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MANGROVE PARTNERS IM, LLC
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Back to MANGROVE PARTNERS IM, LLC
MI
Mangrove Partners Im, LLC
All holdings · as of Dec 31, 2025
371 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
EZCORP INC
—
$554.0K
28,528
0.0%
DANAOS CORPORATION
—
$549.4K
5,833
0.0%
STERLING INFRASTRUCTURE, INC.
—
$545.1K
1,780
0.0%
VIEMED HEALTHCARE, INC.
VMD
Common Stock
$534.5K
71,943
0.0%
CHINA YUCHAI INTL LTD
—
$529.3K
14,911
0.0%
SC II ACQUISITION CORP
—
$503.5K
50,000
0.0%
National Vision Holdings, Inc.
—
$497.5K
19,267
0.0%
Strattec Security Corp
—
$497.0K
6,528
0.0%
SURO CAPITAL CORP
—
$496.6K
52,610
0.0%
ASA Gold & Precious Metals Ltd
—
$492.9K
8,260
0.0%
Kimball Electronics, Inc.
—
$491.6K
17,670
0.0%
ARCBEST CORP /DE
—
$491.4K
6,624
0.0%
CHARLTON ARIA ACQUISITION CORPORATION
—
$479.5K
45,888
0.0%
Pediatrix Medical Group Inc
—
$478.8K
22,384
0.0%
Napco Security Technologies Inc
—
$478.3K
11,471
0.0%
SUPER GROUP SGHC LIMITED
—
$467.6K
39,128
0.0%
IDAHO STRATEGIC RESOURCES INC
—
$462.9K
11,486
0.0%
BOSTON BEER CO INC
—
$459.5K
2,355
0.0%
BRINKER INTERNATIONAL, INC
—
$452.7K
3,154
0.0%
Clearfield, Inc.
—
$442.7K
15,187
0.0%
Microvast Holdings, Inc.
MVST
Common Stock
$441.4K
157,627
0.0%
Heritage Insurance Holdings, Inc.
—
$437.9K
14,965
0.0%
INMODE LTD
—
$435.7K
29,659
0.0%
PAR PACIFIC HOLDINGS, INC.
—
$433.9K
12,348
0.0%
MILLICOM INTL CELLULAR S A
—
$429.0K
7,738
0.0%
Nutex Health Inc.
NUTX
Common Stock
$422.1K
2,564
0.0%
Solaris Energy Infrastructure, Inc.
—
$422.0K
9,180
0.0%
Ardent Health, Inc.
ARDT
Common Stock
$417.9K
47,322
0.0%
EverQuote, Inc.
—
$414.9K
15,365
0.0%
Acadian Asset Management Inc.
—
$413.1K
8,790
0.0%
ODYSSEY MARINE EXPLORATION INC
OMEX
Common Stock
$388.0K
197,952
0.0%
ZEPP HEALTH CORP
ZEPP
ADR
$386.5K
14,348
0.0%
T1 ENERGY INC
—
$376.1K
56,306
0.0%
Acadia Healthcare Company, Inc.
—
$363.2K
25,596
0.0%
INNOVATIVE SOLUTIONS & SUPPORT INC
ISSC
Common Stock
$346.1K
18,275
0.0%
SOLOWIN HOLDINGS
—
$345.5K
84,055
0.0%
LIGHTPATH TECHNOLOGIES INC
LPTH
Common Stock
$344.8K
31,922
0.0%
MAREX GROUP PLC
—
$344.1K
8,970
0.0%
SuperX AI Technology Ltd
—
$340.4K
21,710
0.0%
Abacus Global Management, Inc.
ABX
Common Stock
$331.9K
38,817
0.0%
TruBridge, Inc.
—
$312.8K
14,172
0.0%
Northwest Natural Holding Co
—
$307.1K
6,570
0.0%
CarGurus, Inc.
—
$305.3K
7,960
0.0%
Tecogen Inc.
—
$302.4K
61,207
0.0%
High Templar Tech Ltd
HTT
ADR
$301.9K
85,055
0.0%
National HealthCare Corp
—
$300.6K
2,193
0.0%
MediaAlpha, Inc.
MAX
Common Stock
$294.0K
22,700
0.0%
Axis Capital Holdings Ltd
—
$292.6K
2,732
0.0%
TripAdvisor, Inc.
—
$290.6K
19,958
0.0%
Waystar Holding Corp.
—
$290.2K
8,861
0.0%
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