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AWM Investment Company, Inc.
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AWM Investment Company, Inc.
All holdings · as of Dec 31, 2025
102 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
NLIGHT, INC.
—
$43.87M
1,169,680
4.2%
ADMA Biologics Inc
—
$40.13M
2,200,000
3.9%
VICOR CORP
—
$36.52M
333,180
3.5%
BlackSky Technology Inc.
—
$32.36M
1,725,610
3.1%
AEHR TEST SYSTEMS
—
$31.03M
1,536,771
3.0%
Impinj Inc
—
$31.00M
178,173
3.0%
GILAT SATELLITE NETWORKS LTD
—
$30.45M
2,353,227
2.9%
AeroVironment Inc
—
$28.76M
118,893
2.8%
Owlet, Inc.
OWLT
Common Stock
$28.30M
1,748,251
2.7%
Velo3D, Inc.
VELO
Common Stock
$28.01M
2,153,052
2.7%
KOPIN CORP
—
$27.72M
11,844,812
2.7%
908 Devices Inc.
MASS
Common Stock
$27.30M
5,199,924
2.6%
Powerfleet, Inc.
—
$25.01M
4,701,506
2.4%
NATURAL GAS SERVICES GROUP INC
—
$22.77M
676,652
2.2%
TheRealReal, Inc.
—
$22.47M
1,423,847
2.2%
LIGHTPATH TECHNOLOGIES INC
LPTH
Common Stock
$22.03M
2,040,110
2.1%
AMERICAN SUPERCONDUCTOR CORP /DE
—
$21.71M
754,220
2.1%
Insight Molecular Diagnostics Inc.
IMDX
Common Stock
$21.11M
2,814,230
2.0%
EVERSPIN TECHNOLOGIES INC.
—
$19.73M
2,126,241
1.9%
MDxHealth, SA (Belgium)
—
$18.64M
5,221,282
1.8%
Definium Therapeutics, Inc.
DFTX
Common Stock
$18.62M
1,390,662
1.8%
CEVA INC
—
$17.81M
827,806
1.7%
Arlo Technologies, Inc.
—
$16.40M
1,172,609
1.6%
Backblaze, Inc.
—
$14.29M
3,067,569
1.4%
Talkspace, Inc
—
$14.26M
3,929,500
1.4%
Strata Critical Medical, Inc. ("Issuer")
—
$13.57M
2,821,468
1.3%
SANUWAVE Health Inc
—
$13.56M
454,550
1.3%
RADCOM LTD
—
$12.97M
991,261
1.3%
Butterfly Network, Inc.
—
$12.92M
3,400,000
1.2%
Genasys Inc.
GNSS
Common Stock
$12.12M
5,649,544
1.2%
Forge Global Holdings, Inc.
FRGE
Common Stock
$11.77M
264,179
1.1%
ASP Isotopes Inc.
—
$11.37M
2,124,496
1.1%
UNIVERSAL TECHNICAL INSTITUTE INC
—
$11.34M
434,098
1.1%
Alpha Cognition Inc.
—
$10.87M
1,672,168
1.0%
Citi Trends Inc
—
$10.04M
241,657
1.0%
Rani Therapeutics Holdings, Inc.
—
$8.78M
6,500,000
0.8%
TriSalus Life Sciences, Inc.
—
$8.68M
1,243,780
0.8%
DESTINATION XL GROUP, INC.
DXLG
Common Stock
$8.64M
9,399,297
0.8%
Galaxy Digital Inc.
—
$8.61M
385,000
0.8%
PepGen Inc.
—
$8.46M
1,300,000
0.8%
Real Brokerage Inc
—
$8.14M
2,230,940
0.8%
Red Cat Holdings, Inc.
—
$8.02M
1,010,856
0.8%
Gambling.com Group Ltd.
—
$7.83M
1,434,288
0.8%
Lovesac Co
—
$7.38M
500,002
0.7%
PALVELLA THERAPEUTICS, INC.
PVLA
Common Stock
$7.27M
69,416
0.7%
Avadel Pharmaceutical PLC (Ire
—
$6.81M
316,189
0.7%
Vital Farms, Inc.
—
$6.54M
204,701
0.6%
Forte Biosciences, Inc.
—
$6.46M
236,821
0.6%
CervoMed Inc.
—
$6.28M
794,634
0.6%
Ooma, Inc.
—
$5.86M
499,699
0.6%
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