Sophrosyne Capital

Sophrosyne Capital as of Dec. 31, 2011

Portfolio Holdings for Sophrosyne Capital

Sophrosyne Capital holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

                13F
                                      Title of             Value    Shares/    SH/  Put/   Investment  Other     Voting Authority
      Name of Issuer                   Class    Cusip    (x$1000)   Prn Amt    PR   Call   Discretion  Managers  Sole   Shared  None
{S}   {C}                               {C}   {C}        {C}        {C}       {C}   {C}    {C}         {C}      {C}
NTIC  NORTHERN TECHNOLOGIES INTL        COM   665809109  $    347     25,442   SH          SOLE                  25,442
HGR   HANGER ORTHOPEDIC GROUP INC       COM   41043F208  $    374     20,000   SH          SOLE                  20,000
XOMA  XOMA CORP                         COM   98419J107  $    420    365,000   SH          SOLE                 365,000
LEDS  SEMILEDS CORP/TW                  COM   816645105  $    421    123,500   SH          SOLE                 123,500
MSPD  MINDSPEED TECHNOLOGIES INC        COM   602682205  $    458    100,000   SH          SOLE                 100,000
NEI   NETWORK ENGINES INC               COM   64121A107  $    481    501,221   SH          SOLE                 501,221
GSB   GLOBALSCAPE INC                   COM   37940G109  $    597    375,457   SH          SOLE                 375,457
AFOP  ALLIANCE FIBER OPTIC PRODUCT      COM   018680306  $    617     80,500   SH          SOLE                  80,500
VIT   VANCEINFO TECHNOLOGIES-ADR        COM   921564100  $    639     70,500   SH          SOLE                  70,500
SRZ   SUNRISE SENIOR LIVING INC         COM   86768K106  $    648    100,000   SH          SOLE                 100,000
HBIO  HARVARD BIOSCIENCE INC            COM   416906105  $    784    202,600   SH          SOLE                 202,600
CRIS  CURIS INC                         COM   231269101  $    805    172,000   SH          SOLE                 172,000
RGDX  RESPONSE GENETICS INC             COM   76123U105  $    881    575,942   SH          SOLE                 575,942
SIGA  SIGA TECHNOLOGIES INC             COM   826917106  $    903    358,500   SH          SOLE                 358,500
BDSI  BIODELIVERY SCIENCES INTL         COM   09060J106  $    945  1,173,246   SH          SOLE               1,173,246
AVID  AVID TECHNOLOGY INC               COM   05367P100  $    994    116,500   SH          SOLE                 116,500
NIHD  NII HOLDINGS INC                  COM   62913F201  $  1,016     37,200   SH          SOLE                  37,200
CTRP  CTRIP.COM INTERNATIONAL-ADR       COM   22943F100  $  1,123     48,000   SH          SOLE                  48,000
TDC   TERADATA CORP                     COM   88076W103  $  1,140     23,500   SH          SOLE                  23,500
CUTR  CUTERA INC                        COM   232109108  $  1,185    159,100   SH          SOLE                 159,100
SQNS  SEQUANS COMMUNICATIONS-ADR        COM   817323108  $  1,388    499,300   SH          SOLE                 499,300
TWER  TOWERSTREAM CORP                  COM   892000100  $  1,424    671,500   SH          SOLE                 671,500
ZNGA  ZYNGA INC - CL A                  COM   98986T108  $  1,501    159,500   SH          SOLE                 159,500
CHTR  CHARTER COMMUNICATION-A           COM   16117M305  $  1,708     30,000   SH          SOLE                  30,000
MEMS  MEMSIC INC                        COM   586264103  $  1,778    670,818   SH          SOLE                 670,818
TSEM  TOWER SEMICONDUCTOR LTD ORD SHS   COM   M87915100  $  1,903  3,022,308   SH          SOLE               3,022,308
SANW  S^W SEED CO                       COM   785135104  $  2,114    479,469   SH          SOLE                 479,469
BPI   BRIDGEPOINT EDUCATION INC         COM   10807M105  $  2,309    100,400   SH          SOLE                 100,400
CALX  CALIX INC                         COM   13100M509  $  2,326    359,500   SH          SOLE                 359,500
CADX  CADENCE PHARMACEUTICALS INC       COM   12738T100  $  2,386    604,101   SH          SOLE                 604,101
CSII  CARDIOVASCULAR SYSTEMS INC        COM   141619106  $  2,402    243,894   SH          SOLE                 243,894
FENG  PHOENIX NEW MEDIA LTD -ADS        COM   71910C103  $  2,470    438,765   SH          SOLE                 438,765
CIEN  CIENA CORP                        COM   171779309  $  2,481    205,000   SH          SOLE                 205,000
DVAX  DYNAVAX TECHNOLOGIES CORP         COM   268158102  $  2,578    776,500   SH          SOLE                 776,500
BEAT  CARDIONET INC                     COM   14159L103  $  2,597  1,095,744   SH          SOLE               1,095,744
DMAN  DEMANDTEC INC                     COM   24802R506  $  2,641    200,500   SH          SOLE                 200,500
      FTWR 9 01JAN2016                  NOTE  31567RAG5  $    527    971,518   PR          SOLE                 971,518
OIIM  O2MICRO INTERNATIONAL-ADR         COM   67107W100  $  3,074    770,427   SH          SOLE                 770,427
ETRM  ENTEROMEDICS INC                  COM   29365M208  $  3,118  1,834,096   SH          SOLE               1,834,096
EXTR  EXTREME NETWORKS INC              COM   30226D106  $  3,237  1,108,553   SH          SOLE               1,108,553
QCOM  QUALCOMM INC                      COM   747525103  $  3,884     71,000   SH          SOLE                  71,000
PLCM  POLYCOM INC                       COM   73172K104  $  4,132    253,500   SH          SOLE                 253,500
GDOT  GREEN DOT CORP-CLASS A            COM   39304D102  $  5,010    160,484   SH          SOLE                 160,484
INFA  INFORMATICA CORP                  COM   45666Q102  $  5,743    155,500   SH          SOLE                 155,500
AMZN  AMAZON.COM INC                    COM   023135106  $  6,024     34,800   SH          SOLE                  34,800
SPRD  SPREADTRUM COMMUNICATI-ADR        COM   849415203  $  6,441    308,500   SH          SOLE                 308,500
CLCT  COLLECTORS UNIVERSE               COM   19421R200  $  6,478    444,585   SH          SOLE                 444,585
VELT  VELTI PLC ST HELIER SHS           COM   G93285107  $  7,516  1,105,300   SH          SOLE               1,105,300
ABVT  ABOVENET INC                      COM   00374N107  $  8,107    124,700   SH          SOLE                 124,700
ASPS  ALTISOURCE PORTFOLIO SOLNS SA
      REG SHS                           COM   L0175J104  $ 10,036    200,000   SH          SOLE                 200,000
MSTR  MICROSTRATEGY INC-CL A            COM   594972408  $ 10,854    100,200   SH          SOLE                 100,200
AAPL  APPLE INC                         COM   037833100  $ 11,887     29,350   SH          SOLE                  29,350