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Institutional Investment Manager
SFE Investment Counsel
SFE Investment Counsel (CIK: 0001317784), located at 801 South Figueroa Street, Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 89 holdings with a total value of $231,054,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 TOWERSTREAM CORP 11,250 17,000 0.01%
2 ANTARES PHARMA INC 25,000 46,000 0.02%
3 CAPSTEAD MTG CORP COM NO PAR 14,945 183,000 0.08%
4 KEYCORP 15,144 202,000 0.09%
5 VANGUARD INDEX FDS 2,023 202,000 0.09%
6 Zoetis Inc. CL A 6,585 243,000 0.11%
7 DISNEY WALT CO 2,785 248,000 0.11%
8 HEXCEL CORP NEW COM 6,375 253,000 0.11%
9 Intuitive Surgical Inc 550 254,000 0.11%
10 CHICAGO BRIDGE & IRON CO N V 4,520 261,000 0.11%
11 ISHARES INC 10,933 262,000 0.11%
12 CONSOLIDATED EDISON INC 4,925 279,000 0.12%
13 CHESAPEAKE ENERGY CORP 13,075 301,000 0.13%
14 WHOLE FOODS MKT INC 8,600 328,000 0.14%
15 Columbia Emerging Mkts Consume 13,015 341,000 0.15%
16 BUCKEYE PARTNERS L P 4,305 343,000 0.15%
17 VANGUARD INDEX FDS 4,268 347,000 0.15%
18 RLI CORP 8,126 352,000 0.15%
19 XCEL ENERGY INC 13,270 403,000 0.17%
20 KINDER MORGAN MANAGEMENT LLC 4,526 426,000 0.18%
21 NEWELL BRANDS 12,670 436,000 0.19%
22 CHEVRON CORP NEW 3,870 462,000 0.20%
23 CUMMINS INC 3,515 464,000 0.20%
24 CLEAN ENERGY FUELS CORPORATION COM 73,170 571,000 0.25%
25 MIDCOAST ENERGY PARTNERS LP 27,260 608,000 0.26%
26 EXXON MOBIL CORP 6,495 611,000 0.26%
27 INTERNATIONAL BUSINESS MACHS 3,289 624,000 0.27%
28 Enbridge Energy Management LLC 17,230 641,000 0.28%
29 Alphabet Inc. Class C 1,118 658,000 0.28%
30 COLGATE PALMOLIVE CO 10,259 669,000 0.29%
31 ALPHABET INC C NON VOTING SHAR 1,173 677,000 0.29%
32 CISCO SYS INC 32,178 810,000 0.35%
33 DOMINION RES INC VA NEW 11,764 813,000 0.35%
34 RPM INTL INC 18,757 859,000 0.37%
35 EATON CORPORATION PLC 13,584 861,000 0.37%
36 FIRST SOLAR INC 14,710 968,000 0.42%
37 HARMAN INTL INDS INC 10,135 994,000 0.43%
38 BOEING CO 8,010 1,020,000 0.44%
39 MICROSOFT CORP 22,603 1,048,000 0.45%
40 BLACKHAWK NETWORK HLDGS INC 39,880 1,292,000 0.56%
41 TETRA TECH INC NEW 53,005 1,324,000 0.57%
42 SUBURBAN PROPANE PARTNERS LP COM USD1 30,229 1,347,000 0.58%
43 Kinder Morgan Inc. 14,892 1,389,000 0.60%
44 JOHNSON & JOHNSON 13,373 1,425,000 0.62%
45 ITC HOLDINGS 42,276 1,506,000 0.65%
46 AMERICAN WTR WKS CO INC NEW 31,576 1,523,000 0.66%
47 B/E AEROSPACE INC 20,293 1,703,000 0.74%
48 BAKER HUGHES INC 26,190 1,704,000 0.74%
49 CLEAN HARBORS INC 35,351 1,906,000 0.82%
50 VARIAN MED SYS INC 25,295 2,027,000 0.88%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-14-002107, filed 2014.11.06).

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.