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Reported Holdings Of The
Perritt Capital Management Inc

Legal Name: PERRITT CAPITAL MANAGEMENT INC

Period of report: Jun 30, 2019
Effectiveness Date: Aug 13, 2019

Security Shares Held / Principal Amount Market Value Option
ISHARES (464287465) 159,723 $10,499k
SPDR S&P 500 ETF TR TR UNIT (78462F103) 30,325 $8,885k
NORTHERN TECH INTL CORP (665809109) 246,899 $6,037k
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF (922042858) 123,120 $5,236k
SILVERCREST ASSET MGMT GROUPCL (828359109) 340,468 $4,777k
MILLER INDS INC TENN (600551204) 153,083 $4,707k
SSGA ACTIVE ETF TR (78467V848) 85,415 $4,191k
CPI AEROSTRUCTURES INC (125919308) 484,086 $4,071k
RADIANT LOGISTICS INC (75025X100) 657,307 $4,036k
WISDOMTREE TR (97717W869) 62,536 $3,648k
BLUELINX HOLDINGS INC (09624H208) 167,310 $3,314k
FIRST INTERNET BANCORP (320557101) 144,340 $3,109k
MOTORCAR PTS AMER INC (620071100) 143,725 $3,077k
VANGUARD WORLD FDS (92204A876) 23,097 $3,070k
CYNERGISTEK INC (23258P105) 629,721 $3,048k
CENTURY CASINOS INC (156492100) 311,250 $3,019k
ISHARES TR CORE S&P MCP ETF (464287507) 15,309 $2,974k
ISHARES TR (464288653) 20,589 $2,947k
DSP GROUP INC (23332B106) 204,889 $2,942k
DELTA APPAREL INC (247368103) 118,403 $2,745k
IES HLDGS INC COM (44951W106) 141,976 $2,676k
DLH Holdings Corp (23335Q100) 498,715 $2,533k
PHOTRONICS INC (719405102) 298,850 $2,451k
TRECORA RES COM (894648104) 251,597 $2,408k
AMER SOFTWARE INC (029683109) 179,805 $2,364k
OOMA INC (683416101) 225,000 $2,358k
FEDERAL SIGNAL CORP (313855108) 82,500 $2,207k
PRIMO WTR CORP (74165N105) 176,883 $2,176k
OMNOVA SOLUTIONS INC COM (682129101) 349,221 $2,176k
PCM INC (69323K100) 61,609 $2,159k
ISHARES TR S&P 500 GRWT ETF (464287309) 11,856 $2,125k
ADDUS HOMECARE CORP (006739106) 27,496 $2,061k
Bel Fuse Inc (077347300) 119,055 $2,044k
Bankwell Financial (06654a103) 67,900 $1,949k
PC-TEL INC (69325Q105) 437,968 $1,940k
ASURE SOFTWARE INC CORP. (04649U102) 233,400 $1,921k
LEGACY HOUSING CORP COM (52472M101) 152,000 $1,892k
PGT INC COM (69336V101) 107,000 $1,789k
LANDEC CORP (514766104) 186,630 $1,749k
HENNESSY ADVISORS INC COM (425885100) 177,789 $1,725k
CERAGON NETWORKS LTD (M22013102) 579,500 $1,698k
WISDOMTREE TR (97717W562) 46,987 $1,686k
FARMER BROS CO (307675108) 100,708 $1,649k
TECNOGLASS INC (G87264100) 245,598 $1,594k
INFORMATION SERVICES GROUP I (45675Y104) 501,541 $1,585k
Profire Energy Inc (74316X101) 1,041,791 $1,573k
ISHARES TR CORE DIV GRWTH (46434V621) 41,083 $1,569k
LSI INDS INC (50216C108) 426,300 $1,556k
NEW AGE BEVERAGES CORP (64157V108) 325,000 $1,515k
AXT INC (00246W103) 368,271 $1,458k
STRYKER CORP (863667101) 7,050 $1,449k
LIMBACH HLDGS INC COM (53263P105) 158,300 $1,441k
TriState Capital Holdings, Inc. (89678F100) 65,000 $1,387k
OPPENHEIMER HLDGS INC (683797104) 50,644 $1,379k
TRAVELCENTERS AMER LLC (894174101) 380,370 $1,377k
Matrix Service Co. (576853105) 67,476 $1,367k
U S GLOBAL INVS INC (902952100) 740,000 $1,339k
SPARTAN MOTORS INC (846819100) 120,000 $1,315k
TRIUMPH BANCORP (89679E300) 45,000 $1,307k
GENCOR INDUSTRIES INC (368678108) 99,500 $1,294k
GP STRATEGIES CORP (36225V104) 84,842 $1,279k
HUTTIG BUILDNG PRODS (448451104) 486,884 $1,256k
NORTHEAST BANK (66405S100) 45,286 $1,249k
GRAHAM CORP (384556106) 60,000 $1,213k
ESQUIRE FINANCIAL HOLDINGS I (29667J101) 47,900 $1,205k
LUNA INNOVATIONS (550351100) 263,400 $1,185k
SAFEGUARD SCIENTIFIC (786449207) 98,050 $1,183k
RICHARDSON ELECTRS LTD (763165107) 208,730 $1,169k
PFSWEB INC COM NEW (717098206) 285,644 $1,157k
ISHARES (464287234) 26,721 $1,147k
ZAGG INC COM (98884U108) 163,800 $1,140k
GLOBALSCAPE INC (37940G109) 110,700 $1,131k
SUPERIOR GRP OF COMP (868358102) 64,491 $1,105k
Manitex International (563420108) 177,408 $1,084k
MCEWEN MINING INC (58039P107) 617,800 $1,081k
VERITEX HLDGS INC (923451108) 40,000 $1,038k
SACHEM CAP CORP COM (78590A109) 195,000 $1,035k
SOUTHWEST AIRLS CO (844741108) 20,151 $1,023k
ASV HLDGS INC COM (00215L104) 149,281 $1,023k
DIGI INTL INC COM (253798102) 80,152 $1,016k
LIMELIGHT NETWORKS INC (53261M104) 370,175 $999k
STONERIDGE INC (86183P102) 31,639 $998k
SENSUS HEATLHCARE INC COM (81728J109) 176,600 $978k
QUEST RESOURCE HLDG CORP COM NEW (74836W203) 350,000 $970k
TEXAS INSTRUMENTS (882508104) 8,375 $961k
PayPal Holdings Inc (70450Y103) 8,074 $924k
Napco Sec Technologies, Inc. (630402105) 31,000 $920k
IMMERSION CORPORATION (452521107) 120,700 $919k
United Insurance Holdings Co (910710102) 63,950 $912k
ZIX CORP (98974P100) 100,000 $909k
YUM BRANDS INC (988498101) 7,746 $857k
JPMORGAN CHASE & CO (46625H100) 7,659 $856k
IMMUCELL CORP (452525306) 130,000 $845k
NEW MEDIA INVT GROUP INC (64704V106) 87,600 $827k
PEPSICO INC (713448108) 6,256 $820k
SUPER LEAGUE GAMING INC (86804F202) 95,000 $812k
Turtle Beach Corporation (900450206) 70,000 $809k
GLOBAL WTR RES INC (379463102) 77,500 $809k
TRANSCAT INC (893529107) 31,500 $806k
ENDEAVOUR SILVER CORP (29258Y103) 381,300 $782k
VERSO CORP (92531L207) 40,000 $762k
ABBOTT LABS (002824100) 9,025 $759k
UFP TECHNOLOGIES INC (902673102) 18,000 $749k
UNITEDHEALTH GRP INC (91324P102) 3,061 $747k
TWIN DISC INC COM (901476101) 48,900 $738k
PFIZER INC (717081103) 16,788 $727k
ILLINOIS TOOL WORKS (452308109) 4,713 $711k
PLYMOUTH INDL REIT, Inc. (729640102) 37,500 $710k
VANGUARD INDEX FDS VALUE ETF (922908744) 6,331 $702k
BIOSCRIP INC (09069N108) 269,957 $702k
SKYWORKS SOLUTIONS INC (83088m102) 9,056 $700k
Green Brick Partners Inc (392709101) 83,500 $694k
DHT Holdings Inc (Y2065G121) 116,300 $687k
GSI TECHNOLOGY (36241U106) 80,000 $686k
VANGUARD TAX MANAGED INTL FD FTSE DEV MKT ETF (921943858) 16,295 $680k
HONEYWELL INTL INC (438516106) 3,889 $679k
INFRASTRUCTURE AND ENERGY ALTE (45686J104) 329,409 $672k
ORACLE CORP (68389X105) 11,527 $657k
JOHNSON & JOHNSON (478160104) 4,604 $641k
Kewaunee Scientific Corporation (492854104) 33,170 $635k
FEDEX CORP (31428X106) 3,807 $625k
BG STAFFING INC (05544A109) 32,900 $621k
MITCHAM INDS INC (606501104) 152,700 $603k
PROCTER & GAMBLE CO (742718109) 5,449 $597k
INTEL CORP (458140100) 12,367 $592k
TITAN MED INC COM NEW (88830X819) 250,000 $590k
HUDSON TECHNOLOGIES (444144109) 674,540 $580k
CARDLYTICS INC (14161W105) 22,100 $574k
VMware (VMW) (928563402) 3,359 $562k
ABBVIE INC (00287Y109) 7,726 $562k
CONTINENTAL MATLS CORP (211615307) 35,072 $561k
WASTE MGMT INC DEL (94106L109) 4,698 $542k
EVOLUTION PETROLEUM CORP (30049A107) 75,660 $541k
ISHARES TR CORE S&P SCP ETF (464287804) 6,855 $537k
CITIGROUP INC (172967424) 7,649 $536k
LAKELAND INDS INC (511795106) 46,520 $521k
ITERIS INC (46564T107) 100,000 $517k
FUEL TECH INC (359523107) 363,300 $509k
VANECK VECTORS ETF TR GOLD MINERS ETF (92189F106) 19,670 $503k
LAZYDAYS HLDGS INC COM (52110H100) 100,000 $500k
AMGEN INC (031162100) 2,698 $497k
DATA I/O CORP (237690102) 110,000 $495k
RUMBLEON INC CL B (781386206) 110,000 $493k
CISCO SYSTEMS INC (17275R102) 8,956 $490k
MCKESSON CORP (58155Q103) 3,622 $487k
JERASH HLDGS US INC (47632P101) 67,529 $484k
EBAY INC (278642103) 11,930 $471k
TAYLOR DEVICES INC COM (877163105) 43,915 $470k
DHX MEDIA LTD (252406152) 320,000 $467k
POLAR PWR INC (73102V105) 112,000 $466k
DASEKE INC (23753F107) 129,101 $465k
PRUDENTIAL FINL (744320102) 4,521 $457k
NORWEGIAN CRUISE LINE HLDG L (G66721104) 8,515 $457k
MICRON TECHNOLOGY (595112103) 11,780 $455k
Exxon Mobil Corp (30231G102) 5,910 $453k
BUILD A BEAR WORKSHOP (120076104) 80,000 $447k
USA TECHNOLOGIES INCCOM NO PAR (90328S500) 60,000 $446k
GSE SYS INC COM (36227K106) 190,622 $446k
KIMBERLY CLARK CORP (494368103) 3,331 $444k
3M CO (88579Y101) 2,540 $440k
NORTHWEST PIPE CO (667746101) 17,053 $440k
FOSTER L B CO (350060109) 15,915 $435k
AMREP CORP NEW (032159105) 62,500 $429k
ROCKWELL MED INC (774374102) 142,300 $428k
SIGMA LABS INC COM PAR (826598302) 300,000 $420k
Intuit Inc (461202103) 1,601 $418k
ISHARES TR RUSSELL 2000 ETF (464287655) 2,676 $416k
ENTERPRISE PRODS (293792107) 14,000 $404k
INTREPID POTASH INC (46121Y102) 120,000 $403k
MEDTRONIC PLC (G5960L103) 4,107 $400k
HOME DEPOT INC (437076102) 1,836 $382k
VANGUARD INDEX FDS REAL ESTATE ETF (922908553) 4,305 $376k
GLOBAL SELF STORAGE INC (37955N106) 100,000 $376k
AEROCENTURY CORP (007737109) 51,504 $375k
ISSUER DIRECT CORPORATION COM NEW (46520M204) 32,733 $367k
GOODRICH PETROLEUM CORP (382410843) 27,949 $363k
ULTRA CLEAN HLDGS INC (90385v107) 25,581 $356k
YUM CHINA HLDGS INC (98850P109) 7,487 $346k
CARLISLE COS INC (142339100) 2,412 $339k
Perma-Pipe International Holdings, Inc. (714167103) 36,582 $333k
Flotek (343389102) 100,000 $331k
DYNATRONICS CORP (268157401) 200,000 $330k
WINNEBAGO INDS INC (974637100) 8,380 $324k
US FOODS HLDG CORP (912008109) 8,975 $321k
AMERIPRISE FINL INC (03076C106) 2,212 $321k
HURCO CO (447324104) 9,000 $320k
VERIZON COMMUNICATIONS (92343V104) 5,592 $319k
MORGAN STANLEY (617446448) 7,075 $310k
Emcore Corporation (290846203) 91,000 $299k
ISHARES TR S&P MC 400GR ETF (464287606) 1,320 $299k
BUILDERS FIRSTSOURCE INC (12008R107) 17,650 $298k
MasterCraft Boat Holdings, Inc (57637h103) 15,000 $294k
BIOSPECIFICS TECH CO (090931106) 4,900 $293k
CUI GLOBAL INC (126576206) 350,000 $288k
GENERAL MILLS INC (370334104) 5,462 $287k
Occidental Petroleum Corp (674599105) 5,660 $285k
INTRICON CORP COM (46121H109) 12,000 $280k
PIONEER PWR SOLUTIONS INC (723836300) 57,800 $275k
CTI INDUSTRIES CORP (125961300) 83,700 $270k
KIRKLANDS INC (497498105) 116,600 $264k
GOLD RESOURCE CORP (38068T105) 75,041 $254k
Superior Drilling Products Inc (868153107) 250,000 $253k
APACHE CORP (037411105) 8,725 $253k
CSX CORP (126408103) 3,266 $253k
FINJAN HLDGS INC (31788H303) 110,000 $244k
SPDR GOLD TR GOLD (78463V107) 1,811 $241k
MARATHON OIL CORP (565849106) 16,950 $241k
KANSAS CITY SOUTHERN (485170302) 1,955 $238k
MAJESCO (56068V102) 24,200 $225k
UNIQUE FABRICATING INC COM (90915J103) 82,500 $224k
PRICE T ROWE GROUP INC (74144t108) 2,033 $223k
DXC TECHNOLOGY CO (23355L106) 3,980 $219k
SABINE ROYALTY TRUST (785688102) 4,491 $216k
ISHARES TR (464287861) 4,770 $210k
WILLAMETTE VY VINEYARD INC COM (969136100) 30,000 $208k
WIDEPOINT CORP (967590100) 496,005 $207k
VICTORY CAP HLDGS INC (92645B103) 11,900 $204k
NATURAL ALTERNATIVES INTL IN (638842302) 17,140 $200k
MODINE MFG CO (607828100) 13,800 $197k
HUDBAY MINERALS INC (443628102) 34,500 $187k
NEWPARK RES INC (651718504) 23,900 $177k
MAGAL SECURITY SYS (M6786D104) 34,200 $172k
SUPPORT COM INC (86858W200) 100,000 $162k
EVOLVING SYSTEMS INC (30049R209) 193,869 $153k
PURECYCLE CORP (746228303) 12,000 $127k
CHECK CAP LTD (M2361E203) 50,113 $106k
BIOMERICA INC (09061H307) 40,000 $104k
SG BLOCKS INC COM (78418A307) 100,000 $72k
NOBILIS HEALTH CORP COM (65500B103) 445,000 $64k
U.S. Auto Parts Network, Inc. (90343C100) 26,550 $33k
XCEL BRANDS INC COM NEW (98400M101) 14,745 $21k
INFRA AND ENERGY ALTRNTIVE INC WT EXP 052021 (45686J112) 46,400 $1k

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