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Institutional Investment Manager
FIRST WILSHIRE SECURITIES MANAGEMENT INC
FIRST WILSHIRE SECURITIES MANAGEMENT INC (CIK: 0000732847) incorporated in California, located at 1214 East Green Street, Suite 104, Pasadena, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 117 holdings with a total value of $357,297,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ENOVA INTL INC COM 265,607 1,756,000 0.49%
52 DESTINATION XL GROUP INC COM 315,773 1,743,000 0.49%
53 ARI Network Services Inc 381,844 1,718,000 0.48%
54 Perma-Pipe International Holdings, Inc. 252,363 1,650,000 0.46%
55 MDU RES GROUP INC 85,002 1,557,000 0.44%
56 PIONEER PWR SOLUTIONS INC COM NEW 359,935 1,422,000 0.40%
57 LIMONEIRA CO 92,910 1,388,000 0.39%
58 DISCOVER FINL SVCS 22,967 1,231,000 0.34%
59 HOPFED BANCORP INC 96,043 1,153,000 0.32%
60 WILLBROS GROUP INC DEL COM 418,456 1,126,000 0.32%
61 INTEST CORP 261,461 1,106,000 0.31%
62 ISHARES U S ETF TR 21,900 1,095,000 0.31%
63 CENTRAL GARDEN & PET CO COM 78,429 1,060,000 0.30%
64 BANK COMM HLDGS 157,750 1,054,000 0.29%
65 CAMTEK LTD 373,265 810,000 0.23%
66 FARMERS NATIONAL BANC CORP 85,899 739,000 0.21%
67 ABERDEEN GTR CHINA FD INC 84,276 721,000 0.20%
68 MICROSOFT CORP 12,350 685,000 0.19%
69 WIDEPOINT CORP 972,571 676,000 0.19%
70 TCP INTL HLDGS LTD 677,941 658,000 0.18%
71 CHINA CORD BLOOD CORP 100,515 640,000 0.18%
72 MILLER INDS INC TENN COM NEW 26,851 585,000 0.16%
73 BBCN BANCORP INC 33,981 585,000 0.16%
74 CVS HEALTH CORP 5,450 533,000 0.15%
75 Horsehead Holding Corp. 258,300 530,000 0.15%
76 BERKSHIRE HATHAWAY INC DEL 3,709 490,000 0.14%
77 AMERICAS CAR-MART INC COM 18,045 482,000 0.13%
78 NORTHERN TECH INTL CORP 34,522 479,000 0.13%
79 TOR MINERALS INTL INC 103,913 469,000 0.13%
80 JOHNSON & JOHNSON 4,553 468,000 0.13%
81 MARATHON PETE CORP 8,750 454,000 0.13%
82 HANMI FINL CORP COM NEW 19,012 451,000 0.13%
83 PFIZER INC 13,901 449,000 0.13%
84 HONEYWELL INTL INC 4,100 425,000 0.12%
85 EDUCATIONAL DEV CORP 38,292 424,000 0.12%
86 ASTA FDG INC 51,978 413,000 0.12%
87 EXXON MOBIL CORP 5,076 396,000 0.11%
88 ISHARES TR 2,800 390,000 0.11%
89 LUNA INNOVATIONS 359,796 389,000 0.11%
90 ISHARES TR 1,900 389,000 0.11%
91 SUPERCOM LTD NEW SHS NEW 71,470 373,000 0.10%
92 CISCO SYS INC 13,246 360,000 0.10%
93 Spectra Energy Corp Com 14,725 353,000 0.10%
94 VANGUARD WORLD FD 2,600 345,000 0.10%
95 ST JUDE MED INC 5,250 324,000 0.09%
96 US Ecology Inc 8,600 313,000 0.09%
97 CPI AEROSTRUCTURES INC COM NEW 31,500 306,000 0.09%
98 ABERDEEN SINGAPORE FD INC COM 34,412 295,000 0.08%
99 GENESEE AND WYOMING INC INC CL A 4,850 260,000 0.07%
100 RR MEDIA LTD 26,348 238,000 0.07%
Page 2 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000732847-16-000014, filed 2016.02.16).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.