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PERRITT CAPITAL MANAGEMENT INC
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Back to PERRITT CAPITAL MANAGEMENT INC
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Perritt Capital Management Inc
All holdings · as of Dec 31, 2025
79 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
BEL FUSE INC.
—
$2.38M
14,051
4.0%
AVINO SILVER & GOLD MINES LTD
—
$2.17M
350,000
3.6%
PERMA FIX ENVIRONMENTAL SERVICES INC
—
$2.09M
166,300
3.5%
Silvercrest Asset Management Group Inc
—
$1.95M
128,398
3.3%
ENDEAVOUR SILVER CORP
—
$1.94M
206,432
3.2%
Radiant Logistics, Inc.
—
$1.81M
285,682
3.0%
McEwen Inc.
—
$1.66M
89,470
2.8%
NPK International Inc.
—
$1.65M
138,500
2.8%
EZCORP INC
—
$1.56M
80,400
2.6%
NWPX Infrastructure Inc
—
$1.54M
24,700
2.6%
PHOTRONICS INC
—
$1.48M
46,300
2.5%
Legacy Housing Corp
LEGH
Common Stock
$1.40M
71,682
2.3%
Northern Technologies International Corp.
—
$1.33M
169,831
2.2%
U S GLOBAL INVESTORS INC
—
$1.26M
522,967
2.1%
Research Solutions, Inc.
—
$1.05M
356,818
1.8%
BK Technologies Corp
—
$1.04M
14,000
1.7%
MILLER INDUSTRIES INC
—
$994.3K
26,607
1.7%
LSI INDUSTRIES INC
—
$968.3K
52,854
1.6%
VIEMED HEALTHCARE, INC.
VMD
Common Stock
$966.6K
130,100
1.6%
LINCOLN EDUCATIONAL SERVICES CORPORATION
—
$937.0K
38,800
1.6%
DLH Holdings Corp.
DLHC
Common Stock
$927.7K
164,200
1.6%
Information Services Group Inc.
III
Common Stock
$921.6K
159,440
1.5%
Orion Group Holdings Inc
—
$870.7K
87,600
1.5%
InfuSystem Holdings, Inc
INFU
Common Stock
$868.3K
96,800
1.5%
MITEK SYSTEMS INC
—
$782.5K
74,166
1.3%
Bowman Consulting Group Ltd.
BWMN
Common Stock
$782.2K
23,690
1.3%
Star Equity Holdings, Inc.
STRR
Common Stock
$745.9K
66,300
1.2%
GENCOR INDUSTRIES INC
GENC
Common Stock
$740.3K
57,122
1.2%
FLEXIBLE SOLUTIONS INTERNATIONAL INC
FSI
Common Stock
$727.6K
108,200
1.2%
CECO ENVIRONMENTAL CORP
CECO
Common Stock
$718.2K
12,000
1.2%
Ooma, Inc.
—
$680.3K
58,000
1.1%
UNIVERSAL TECHNICAL INSTITUTE INC
—
$671.5K
25,700
1.1%
IBEX LTD SHS NEW
—
$662.4K
17,350
1.1%
PERION NETWORK LTD
—
$637.1K
66,500
1.1%
CARRIAGE SERVICES INC
—
$634.2K
14,992
1.1%
Coda Octopus Group, Inc.
—
$625.4K
67,250
1.0%
EVOLUTION PETROLEUM CORP
EPM
Common Stock
$616.9K
174,275
1.0%
CREATIVE REALITIES, INC.
—
$587.0K
224,900
1.0%
NATURAL GAS SERVICES GROUP INC
—
$572.0K
17,000
1.0%
Consensus Cloud Solutions, Inc.
—
$567.3K
26,000
0.9%
IMMERSION CORP
—
$566.4K
83,301
0.9%
Aviat Networks Inc.
—
$563.4K
26,350
0.9%
Usio, Inc.
—
$562.6K
413,700
0.9%
Mayville Engineering Company, Inc.
—
$561.6K
30,000
0.9%
TECHPRECISION CORP
TPCS
Common Stock
$559.0K
115,731
0.9%
NATURES SUNSHINE PRODUCTS INC
NATR
Common Stock
$539.5K
25,000
0.9%
VAALCO Energy Inc
—
$530.2K
145,670
0.9%
ALLIANCE ENTERTAINMENT HOLDING COM
—
$525.2K
65,000
0.9%
DHI GROUP, INC.
—
$508.9K
328,300
0.9%
SUPERIOR GROUP OF COMPANIES, INC.
SGC
Common Stock
$504.0K
52,066
0.8%
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