13F-HR 1 ebim1q08.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year of Quarter Ended: 3/31/08 Institutional Investment Manager Filing this Report: Name: Eagle Boston Investment Management Address: 880 Carillon Parkway St. Petersburg, FL 33716 13F File Number 28-7480 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: 727-567-4656 Report Type (Check only one): _______X______ 13F Holding Report ______________ 13F Notice ______________ 13F Combination Report List of Other Managers Reporting for this Manager: 0 I am signing this report as required by the Securities Exchange Act of 1934 REPORT SUMMARY: NUMBER OF OTHER INCLUDED MANAGERS: 0 FORM 13F INFORMATION TABLE ENTRY TOTAL: 93 FORM 13F INFORMATION TABLE VALUE TOTAL: $600,412 (in thousands) LIST OF OTHER INCLUDED MANAGERS: RUN DATE: 04/04/08 3:17 P.M. EAGLE BOSTON INVESTMENT MANAGEMENT DISCRETIONARY OWNERSHIP FOR 13F AS OF DATE: 03/31/08 (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- --------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ----- ----- ----- -- ------------ ------------ ------------ 1 800 FLOWERS COM INC COMMON 68243Q106 12,094,760 1,379,106 X 1,243,615 0 135,491 AERCAP HOLDINGS NV SH COMMON N00985106 5,815,622 309,836 X 276,262 0 33,574 AFC ENTERPRISES INC C COMMON 00104Q107 5,277,510 586,390 X 524,825 0 61,565 AGL RES INC COM COMMON 001204106 8,720,574 252,040 X 226,475 0 25,565 ALTRA HOLDINGS INC CO COMMON 02208R106 5,484,143 393,693 X 351,917 0 41,776 AMERICAN EQTY INVT LI COMMON 025676206 12,276,308 1,235,041 X 1,104,113 0 130,928 AMERIGROUP CORP COM COMMON 03073T102 3,487,261 121,847 X 110,092 0 11,755 AMSURG INC COM COMMON 03232P405 9,738,436 406,276 X 364,472 0 41,804 APOLLO INVT CORP COM MUTUAL 03761U106 11,019,422 660,241 X 590,689 0 69,552 ASPEN TECHNOLOGY INC COMMON 045327103 10,440,069 836,544 X 747,089 0 89,455 ASSURED GUARANTY LTD COMMON G0585R106 5,297,962 218,653 X 198,370 0 20,283 AVID TECHNOLOGY INC C COMMON 05367P100 8,730,820 342,923 X 307,723 0 35,200 BELDEN CDT INC COM COMMON 077454106 9,899,966 252,228 X 227,081 0 25,147 BENCHMARK ELECTRS INC COMMON 08160H101 6,760,561 363,471 X 322,812 0 40,659 BIO RAD LABS INC CL A COMMON 090572207 2,578,861 28,502 X 24,822 0 3,680 BOTTOMLINE TECHNOLOGI COMMON 101388106 4,512,384 340,044 X 306,783 0 33,261 CARDINAL FINL CORP CO COMMON 14149F109 4,692,415 496,027 X 447,582 0 48,445 CASELLA WASTE SYS INC COMMON 147448104 3,152,877 293,564 X 264,911 0 28,653 CENTRAL GARDEN & PET COMMON 153527205 988,694 220,199 X 170,684 0 49,515 CENTRAL GARDEN & PET COMMON 153527106 541,738 119,589 X 94,434 0 25,155 CHARLES RIV LABORATOR COMMON 159864107 9,688,703 162,644 X 145,619 0 17,025 CHEMED CORP NEW COM COMMON 16359R103 5,566,804 127,009 X 115,134 0 11,875 COMMSCOPE INC COM COMMON 203372107 5,049,071 131,692 X 119,264 0 12,428 COMPASS DIVERSIFIED T COMMON 20451Q104 7,431,594 564,282 X 507,689 0 56,593 COMSTOCK RES INC COM COMMON 205768203 15,022,184 372,574 X 331,354 0 41,220 CONSTELLATION BRANDS COMMON 21036P108 2,018,401 102,353 X 89,406 0 12,947 COOPER TIRE & RUBR CO COMMON 216831107 3,874,192 254,379 X 229,370 0 25,009 CROSS CTRY HEALTHCARE COMMON 227483104 10,110,239 781,921 X 700,006 0 81,915 CUBIST PHARMACEUTICAL COMMON 229678107 3,982,524 204,232 X 184,602 0 19,630 DANA PETROLEUM ORD COMMON G26503113 248,552 10,000 X 0 0 10,000 DRESSER-RAND GROUP IN COMMON 261608103 8,459,476 270,012 X 243,662 0 26,350 DTS INC COM COMMON 23335C101 4,572,760 178,484 X 156,457 0 22,027 DYCOM INDS INC COM COMMON 267475101 5,676,848 432,028 X 388,763 0 43,265 EAGLE TEST SYS INC CO COMMON 270006109 176,712 15,393 X 14,387 0 1,006 ELECTRONICS FOR IMAGI COMMON 286082102 3,178,996 214,652 X 195,472 0 19,180 FGX International Hol COMMON G3396L102 4,391,646 355,887 X 321,753 0 34,134 FLOWSERVE CORP COM COMMON 34354P105 5,371,647 49,092 X 44,882 0 4,210 GARTNER INC COM COMMON 366651107 5,514,715 266,669 X 240,974 0 25,695 GENESEE & WYO INC CL COMMON 371559105 4,067,786 116,924 X 105,259 0 11,665 GREY WOLF INC COM COMMON 397888108 7,838,643 1,108,719 X 982,659 0 126,060 HERBALIFE LTD COM USD COMMON G4412G101 7,344,543 149,037 X 134,827 0 14,210 IAMGOLD CORP COM COMMON 450913108 5,973,913 809,501 X 727,064 0 82,437 INSIGHT ENTERPRISES I COMMON 45765U103 6,338,268 352,126 X 313,346 0 38,780 INTERACTIVE DATA CORP COMMON 45840J107 11,284,000 379,677 X 341,480 0 38,197 INTERMEC INC COMMON 458786100 3,674,307 173,153 X 150,405 0 22,748 IPC HLDGS LTD COM COMMON G4933P101 9,157,737 314,699 X 280,827 0 33,872 ISHARES TR RUSL 2000 COMMON 464287630 5,051,736 73,845 X 67,790 0 6,055 ISHARES TR RUSSL 2000 MUTUAL 464287655 8,438,048 118,595 X 109,875 0 8,720 JARDEN CORP COM COMMON 471109108 6,240,754 269,579 X 241,359 0 28,220 K V PHARMACEUTICAL CO COMMON 482740206 4,451,531 183,644 X 159,821 0 23,823 KAYDON CORP COM COMMON 486587108 14,131,110 305,010 X 272,705 0 32,305 KHD HUMBOLDT WEDAG IN COMMON 482462108 6,842,779 259,688 X 231,954 0 27,734 KITE RLTY GROUP TR CO COMMON 49803T102 7,518,373 496,590 X 444,379 0 52,211 LECG CORP COM COMMON 523234102 6,828,050 721,019 X 647,430 0 73,589 LENNOX INTL INC COM COMMON 526107107 6,566,933 172,632 X 153,845 0 18,787 LIONS GATE ENTMT CORP COMMON 535919203 7,363,501 724,754 X 651,854 0 72,900 LITHIA MTRS INC CL A COMMON 536797103 1,074,636 107,142 X 96,237 0 10,905 MACROVISION CORP COM COMMON 555904101 2,453,139 172,271 X 125,261 0 47,010 MERCURY COMPUTER SYS COMMON 589378108 1,649,041 263,005 X 243,210 0 19,795 MERIT MED SYS INC COM COMMON 589889104 14,590,349 888,031 X 800,164 0 87,867 MICROSEMI CORP COM COMMON 595137100 7,280,973 295,614 X 264,029 0 31,585 NET 1 UEPS TECHNOLOGI COMMON 64107N206 8,995,690 367,471 X 328,491 0 38,980 NETGEAR INC COM COMMON 64111Q104 1,757,501 87,919 X 76,439 0 11,480 NU SKIN ENTERPRISES I COMMON 67018T105 10,280,449 566,104 X 506,098 0 60,006 OCEANEERING INTL INC COMMON 675232102 15,405,071 245,891 X 219,503 0 26,388 ON ASSIGNMENT INC COM COMMON 682159108 11,121,036 1,597,850 X 1,432,520 0 165,330 PennantPark Investmen COMMON 708062104 6,306,941 741,993 X 662,714 0 79,279 PARAMETRIC TECHNOLOGY COMMON 699173209 3,462,385 214,124 X 186,704 0 27,420 PEDIATRIX MED GROUP C COMMON 705324101 12,281,750 178,956 X 160,969 0 17,987 PLATINUM UNDERWRITER COMMON G7127P100 3,837,374 113,599 X 102,529 0 11,070 POLYPORE INTERNATIONA COMMON 73179V103 11,462,653 498,593 X 444,608 0 53,985 PROVIDENCE SVC CORP C COMMON 743815102 10,203,779 345,072 X 309,448 0 35,624 PROVIDENT FINL SVCS I COMMON 74386T105 3,262,247 227,176 X 205,116 0 22,060 PSYCHIATRIC SOLUTIONS COMMON 74439H108 3,773,490 118,925 X 106,315 0 12,610 QUINTANA MARITIME LTD COMMON Y7169G109 3,402,448 142,960 X 129,120 0 13,840 RAM HOLDINGS LTD SHS COMMON G7368R104 2,427,046 1,201,508 X 1,075,714 0 125,794 ROSETTA RESOURCES INC COMMON 777779307 8,068,461 402,016 X 359,401 0 42,615 SCHOOL SPECIALTY INC COMMON 807863105 6,515,775 207,113 X 184,789 0 22,324 SIGNATURE BK NEW YORK COMMON 82669G104 8,117,372 302,887 X 270,460 0 32,427 SMART MODULAR TECHNOL COMMON G82245104 2,358,644 381,041 X 346,326 0 34,715 SONIC SOLUTIONS COM COMMON 835460106 7,325,158 733,249 X 656,166 0 77,083 SONICWALL INC COM COMMON 835470105 9,478,386 1,140,600 X 1,018,465 0 122,135 SOUTHWEST BANCORP INC COMMON 844767103 4,519,104 251,061 X 223,394 0 27,667 SPSS INC COM COMMON 78462K102 5,337,074 130,939 X 118,611 0 12,328 STAGE STORES INC COM COMMON 85254C305 5,214,925 310,597 X 280,457 0 30,140 STERLING BANCSHARES I COMMON 858907108 2,918,352 280,881 X 251,324 0 29,557 SYBASE INC COM COMMON 871130100 4,977,714 184,019 X 165,909 0 18,110 SYMMETRICOM INC COM COMMON 871543104 2,561,633 686,765 X 627,455 0 59,310 SYNIVERSE HLDGS INC C COMMON 87163F106 5,279,406 295,434 X 254,279 0 41,155 TEXAS CAPITAL BANCSHA COMMON 88224Q107 2,039,119 118,347 X 106,970 0 11,377 URS CORP NEW COM COMMON 903236107 11,893,314 328,999 X 293,964 0 35,035 WABTEC CORP COM COMMON 929740108 4,138,115 107,011 X 96,656 0 10,355 WILEY JOHN & SONS INC COMMON 968223206 13,684,937 329,361 X 293,388 0 35,973 TOTAL 600,412,943