Princeton Capital Management as of Sept. 30, 2012
Portfolio Holdings for Princeton Capital Management
Princeton Capital Management holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing
{C} {C} PRINCETON CAPITAL MANAGEMENT FORM 13F Discretionary Accts 30-Sep-12 Voting Authority Title -------------------------- of Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Mgrs Sole Shared None ------------------------------ ---------------- -------- -------- --- ---- ------- -------------- -------- -------- 3M Company COM 88579y101 342 3700SH Sole 3700 ATT - New COM 00206r102 3810 101073SH Sole 37050 64023 AXT, Inc. COM 00246w103 2216 655750SH Sole 3100 652650 Abbott Laboratories COM 002824100 1462 21330SH Sole 17295 4035 Amazon.com COM 023135106 1323 5204SH Sole 85 5119 American Tower REIT COM 03027x100 2608 36535SH Sole 21845 14690 Apple Inc. COM 037833100 1851 2774SH Sole 1985 789 Astro-Med COM 04638f108 355 40800SH Sole 700 40100 BTG plc COM g1660v103 365 72215SH Sole 72215 Bayer, ADR COM 072730302 1896 22050SH Sole 16110 5940 BioLase Technology COM 090911108 980 576702SH Sole 80569 496133 Boeing COM 097023105 2956 42469SH Sole 20604 21865 Bristol-Myers Squibb COM 110122108 1765 52285SH Sole 31840 20445 Bunge Limited COM G16962105 1939 28918SH Sole 16245 12673 CACI International, Inc. COM 127190304 1131 21835SH Sole 4245 17590 Canadian Pacific Railway COM 13645T100 2345 28295SH Sole 15280 13015 Caterpillar COM 149123101 1267 14720SH Sole 9495 5225 Cavium Inc COM 14964u108 1398 41970SH Sole 41970 Cisco Systems COM 17275R102 1617 84690SH Sole 65125 19565 Computer Sciences COM 205363104 2802 86990SH Sole 50070 36920 Corning Inc COM 219350105 1420 107975SH Sole 65695 42280 Cree COM 225447101 2038 79918SH Sole 31128 48790 Crown Castle International COM 228227104 1585 24725SH Sole 21870 2855 Curon Medical PIPE (Rev Spl) COM 231292913 0 23076SH Sole 23076 Cytori Therapeutics COM 23283k105 1044 236740SH Sole 55045 181695 Daktronics COM 234264109 276 29050SH Sole 29050 Deere & Company COM 244199105 1852 22455SH Sole 12090 10365 Dyadic International COM 26745T101 65 37200SH Sole 37200 Eastman Kodak COM 277461109 54 291766SH Sole 291766 Entegris Inc COM 29362u104 504 62000SH Sole 62000 Exelixis COM 30161Q104 48 10000SH Sole 10000 Exxon Mobil COM 30231G102 622 6800SH Sole 6800 FEI Company COM 30241L109 2104 39335SH Sole 39335 FMC Corp COM 302491303 3026 54649SH Sole 33283 21366 Finisar Corp COM 31787A507 173 12050SH Sole 12050 General Electric COM 369604103 4526 199316SH Sole 105526 93790 Google COM 38259p508 3214 4260SH Sole 2712 1548 Hansen Medical COM 411307101 1644 847330SH Sole 65245 782085 Harris & Harris Group COM 413833104 167 44000SH Sole 44000 Honeywell Intl COM 438516106 317 5300SH Sole 5300 IPG Photonics COM 44980X109 922 16090SH Sole 2275 13815 ISIS Pharmaceuticals COM 464330109 739 52550SH Sole 52550 Intel COM 458140100 1203 53100SH Sole 49810 3290 JDS Uniphase COM 46612J507 1288 104020SH Sole 18370 85650 John Wiley Cl A COM 968223206 924 20119SH Sole 19064 1055 MAKO Surgical COM 560879108 489 28100SH Sole 28100 Microsoft COM 594918104 2247 75513SH Sole 41563 33950 Microvision COM 594960304 180 77590SH Sole 138 77453 Morphosys COM D55040105 1924 62050SH Sole 6050 56000 Nektar Therapeutics COM 640268108 1029 96350SH Sole 96350 Newport Corporation COM 651824104 148 13375SH Sole 13375 Nextera Energy COM 65339f101 204 2900SH Sole 2900 Novozymes, ADR COM 670108109 281 10175SH Sole 9215 960 NuVasive COM 670704105 279 12175SH Sole 12175 OCZ Technology Group COM 67086e303 562 161900SH Sole 161900 Osiris COM 68827r108 266 24100SH Sole 24100 Pepco Holdings COM 713291102 651 34425SH Sole 34425 Philips NV, ADR COM 500472303 439 18742SH Sole 18742 Qualcomm COM 747525103 1613 25820SH Sole 18225 7595 RF Micro Devices COM 749941100 504 127725SH Sole 127725 Rockwood Holdings COM 774415103 450 9650SH Sole 3075 6575 SCANA COM 80589M102 460 9525SH Sole 9525 STEC, Inc. COM 784774101 494 73255SH Sole 20365 52890 Silicon Image COM 82705t102 676 147975SH Sole 147975 Solazyme, Inc COM 83415T101 732 63700SH Sole 63700 Susquehanna Bancshares COM 869099101 366 35000SH Sole 35000 TriQuint Semiconductor COM 89674k103 637 126400SH Sole 126400 Union Pacific COM 907818108 2924 24630SH Sole 12110 12520 United Parcel Service COM 911312106 2148 30008SH Sole 16228 13780 Universal Display COM 91347P105 3895 113465SH Sole 8190 105275 Universal Electronics COM 913483103 1052 59868SH Sole 48168 11700 Verizon Communications COM 92343v104 4678 102654SH Sole 48988 53666 Vertex COM 92532F100 1936 34640SH Sole 2840 31800 Vical COM 925602104 503 116100SH Sole 116100 Vodafone Group, ADR COM 92857W209 2743 96235SH Sole 46220 50015 duPont COM 263534109 1803 35857SH Sole 21020 14837 Microvision Warrants - exp 11/ 594960171 3 297700SH Sole 297700 REPORT SUMMARY 77 DATA RECORDS 100499 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED