market
riddle
Activity
Companies
Insiders
Institutions
Pricing
EN
Sign in
Sign up
Institutions
/
Peapod Lane Capital LLC
/ Holdings
‹
Back to Peapod Lane Capital LLC
PL
Peapod Lane Capital LLC
All holdings · as of Dec 31, 2025
59 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
Alico, Inc.
ALCO
Common Stock
$4.86M
133,701
4.1%
ISHARES TR
—
$4.86M
19,758
4.1%
Alto Neuroscience, Inc.
ANRO
Common Stock
$4.52M
253,992
3.8%
Fulgent Genetics, Inc.
FLGT
Common Stock
$4.36M
165,781
3.7%
Seneca Foods Corp
—
$4.15M
37,523
3.5%
JOHNSON OUTDOORS INC
JOUT
Common Stock
$4.14M
97,414
3.5%
Biglari Holdings Inc.
BH
Common Stock
$4.12M
12,399
3.5%
Alto Ingredients, Inc.
ALTO
Common Stock
$3.58M
1,244,198
3.0%
AerSale Corp
ASLE
Common Stock
$3.53M
496,884
3.0%
ACACIA RESEARCH CORP
ACTG
Common Stock
$3.22M
845,954
2.7%
STAR HLDGS
—
$3.16M
383,653
2.7%
HURCO COMPANIES INC
—
$3.09M
200,121
2.6%
KVH INDUSTRIES INC \DE
KVHI
Common Stock
$2.89M
414,734
2.5%
Nano Dimension Ltd.
NNDM
ADR
$2.71M
1,760,516
2.3%
Limoneira CO
—
$2.63M
208,547
2.2%
Clearwater Paper Corp
—
$2.51M
144,433
2.1%
OraSure Technologies Inc
—
$2.46M
1,018,470
2.1%
TWIN DISC INC
TWIN
Common Stock
$2.31M
138,630
2.0%
GAIA, INC
GAIA
Common Stock
$2.29M
630,840
1.9%
Climb Bio, Inc.
CLYM
Common Stock
$2.26M
565,992
1.9%
Chatham Lodging Trust
—
$2.19M
322,183
1.9%
CATO CORP NEW
—
$2.15M
696,474
1.8%
Vera Bradley, Inc.
VRA
Common Stock
$2.12M
875,893
1.8%
HOOKER FURNISHINGS Corp
—
$2.10M
185,982
1.8%
4D MOLECULAR THERAPEUTICS, INC.
—
$2.01M
268,024
1.7%
Saga Communications, Inc.
SGA
Common Stock
$1.96M
171,917
1.7%
FONAR CORP
—
$1.95M
104,869
1.7%
RESOURCES CONNECTION, INC.
—
$1.81M
358,954
1.5%
Kyverna Therapeutics, Inc.
KYTX
Common Stock
$1.73M
183,820
1.5%
ISHARES TR
—
$1.65M
16,441
1.4%
UNIVERSAL ELECTRONICS INC
—
$1.64M
455,543
1.4%
Unifi, Inc.
—
$1.58M
452,513
1.3%
Clarus Corp
CLAR
Common Stock
$1.56M
465,193
1.3%
Atea Pharmaceuticals, Inc.
—
$1.55M
435,020
1.3%
WESTWOOD HOLDINGS GROUP INC
WHG
Common Stock
$1.53M
88,680
1.3%
Identiv, Inc.
—
$1.45M
376,734
1.2%
TrueBlue, Inc.
—
$1.30M
285,974
1.1%
Commercial Vehicle Group, Inc.
CVGI
Common Stock
$1.28M
889,634
1.1%
Intrepid Potash, Inc.
—
$1.28M
46,086
1.1%
Nkarta, Inc.
NKTX
Common Stock
$1.25M
676,199
1.1%
Northern Technologies International Corp.
—
$1.12M
142,621
1.0%
MEDIFAST INC
—
$1.08M
101,567
0.9%
PLIANT THERAPEUTICS, INC.
PLRX
Common Stock
$1.08M
886,374
0.9%
AstroNova, Inc.
—
$1.05M
121,383
0.9%
HOYNE BANCORP INC
—
$1.02M
70,495
0.9%
Lake Shore Bancorp, Inc. /MD
—
$1.01M
68,922
0.9%
FB Bancorp, Inc. /MD
—
$905.0K
70,429
0.8%
AMREP CORP.
AXR
Common Stock
$866.0K
46,064
0.7%
SCHOLASTIC CORP
—
$810.2K
27,344
0.7%
Metagenomi Therapeutics, Inc.
MGX
Common Stock
$806.2K
497,653
0.7%
← Prev
Page 1 of 2
Next →