AA

Ancora Advisors Portfolio holdings

AUM $4.8B
1-Year Return 21.61%
This Quarter Return
+0.25%
1 Year Return
+21.61%
3 Year Return
+66.82%
5 Year Return
+146.92%
10 Year Return
+346.17%
AUM
$851M
AUM Growth
+$34.2M
Cap. Flow
+$817M
Cap. Flow %
95.92%
Top 10 Hldgs %
16.08%
Holding
561
New
507
Increased
Reduced
Closed

Sector Composition

1 Financials 11.9%
2 Technology 9.21%
3 Industrials 6.89%
4 Consumer Discretionary 6.34%
5 Healthcare 6.13%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PRZM
476
DELISTED
Prism Technologies Group, Inc
PRZM
$151K 0.02%
+50,000
New +$151K
PMFG
477
DELISTED
PMFG INC COM STK (DE)
PMFG
$151K 0.02%
+23,500
New +$151K
CEF icon
478
Sprott Physical Gold and Silver Trust
CEF
$6.44B
$139K 0.02%
+11,895
New +$139K
GYRE icon
479
Gyre Therapeutics
GYRE
$688M
$139K 0.02%
+63
New +$139K
MDRX
480
DELISTED
Veradigm Inc. Common Stock
MDRX
$137K 0.02%
+10,000
New +$137K
OXSQ icon
481
Oxford Square Capital
OXSQ
$172M
$134K 0.02%
+20,000
New +$134K
DSWL icon
482
Deswell Industries
DSWL
$67.2M
$131K 0.02%
+72,943
New +$131K
GDP
483
DELISTED
GOODRICH PETROLEUM CORP(NEW)
GDP
$129K 0.02%
+69,500
New +$129K
MCN
484
Madison Covered Call & Equity Strategy Fund
MCN
$133M
$127K 0.01%
+15,912
New +$127K
GLO
485
Clough Global Opportunities Fund
GLO
$239M
$123K 0.01%
+10,200
New +$123K
NKA
486
DELISTED
NISKA GAS STORAGE PARTNERS LLC UNIT LTD LIABILITY CO INTS
NKA
$122K 0.01%
+33,149
New +$122K
SGL
487
DELISTED
STRATEGIC GLOBAL INCOME FUND
SGL
$115K 0.01%
+13,884
New +$115K
CGRN
488
DELISTED
Capstone Green Energy Corporation Common Stock
CGRN
$113K 0.01%
+1,375
New +$113K
EBMT icon
489
Eagle Bancorp Montana
EBMT
$140M
$110K 0.01%
+10,200
New +$110K
FTEK icon
490
Fuel Tech
FTEK
$89.8M
$99K 0.01%
+45,000
New +$99K
GUID
491
DELISTED
Guidance Software, Inc.
GUID
$85K 0.01%
+10,000
New +$85K
DOVR
492
DELISTED
DOVER SADDLERY INC
DOVR
$84K 0.01%
+10,000
New +$84K
JVA icon
493
Coffee Holding Co
JVA
$23.5M
$80K 0.01%
+16,000
New +$80K
MHGC
494
DELISTED
Morgans Hotel Group Co.
MHGC
$76K 0.01%
+11,295
New +$76K
MDR
495
DELISTED
McDermott International
MDR
$75K 0.01%
+4,667
New +$75K
GEG icon
496
Great Elm Group
GEG
$87M
$62K 0.01%
+8,333
New +$62K
BALT
497
DELISTED
BALTIC TRADING LIMITED COMMON STOCK
BALT
$61K 0.01%
+38,200
New +$61K
TRT icon
498
Trio-Tech International
TRT
$23.7M
$58K 0.01%
+18,922
New +$58K
SVRA icon
499
Savara
SVRA
$619M
$56K 0.01%
+1,624
New +$56K
CYHHZ
500
DELISTED
Community Health Systems, Inc. Series A Contingent Value Rights
CYHHZ
$49K 0.01%
+3,500,000
New +$49K