0000790502-11-000029.txt : 20110418 0000790502-11-000029.hdr.sgml : 20110418 20110418120700 ACCESSION NUMBER: 0000790502-11-000029 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20110331 FILED AS OF DATE: 20110418 DATE AS OF CHANGE: 20110418 EFFECTIVENESS DATE: 20110418 FILER: COMPANY DATA: COMPANY CONFORMED NAME: EAGLE ASSET MANAGEMENT INC CENTRAL INDEX KEY: 0000790502 IRS NUMBER: 592385219 STATE OF INCORPORATION: FL FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-01666 FILM NUMBER: 11764882 BUSINESS ADDRESS: STREET 1: 880 CARILLON PARKWAY CITY: ST PETERSBURG STATE: FL ZIP: 33716 BUSINESS PHONE: 8135732453 MAIL ADDRESS: STREET 1: 880 CARILLON PARKWAY CITY: ST PETERSBURG STATE: FL ZIP: 33716 13F-HR 1 eam13fq1.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 31, 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:Eagle Asset Management, Inc. Address: 880 Carillon Parkway P. O. Box 10520 13F File Number: 28-1666 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: Damian Sousa Title: Chief Compliance Officer Phone: 727-573-2453 Signature, Place, and Date of Signing: Damian Sousa Saint Petersburg, FL April 14, 2011 Report Type (Check only one.): [X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: Form 13F File Number Name I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 509 Form 13F Information Table Value Total: $11945041182.00 List of Other Included Managers: No. 13F File Number Name VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- x$1000 PRN AMT PRN CALL DSCRETN -MGRS- SOLE SHARED NONE 1-800-FLOWERS.COM Incorpo CL A 68243Q106 471 142889 SH SOLE 142889 0 0 3M Company COM 88579Y101 18888 202019 SH SOLE 201780 0 239 ACI Worldwide Inc. COM 004498101 28815 878514 SH SOLE 1 876342 0 2172 AFC Enterprises Inc COM 00104Q107 1351 89329 SH SOLE 89329 0 0 AGCO Corp COM 001084102 13678 248842 SH SOLE 241085 0 7757 AGL Resources Incorporate COM 001204106 1454 36510 SH SOLE 36510 0 0 AMB Property Corporation COM 00163T109 812 22579 SH SOLE 22579 0 0 ANSYS Incorporated COM 03662Q105 85440 1576676 SH SOLE 1480692 0 95984 APAC Customer Services In COM 00185E106 7191 1196616 SH SOLE 1196616 0 0 ARM holdings plc ADR SPONSORED ADR 042068106 15876 563613 SH SOLE 545024 0 18589 AT&T Incorporated COM 00206R102 13052 426425 SH SOLE 425660 0 765 ATMI Incorporated COM 00207R101 13774 729169 SH SOLE 727081 0 2088 Abbott Labs COM 002824100 18052 368037 SH SOLE 367512 0 525 Acacia Research Corporati ACACIA TCH COM 003881307 25351 738034 SH SOLE 1 736383 0 1651 Activision Blizzard Inc. COM 00507V109 25932 2363918 SH SOLE 2170261 0 193657 Adcare Health Systems Inc COM NEW 00650W300 790 159641 SH SOLE 159641 0 0 Adobe Systems Incorporate COM 00724F101 31340 945144 SH SOLE 865439 0 79705 Advanced Energy Industrie COM 007973100 8209 502112 SH SOLE 502112 0 0 Aercap Hldgs (Netherlands SHS N00985106 576 45844 SH SOLE 45844 0 0 Aetna Inc COM 00817Y108 2038 54473 SH SOLE 54168 0 305 Agilent Technologies Inc COM 00846U101 12473 278540 SH SOLE 278540 0 0 Air Transport Services In COM 00922R105 7113 841854 SH SOLE 841854 0 0 Airgas Inc. COM 009363102 18883 284305 SH SOLE 1 284305 0 0 Akamai Technologies COM 00971T101 7962 209550 SH SOLE 202846 0 6704 Alaska Communications Sys COM 01167P101 1002 94260 SH SOLE 94260 0 0 Albemarle Corp COM 012653101 1261 21105 SH SOLE 21105 0 0 Allergan Incorporated COM 018490102 1039 14640 SH SOLE 14620 0 20 Allete Inc COM NEW 018522300 1697 43554 SH SOLE 43554 0 0 Allied World Assurance Ne SHS H01531104 89690 1430696 SH SOLE 1 1293656 0 137040 Allscripts Healthcare Sol COM 01988P108 36471 1737567 SH SOLE 1641938 0 95629 Alpha Natural Resources I COM 02076X102 1213 20440 SH SOLE 20190 0 250 Altra Holdings Inc COM 02208R106 10084 426938 SH SOLE 425769 0 1169 American Axle and Manu. H COM 024061103 63301 5027904 SH SOLE 4838983 0 188921 American Equity Investmen COM 025676206 1175 89570 SH SOLE 89570 0 0 American Express Co COM 025816109 1094 24215 SH SOLE 22323 0 1892 American Medical Systems COM 02744M108 62242 2876263 SH SOLE 1 2871209 0 5054 American Software Cl-A CL A 029683109 3859 522966 SH SOLE 522966 0 0 Amerigroup Corp COM 03073T102 1790 27864 SH SOLE 27864 0 0 Ameriprise Finl Incorpora COM 03076C106 34265 560998 SH SOLE 550502 0 10496 Amerisourcebergen Corp. 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COM 077454106 936 24930 SH SOLE 24930 0 0 Beneficial Mutual Bancorp COM 08173R104 621 72081 SH SOLE 72081 0 0 Berkshire Hills Bancorp I COM 084680107 675 32423 SH SOLE 32423 0 0 Bio Rad Laboratories CL A 090572207 57681 480116 SH SOLE 1 406680 0 73436 Bio-Reference Labs Inc COM $.01 NEW 09057G602 2606 116168 SH SOLE 116168 0 0 Biomarin Pharmaceutical I COM 09061G101 37335 1485702 SH SOLE 1396455 0 89247 Biomed Realty Trust Inc R COM 09063H107 558 29365 SH SOLE 29365 0 0 Blackboard Inc. COM 091935502 6629 182920 SH SOLE 182920 0 0 Blackrock Corp HI Yld FD COM 09255N102 434 36598 SH SOLE 36598 0 0 Blackstone Group LP/ The COM UNIT LTD 09253U108 21426 1198325 SH SOLE 1198325 0 0 Blue Nile Inc. COM 09578R103 6905 127849 SH SOLE 127849 0 0 Boeing Co COM 097023105 17902 242148 SH SOLE 222648 0 19500 Bottomline Technology COM 101388106 1181 47047 SH SOLE 47047 0 0 Brigham Exploration Compa COM 109178103 27128 729651 SH SOLE 669919 0 59732 Brown Shoe Company Inc COM 115736100 2986 244430 SH SOLE 244430 0 0 Bruker Corp. COM 116794108 99605 4777224 SH SOLE 1 4418225 0 358999 Buffalo Wild Wings Inc COM 119848109 27405 503496 SH SOLE 503496 0 0 C I T Group Inc. COM NEW 125581801 56056 1317438 SH SOLE 1 1062386 0 255052 CA Incorporated COM 12673P105 15049 622378 SH SOLE 603009 0 19369 CBeyond Inc. 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COM 146229109 631 22056 SH SOLE 21699 0 357 Cash America Intl Inc COM 14754D100 75816 1646399 SH SOLE 1558799 0 87600 Catalyst Health Solutions COM 14888B103 55637 994772 SH SOLE 952922 0 41850 Cathay General Bancorp COM 149150104 9377 550007 SH SOLE 548448 0 1559 Cavium Networks Inc COM 14965A101 22795 507361 SH SOLE 507361 0 0 Centene Corp COM 15135B101 66841 2026726 SH SOLE 1922470 0 104256 Centurytel Inc COM 156700106 18501 445280 SH SOLE 444645 0 635 Cerner Corp COM 156782104 17393 156412 SH SOLE 151382 0 5030 Charles River Laboratorie COM 159864107 661 17230 SH SOLE 17230 0 0 Chart Industries Inc COM PAR $0.01 16115Q308 15418 280129 SH SOLE 1 279468 0 661 Charter Communications In CL A NEW 16117M305 1584 31290 SH SOLE 31290 0 0 Check Point Software (Isr ORD M22465104 66477 1302207 SH SOLE 1 1112683 0 189524 Chemed Corporation COM 16359R103 1361 20440 SH SOLE 20440 0 0 Chevron Corp. COM 166764100 50745 472097 SH SOLE 450180 0 21917 Chicago Bridge & Iron Com N Y REGISTRY SH 167250109 23308 573256 SH SOLE 555645 0 17611 Chicos Fas Inc. 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COM 227483104 349 44576 SH SOLE 44576 0 0 Crown Castle Intl Corp COM 228227104 23797 559281 SH SOLE 559281 0 0 Crown Holdings Inc COM 228368106 57485 1490041 SH SOLE 1 1252500 0 237541 Cubist Pharmaceuticals In COM 229678107 1052 41689 SH SOLE 41222 0 467 Cullen Frost Bankers COM 229899109 10495 177831 SH SOLE 177690 0 141 Cummins Inc COM 231021106 18839 171865 SH SOLE 166909 0 4956 DTS Incorporated COM 23335C101 76585 1642416 SH SOLE 1552273 0 90143 Dealertrack Hldgs Inc COM 242309102 1008 44015 SH SOLE 44015 0 0 Deckers Outdoor COM 243537107 31953 370906 SH SOLE 333205 0 37701 Delcath Systems Inc COM 24661P104 9554 1297768 SH SOLE 1297768 0 0 Devon Energy Corp. COM 25179M103 1166 12716 SH SOLE 12707 0 9 Digital Realty Tr Inc Rei COM 253868103 1395 24006 SH SOLE 24006 0 0 Diodes Inc. COM 254543101 14149 415437 SH SOLE 1 414578 0 859 Discover Financial Servic COM 254709108 67327 2791351 SH SOLE 2232023 0 559328 Dolby Laboratories Inc. COM 25659T107 41101 835218 SH SOLE 1 708619 0 126599 Dollar Tree Stores Inc COM 256746108 9190 165542 SH SOLE 160513 0 5029 Dominion Res. Inc COM 25746U109 19008 425242 SH SOLE 390431 0 34811 Dominos Pizza Inc. COM 25754A201 389 21114 SH SOLE 21114 0 0 Dover Corp COM 260003108 46733 710885 SH SOLE 710660 0 225 Dresser-Rand Group Inc COM 261608103 11735 218862 SH SOLE 213317 0 5545 Duff & Phelps Corp CL A 26433B107 25442 1592122 SH SOLE 1517879 0 74243 Dupont Fabros Tech REIT COM 26613Q106 15291 630592 SH SOLE 630592 0 0 Dycom Industries Inc COM 267475101 1239 71467 SH SOLE 71467 0 0 Dynamic Matls Corp COM 267888105 2042 73050 SH SOLE 73050 0 0 E I Dupont & Co COM 263534109 20716 376870 SH SOLE 376315 0 555 E M C Corp COM 268648102 44059 1658854 SH SOLE 1522042 0 136812 EMS Technologies Inc COM 26873N108 52797 2686232 SH SOLE 2567820 0 118412 EZCorp Inc. Class A CL A NON VTG 302301106 20793 662433 SH SOLE 662433 0 0 Eaton Vance Corp COM NON VTG 278265103 18154 563095 SH SOLE 364493 0 198602 Echo Global Logistics Inc COM 27875T101 389 29640 SH SOLE 29640 0 0 Echostar Corp CL A 278768106 19942 526890 SH SOLE 1 525639 0 1251 Electronics For Imaging I COM 286082102 802 54570 SH SOLE 54570 0 0 Emergent Biosolutions Inc COM 29089Q105 12265 507683 SH SOLE 1 506496 0 1187 Emerson Electric Company COM 291011104 22563 386164 SH SOLE 385737 0 427 Emulex Corporation COM NEW 292475209 561 52661 SH SOLE 52661 0 0 Ensign Group Inc COM 29358P101 9286 290846 SH SOLE 290033 0 813 Enstar Group Limited (Ber SHS G3075P101 28788 288234 SH SOLE 1 287499 0 735 Equinix Inc COM NEW 29444U502 990 10876 SH SOLE 10876 0 0 Equity Residential Ppty SH BEN INT 29476L107 18470 327430 SH SOLE 327430 0 0 Esterline Technologies Co COM 297425100 29585 418352 SH SOLE 1 417239 0 1113 Euronet Services Incorpor COM 298736109 954 49372 SH SOLE 49372 0 0 Evercore Partners Incorpo CLASS A 29977A105 20677 603018 SH SOLE 1 601634 0 1384 Exactech Inc COM 30064E109 7089 403935 SH SOLE 403935 0 0 Express Scripts COM 302182100 7796 140195 SH SOLE 135617 0 4578 Exxon Mobil Corp COM 30231G102 63274 752098 SH SOLE 708410 0 43688 F5 Networks Incorporated COM 315616102 7952 77535 SH SOLE 74762 0 2773 FNB Corp PA COM 302520101 20320 1927919 SH SOLE 1 1923443 0 4476 FTI Consulting Inc COM 302941109 25461 664267 SH SOLE 573562 0 90705 Federal Mogul Corp COM 313549404 21081 846641 SH SOLE 1 844603 0 2038 Fidelity Natl Information COM 31620M106 11954 365692 SH SOLE 237961 0 127731 First Citizens Bancshares CL A 31946M103 25413 126700 SH SOLE 1 126393 0 307 First Financial Bank Cor COM 320209109 7216 432375 SH SOLE 1 430902 0 1473 Flir Systems Incorporated COM 302445101 749 21650 SH SOLE 21650 0 0 Flowers Foods Incorporate COM 343498101 21147 776636 SH SOLE 1 774499 0 2137 Flowserve Corporation COM 34354P105 8825 68519 SH SOLE 66480 0 2039 Forest City Enterprises CL A 345550107 19477 1034396 SH SOLE 1031338 0 3058 Fortinet Inc COM 34959E109 23979 543130 SH SOLE 543130 0 0 Freeport Copper & Gold COM 35671D857 20049 360925 SH SOLE 354173 0 6752 Fresh Market Inc. 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Class A CL A 38259P508 24836 42329 SH SOLE 39007 0 3322 Government Properties Inc COM SHS BEN INT 38376A103 744 27701 SH SOLE 27701 0 0 Graftech International Lt COM 384313102 112410 5448891 SH SOLE 1 5145438 0 303453 Guess Incorporated COM 401617105 57376 1458118 SH SOLE 1 1318781 0 139337 HCP Inc REIT COM 40414L109 725 19121 SH SOLE 19121 0 0 Halliburton Company COM 406216101 2585 51880 SH SOLE 51587 0 293 Hanger Orthopedic Grp Inc COM NEW 41043F208 14438 554688 SH SOLE 554688 0 0 Harman International Inc. COM 413086109 9545 203873 SH SOLE 196990 0 6883 Harris Corp. 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ADR( SPONSORED ADR 45103T107 34060 1577617 SH SOLE 1511718 0 65899 ICU Med Incorporated COM 44930G107 16492 376713 SH SOLE 1 375598 0 1115 IHS Incorporated Class A CL A 451734107 20714 233398 SH SOLE 1 161161 0 72237 II-VI Inc COM 902104108 13620 273769 SH SOLE 1 273106 0 663 IPC the Hospitalist Compa COM 44984A105 10696 235548 SH SOLE 234855 0 693 IPG Photonics Corp COM 44980X109 1725 29915 SH SOLE 29915 0 0 ITC Holdings Corporation COM 465685105 40562 580287 SH SOLE 1 579583 0 704 Iamgold Corporation (Cana COM 450913108 1206 54810 SH SOLE 54810 0 0 Idex Corp COM 45167R104 1056 24207 SH SOLE 24206 0 1 Illumina Corporation COM 452327109 8563 122213 SH SOLE 118217 0 3996 Impax Laboratories Inc COM 45256B101 7151 281014 SH SOLE 241811 0 39203 Informatica Corporation COM 45666Q102 109639 2100772 SH SOLE 1987314 0 113458 Ingram Micro Inc CL A 457153104 968 46065 SH SOLE 46065 0 0 Integra Lifesciences Hold COM NEW 457985208 15163 319779 SH SOLE 318866 0 913 Intel Corp COM 458140100 28014 1388227 SH SOLE 1267566 0 120661 Intercontinental Exchange COM 45865V100 34366 278185 SH SOLE 218428 0 59757 Interpublic Group of Comp COM 460690100 51336 4084044 SH SOLE 3428748 0 655296 Intersil Corp CL A 46069S109 360 28955 SH SOLE 28955 0 0 Interval Leisure Group In COM 46113M108 39195 2397260 SH SOLE 1 2118964 0 278296 Intrepid Potash Incorpora COM 46121Y102 31162 894952 SH SOLE 832425 0 62527 Intuitive Surgical Inc COM NEW 46120E602 7206 21611 SH SOLE 20994 0 617 Invesco Limited (Bermuda) SHS G491BT108 25245 987706 SH SOLE 906184 0 81522 Investment Technology Gro COM 46145F105 996 54768 SH SOLE 54268 0 500 J C Penney Inc. 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COM 499064103 38383 1993940 SH SOLE 1991572 0 2368 Kohls Corporation COM 500255104 20724 390725 SH SOLE 390725 0 0 Koppers Holdings Incorpor COM 50060P106 18852 441503 SH SOLE 440233 0 1270 Korn Ferry International COM NEW 500643200 17308 777210 SH SOLE 777210 0 0 Kraton Performance Polyme COM 50077C106 671 17547 SH SOLE 17547 0 0 Kroger Company COM 501044101 1482 61861 SH SOLE 61436 0 425 Laboratory Corporation Of COM NEW 50540R409 29303 318067 SH SOLE 1 274785 0 43282 Lam Research Corporation COM 512807108 32397 571780 SH SOLE 1 571780 0 0 Landstar System Inc COM 515098101 31796 696076 SH SOLE 650100 0 45976 Lazard Limited SHS A (Ber SHS A G54050102 1284 30898 SH SOLE 30618 0 280 Lear Corporation COM NEW 521865204 18360 375700 SH SOLE 375700 0 0 Legg Mason Inc COM 524901105 7310 202560 SH SOLE 196387 0 6173 Liberty Starz Series A LIB STAR COM A 53071M708 42874 552504 SH SOLE 466308 0 86196 Life Technologies Corp COM 53217V109 35015 667980 SH SOLE 1 563689 0 104291 Linear Technology Corp COM 535678106 7705 229120 SH SOLE 222062 0 7058 Lions Gate Entertainment COM NEW 535919203 4682 749151 SH SOLE 749151 0 0 Lowes Cos Inc COM 548661107 44051 1666717 SH SOLE 1532703 0 134014 Lufkin Industries Incorpo COM 549764108 204490 2187771 SH SOLE 2078984 0 108787 MDC Partners Inc (Canada) CL A SUB VTG 552697104 25251 1505748 SH SOLE 1 1501812 0 3936 MKS Instruments Inc. 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