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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 (2016Q4)
Portfolio Summary: 1,240 holdings with a total value of $1,370,986,000.
#
Name
Shares
Value ($)
%
Options
Notes
1051 HOUSTON WIRE & CABLE 296,939 1,930,000 0.14%
1052 COGNIZANT TECHNOLOGY SOLUTIO 34,760 1,947,000 0.14%
1053 MFS INTERMEDIATE INCOME TRUST SH BEN INT 441,154 1,958,000 0.14%
1054 ISHARES SILVER TR 131,288 1,984,000 0.14%
1055 ABERDEEN ASIA PACIFIC INCOM 432,000 2,000,000 0.15%
1056 NAUTILUS INC 109,428 2,024,000 0.15%
1057 FIRST TR EXCHANGE-TRADED FD 22,264 2,024,000 0.15%
1058 Edgewell Personal Care Co 27,964 2,041,000 0.15%
1059 VIRTUS GLOBAL DIVID & INCOME F 170,486 2,052,000 0.15%
1060 BOEING CO 13,199 2,056,000 0.15%
1061 CONOCOPHILLIPS 41,893 2,100,000 0.15%
1062 WISDOMTREE TR 53,933 2,109,000 0.15%
1063 ALLSCRIPTS HEALTHCARE SOLUTION 207,891 2,123,000 0.15%
1064 AXCELIS TECHNOLOGIES INC 146,625 2,133,000 0.16%
1065 Albany Molecular 114,300 2,144,000 0.16%
1066 WisdomTree Europe Hedged Equi 39,921 2,181,000 0.16%
1067 LORAL SPACE & COMMUNICATIONS 53,264 2,187,000 0.16%
1068 AMAZON COM INC 2,941 2,205,000 0.16%
1069 VANGUARD INTL EQUITY INDEX F 45,212 2,241,000 0.16%
1070 GUESS INC 186,062 2,251,000 0.16%
1071 GILEAD SCIENCES INC 32,327 2,315,000 0.17%
1072 YAHOO INC 60,000 2,320,000 0.17%
1073 CORVEL CORP 64,810 2,372,000 0.17%
1074 SMUCKER J M CO 18,577 2,379,000 0.17%
1075 VANECK VECTORS ETF TR AGRIBUSI 46,388 2,381,000 0.17%
1076 BLACKSTONE GROUP L P (THE) COM 88,461 2,391,000 0.17%
1077 ARCH COAL INC CL A 31,829 2,484,000 0.18%
1078 CYRUSONE INC 56,480 2,526,000 0.18%
1079 HOME DEPOT INC 18,906 2,534,000 0.18%
1080 WESTROCK CO 50,444 2,561,000 0.19%
1081 PHILLIPS 66 30,247 2,613,000 0.19%
1082 CSX CORP 73,277 2,632,000 0.19%
1083 TOWNSQUARE MEDIA INC CL A 258,945 2,696,000 0.20%
1084 ABBOTT LABS 70,863 2,722,000 0.20%
1085 SIMULATIONS PLUS INC 296,962 2,866,000 0.21%
1086 NEUBERGER BERMAN RE COM 535,146 2,874,000 0.21%
1087 UNITEDHEALTH GROUP INC 18,073 2,892,000 0.21%
1088 SHORETEL INC 407,246 2,912,000 0.21%
1089 WELLTOWER INC COM 44,266 2,963,000 0.22%
1090 FONAR CORP 154,803 2,964,000 0.22%
1091 LAKELAND INDS INC 290,119 3,017,000 0.22%
1092 DOW CHEM CO 52,852 3,024,000 0.22%
1093 AbbVie Inc 49,050 3,072,000 0.22%
1094 MEDTRONIC PLC COM 43,239 3,080,000 0.22%
1095 ALPHABET INC 3,913 3,101,000 0.23%
1096 ALLIED MOTION TECHNOLOGIES 145,856 3,120,000 0.23%
1097 NXP Semiconductors NV 32,007 3,137,000 0.23%
1098 SYMANTEC CORP 132,051 3,155,000 0.23%
1099 L BRANDS INC 48,051 3,164,000 0.23%
1100 DEL FRISCOS RESTAURANT GROUP COM 188,448 3,204,000 0.23%
Page 22 of 25

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001446114-17-000014, filed 2017.02.14).

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.