Potomac Capital Management, Inc.

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

Reported value
$115.0M
Q ending 2026-03-31
Prior quarter
$124.5M
Q ending 2025-12-31
Change
-7.6% QoQ
Positions
67
reported holdings

Largest positions

All 67 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
Echostar Holding Corp-AECHOShares$23.2M198K
Anterix IncATEXShares$6.6M174K
Viant Technology Inc-ADSPShares$6.0M533K
Lesaka Technologies IncLSAKShares$5.7M1.1M
Conx CorpCNXXShares$5.5M1.2M
Inspired Entertainment IncINSEShares$4.4M617K
Kvh Industries IncKVHIShares$4.2M466K
Xperi Inc-W/IXPERShares$3.5M619K
Perma-Fix Environmental SvcsPESIShares$3.2M297K
Clarus CorporationCLARShares$3.1M1.1M
Powerfleet IncAIOTShares$2.8M911K
Allot Communications LtdShares$2.5M373K
Duos Technologies Group IncDUOTShares$2.2M324K
Lionsgate Studios Holding CoLIONShares$2.1M217K
Gain Therapeutics IncGANXShares$2.0M1.0M
Gpgi IncGPGIShares$1.9M114K
Compass DiversifiedCODIShares$1.9M243K
Groupon IncGRPNShares$1.9M156K
Gsi Technology IncGSITShares$1.8M348K
Cadiz IncCDZIShares$1.6M335K
American Vanguard CorpAVDShares$1.5M622K
The Hacket Group IncHCKTShares$1.5M117K
Arlo Technologies IncARLOShares$1.4M100K
Fennec Pharmaceuticals IncFENCShares$1.4M224K
Widepoint CorpWYYShares$1.4M273K
Alibaba Group Holding LtdBABAShares$1.4M11K
Information Services GroupIIIShares$1.1M292K
Gilat Satellite Networks LtdShares$1.1M73K
Pixelworks IncPXLWShares$1.1M200K
Magnachip Semiconduct-Dep ShMXShares$1.0M365K
Bank Of America CorpBACShares$975K20K
Adtran Holdings IncADTNShares$971K77K
Babcock & Wilcox EnterprBWShares$940K64K
Crexendo IncCXDOShares$861K140K
Techprecision CorpTPCSShares$751K250K
Proshares Ultra QqqQLDShares$738K12K
5E Advanced Materials IncFEAMShares$709K506K
Doubledown Interactive -AdrDDIShares$668K79K
Xcel Brands IncXELBShares$633K408K
Nextnav IncNNShares$601K38K
Evolus IncEOLSShares$582K142K
Mcdermott International LtdShares$520K20K
Priority Technology HoldingsPRTHShares$514K109K
Luna Innovations IncLUNAShares$508K462K
Pure Cycle CorpPCYOShares$490K49K
Costar Group IncCSGPShares$484K12K
Codexis IncCDXSShares$447K274K
Porch Group IncPRCHShares$441K62K
Brilliant Earth Group Inc-ABRLTShares$419K315K
Diversified Healthcare TrustDHCShares$398K60K
T Stamp Inc-Class AIDAIShares$385K161K
Intrusion IncINTZShares$382K465K
Owlet IncOWLTShares$362K71K
Shoe Carnival IncSHOEShares$293K19K
Five Point Holdings Llc-Cl AFPHShares$290K60K
Anterix IncATEXPut$286K8K
Service Properties TrustShares$283K209K
Rimini Street IncRMNIShares$275K84K
Ree Automotive Ltd - Class AShares$245K408K
Unisys CorpUISShares$198K96K
Cpi Card Group IncPMTSShares$176K12K
Nextnav IncNNCall$160K10K
Axt IncPut$85K2K
Matthews Intl CorpMATWShares$58K2K
Aviat Networks IncAVNWShares$45K2K
Xperi Inc-W/IXPERCall$6K1K
Inseego CorpINSGShares$3K300

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.