Manatuck Hill Partners, LLC 13F holdings, Q2 2026
Holdings as of June 30, 2026 · filings on SEC EDGAR · this is the latest filing on record
Manatuck Hill Partners, LLC disclosed 129 US equity positions worth $301.7m in its Q2 2026 13F filing. The largest position was APPS at 4.5% of the reported book, followed by ZETA and NHC. Against the Q1 2026 filing, it opened 10 new positions, added to 13 and reduced 20 among the top 50 holdings.
What did Manatuck Hill Partners, LLC own in Q2 2026? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs Q1 2026 |
|---|---|---|---|---|---|---|---|
| 1 | APPS DIGITAL TURBINE INC | Technology | 4.5% | $13.5m | 1,043,461 | -23% | reduced |
| 2 | ZETA ZETA GLOBAL HOLDINGS CORP | Technology | 4.2% | $12.8m | 650,000 | 18% | added |
| 3 | NHC NATIONAL HEALTHCARE CORP | Healthcare | 4.2% | $12.6m | 59,428 | -2% | reduced |
| 4 | OPLN OPENLANE INC | Consumer Cyclical | 3.4% | $10.3m | 250,000 | 0% | held |
| 5 | HSBC HSBC HLDGS PLC | Financial Services | 3.4% | $10.2m | 107,448 | 0% | held |
| 6 | MGNI MAGNITE INC | Communication Services | 2.8% | $8.5m | 450,000 | 45% | added |
| 7 | PRSU PURSUIT ATTRACTIONS AND HOSP | Consumer Cyclical | 2.6% | $7.9m | 141,400 | -7% | reduced |
| 8 | OSIS OSI SYSTEMS INC | Technology | 2.4% | $7.3m | 33,300 | 118% | added |
| 9 | BAC BANK OF AMER CORP | Financial Services | 2.3% | $6.9m | 121,198 | 0% | held |
| 10 | MAMA MAMAS CREATIONS INC | 2.2% | $6.7m | 375,500 | 12% | added | |
| 11 | FUN SIX FLAGS ENTERTAINMENT CORP | Consumer Cyclical | 2.2% | $6.6m | 310,000 | 288% | added |
| 12 | OII OCEANEERING INTL INC | Energy | 2.2% | $6.5m | 160,600 | 0% | held |
| 13 | APEI AMERICAN PUB ED INC | Consumer Defensive | 2.2% | $6.5m | 121,166 | -29% | reduced |
| 14 | HLF HERBALIFE LTD | Consumer Defensive | 2.0% | $6.0m | 459,260 | -14% | reduced |
| 15 | SPROTT ASSET MANAGEMENT LP | 1.8% | $5.3m | 175,000 | -12% | reduced | |
| 16 | PUMP PROPETRO HLDG CORP | Energy | 1.7% | $5.0m | 350,000 | -33% | reduced |
| 17 | SNDA SONIDA SENIOR LIVING INC | Healthcare | 1.6% | $4.9m | 120,000 | 140% | added |
| 18 | MGRC MCGRATH RENTCORP | Industrials | 1.6% | $4.9m | 40,300 | 33% | added |
| 19 | LTH LIFE TIME GROUP HOLDINGS INC | Consumer Cyclical | 1.6% | $4.8m | 118,400 | 103% | added |
| 20 | SMP STANDARD MTR PRODS INC | 1.5% | $4.5m | 115,000 | -15% | reduced | |
| 21 | AESI ATLAS ENERGY SOLUTIONS INC | 1.4% | $4.2m | 250,000 | -17% | reduced | |
| 22 | CHYM CHIME FINL INC | Technology | 1.4% | $4.1m | 200,000 | – | new |
| 23 | LTRX LANTRONIX INC | Technology | 1.3% | $4.0m | 677,267 | 38% | added |
| 24 | QMCO QUANTUM CORP | 1.3% | $3.9m | 350,000 | – | new | |
| 25 | NTGR NETGEAR INC | Technology | 1.2% | $3.7m | 160,000 | 100% | added |
| 26 | FLR FLUOR CORP | Industrials | 1.2% | $3.7m | 71,100 | -64% | reduced |
| 27 | IMAX IMAX CORP | Communication Services | 1.2% | $3.7m | 92,300 | -68% | reduced |
| 28 | SPROTT ASSET MANAGEMENT LP | 1.2% | $3.6m | 192,200 | 0% | held | |
| 29 | ANGO ANGIODYNAMICS INC | Healthcare | 1.2% | $3.6m | 276,500 | -42% | reduced |
| 30 | LYTS LSI INDS INC OHIO | Technology | 1.1% | $3.5m | 130,000 | 160% | added |
| 31 | LINC LINCOLN EDL SVCS CORP | Consumer Defensive | 1.1% | $3.4m | 67,973 | -65% | reduced |
| 32 | WSC WILLSCOT HLDGS CORP | Industrials | 1.1% | $3.2m | 110,000 | – | new |
| 33 | EZPW EZCORP INC | Financial Services | 1.1% | $3.2m | 91,800 | -34% | reduced |
| 34 | DSP VIANT TECHNOLOGY INC | Technology | 1.0% | $3.0m | 240,000 | – | new |
| 35 | FTK FLOTEK INDUSTRIES INC | 1.0% | $3.0m | 129,060 | -44% | reduced | |
| 36 | UTI UNIVERSAL TECHNICAL INST INC | Consumer Defensive | 0.9% | $2.8m | 65,800 | -69% | reduced |
| 37 | AEM AGNICO EAGLE MINES LTD | Basic Materials | 0.9% | $2.8m | 18,000 | 0% | held |
| 38 | SBLK STAR BULK CARRIERS CORP. | Industrials | 0.9% | $2.7m | 108,800 | -19% | reduced |
| 39 | ZYME ZYMEWORKS INC | Healthcare | 0.9% | $2.6m | 100,000 | 150% | added |
| 40 | CSV CARRIAGE SVCS INC | Consumer Cyclical | 0.8% | $2.6m | 66,600 | -48% | reduced |
| 41 | STLN THE ONCOLOGY INSTITUTE INC | 0.8% | $2.4m | 450,000 | – | new | |
| 42 | MRCY MERCURY SYS INC | Industrials | 0.7% | $2.3m | 18,400 | -30% | reduced |
| 43 | PNTG PENNANT GROUP INC | Healthcare | 0.7% | $2.2m | 60,000 | – | new |
| 44 | GME GAMESTOP CORP | Consumer Cyclical | 0.7% | $2.2m | 100,000 | – | new |
| 45 | ABX ABACUS GLOBAL MGMT INC | 0.7% | $2.1m | 200,000 | – | new | |
| 46 | PSTL POSTAL REALTY TRUST INC | Real Estate | 0.7% | $2.0m | 80,200 | 0% | held |
| 47 | TRULIEVE CANNABIS CORP | 0.7% | $2.0m | 200,000 | – | new | |
| 48 | HSHP HIMALAYA SHIPPING LTD | 0.6% | $1.9m | 140,000 | 40% | added | |
| 49 | PAGAYA TECHNOLOGIES LTD | 0.6% | $1.8m | 100,000 | – | new | |
| 50 | AGI ALAMOS GOLD INC | Basic Materials | 0.6% | $1.8m | 60,000 | -14% | reduced |
Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.