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PESSIN NORMAN H

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
METROPOLITAN HEALTH NETWORKS INC MDFCOM1,153,5291,153,5299,447,4039,447,403   Hist 01/25/2012
INNOVATIVE SOLUTIONS & SUPPORT INC ISSCCommon1,251,9441,251,9443,881,0263,881,026   Hist 09/21/2016
NEPHROS INC NEPHCommon3,954,9253,954,9252,412,5042,412,504   Hist 05/17/2019
CAS MEDICAL SYSTEMS INC CASMCommon1,395,7771,395,7772,233,2432,233,243   Hist 01/03/2017
NEPHROS INC NEPCommon2,732,7072,732,7071,475,6621,475,662   Hist 04/17/2018
LIQTECH INTERNATIONAL INC LIQTCommon3,510,8693,510,8691,376,2611,376,261   Hist 04/13/2018
MGC DIAGNOSTICS Corp ANGNCOM304,869304,8691,021,3111,021,311   Hist 11/09/2009
DUOS TECHNOLOGIES GROUP, INC. DUOTCommon1,050,0001,050,000724,500724,500   Hist 03/14/2019
ANALYSTS INTERNATIONAL CORP ANLYCommon275,084275,084632,693632,693   Hist 12/13/2010
ALTIGEN COMMUNICATIONS INC ATGNCommon1,536,3201,536,320629,891629,891   Hist 01/19/2012
Cartesian, Inc. TMNGCommon240,302240,302478,201478,201   Hist 01/25/2012
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