CONNORS INVESTOR SERVICES INC Form 13F-HR Filed 2016 …
[Pages:5]SECURITIES AND EXCHANGE COMMISSION
FORM 13F-HR
Initial quarterly Form 13F holdings report filed by institutional managers
Filing Date: 2016-05-12 | Period of Report: 2016-03-31
SEC Accession No. 0000884548-16-000014 (HTML Version on )
FILER
CONNORS INVESTOR SERVICES INC
CIK:884548| IRS No.: 231716484 | State of Incorp.:DE | Fiscal Year End: 1231 Type: 13F-HR | Act: 34 | File No.: 028-03751 | Film No.: 161643582
Mailing Address
Business Address
CONNORS INVESTOR
C/O CONNORS INVESTOR
SERVICES
SERVICES
1210 BROADCASTING ROAD 1210 BROADCASTING ROAD
WYOMISSING PA 19610
WYOMISSING PA 19610
6103767418
Copyright ? 2016 . All Rights Reserved. Please Consider the Environment Before Printing This Document
UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 03-31-2016
Check here if Amendment:
Amendment Number:
This Amendment (Check only one.): is a restatement.
adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name:
CONNORS INVESTOR SERVICES INC
Address:
CONNORS INVESTOR SERVICES
1210 BROADCASTING ROAD
WYOMISSING, PA 19610
Form 13F File Number: 028-03751
OMB APPROVAL
OMB Number:
3235-0006
Expires:
July 31, 2015
Estimated average burden
hours per response:
23.8
The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name:
Michael Noon
Title:
Compliance Officer
Phone:
610-376-7418
Signature, Place, and Date of Signing:
Michael Noon Wyomissing, PENNSYLVANIA
[Signature]
[City, State]
05-12-2016 [Date]
Report Type (Check only one.): 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)
Form 13F Summary Page Report Summary: Number of Other Included Managers: 0 Form 13F Information table Entry Total: 188 Form 13F Information table Value Total: 503464
(thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. [If there are no entries in this list, state "NONE" and omit the column headings and list entries.]
NONE
Copyright ? 2013 . All Rights Reserved. Please Consider the Environment Before Printing This Document
UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
OMB APPROVAL
OMB Number: Expires: Estimated average burden hours per response:
3235-0006 July 31, 2015
23.8
COLUMN 1
NAME OF ISSUER 3M A T & T NEW ABBOTT LABORATORIES ABBVIE ACCENTURE ACE ACETO CORP ADOBE SYSTEMS AEROVIRONMENT INC ALLERGAN ALLIANCE FIBER OPTIC PRODUCTS INC ALTRIA GROUP APPLE ARMADA HOFFLER PROPERTIES INC ASTRONICS CORP ATTUNITY LTD AUTOMATIC DATA PROCESSING BECTON DICKINSON BERKSHIRE HATHAWAY CL A BERKSHIRE HATHAWAY CL B BIG 5 SPORTING GOODS CORP BRYN MAWR BANK CORP CALLIDUS SOFTWARE INC CANTEL MEDICAL CORP CHEROKEE INC CHEVRON CISCO SYSTEMS CITIZENS & NORTHERN CORP CNB FINANCIAL CORP COCA-COLA COLGATE-PALMOLIVE CONOCOPHILLIPS CONSOLIDATED WATER CO CORPORATE OFFICE PROPERTIES TRUST COSTCO WHOLESALE CRYOLIFE INC CSX CVS HEALTH DENTSPLY INTERNATIONAL DISNEY WALT DOLLAR TREE DOVER DR PEPPER SNAPPLE GROUP DUKE ENERGY DUPONT DE NEMOURS EATON ENERGEN EVOLUTION PETROLEUM EXPRESS SCRIPTS HOLDING EXXONMOBIL
FORM 13F INFORMATION TABLE
COLUMN 2 COLUMN 3 COLUMN 4
COLUMN 5
COLUMN 6 COLUMN 7
COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
TITLE OF CLASS CUSIP
(x$1000) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
COM
88579Y101
6,637 44,056 SH
SOLE
44,056
0
0
COM
001957505
3,185 92,564 SH
SOLE
92,564
0
0
COM
002824100
8,075 179,807 SH
SOLE
179,807
0
0
COM
00287Y109
7,656 129,236 SH
SOLE
129,236
0
0
COM
G1151C101
3,135 30,000 SH
SOLE
30,000
0
0
COM
G0070K103
7,376 63,120 SH
SOLE
63,120
0
0
COM
004446100
1,983 73,503 SH
SOLE
73,503
0
0
COM
00724F101
9,220 98,145 SH
SOLE
98,145
0
0
COM
008073108
2,640 89,573 SH
SOLE
89,573
0
0
COM
018490102
313
1,000 SH
SOLE
1,000
0
0
COM
018680306
152 10,000 SH
SOLE
10,000
0
0
COM
02209S103
292
5,014 SH
SOLE
5,014
0
0
COM
037833100
13,779 130,908 SH
SOLE
130,908
0
0
COM
04208T108
244 23,240 SH
SOLE
23,240
0
0
COM
046433108
2,204 54,136 SH
SOLE
54,136
0
0
COM
M15332121
144 13,000 SH
SOLE
13,000
0
0
COM
053015103
2,669 31,506 SH
SOLE
31,506
0
0
COM
075887109
5,894 38,251 SH
SOLE
38,251
0
0
COM
084670108
1,780
9 SH
SOLE
9
0
0
COM
084670207
343
2,600 SH
SOLE
2,600
0
0
COM
08915P101
218 21,836 SH
SOLE
21,836
0
0
COM
117665109
231
8,047 SH
SOLE
8,047
0
0
COM
13123E500
4,684 252,254 SH
SOLE
252,254
0
0
COM
138098108
4,009 64,509 SH
SOLE
64,509
0
0
COM
16444H102
249 14,408 SH
SOLE
14,408
0
0
COM
166764100
4,976 55,311 SH
SOLE
55,311
0
0
COM
17275R102
7,683 282,941 SH
SOLE
282,941
0
0
COM
172922106
252 12,000 SH
SOLE
12,000
0
0
COM
126128107
294 16,300 SH
SOLE
16,300
0
0
COM
191216100
531 12,350 SH
SOLE
12,350
0
0
COM
194162103
2,442 36,655 SH
SOLE
36,655
0
0
COM
20825C104
2,618 56,068 SH
SOLE
56,068
0
0
COM
G23773107
239 19,500 SH
SOLE
19,500
0
0
COM
22002T108
2,152 98,564 SH
SOLE
98,564
0
0
COM
22160K105
7,138 44,196 SH
SOLE
44,196
0
0
COM
228903100
2,665 247,199 SH
SOLE
247,199
0
0
COM
126408103
6,837 263,470 SH
SOLE
263,470
0
0
COM
124857202
364
3,722 SH
SOLE
3,722
0
0
COM
249030107
7,896 129,763 SH
SOLE
129,763
0
0
COM
254687106
9,426 89,704 SH
SOLE
89,704
0
0
COM
256746108
263
3,400 SH
SOLE
3,400
0
0
COM
260003108
339
5,526 SH
SOLE
5,526
0
0
COM
26138E109
280
3,000 SH
SOLE
3,000
0
0
COM
264399106
225
3,156 SH
SOLE
3,156
0
0
COM
263534109
8,294 124,533 SH
SOLE
124,533
0
0
COM
278058102
5,463 104,982 SH
SOLE
104,982
0
0
COM
292655108
2,921 71,258 SH
SOLE
71,258
0
0
COM
30049A107
144 30,000 SH
SOLE
30,000
0
0
COM
302182100
222
2,545 SH
SOLE
2,545
0
0
COM
30231G102
10,299 132,117 SH
SOLE
132,117
0
0
Copyright ? 2013 . All Rights Reserved. Please Consider the Environment Before Printing This Document
FARMER BROTHERS CO FEMALE HEALTH CO FIRST COMMUNITY BANCSHARES INC GAMING & LEISURE PROPERTIES GENERAL ELECTRIC GENTHERM INC HOME DEPOT ID SYSTEMS INC IDEXX LABORATORIES II-VI INC ILLINOIS TOOL WORKS IMAX CORP INTERNATIONAL BUSINESS MACHINES INTUIT IRADIMED CORP IROBOT CORP ISHARES MSCI EAFE INDEX ISHARES MSCI EMERGING MARKETS INDEX ISHARES RUSSELL 2000 INDEX ISHARES CORE S&P 500 ETF JOHNSON & JOHNSON JPMORGAN CHASE KIMBERLY-CLARK KINDER MORGAN LAKELAND BANCORP INC LIBERTY TAX INC LILLY ELI LIONBRIDGE TECHNOLOGIES INC LIVEPERSON INC LOWE'S M&T BANK CORP MATADOR RESOURCES CO MCGRATH RENTCORP MEDTRONIC MERCK MERIDIAN BIOSCIENCE INC MICROSOFT MIDDLEBY MONMOUTH REAL ESTATE INVESTMENT CORP MONSANTO NEW NATIONAL PENN BANCSHARES INC NIKE NORDSTROM NOVARTIS SPONSORED ADR NUTRISYSTEM INC NV5 HOLDINGS INC NVE CORP OCCIDENTAL PETROLEUM OMNICELL ORBCOMM INC ORION ENERGY SYSTEMS INC PANHANDLE OIL & GAS INC PENN NATIONAL GAMING PEPSICO PFIZER PNC FINANCIAL SERVICES GROUP POWERSECURE INTERNATIONAL INC PRAXAIR PROCTER & GAMBLE
COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM ETF ETF ETF ETF COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM COM
307675108 314462102 31983A103 36467J108 369604103 37253A103 437076102 449489103 45168D104 902104108 452308109 45245E109 459200101 461202103 46266A109 462726100 464287465 464287234 464287655 464287200 478160104 46625H100 494368103 49455P101 511637100 53128T102 532457108 536252109 538146101 548661107 55261F104 576485205 580589109 585055106 58933Y105 589584101 594918104 596278101 609720107 61166W101 634865109 654106103 655664100 66987V109 67069D108 62945V109 629445206 674599105 68213N109 68555P100 686275108 698477106 707569109 713448108 717081103 693475105 73936N105 74005P104 742718109
1,969 138 235
1,006 1,065 1,703
626 211 525 272 2,224 2,673 240 367 280 2,611 3,311 412 16,488 401 1,391 8,465 6,186 191 210 203 4,237 243 2,204 7,030 6,109 1,612 1,441 234 7,106 3,110 4,667 259 2,172 217 1,600 5,864 4,593 437 3,558 221 2,155 395 1,462 362 256 257 468 9,926 6,888 8,373 5,023 5,148 1,807
61,021 SH 95,000 SH 12,600 SH 36,172 SH 34,175 SH 35,930 SH 4,734 SH 45,808 SH 7,200 SH 1,950 SH 24,000 SH 75,219 SH 1,742 SH 3,800 SH 10,000 SH 73,748 SH 56,385 SH 12,800 SH 146,400 SH 1,959 SH 13,540 SH 128,198 SH 48,592 SH 12,832 SH 17,833 SH 8,500 SH 50,283 SH 49,424 SH 326,550 SH 92,455 SH 50,411 SH 81,543 SH 57,204 SH
920 SH 134,541 SH 151,548 SH 84,126 SH
2,400 SH 207,694 SH
2,200 SH 129,743 SH 93,825 SH 92,205 SH
5,084 SH 164,406 SH 10,056 SH 38,357 SH
5,842 SH 47,044 SH 50,000 SH 117,834 SH 15,876 SH 29,217 SH 99,343 SH 213,389 SH 87,851 SH 333,735 SH 50,272 SH 22,756 SH
Copyright ? 2013 . All Rights Reserved. Please Consider the Environment Before Printing This Document
SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE
61,021 95,000 12,600 36,172 34,175 35,930 4,734 45,808 7,200 1,950 24,000 75,219 1,742 3,800 10,000 73,748 56,385 12,800 146,400 1,959 13,540 128,198 48,592 12,832 17,833 8,500 50,283 49,424 326,550 92,455 50,411 81,543 57,204
920 134,541 151,548 84,126
2,400 207,694
2,200 129,743 93,825 92,205
5,084 164,406 10,056 38,357
5,842 47,044 50,000 117,834 15,876 29,217 99,343 213,389 87,851 333,735 50,272 22,756
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PSYCHEMEDICS CORP
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PUBLIC STORAGE
COM
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VANGUARD FTSE ALL-WORLD EX-US SMALL-CAP ETF ETF
VANGUARD FTSE EMERGING MARKETS ETF
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COM
WALGREENS BOOTS ALLIANCE
COM
WAL-MART DE MEXICO SAB DE CV ORD
COM
WELLS FARGO
COM
WILLIAMS COMPANIES
COM
WISDOMTREE DEFA INDEX
ETF
ZIX CORP
COM
744375205 74660D109 747525103 754212108 756109104 760911107 76155G107 77467X101 806857108 811699107 82568P304 829214105 83083J104 83088M102 833034101 843395104 78462F103 855244109 86323X106 863667101 871829107 87582Y108 87651B104 35804H106 883556102 895848109 902252105 90337L108 903002103 907818108 90915J103 911312106 913017109 917488108 922042718 922042858 92343V104 931427108 P98180105 949746101 969457100 97717W703 98974P100
125 5,051 4,885 1,261
257 328 152 196 6,009 2,174 2,543 391 320 5,531 7,233 214 45,756 9,022 50 6,503 3,581 2,376 1,584 1,256 213 2,328 9,913 295 272 483 272 744 5,960 248 1,809 5,769 5,476 5,292 26 12,899 3,814 2,719 2,499
12,300 SH 20,390 SH 97,736 SH 80,810 SH 4,975 SH 62,947 SH 191,544 SH 18,200 SH 86,149 SH 322,559 SH 57,077 SH 39,457 SH 67,600 SH 71,996 SH 42,193 SH 16,400 SH 224,435 SH 150,298 SH 35,424 SH 69,968 SH 87,333 SH 283,231 SH 91,639 SH 53,647 SH 1,500 SH 121,798 SH 56,866 SH 5,500 SH 26,913 SH 6,175 SH 22,000 SH 7,729 SH 62,041 SH 4,243 SH 19,474 SH 176,370 SH 118,484 SH 62,142 SH 10,520 SH 237,290 SH 148,393 SH 58,353 SH 491,900 SH
SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE SOLE
12,300 20,390 97,736 80,810 4,975 62,947 191,544 18,200 86,149 322,559 57,077 39,457 67,600 71,996 42,193 16,400 224,435 150,298 35,424 69,968 87,333 283,231 91,639 53,647 1,500 121,798 56,866 5,500 26,913 6,175 22,000 7,729 62,041 4,243 19,474 176,370 118,484 62,142 10,520 237,290 148,393 58,353 491,900
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Copyright ? 2013 . All Rights Reserved. Please Consider the Environment Before Printing This Document
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