSTEMS INC Equity 683718308 1197 527215 SH Sole 446235 0 80980
ORASURE TECHNOLOGIES INC Equity 68554V108 755 65744 SH Sole 11989 0 53755
OREXIGEN THERAPEUTICS INC COM Equity 686164104 2009 490080 SH Sole 302750 0 187330
OXFORD INDUSTRIES INC Equity 691497309 822 16179 SH Sole 3060 0 13119
OYO GEOSPACE CRP Equity 671074102 854 8105 SH Sole 1526 0 6579
PDF SOLUTIONS Equity 693282105 1536 182190 SH Sole 154235 0 27955
PHARMACYCLICS Equity 716933106 758 27311 SH Sole 5254 0 22057
PREMIER EXHIBITI Equity 74051E102 1464 413675 SH Sole 350205 0 63470
PRIMORIS SERVICES CORP Equity 74164F103 769 47857 SH Sole 8737 0 39120
PRIMUS TELECOMMUNICATIONS GROUP INC Equity 741929301 444 27607 SH Sole 23372 0 4235
PROCERA NETWORKS INC Equity 74269U203 4756 212713 SH Sole 137348 0 75365
PROGENICS PHARMACEUTICALS INC Equity 743187106 643 64985 SH Sole 11855 0 53130
PROS HOLDINGS INC COM Equity 74346Y103 806 43086 SH Sole 7856 0 35230
RAPTOR PHARMACEUTICAL CORP Equity 75382F106 1977 292475 SH Sole 184785 0 107690
RENTECH INC Equity 760112102 811 389771 SH Sole 71066 0 318705
RENTRAK CORP Equity 760174102 1477 65086 SH Sole 55088 0 9998
REPLIGEN CORP Equity 759916109 1355 229645 SH Sole 194415 0 35230
REX STORES CORP Equity 761624105 1608 52365 SH Sole 44323 0 8042
ROADRUNNER TRANSPORTATION SYSTEMS INC Equity 76973Q105 752 43360 SH Sole 7905 0 35455
SABA SOFTWARE INC Equity 784932600 1950 198780 SH Sole 127220 0 71560
SANCHEZ ENERGY CORP Equity 79970Y105 718 31997 SH Sole 5637 0 26360
SANTARUS INC Equity 802817304 1614 275835 SH Sole 175220 0 100615
SARATOGA RESOURCES INC/TX Equity 803521103 1355 186940 SH Sole 158223 0 28717
SHUFFLE MASTER INC Equity 825549108 687 39020 SH Sole 7115 0 31905
SMART BALANCE INC Equity 83169Y108 742 112325 SH Sole 20485 0 91840
SMITH & WESSON HOLDINGS CORP Equity 831756101 3426 442080 SH Sole 277225 0 164855
SPECTRANETICS CORP Equity 84760C107 2167 208349 SH Sole 128249 0 80100
SPS COMMERCE INC Equity 78463M107 2569 95577 SH Sole 62652 0 32925
STAAR SURGICAL Equity 852312305 1698 156782 SH Sole 100112 0 56670
STEWART INFORMATION SERVICES CORP Equity 860372101 1628 114590 SH Sole 96985 0 17605
STURM RUGER & CO Equity 864159108 674 13733 SH Sole 2499 0 11234
SUNESIS PHARMACEUTICALS INC Equity 867328601 1570 547100 SH Sole 463175 0 83925
SUPER MICRO COMP Equity 86800U104 755 43255 SH Sole 7890 0 35365
SURMODICS INC Equity 868873100 1671 108697 SH Sole 91995 0 16702
SUSSER HOLDINGS CORP Equity 869233106 642 25020 SH Sole 4540 0 20480
TANGOE INC Equity 87582Y108 886 47083 SH Sole 8613 0 38470
TEAM INC Equity 878155100 747 24125 SH Sole 4405 0 19720
TEARLAB CORP Equity 878193101 1485 432840 SH Sole 366440 0 66400
TELULAR CORP Equity 87970T208 1476 174510 SH Sole 147705 0 26805
TESSCO TECHNOLOGIES INC Equity 872386107 1655 64960 SH Sole 54997 0 9963
TGC INDUSTRIES Equity 872417308 2633 265380 SH Sole 178865 0 86515
THERMON GROUP HOLDINGS INC Equity 88362T103 864 42259 SH Sole 7709 0 34550
THRESHOLD PHARMACEUTICALS INC Equity 885807206 2770 314815 SH Sole 204510 0 110305
TOWN SPORTS INTERNATIONAL HOLDINGS INC Equity 89214A102 1541 122016 SH Sole 103276 0 18740
TREX CO INC Equity 89531P105 835 26024 SH Sole 4746 0 21278
TRIANGLE PETROLE Equity 89600B201 685 99335 SH Sole 18120 0 81215
VAALCO ENERGY INC Equity 91851C201 836 88445 SH Sole 16135 0 72310
VIRGINIA COMMERCE BANCORP Equity 92778Q109 1402 159705 SH Sole 135165 0 24540
VIRTUS INVESTMENT PARTNERS INC Equity 92828Q109 602 7020 SH Sole 1278 0 5742
VITACOST.COM INC Equity 92847A200 1601 201115 SH Sole 170205 0 30910
VITESSE SEMICONDUCTOR CORP Equity 928497304 1291 347015 SH Sole 293765 0 53250
VOLTERRA SEMICONDUCTOR CORP Equity 928708106 889 25821 SH Sole 4869 0 20952
VOXX INTERNATIONAL CORP Equity 91829F104 2379 175440 SH Sole 112670 0 62770
WEST COAST BANCORP/OREGON Equity 952145209 755 39887 SH Sole 7276 0 32611
WINMARK CORP Equity 974250102 1514 26133 SH Sole 22127 0 4006
XPO Logistics Inc Equity 983793100 2161 128610 SH Sole 79184 0 49426
ZOLTEK COS INC Equity 98975W104 555 49035 SH Sole 8945 0 40090
ZYGO CORP Equity 989855101 1888 96499 SH Sole 81677 0 14822