MARATHON CAPITAL MANAGEMENT - Q3 2014 holdings

$111 Million is the total value of MARATHON CAPITAL MANAGEMENT's 91 reported holdings in Q3 2014. The portfolio turnover from Q2 2014 to Q3 2014 was 14.0% .

 Value Shares↓ Weighting
SAAS SellIncontact Inc$6,538,000
-22.5%
751,875
-18.1%
5.89%
-13.2%
ADEP SellAdept Technology Inc New$6,318,000
-21.7%
751,250
-2.4%
5.69%
-12.3%
HDSN SellHudson Technologies Inc$5,750,000
+10.4%
1,737,011
-3.6%
5.18%
+23.7%
PKT SellProcera Networks Inc$5,275,000
-7.6%
550,593
-2.7%
4.75%
+3.5%
AVNW SellAviat Networks Inc$4,354,000
+37.9%
2,419,100
-1.9%
3.92%
+54.4%
KOPN SellKopin Corp$4,164,000
+0.2%
1,224,654
-3.9%
3.75%
+12.3%
INTC SellIntel Corp$3,835,000
+8.0%
110,139
-4.1%
3.46%
+21.0%
PLPM SellPlanet Payment Inc$3,726,000
-32.4%
1,901,250
-2.0%
3.36%
-24.3%
ABB SellABB Limited$3,304,000
-4.5%
147,425
-1.9%
2.98%
+7.0%
JNJ SellJohnson & Johnson$3,004,000
-1.7%
28,179
-3.5%
2.71%
+10.1%
GE SellGeneral Electric Company$2,814,000
-3.0%
109,850
-0.5%
2.54%
+8.6%
GLDD SellGreat Lakes Dredge Corp$2,752,000
-27.3%
445,250
-6.0%
2.48%
-18.5%
COP SellConocophillips$2,576,000
-12.3%
33,660
-1.7%
2.32%
-1.7%
MSFT SellMicrosoft Corp$2,127,000
+4.4%
45,885
-6.1%
1.92%
+17.0%
CSCO SellCisco Systems Inc$1,585,000
+0.5%
62,977
-0.8%
1.43%
+12.5%
BCF SellBlackrock Real Asset Eq$1,548,000
-10.7%
182,737
-1.0%
1.40%0.0%
DD SellDu Pont E I De Nemour&Co$1,499,000
+7.1%
20,891
-2.3%
1.35%
+20.0%
PG SellProcter & Gamble Co$1,466,000
+6.1%
17,512
-0.4%
1.32%
+18.8%
XGTI SellxG Technology Inc$1,432,000
-5.1%
730,750
-2.7%
1.29%
+6.3%
ACHC SellAcadia Healthcare Co$1,249,000
-61.4%
25,750
-63.8%
1.12%
-56.8%
ZBB SellZBB Energy Corp$1,163,000
-69.9%
2,077,300
-12.9%
1.05%
-66.3%
DOW SellDow Chemical Company$1,079,000
+0.7%
20,575
-1.2%
0.97%
+12.8%
IBM SellIntl Business Machines$971,000
+1.3%
5,116
-3.3%
0.88%
+13.5%
XOM SellExxon Mobil Corporation$810,000
-16.3%
8,615
-10.4%
0.73%
-6.3%
MRK SellMerck & Co Inc$804,000
-3.6%
13,561
-5.9%
0.72%
+7.9%
TPZ SellTortoise Pwr & Egy Infr$691,000
-20.6%
24,585
-19.5%
0.62%
-11.0%
AAPL SellApple Computer Inc$566,000
-1.9%
5,615
-9.6%
0.51%
+9.9%
WPRT SellWestport Innovations New$465,000
-42.2%
44,200
-1.1%
0.42%
-35.3%
DUK SellDuke Energy Corporation$450,000
-0.7%
6,023
-1.4%
0.40%
+11.3%
KO SellCoca Cola Company$437,000
-2.0%
10,236
-2.8%
0.39%
+9.7%
ELNK SellEarthlink Inc$398,000
-10.4%
116,250
-2.5%
0.36%
+0.6%
QCOM SellQualcomm Inc$351,000
-12.9%
4,691
-7.9%
0.32%
-2.5%
BMY SellBristol-Myers Squibb Co$334,000
-10.9%
6,523
-15.5%
0.30%
-0.3%
CVX SellChevrontexaco Corp$312,000
-9.3%
2,611
-0.9%
0.28%
+1.4%
PM SellPhilip Morris Intl Inc$290,000
-7.3%
3,475
-6.5%
0.26%
+3.6%
MCD SellMc Donalds Corp$290,000
-9.4%
3,064
-3.5%
0.26%
+1.6%
GOOG SellGoogle Inc. Class C$250,000
-10.1%
433
-10.4%
0.22%
+0.4%
ABBV SellAbbvie Inc$246,000
+1.2%
4,261
-1.2%
0.22%
+13.8%
MDT SellMedtronic Inc$235,000
-14.2%
3,794
-11.6%
0.21%
-3.6%
DIS SellDisney Walt Hldg Co$231,000
-10.1%
2,594
-13.4%
0.21%
+0.5%
MO SellAltria Group Inc$218,000
-0.9%
4,737
-9.5%
0.20%
+10.7%
HON SellHoneywell International$214,000
-7.8%
2,300
-8.0%
0.19%
+3.2%
LPTN SellLpath Inc. New$108,000
-17.6%
30,571
-7.6%
0.10%
-7.6%
PRKR ExitParkervision Inc$0-25,000
-100.0%
-0.03%
EMR ExitEmerson Electric Co$0-3,140
-100.0%
-0.17%
PPG ExitP P G Industries Inc$0-1,000
-100.0%
-0.17%
XONE ExitExone Company$0-6,300
-100.0%
-0.20%
GLW ExitCorning Inc$0-11,555
-100.0%
-0.20%
TCX ExitTucows Inc$0-112,351
-100.0%
-1.11%
WIN ExitWindstream Holdings$0-196,150
-100.0%
-1.57%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2014-10-30
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
T Rowe Price Group Inc42Q3 202356.0%
HUDSON TECHNOLOGIES INC42Q3 20235.8%
JOHNSON & JOHNSON42Q3 20232.7%
MICROSOFT CORP42Q3 20232.2%
QUALCOMM INC42Q3 20232.0%
Intl Business Machines42Q3 20232.0%
BRISTOL-MYERS SQUIBB CO42Q3 20232.1%
Procter & Gamble Co42Q3 20231.5%
BERKSHIRE HATHAWAY INC DEL42Q3 20231.3%
Coca Cola Company42Q3 20230.4%

View MARATHON CAPITAL MANAGEMENT's complete holdings history.

Latest significant ownerships (13-D/G)
MARATHON CAPITAL MANAGEMENT Q3 2014 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
CUI Global, Inc.October 20, 20171,382,0804.9%
WHITE MOUNTAIN TITANIUM CORPNovember 29, 20164,529,6584.7%
HUDSON TECHNOLOGIES INC /NYFebruary 12, 20161,335,5714.1%
ADEPT TECHNOLOGY INCFebruary 10, 2015742,8505.7%
ZBB ENERGY CORPNovember 25, 20141,908,1004.9%
OVERLAND STORAGE INCFebruary 24, 20146,217,6067.2%
VISUALANT INCJanuary 23, 20149,432,0005.7%
WIRELESS RONIN TECHNOLOGIES INCNovember 20, 201320,8000.4%
RVUE HOLDINGS, INC.January 09, 2013361,9750.4%
inContact, Inc.October 02, 20122,310,6114.4%

View MARATHON CAPITAL MANAGEMENT's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2024-05-15
13F-HR/A2024-02-14
13F-HR2024-02-08
13F-HR2023-11-14
13F-HR/A2023-08-15
13F-HR2023-08-14
13F-HR2023-05-12
13F-HR2023-02-14
13F-HR2022-11-14
13F-HR2022-08-12

View MARATHON CAPITAL MANAGEMENT's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (110978000.0 != 110982000.0)

Export MARATHON CAPITAL MANAGEMENT's holdings