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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Rand Logistics, Inc. RLOGCommon1,573,6251,573,6258,875,2458,875,24502/26/2008
MEADE INSTRUMENTS CORP MEADCommon3,137,1023,137,1026,462,4306,462,43001/11/2007
SouthPeak Interactive CORP GSPACommon4,091,0304,091,0304,172,8514,172,85105/13/2008
SEVCON, INC. TOCommon211,925211,9252,104,4152,104,41504/27/2007
PHARMATHENE INC PIPCommon1,326,4171,326,4171,565,1721,565,17210/27/2008
ELECTRONIC SYSTEMS TECHNOLOGY INC ELSTCommon831,252831,252831,252831,25209/11/2007
LOGIC DEVICES Inc LOGCCommon346,884346,884815,177815,17708/09/2007
TECHNICAL COMMUNICATIONS CORP TCCOCommon116,643116,643641,537641,53712/03/2007
TEL INSTRUMENT ELECTRONICS CORP TIKCommon140,600140,600555,370555,37002/19/2008
DEWEY ELECTRONICS CORP DEWYCommon220,546220,546377,134377,13407/07/2009
VARSITY GROUP INC VSTYCommon1,460,3681,460,368292,074292,07402/25/2008
IEH CORPORATION IEHCCommon127,700127,700236,245236,24504/20/2007
SURGE COMPONENTS INC SPRSCOM456,106456,106132,271132,27109/17/2010
MICROWAVE FILTER CO INC /NY/ MFCOCommon162,464162,464113,725113,72501/22/2008
MONARCH SERVICES INC MAHICOM121,250121,25036,37536,37505/27/2009
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