Dark
Light
System
Institutional Investment Manager
ROANOKE ASSET MANAGEMENT CORP/ NY
ROANOKE ASSET MANAGEMENT CORP/ NY (CIK: 0001089710) incorporated in Florida, located at Harborside 5, Jersey City, NJ. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 120 holdings with a total value of $304,864,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 TRANSWITCH CORP 97,836 0 0.00%
2 MOLY MINES LTD 17,700 0 0.00%
3 SIRIUS MINERALS 23,700 3,000 0.00%
4 GELTECH SOLUTIONS INC 14,000 4,000 0.00%
5 RAINMAKER SYSTEMS COM NEW 151,100 6,000 0.00%
6 EMERALD OIL INC 23,214 17,000 0.01%
7 FEDERATED EQUITY FDS PRDBR FD 12,115 26,000 0.01%
8 ATLAS SPINE INC. 25,000 50,000 0.02%
9 8X8 INC NEW COM 21,500 181,000 0.06%
10 CALLIDUS SOFTWARE INC 15,200 193,000 0.06%
11 OAKMARK INT I 8,128 202,000 0.07%
12 COUNTRYWIDE CAP IV 6.75 PFD 8,000 204,000 0.07%
13 VACCINOGEN INC 52,679 205,000 0.07%
14 LANTRONIX INC 115,000 208,000 0.07%
15 AETNA INC NEW 2,000 213,000 0.07%
16 DEMANDWARE INC COM 3,500 213,000 0.07%
17 Stratasys Ltd 4,200 222,000 0.07%
18 SOUND SHORE FD INC 4,642 229,000 0.08%
19 Benchmark Electronics 10,316 248,000 0.08%
20 GENERAL ELECTRIC CO 10,315 256,000 0.08%
21 Merrill Lynch Cap Trst V Ser F 10,000 259,000 0.08%
22 COUNTRYWIDE CAPITAL V REDEMPTION $25/SH 6/6/18 10,000 259,000 0.08%
23 CANADIAN NAT RES LTD 8,675 266,000 0.09%
24 ENLINK MIDSTREAM LLC 9,400 306,000 0.10%
25 Kinder Morgan Inc 7,282 306,000 0.10%
26 CELGENE CORP 2,700 311,000 0.10%
27 INCONTACT INC COM 28,940 315,000 0.10%
28 ING Groep N.V. 12,700 325,000 0.11%
29 MATTHEWS PACIFIC TIGER 12,298 351,000 0.12%
30 MARKWEST ENERGY PARTNERS LP 5,319 352,000 0.12%
31 VODAFONE GROUP PLC NEW 11,008 360,000 0.12%
32 Merrill Lynch Capital Tst III 14,500 372,000 0.12%
33 VISHAY INTERTECHNOLOGY INC 27,178 376,000 0.12%
34 GOLDMAN SACHS GRP PFD K 6.375 15,000 401,000 0.13%
35 Laredo Petroleum Inc 31,165 406,000 0.13%
36 WILLIAMS SONOMA INC 5,500 438,000 0.14%
37 SPDR GOLD TRUST 3,994 454,000 0.15%
38 FOSSIL GROUP INC COM 5,562 459,000 0.15%
39 CONSOLIDATED EDISON INC 7,915 483,000 0.16%
40 Duke Energy Corp 6,395 491,000 0.16%
41 MCDONALDS CORP 5,385 525,000 0.17%
42 CHEVRON CORP NEW 5,270 553,000 0.18%
43 DARDEN RESTAURANTS INC 8,021 556,000 0.18%
44 Mid-Amer Apt Cmntys Inc 7,825 605,000 0.20%
45 APPLIED MATLS INC 26,800 605,000 0.20%
46 Nextera Energy Inc 7,329 763,000 0.25%
47 GLAXOSMITHKLINE PLC SPONSORED 17,450 805,000 0.26%
48 Kraft Foods 9,539 831,000 0.27%
49 Exxon Mobil Corp 9,823 835,000 0.27%
50 DODGE & COX STOCK FUND 4,817 850,000 0.28%
Page 1 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001089710-15-000002, filed 2015.04.24).

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.