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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
HORIZON OFFSHORE INC HOFFCommon3,453,4663,453,46676,839,61976,839,61906/28/2006
ANACOMP INC ANCPACommon799,480799,48013,870,97813,870,97812/16/2004
DISTRIBUTED ENERGY SYSTEMS CORP DESCCommon3,676,8143,676,81413,604,21213,604,21212/31/2004
ORE PHARMACEUTICAL HOLDINGS INC. GLGCCommon4,540,6874,540,6878,718,1198,718,11902/22/2007
CAPTARIS INC CAPACommon1,684,5841,684,5846,620,4156,620,41512/31/2005
ALLIANCE SEMICONDUCTOR CORP /DE/ ALSCCommon4,046,5604,046,5606,474,4966,474,49612/31/2007
KITTY HAWK INC KHKHCommon12,970,71312,970,7136,355,6496,355,64904/20/2007
CENTURY CASINOS INC /CO/ CNTYCommon834,486834,4866,075,0586,075,05805/25/2005
JPS INDUSTRIES INC JPSTCommon1,218,9941,218,9945,668,3225,668,32212/31/2004
MRV COMMUNICATIONS INC MRVCCommon8,322,1818,322,1814,327,5344,327,53408/16/2012
INTERMOLECULAR INC IMICommon4,978,2274,978,2274,231,4934,231,49305/11/2017
DENNY'S Corp DENNCommon2,262,0432,262,0434,049,0574,049,05702/13/2004
CENTILLIUM COMMUNICATIONS INC CTLMCommon4,154,0784,154,0783,780,2113,780,21101/08/2008
GigPeak, Inc. GGOXCommon1,866,6331,866,6333,341,2733,341,27301/03/2012
VULCAN INTERNATIONAL CORP VULCCommon98,21598,2153,118,3263,118,32612/31/1999
CROSSROADS SYSTEMS INC CRDSCommon3,637,4523,637,4522,982,7112,982,71108/15/2005
LANTRONIX INC LTRXCommon3,483,3003,483,3002,612,4752,612,47512/31/2002
NATHANS FAMOUS, INC. NATHCommon313,296313,2962,390,4482,390,44812/31/2004
CIPRICO INC CPCICommon291,903291,9031,730,9851,730,98512/31/2005
INFOCUS CORP INFSCommon2,040,9712,040,9711,714,4161,714,41611/05/2008
INSIGNIA SYSTEMS INC/MN ISIGCommon554,410554,4101,663,2301,663,23012/31/1999
DETERMINE, INC. SLTCCOMMON STOCK557,593557,5931,505,5011,505,50112/20/2011
SIELOX INC SLXNCommon4,619,2654,619,2651,385,7801,385,78012/31/2007
NATIONAL RV HOLDINGS INC NVHCommon730,239730,2391,204,8941,204,89410/17/2006
COVISTA COMMUNICATIONS INC CVSTCommon960,907960,9071,056,9981,056,99807/15/2005
CADIZ INC CDZICommon55,09655,096986,218986,21806/29/2006
NOVT CORP NOVTCommon335,139335,139864,659864,65902/24/2006
CATHAY MERCHANT GROUP, INC. CMQCommon1,892,4001,892,400700,188700,18802/07/2007
Advanzeon Solutions, Inc. CHCRCOM5,723,1005,723,100629,541629,54112/31/2012
PAULA FINANCIAL PFCOCommon328,274328,274627,003627,00304/19/2006
INFONOW CORP / INOWCommon1,100,8241,100,824572,428572,42803/22/2006
JACADA LTD JCDAORD225,394225,394491,359491,35910/03/2011
DATA I/O CORP DAIOCOM314,154314,154477,514477,51412/13/2012
HIRSCH INTERNATIONAL CORP HRSHCL A656,861656,861453,234453,23410/20/2008
Alternative Asset Management Acquisition Corp. GAMRCOMMON STOCK2,076,9052,076,905249,229249,22912/22/2011
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