13F-HR 1 wrk062008.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: June 30, 2008 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: 1210 Broadcasting Road Wyomissing, PA 19610 Form 13F File Number: 28-3129 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: Lidia Zidik Title: Compliance Officer Phone: 610-376-7418 Signature, Place, and Date of Signing Lidia Zidik Wyomissing, Pennsylvania August 15, 2008 Report Type (Check only one.) : [ X] 13F HOLDINGS REPORT [ ] 13F NOTICE [ ] 13F COMBINATION List of Other Managers Reporting for this Manager : I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 116 Form 13F information Table Value Total: $379,215 List of Other Included Managers: 06/30/2008 Page ___ of ___ Name of Reporting Manager CONNORS INVESTOR SERVICES Item 4: Item 5: Item 6: Item 8: Item 1: Item 2: Item 3: Fair Market Shares of Investment DiscrItem 7: Voting Authority (Shares) Name of Issuer Title ofCusip # Value Principal (b) Shared- Managers Amount (a) SaleAs Defin(c) SharSee Inst(a) Sole(b) Shar (c) None in Instr Other ABBOTT LABS COM 00282410 3724 70,308 70308 ACUITY BRANDS COM 00508Y10 798 16,600 16600 ADOBE SYSTEMS COM 00724F10 2905 73,750 73750 AIR PRODUCTS COM 00915810 377 3,813 3813 AMERICON INC COM 03070330 71 10,000 10000 ASTRONICS COM 04643310 5268 378,700 243698 135,002 A T & T NEW COM 03017710 3902 115,821 115821 AUTOMATIC DATA COM 05301510 3438 82,056 82056 BANKAMERICA COM 06050510 1434 60,072 60072 BANK OF NEW YORK COM 06405710 4318 114,143 114143 BAXTER INTL COM 07181310 447 6,984 6984 BECTON DICKINSON COM 07588710 988 12,150 12150 BENCHMARK ELEC COM 08160H10 5692 348,375 195375 153,000 BENIHANA COM 08204720 1368 217,097 154597 62,500 BENIHANA CL A COM 08204720 3000 473,163 317163 156,000 BIO-IMAGING TECH COM 09056510 74 10,000 10000 B P AMOCO COM 05562210 650 9,344 9344 CERADYNE COM 15671010 5868 171,079 74125 96,954 CHEVRON/TEXACO COM 16676410 2542 25,646 25646 C H ROBINSON COM 12541W10 990 18,050 18050 CHUBB COM 17123210 2426 49,501 49501 COCA COLA COM 19121610 1136 21,850 21850 COLGATE COM 19416210 1971 28,527 28527 CISCO SYSTEMS COM 17275R10 377 16,200 16200 CONOCO/PHILLIPS COM 20825C10 2154 22,816 22816 CSX COM 12640810 7251 115,437 115437 COLUMN TOTALS 63169 FORM 13F Page ___ of ___ Name of Reporting Manager CONNORS INVESTOR SERVICES Item 4: Item 5: Item 6: Item 8: Item 1: Item 2: Item 3: Fair Market Shares of Investment DiscrItem 7: Voting Authority (Shares) Name of Issuer Tide of Cusip # Value Principal (b) Shared- Managers Amount (a) SaleAs Defin(c) SharSee Inst(a) Sole(b) Shar (c) None DAKTRONICS COM 23426410 7753 384,366 227366 157,000 DOVER CORP COM 26000310 2115 43,716 43716 DU PONT COM 26353410 2238 52,183 52183 EMERSON ELECTRIC COM 29101110 3932 79,520 79520 ENERGEN COM 29265510 5523 70,775 70775 EURONET WORLDWIDE COM 29873610 5606 331,700 195700 136,000 FMC TECHNOLOGIES COM 30249U10 396 5,150 5150 FMC CORP COM 30249130 314 4,050 4050 GAMETECH INTL COM 36466410 66 14,000 14000 FLOW INT'L COM 34346810 6806 872,534 524534 348,000 GENERAL DYNAMICS COM 36955010 3645 43,292 43292 GENERAL ELECTRIC COM 36960410 6402 239,872 239872 HEALTH GRADES COM 42218810 70 15,500 15500 HARTFORD FINL COM 41651510 1711 26,497 26497 H J HEINZ COM 42307410 921 19,250 19250 HOME DIAGNOSTICS COM 43708010 91 10,000 10000 HEWLETT PACKARD COM 42823610 4706 106,450 106450 IBM COM 45920010 3891 32,828 32828 ILLINOIS TOOL COM 45230810 1188 25,000 25000 ISHRS S&P LATIN AM COM 46428739 267 970 970 INGERSOLL RAND COM 45686610 1358 36,270 36270 IMAX CORP COM 45245E10 96 14,000 14000 ISHARES MSCI EMER COM 46428723 21839 160,910 160910 ISHARES RUSSELL 10 COM 46428762 206 2,925 2925 ISHARES RUSSELL 20 COM 46428765 18229 264,000 264000 ISHARES MSCI EAFE COM 46428746 4435 64,588 64588 JOHNSON & JOHNSON COM 47816010 1637 25,437 25437 KENSEY NASH COM 49005710 10496 327,475 196475 131,000 KIMBERLY CLARK COM 49436810 1860 31,112 31112 LANDEC COM 51476610 4720 729,500 440300 289,200 LILLY, ELI COM 53245710 1903 41,220 41220 COLUMN TOTALS 124420 FORM 13F Page ___ of ___ Name of Reporting Manager CONNORS INVESTOR SERVICES Item 4: Item 5: Item 6: Item 8: Item 1: Item 2: Item 3: Fair Market Shares of Investment DiscrItem 7: Voting Authority (Shares) Name of Issuer Tide of Cusip # Value Principal (b) Shared- Managers Amount (a) SaleAs Defin(c) SharSee Inst(a) Sole(b) Shar (c) None in Instr Other LOWES COS. COM 54866110 3325 160,234 160234 LIVEPERSON COM 53814610 33861205,017 725017 480,000 MEASUREMENT SPEC COM 58342110 6345 360,691 203691 157,000 MEDTRONIC COM 58505510 4984 96,300 96300 MCGRATH RENTCORP COM 58058910 4053 164,817 99317 65,500 McGRAW HILL COM 58064510 1086 27,062 27062 MEMC ELECTRONIC COM 55271510 4332 70,400 70400 MGP INGREDIENTS COM 55302710 58 10,000 10000 MERIDIAN BIOSCIENC COM 58958410 3910 145,200 84700 60,500 MERCK COM 58933110 333 8,832 8832 MICROSOFT COM 59491810 3749 136,284 136284 MIDDLEBY CORP COM 59627810 4934 112,375 66075 46,300 3 M COMPANY COM 88579410 1924 27,650 27650 MONSANTO COM 61166W10 3196 25,275 25275 NAPCO SECURITY COM 63040210 75 16,500 16500 NATIONAL PENN BANC COM 63713810 4583 345,129 228018 117,111 NATUS MEDICAL COM 63905010 3913 186,850 87000 99,850 NVE COM 62944520 4457 140,765 83265 57,500 PALOMAR COM 69752930 3303 330,913 201113 129,800 NORDSTROM COM 65566410 1989 65,650 65650 PEABODY ENERGY COM 70454910 2771 31,475 31475 PEPSICO COM 71344810 7431 116,854 116854 PERFICIENT COM 71375410 6702 693,754 421754 272,000 PIONEER DRILLING COM 72365510 8245 438,350 238350 200,000 PFIZER COM 71708110 2127 121,742 121742 PNC FINANCIAL COM 69347510 362 6,347 6347 PRAXAIR COM 74005P10 7718 81,899 81899 PROCTOR & GAMBLE COM 74218110 4235 69,639 69639 PUBLIC STORAGE COM 74460D10 1097 13,580 13580 COLUMN TOTALS 104623 FORM 13F Page ___ of ___ Name of Reporting Manager CONNORS INVESTOR SERVICES Item 4: Item 5: Item 6: Item 8: Item 1: Item 2: Item 3: Fair Market Shares of Investment DiscrItem 7: Voting Authority (Shares) Name of Issuer Tide of Cusip # Value Principal (b) Shared- Managers Amount (a) SaleAs Defin(c) SharSee Inst(a) Sole(b) Shar (c) None in Instr Other RUBIO'S RESTAURANT COM 78116210 50 10,000 10000 ROLLINS COM 77571110 3767 254,209 153409 100,800 SCHERING PLOUGH COM 80660510 357 18,125 18125 SCHLUMBERGER COM 80685710 4697 43,725 43725 S M & A COM 78465410 57 12,000 12000 SOVEREIGN BANCORP COM 84590510 157 21,289 21289 SRS LABS COM 78464410 84 13,000 13000 S & P 500 INDEX DE COM 78462F10 22697 177,350 177350 STATE ST CORP COM 85747710 2652 41,450 41450 STRATEGIC DIAGNOST COM 86270010 73 20,000 20000 SUPERTEL HOSPITALI COM 86852610 50 10,000 10000 STRYKER CORP COM 86366710 2207 35,100 35100 SYSCO CORP COM 87182910 3483 126,619 126619 TANDY LEATHER COM 87538710 53 17,000 17000 THESTREET.COM COM 88368Q10 68 10,500 10500 TARGET COM 87612E10 2722 58,543 58543 TRINITY BIOTECH COM 89643830 54 14,000 14000 UCN COM 90263610 70 30,000 30000 UNION PACIFIC COM 90781810 227 3,000 3000 UNITED TECHNOLOGIE COM 91301710 3051 49,441 49441 VERIZON COM 92343V10 864 24,396 24396 INVENTIV HEALTH COM 92279310 6275 225,800 112800 113,000 WACHOVIA COM 92990310 434 27,915 27915 WALGREEN COM 93142210 3520 108,285 108285 WISDOMTREE DIEFA COM 97717w70 3902 64,485 64485 WYETH COM 98302410 421 8,780 8780 EXXON MOBIL COM 30231G10 7769 88,157 88157 XTO ENERGY COM 98385X10 4944 72,164 72164 ZOLTEK COMPANIES COM 98975610 3673 151,465 88465 63000 DENTSPLY INTL COM 24903010 8625 234,371 234371 COLUMN TOTALS 87003 FINAL TOTAL $379,215