Mink Brook Asset Management Llc

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$179.2M
Q ending 2026-03-31
Prior quarter
$158.3M
Q ending 2025-12-31
Change
+13.2% QoQ · +88.4% YoY
Positions
54
reported holdings

Largest positions

All 54 reported positions, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Envela CorporationELAShares$21.3M1.3M
Bank7 CorpBSVNShares$18.8M473K
Acme United CorpACUShares$17.1M381K
American Integrity InsuranceAIIShares$16.2M842K
Dlh Holdings CorpDLHCShares$15.6M2.7M
Ascent Industries CoACNTShares$11.8M887K
Currency Exchange InternatioCURNShares$11.0M613K
Rimini Street IncRMNIShares$6.3M1.9M
Butler National CorpBUKSShares$5.1M1.4M
Astro-Med IncALOTShares$3.5M381K
Star Equity Holdings IncSTRRShares$3.2M316K
Legacy Education IncLGCYShares$3.2M253K
Heritage Global IncHGBLShares$3.0M2.2M
Friedman IndustriesFRDShares$2.9M163K
Mdxhealth Sa-AdrShares$2.8M1.2M
Opus Genetics IncIRDShares$2.7M591K
Creative Realities IncCREXShares$2.6M763K
Regis CorpRGSShares$2.5M101K
Comstock Homebuilding Cos-ACHCIShares$2.3M120K
Acres Commercial Realty CorpACRShares$1.8M92K
Holley IncHLLYShares$1.7M552K
Twin Disc IncTWINShares$1.7M111K
Motorcar Parts Of America InMPAAShares$1.6M144K
Kvh Industries IncKVHIShares$1.5M172K
Amrep CorpAXRShares$1.4M51K
Private Bancorp Of America IncPBAMShares$1.4M20K
Bbx Capital IncBBXIAShares$1.2M401K
Mcdermott International LtdShares$1.2M47K
Health In Tech IncHITShares$1.2M806K
Red Robin Gourmet BurgersRRGBShares$1.2M397K
Exagen IncXGNShares$1.1M369K
Fluent IncFLNTShares$1.1M339K
Ekso Bionics Holdings IncShares$1.0M95K
Optex Systems Holdings IncOPXSShares$857K65K
Stran & Co IncSWAGShares$821K497K
Natural Alternatives IntlNAIIShares$772K294K
Laird Superfood IncLSFShares$764K355K
Kewaunee Scientific CpKEQUShares$735K21K
Champions Oncology IncCSBRShares$640K111K
Lipocine IncLPCNShares$534K67K
Freightos LtdShares$474K289K
Fitlife Brands IncFTLFShares$407K29K
Lsi Industries IncLYTSShares$372K20K
Netsol Technologies IncNTWKShares$371K109K
Quest Resource Holding CorpQRHCShares$352K296K
Canterbury Park Holding CorpCPHCShares$227K15K
Maxcyte IncMXCTShares$200K284K
Century Casinos IncCNTYShares$189K136K
Access Newswire IncACCSShares$181K20K
Acorn Energy IncACFNShares$170K10K
Identiv IncINVEShares$71K19K
Xtant Medical Holdings IncXTNTShares$61K109K
Birchtech CorpBCHTShares$57K30K
Salem Media Group Inc-Cl ASALMShares$48K116K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.