Potomac Capital Management, Inc. 13F holdings, Q1 2026
Holdings as of March 31, 2026 · filings on SEC EDGAR · latest filing →
Potomac Capital Management, Inc. disclosed 63 US equity positions worth $114.4m in its Q1 2026 13F filing. The largest position was ECHO at 20.3% of the reported book, followed by ATEX and DSP.
What did Potomac Capital Management, Inc. own in Q1 2026? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs prior |
|---|---|---|---|---|---|---|---|
| 1 | ECHO ECHOSTAR HOLDING CORP-A | Communication Services | 20.3% | $23.2m | 198,000 | – | |
| 2 | ATEX ANTERIX INC | Communication Services | 5.8% | $6.6m | 173,802 | – | |
| 3 | DSP VIANT TECHNOLOGY INC-A | Technology | 5.2% | $6.0m | 532,636 | – | |
| 4 | LSAK LESAKA TECHNOLOGIES INC | Technology | 4.9% | $5.7m | 1,112,242 | – | |
| 5 | CONX CORP | 4.8% | $5.5m | 1,196,710 | – | ||
| 6 | INSE INSPIRED ENTERTAINMENT INC | 3.8% | $4.4m | 616,600 | – | ||
| 7 | KVHI KVH INDUSTRIES INC | Communication Services | 3.6% | $4.2m | 465,900 | – | |
| 8 | XPER XPERI INC-W/I | Technology | 3.0% | $3.5m | 619,300 | – | |
| 9 | PESI PERMA-FIX ENVIRONMENTAL SVCS | 2.8% | $3.2m | 296,700 | – | ||
| 10 | CLAR CLARUS CORPORATION | Consumer Cyclical | 2.7% | $3.1m | 1,131,000 | – | |
| 11 | AIOT POWERFLEET INC | Technology | 2.5% | $2.8m | 911,200 | – | |
| 12 | ALLT ALLOT COMMUNICATIONS LTD | Technology | 2.2% | $2.5m | 373,400 | – | |
| 13 | DUOT DUOS TECHNOLOGIES GROUP INC | 1.9% | $2.2m | 324,182 | – | ||
| 14 | LION LIONSGATE STUDIOS HOLDING CO | 1.8% | $2.1m | 216,975 | – | ||
| 15 | GANX GAIN THERAPEUTICS INC | 1.7% | $2.0m | 1,008,600 | – | ||
| 16 | GPGI GPGI INC | Industrials | 1.7% | $1.9m | 113,500 | – | |
| 17 | CODI Compass Diversified | 1.7% | $1.9m | 243,300 | – | ||
| 18 | GRPN GROUPON INC | Communication Services | 1.6% | $1.9m | 155,800 | – | |
| 19 | GSIT GSI TECHNOLOGY INC | 1.6% | $1.8m | 348,400 | – | ||
| 20 | CDZI CADIZ INC | 1.4% | $1.6m | 335,000 | – | ||
| 21 | AVD AMERICAN VANGUARD CORP | Basic Materials | 1.4% | $1.5m | 622,050 | – | |
| 22 | HCKT THE HACKET GROUP INC | Technology | 1.3% | $1.5m | 117,104 | – | |
| 23 | ARLO ARLO TECHNOLOGIES INC | Industrials | 1.2% | $1.4m | 100,000 | – | |
| 24 | FENC FENNEC PHARMACEUTICALS INC | 1.2% | $1.4m | 224,400 | – | ||
| 25 | WYY WIDEPOINT CORP | 1.2% | $1.4m | 272,780 | – | ||
| 26 | BABA ALIBABA GROUP HOLDING LTD | Consumer Cyclical | 1.2% | $1.4m | 10,800 | – | |
| 27 | III INFORMATION SERVICES GROUP | Technology | 1.0% | $1.1m | 291,800 | – | |
| 28 | GILT GILAT SATELLITE NETWORKS LTD | Technology | 1.0% | $1.1m | 72,842 | – | |
| 29 | PXLW PIXELWORKS INC | 0.9% | $1.1m | 200,000 | – | ||
| 30 | MX MAGNACHIP SEMICONDUCT-DEP SH | Technology | 0.9% | $1.0m | 365,000 | – | |
| 31 | BAC BANK OF AMERICA CORP | Financial Services | 0.9% | $975.0k | 20,000 | – | |
| 32 | ADTN ADTRAN HOLDINGS INC | Technology | 0.8% | $971.2k | 77,200 | – | |
| 33 | BW BABCOCK & WILCOX ENTERPR | 0.8% | $940.2k | 64,000 | – | ||
| 34 | CXDO CREXENDO INC | 0.8% | $861.1k | 139,568 | – | ||
| 35 | TECHPRECISION CORP | 0.7% | $751.2k | 249,561 | – | ||
| 36 | QLD PROSHARES ULTRA QQQ | 0.6% | $738.1k | 12,100 | – | ||
| 37 | FEAM 5E ADVANCED MATERIALS INC | 0.6% | $708.8k | 506,300 | – | ||
| 38 | DDI DOUBLEDOWN INTERACTIVE -ADR | 0.6% | $668.4k | 79,100 | – | ||
| 39 | XCEL BRANDS INC | 0.6% | $633.0k | 408,400 | – | ||
| 40 | NN NEXTNAV INC | Technology | 0.5% | $600.8k | 37,500 | – | |
| 41 | EOLS EVOLUS INC | Healthcare | 0.5% | $581.6k | 141,500 | – | |
| 42 | MCDERMOTT INTERNATIONAL LTD | 0.5% | $520.0k | 20,000 | – | ||
| 43 | PRTH PRIORITY TECHNOLOGY HOLDINGS | 0.4% | $513.5k | 108,800 | – | ||
| 44 | LUNA LUNA INNOVATIONS INC | 0.4% | $507.9k | 461,770 | – | ||
| 45 | PCYO PURE CYCLE CORP | 0.4% | $490.5k | 48,756 | – | ||
| 46 | CSGP COSTAR GROUP INC | Real Estate | 0.4% | $484.1k | 12,000 | – | |
| 47 | CDXS CODEXIS INC | Healthcare | 0.4% | $446.9k | 274,200 | – | |
| 48 | PRCH PORCH GROUP INC | Financial Services | 0.4% | $441.0k | 61,500 | – | |
| 49 | BRLT BRILLIANT EARTH GROUP INC-A | 0.4% | $418.9k | 315,000 | – | ||
| 50 | DHC DIVERSIFIED HEALTHCARE TRUST | Real Estate | 0.3% | $398.4k | 60,000 | – |
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.