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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 (2016Q3)
Portfolio Summary: 146 holdings with a total value of $468,691,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 FIRST AMERN FINL CORP 56,684 2,227,000 0.48%
102 HURON CONSULTING 38,173 2,281,000 0.49%
103 FIRST SOLAR INC 60,000 2,369,000 0.51%
104 TEXAS PAC LD TR SUB CTF PROP I T 10,037 2,402,000 0.51%
105 CASEY'S GENERAL STORES INC COM 20,043 2,408,000 0.51%
106 ELLIE MAE INCORPORATED 22,921 2,414,000 0.52%
107 GREAT LAKES DREDGE & DOCK CO 695,102 2,433,000 0.52%
108 ATTUNITY LTD 393,504 2,613,000 0.56%
109 BLACKHAWK NETWORK 90,000 2,715,000 0.58%
110 ANADARKO PETE CORP 44,000 2,788,000 0.59%
111 DOLLAR GEN CORP NEW 40,000 2,800,000 0.60%
112 D R HORTON INC 95,900 2,896,000 0.62%
113 ENVISION HEALTHCARE HLDGS INC 137,500 3,062,000 0.65%
114 SYNTHESIS ENERGY SYS INC 2,691,082 3,256,000 0.69%
115 MATTERSIGHT CORP COM 780,618 3,279,000 0.70%
116 U S CONCRETE INC 74,559 3,435,000 0.73%
117 BLUELINX HLDGS INC 388,909 3,454,000 0.74%
118 CONE Midstream Partners 200,000 3,620,000 0.77%
119 LENNAR 88,822 3,761,000 0.80%
120 ROSS STORES INC 60,000 3,858,000 0.82%
121 RUSH ENTERPRISES INC CL A 160,604 3,932,000 0.84%
122 HMS HOLDINGS CORPORATION 180,825 4,009,000 0.86%
123 RUBICON PROJ INC 500,000 4,140,000 0.88%
124 NCI BLDG SYS INC 302,483 4,413,000 0.94%
125 MODSYS INTL LTD 4,017,488 5,022,000 1.07%
126 ECLIPSE RES CORP COM 1,587,305 5,222,000 1.11%
127 CANADIAN SOLAR INC 407,661 5,601,000 1.20%
128 ENERGY TRANSFER L P 347,004 5,826,000 1.24%
129 GP Strategies Corp 251,884 6,201,000 1.32%
130 CIVEO CORP CDA 5,650,729 6,442,000 1.37%
131 BIOSCRIP INC 2,237,608 6,467,000 1.38%
132 GENERAL GROWTH 250,904 6,925,000 1.48%
133 NET 1 UEPS TECHNOLOGIES INC 879,722 7,530,000 1.61%
134 UNIT CORP COM 419,149 7,796,000 1.66%
135 REGIONAL MGMT CORP 383,563 8,304,000 1.77%
136 DESTINATION XL GROUP INC COM 2,141,029 9,271,000 1.98%
137 WELLCARE HEALTH PLANS INC 81,043 9,489,000 2.02%
138 Marchex Inc 4,038,353 11,186,000 2.39%
139 PERFORMANT FINL CORP 4,583,735 13,522,000 2.89%
140 BARCLAYS BK PLC 447,500 15,246,000 3.25%
141 NU SKIN ENTERPRISES INC 250,118 16,203,000 3.46%
142 SERVICESOURCE INTL 3,648,775 17,806,000 3.80%
143 ENOVA INTL INC COM 1,947,877 18,855,000 4.02%
144 PHARMATHENE INC COM 7,981,035 23,145,000 4.94%
145 NATURES SUNSHINE PRODS INC 1,865,383 29,846,000 6.37%
146 AIR TRANSPORT SERVICES GRP I 4,117,740 59,090,000 12.61%
Page 3 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001315863-16-001862, filed 2016.10.28).

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.