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Institutional Investment Manager
PRESCOTT GROUP CAPITAL MANAGEMENT, L.L.C.
PRESCOTT GROUP CAPITAL MANAGEMENT, L.L.C. (CIK: 0001166152) incorporated in Oklahoma, located at 1924 S Utica Ave, Tulsa, OK. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 199 holdings with a total value of $506,829,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 FULLER H B CO 15,000 595,000 0.12%
152 GOODYEAR TIRE & RUBR CO 26,216 592,000 0.12%
153 UNITED TECHNOLOGIES CORP 5,400 570,000 0.11%
154 Standard Register Co 108,741 558,000 0.11%
155 GT ADVANCED TECHNOLOGIES INC COM 50,000 541,000 0.11%
156 PERMA-FIX ENVIRONMENTAL SVCS 135,532 518,000 0.10%
157 CAREER EDUCATION CRP 101,700 517,000 0.10%
158 RPM INTL INC 11,200 513,000 0.10%
159 AVON PRODS INC 34,491 435,000 0.09%
160 QKL STORES ORD 148,857 414,000 0.08%
161 ZIMMER BIOMET HLDGS INC 4,000 402,000 0.08%
162 CHENIERE ENERGY INC 5,000 400,000 0.08%
163 TIME WARNER INC 5,000 376,000 0.07%
164 OMNOVA SOLUTIONS INCORPORATED 70,000 376,000 0.07%
165 MITEL NETWORKS CORP 40,000 366,000 0.07%
166 SCHLUMBERGER LTD 3,500 356,000 0.07%
167 CYAN INC 113,700 355,000 0.07%
168 GATX CORP 6,000 350,000 0.07%
169 UQM TECHNOLOGIES INC COM 245,965 347,000 0.07%
170 AUDIOVOX CORP CL A 34,716 323,000 0.06%
171 GREENBRIER COS INC 4,300 316,000 0.06%
172 WAL-MART STORES INC 4,000 306,000 0.06%
173 HENRY SCHEIN INC 2,600 303,000 0.06%
174 THOR INDS INC 5,710 294,000 0.06%
175 ORACLE CORP 7,601 291,000 0.06%
176 Con-Way Inc 6,000 285,000 0.06%
177 MICROSOFT CORP 6,000 278,000 0.05%
178 STERIS PLC 5,000 270,000 0.05%
179 CAMERON INTERNATIONAL COMPANY 4,000 266,000 0.05%
180 CHYRONHEGO CORP 86,950 259,000 0.05%
181 JOHNSON & JOHNSON 2,400 256,000 0.05%
182 PARK OHIO HLDGS CORP COM 4,900 235,000 0.05%
183 SWISHER HYGIENE INCNEW 76,159 232,000 0.05%
184 DIGI INTL INC COM 29,429 221,000 0.04%
185 LILLY ELI & CO 3,200 208,000 0.04%
186 APOLLO ED GROUP INC 8,000 201,000 0.04%
187 Essendant Inc Com 11,400 200,000 0.04%
188 NCI INC 17,940 171,000 0.03%
189 NEONODE INC 75,663 163,000 0.03%
190 MERGE HEALTHCARE INC 74,000 163,000 0.03%
191 FUEL TECH INC 38,148 162,000 0.03%
192 AUTOBYTEL INC COM NEW 15,000 129,000 0.03%
193 SMART TECHNOLOGIES INC 76,704 126,000 0.02%
194 GLOBALSTAR INC 33,000 121,000 0.02%
195 ORIENT PAPER INC 85,467 117,000 0.02%
196 HUDSON GLOBAL INC 30,000 113,000 0.02%
197 IRADIMED CORP 13,800 97,000 0.02%
198 China Gerui Advanced Materials 237,000 76,000 0.01%
199 Verso Corp 22,579 72,000 0.01%
Page 4 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001315863-14-000630, filed 2014.11.14).

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.