PRINCETON CAPITAL MANAGEMENT INC - Q2 2014 holdings

$145 Million is the total value of PRINCETON CAPITAL MANAGEMENT INC's 72 reported holdings in Q2 2014. The portfolio turnover from Q1 2014 to Q2 2014 was 8.1% .

 Value Shares↓ Weighting
VZ SellVerizon Communications$6,314,000
+1.6%
129,039
-1.2%
4.37%
-3.0%
GE BuyGeneral Electric Co$5,895,000
+6.3%
224,304
+4.7%
4.08%
+1.3%
GLW BuyCorning Inc$5,786,000
+9.6%
263,608
+3.9%
4.00%
+4.5%
BA BuyBoeing Co$5,743,000
+4.7%
45,135
+3.3%
3.97%
-0.2%
CP BuyCanadian Pacific Railway$5,172,000
+24.6%
28,550
+3.5%
3.58%
+18.9%
UNP BuyUnion Pacific Corp$4,931,000
+10.7%
49,432
+108.2%
3.41%
+5.6%
BuyMorphosys AG$4,358,000
+1.3%
46,487
+0.1%
3.02%
-3.4%
T BuyATT - New$4,280,000
+1.7%
121,042
+0.9%
2.96%
-2.9%
BAYRY BuyBayer, ADR$3,944,000
+8.1%
27,924
+3.6%
2.73%
+3.1%
UIS BuyUnisys Corp$3,895,000
+109.4%
157,427
+157.9%
2.70%
+99.8%
AMT BuyAmerican Tower REIT$3,741,000
+13.6%
41,581
+3.4%
2.59%
+8.4%
MSFT BuyMicrosoft Corp$3,531,000
+6.5%
84,684
+4.7%
2.44%
+1.5%
CREE BuyCree Inc$3,507,000
-8.4%
70,213
+3.7%
2.43%
-12.6%
QCOM BuyQualcomm Inc$3,356,000
+19.2%
42,371
+18.7%
2.32%
+13.7%
UPS BuyUnited Parcel Service$3,305,000
+9.4%
32,195
+3.8%
2.29%
+4.3%
OLED BuyUniversal Display$3,144,000
+2.8%
97,929
+2.1%
2.18%
-2.0%
FMC BuyFMC Corp$3,109,000
-4.5%
43,673
+2.8%
2.15%
-8.9%
BMY BuyBristol-Myers Squibb$3,091,000
+9.3%
63,727
+17.1%
2.14%
+4.3%
GOOGL BuyGoogle Inc Cl A$2,956,000
-43.6%
5,056
+7.6%
2.04%
-46.2%
CSCO BuyCisco Systems$2,919,000
+16.0%
117,446
+4.6%
2.02%
+10.6%
AAPL BuyApple Inc.$2,892,000
+28.0%
31,122
+639.2%
2.00%
+22.1%
VRTX BuyVertex Pharmaceuticals$2,875,000
+46.6%
30,366
+9.5%
1.99%
+39.8%
GOOG NewGoogle Inc Cl C$2,753,0004,786
+100.0%
1.90%
FEIC SellFEI Company$2,555,000
-12.1%
28,155
-0.2%
1.77%
-16.1%
INTC BuyIntel Corp$2,543,000
+25.8%
82,303
+5.1%
1.76%
+20.0%
UAL BuyUnited Continental$2,521,000
+473.0%
61,375
+522.8%
1.74%
+446.7%
DD BuyDuPont De Nemours & Co$2,452,000
-0.8%
37,476
+1.7%
1.70%
-5.4%
DE SellDeere & Co$2,378,000
-3.1%
26,258
-2.9%
1.64%
-7.6%
CCI BuyCrown Castle Intl$2,362,000
+6.0%
31,803
+5.3%
1.63%
+1.1%
AMX BuyAmerican Movil, S.A.B.$2,360,000
+151.3%
113,714
+140.7%
1.63%
+139.8%
CAT BuyCaterpillar Inc$2,234,000
+16.6%
20,554
+6.6%
1.55%
+11.2%
MRK NewMerck & Co Inc$2,044,00035,338
+100.0%
1.41%
SNMX BuySenomyx Inc.$1,995,000
-16.2%
230,600
+3.4%
1.38%
-20.1%
UEIC SellUniversal Electronics Inc$1,681,000
-6.8%
34,381
-26.8%
1.16%
-11.1%
CSC SellComputer Sciences$1,529,000
-58.1%
24,189
-59.7%
1.06%
-60.0%
CACI BuyCACI International, Inc.$1,529,000
-0.3%
21,772
+4.8%
1.06%
-4.9%
SGMO BuySangamo BioSciences$1,508,000
+9.8%
98,765
+30.0%
1.04%
+4.7%
SNY BuySanofi-Aventis, ADR$1,464,000
+6.9%
27,535
+5.1%
1.01%
+1.9%
FARO BuyFaro Technologies Inc$1,406,000
+4.1%
28,617
+12.3%
0.97%
-0.7%
TQNT SellTriQuint Semiconductor$1,390,000
+16.6%
87,900
-1.2%
0.96%
+11.2%
AMZN SellAmazon.com$1,354,000
-3.7%
4,169
-0.2%
0.94%
-8.1%
JDSU BuyJDS Uniphase$1,207,000
-8.1%
96,787
+3.2%
0.84%
-12.3%
CYTX BuyCytori Therapeutics$1,135,000
-5.6%
474,805
+6.6%
0.78%
-10.0%
PPO BuyPolypore Intl, Inc$1,133,000
+52.3%
23,740
+9.1%
0.78%
+45.2%
AXTI  AXT Inc$1,051,000
-2.7%
491,0500.0%0.73%
-7.2%
MXWL SellMaxwell Tech Inc$1,032,000
+16.5%
68,225
-0.5%
0.71%
+11.0%
BIOL BuyBioLase Technology$992,000
-6.5%
451,099
+2.5%
0.69%
-10.9%
HNSN BuyHansen Medical$875,000
-48.7%
667,770
+1.7%
0.60%
-51.1%
IPGP BuyIPG Photonics$873,000
-3.1%
12,687
+0.1%
0.60%
-7.6%
SellBTG PLC$866,000
+15.3%
80,690
-3.2%
0.60%
+9.9%
VOD SellVodafone Group, ADR$834,000
-67.2%
24,966
-63.9%
0.58%
-68.7%
PHG BuyPhilips NV, ADR$815,000
-7.2%
25,665
+2.8%
0.56%
-11.5%
MENT BuyMentor Graphics$780,000
+0.6%
36,150
+2.7%
0.54%
-3.9%
NVZMY SellNovozymes, ADR$695,000
-43.7%
13,860
-50.6%
0.48%
-46.3%
ENTG  Entegris Inc$673,000
+13.5%
48,9500.0%0.47%
+8.4%
SZYM SellSolazyme Inc$643,000
+0.5%
54,625
-0.9%
0.44%
-4.1%
OSIR BuyOsiris Therapeutics$560,000
+53.4%
35,825
+29.0%
0.39%
+46.0%
ROC BuyRockwood Holdings$544,000
+6.9%
7,153
+4.6%
0.38%
+1.9%
SCG BuyScana Corp$444,000
+15.3%
8,245
+9.9%
0.31%
+10.0%
IBM  IBM Corp$379,000
-5.7%
2,0900.0%0.26%
-10.3%
ALOT SellAstro-Med$341,000
+12.9%
25,100
-1.2%
0.24%
+7.8%
POM SellPepco Holdings$312,000
-43.6%
11,350
-58.0%
0.22%
-46.1%
NPTN  NeoPhotonics Corporation$283,000
-47.5%
68,0000.0%0.20%
-49.9%
MESO BuyMesoblast Limited$254,000
-0.4%
12,062
+20.0%
0.18%
-4.9%
MCK SellMckesson HBOC$245,000
-5.4%
1,315
-10.2%
0.17%
-9.6%
XOM  Exxon Mobil$238,000
+3.0%
2,3660.0%0.16%
-1.8%
TINY BuyHarris & Harris Group$159,000
-6.5%
50,000
+2.0%
0.11%
-10.6%
NMRX BuyNumerex Corp$158,000
+9.7%
13,750
+4.2%
0.11%
+4.8%
MVIS  Microvision Inc$119,000
+4.4%
59,2520.0%0.08%
-1.2%
DYAI  Dyadic International$61,000
+19.6%
34,2000.0%0.04%
+13.5%
VICL  Vical Inc$16,000
-5.9%
12,9500.0%0.01%
-8.3%
 Microvision Warrants - exp 11/$2,0000.0%181,2000.0%0.00%0.0%
ESRX ExitExpress Scripts$0-3,537
-100.0%
-0.19%
T102PS ExitSilicon Image$0-106,875
-100.0%
-0.54%
RFMD ExitRF Micro Devices$0-97,750
-100.0%
-0.56%
BG ExitBunge Limited$0-18,827
-100.0%
-1.09%
Original filings

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

  • View 13F-HR filed 2014-08-06
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
VERIZON COMMUNICATIONS INC18Q3 20174.9%
BOEING CO18Q3 20175.4%
GENERAL ELECTRIC CO18Q3 20175.1%
CORNING INC18Q3 20174.3%
American Tower REIT18Q3 20174.3%
ATT - New18Q3 20174.1%
UNIVERSAL DISPLAY CORP18Q3 20175.7%
Union Pacific Corp18Q3 20174.3%
BRISTOL MYERS SQUIBB CO18Q3 20174.2%
MICROSOFT CORP18Q3 20173.8%

View PRINCETON CAPITAL MANAGEMENT INC's complete holdings history.

Latest filings
TypeFiled
13F-HR2017-11-03
13F-HR2017-07-31
13F-HR2017-05-10
13F-HR2017-02-02
13F-HR2016-11-03
13F-HR2016-07-25
13F-HR2016-04-28
13F-HR2016-01-28
13F-HR2015-10-28
13F-HR2015-08-03

View PRINCETON CAPITAL MANAGEMENT INC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (144516000.0 != 144521000.0)

Export PRINCETON CAPITAL MANAGEMENT INC's holdings