Titelia

Holdings of Potomac Capital Management, Inc.

56 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 61.8 % of the equity sleeve

Sector breakdown

  • Financials 23.9 %
  • Consumer discretionary 1.3 %
  • Unattributed 74.8 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 99.3 %
  • KR 0.7 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US55100.5M $99.34 %
2KR1668.4K $0.66 %

Positions

RankCompanySharesValueWeight
1EchoStar Corp 198,00023.2M $
2Anterix Inc 173,8026.6M $
3Viant Technology Inc 532,6366M $
4Lesaka Technologies Inc 1,112,2425.7M $
5Inspired Entertainment Inc 616,6004.4M $
6KVH Industries Inc 465,9004.2M $
7Xperi Inc 619,3003.5M $
8Perma-Fix Environmental Services Inc 296,7003.2M $
9Clarus Corp 1,131,0003.1M $
10Powerfleet Inc NJ 911,2002.8M $
11Duos Technologies Group Inc 324,1822.2M $
12GAIN THERAPEUTICS INC 1,008,6002M $
13GPGI INC 113,5001.9M $
14Compass Diversified Holdings 243,3001.9M $
15Groupon Inc 155,8001.9M $
16GSI Technology Inc 348,4001.8M $
17Cadiz Inc 335,0001.6M $
18American Vanguard Corp 622,0501.5M $
19Hackett Group Inc/The 117,1041.5M $
20Arlo Technologies Inc 100,0001.4M $
21WidePoint Corp 272,7801.4M $
22Alibaba Group Holding Ltd 10,8001.4M $
23Information Services Group Inc 291,8001.1M $
24PIXELWORKS INC 200,0001.1M $
25Magnachip Semiconductor Corp 365,0001M $
26Bank of America Corp 20,000975K $
27ADTRAN Holdings Inc 77,200971.2K $
28Babcock & Wilcox Enterprises Inc 64,000940.2K $
29Crexendo Inc 139,568861.1K $
30TechPrecision Corp 249,561751.2K $
31ProShares Ultra QQQ 12,100738.1K $
325E ADVANCED MATERIALS INC 506,300708.8K $
33DoubleDown Interactive Co Ltd 79,100668.4K $
34XCEL BRANDS INC 408,400633K $
35NextNav Inc 37,500600.8K $
36Evolus Inc 141,500581.6K $
37Priority Technology Holdings Inc 108,800513.5K $
38Luna Innovations Inc 461,770507.9K $
39Pure Cycle Corp 48,756490.5K $
40CoStar Group Inc 12,000484.1K $
41Codexis Inc 274,200446.9K $
42Porch Group Inc 61,500441K $
43Brilliant Earth Group Inc 315,000419K $
44Diversified Healthcare Trust 60,000398.4K $
45T Stamp Inc 160,900384.6K $
46INTRUSION INC 465,415381.9K $
47Owlet Inc 70,500362.4K $
48Shoe Carnival Inc 18,800293.1K $
49Five Point Holdings LLC 60,000290.4K $
50Service Properties Trust 209,000283.2K $
51Rimini Street Inc 83,933275.3K $
52Unisys Corp 95,600197.9K $
53CPI Card Group Inc 12,100175.6K $
54Matthews International Corp 2,25058.1K $
55Aviat Networks Inc 2,00045.2K $
56Inseego Corp 3003.3K $