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Institutional Investment Manager
Ancora Advisors LLC
Ancora Advisors LLC (CIK: 0001446114) incorporated in Ohio, located at 6060 Parkland Boulevard, Suite 200, Cleveland, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001162044-15-000154) filed in 2015.02.11
#
Name
Shares
Value ($)
%
Options
Notes
51 CORNING INC 184,856 4,239 0.52%
52 VANGUARD BD INDEX FDS 52,448 4,193 0.51%
53 AbbVie Inc 63,413 4,150 0.51%
54 WALGREENS BOOTS ALLIANCE INC 51,101 3,894 0.48%
55 EXXON MOBIL CORP 42,024 3,885 0.47%
56 JPMORGAN CHASE & CO 61,978 3,879 0.47%
57 3M CO 23,296 3,828 0.47%
58 Tribune Media Company 63,120 3,773 0.46%
59 PEPCO HOLDINGS INC 139,900 3,768 0.46%
60 LENNAR CORP 103,020 3,720 0.45%
61 Liberty Ventures 97,797 3,689 0.45%
62 CHEROKEE INC DEL NEW 190,567 3,689 0.45%
63 DU PONT E I DE NEMOURS & CO 49,261 3,642 0.44%
64 GENERAL ELECTRIC CO 143,460 3,625 0.44%
65 DARDEN RESTAURANTS INC 61,010 3,577 0.44%
66 QUALCOMM INC 47,925 3,562 0.43%
67 CISCO SYS INC 124,917 3,475 0.42%
68 HONEYWELL INTL INC 34,374 3,435 0.42%
69 ONE GAS INC 82,697 3,409 0.42%
70 TIME WARNER INC 39,779 3,398 0.41%
71 CONOCOPHILLIPS 47,918 3,309 0.40%
72 ISHARES TR 15,063 3,116 0.38%
73 VOYA FINANCIAL INC 70,767 2,999 0.37%
74 ALLEGION PUB LTD CO 53,921 2,990 0.36%
75 LIBERTY MEDIA HOLDING CP INTER A 100,443 2,955 0.36%
76 ISHARES GOLD TRUST 247,509 2,832 0.35%
77 AUTOBYTEL INC 248,171 2,705 0.33%
78 FTD COS INC 75,542 2,630 0.32%
79 AVANIR PHARMACEUTICALSINC CLA 155,168 2,630 0.32%
80 MCDONALDS CORP 27,981 2,622 0.32%
81 FIRST TR EXCHANGE-TRADED FD 25,583 2,610 0.32%
82 POST HLDGS INC 61,999 2,597 0.32%
83 REVENUESHARES ETF TR SMALL CAP 45,113 2,574 0.31%
84 Columbia Emerging Mkts Consume 101,128 2,563 0.31%
85 KRAFT HEINZ CO COM 40,717 2,551 0.31%
86 ATLAS ENERGY LP 81,790 2,548 0.31%
87 STARZ COM 85,319 2,534 0.31%
88 ENTERPRISE PRODS PARTNERS L 69,527 2,511 0.31%
89 ASHFORD HOSPITALITY TR INC 237,705 2,491 0.30%
90 Market Vectors Agribusiness ET 47,288 2,484 0.30%
91 GDL FUND 237,550 2,430 0.30%
92 EXELIS INC 138,575 2,429 0.30%
93 MFS INTERMEDIATE INCOME TRUST SH BEN INT 496,975 2,376 0.29%
94 Cincinnati Bell Inc 741,252 2,365 0.29%
95 WHITEWAVE FOODS CO 66,461 2,325 0.28%
96 ABBOTT LABS 50,506 2,274 0.28%
97 CST Brands Inc 51,837 2,261 0.28%
98 SPDR S&P 500 ETF TR 10,960 2,253 0.27%
99 FIRSTHAND TECHNOLOGY VALUE FD COM 120,031 2,239 0.27%
100 WisdomTree Europe Hedged Equi 43,165 2,222 0.27%
Page 2 of 10
Restatement filing (0001162044-15-000156) filed in 2015.02.11
#
Name
Shares
Value ($)
%
Options
Notes
451 STEALTHGAS INC SHS 30,000 189 0.02%
452 CAPSTONE TURBINE CORP COM 250,000 185 0.02%
453 KOPIN CORP 50,000 181 0.02%
454 THIRD PT REINS LTD COM 12,388 180 0.02%
455 QUANTUM CORP COM DSSG 100,000 176 0.02%
456 EXONE CO 10,500 176 0.02%
457 Alcoa 10,800 171 0.02%
458 FREQUENCY ELECTRS INC 14,600 167 0.02%
459 LIQUIDITY SERVICES INC COM 20,000 163 0.02%
460 EUROSEAS LTD 204,982 156 0.02%
461 CENTRAL FD CDA LTD 13,460 156 0.02%
462 RCI HOSPITALITY HLDGS INC COM 15,000 150 0.02%
463 ELLSWORTH GROWTH AND INCOME FU COM 17,000 148 0.02%
464 PEERLESS SYS CORP 21,154 145 0.02%
465 PROCERA NETWORKS INC COM 20,000 144 0.02%
466 Japan Smaller Capitalizationfd Inc Common 15,224 137 0.02%
467 CLOUGH GLOBAL OPPORTUNITIES FD SH BEN INT 10,200 131 0.02%
468 DESWELL INDUSTRIES INC 72,943 131 0.02%
469 ALTEVA COM 18,459 130 0.02%
470 ALLSCRIPTS HEALTHCARE SOLUTION 10,000 128 0.02%
471 OCLARO INC COM 70,000 125 0.02%
472 Weatherford International 10,000 114 0.01%
473 CORONADO BIOSCIENCES INC 46,350 113 0.01%
474 MFS INTERMEDIATE HIGH INC 37,964 101 0.01%
475 EMMIS COMMUNICTNS CORP CL A 46,371 87 0.01%
476 IAMGOLD CORP 30,000 81 0.01%
477 COMMUNITY HEALTH SYS INC NEW 3,233,230 81 0.01%
478 Senomyx Inc. 12,500 75 0.01%
479 RECRO PHARMA INC COM 25,060 72 0.01%
480 WIDEPOINT CORP 52,010 72 0.01%
481 ORBIT INTL CORP 20,200 64 0.01%
482 TRIO TECH INTL 18,922 55 0.01%
483 Arena Pharmaceuticals, Inc 15,000 52 0.01%
484 UNWIRED PLANET INC NEW COM 50,000 50 0.01%
485 Sirius XM Holdings Inc 12,000 42 0.01%
486 MCDERMOTT INTL INC 14,000 41 0.01%
487 Active Power Inc 20,000 37 0.00%
488 MANAGED HIGH YIELD PLUS FUND INC 20,000 36 0.00%
489 DOVER DOWNS GAMING & ENTMT I 40,000 33 0.00%
490 WET SEAL INC 215,000 14 0.00%
491 SWS GROUP INC 2,334,086 0 0.00%
Page 10 of 10