Perritt Capital Management Inc - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 17, 2026, for the 2025 Q4 period, Perritt Capital Management Inc held in its portfolio 79 assets valued at $59,810,711 (i.e. $59.81M).

The most valuable assets in the portfolio included: BEL FUSE INC ($2.38M), AVINO SILVER & GOLD MINES LTD ($2.17M), and PERMA-FIX ENVIRONMENTAL SERVICES INC. ($2.09M).

The chart below shows the top 10 valuable assets, and the table below shows the top 79 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Perritt Capital Management Inc Portfolio
BEL FUSE INC
AVINO SILVER & GOLD MINES LTD
PERMA-FIX ENVIRONMENTAL SERVICES INC.
SILVERCREST ASSET MGMT GROUP
ENDEAVOUR SILVER CORP
RADIANT LOGISTICS INC
MCEWEN INC.
NPK INTERNATIONAL INC
EZCORP INC CL A NON VTG
NORTHWEST PIPE CO
Perritt Capital Management Inc - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
BEL FUSE INC 14051 2383460 CL B
AVINO SILVER & GOLD MINES LTD 350000 2173500 COM
PERMA-FIX ENVIRONMENTAL SERVICES INC. 166300 2093717 COM
SILVERCREST ASSET MGMT GROUP 128398 1950368 COM CL A
ENDEAVOUR SILVER CORP 206432 1940461 COM
RADIANT LOGISTICS INC 285682 1808367 COM NEW
MCEWEN INC. 89470 1656090 COM NEW
NPK INTERNATIONAL INC 138500 1650920 COM NEW
EZCORP INC CL A NON VTG 80400 1561368 COM
NORTHWEST PIPE CO 24700 1543503 COM
PHOTRONICS INC 46300 1481600 COM
LEGACY HOUSING CORP 71682 1399233 COM
NORTHERN TECHNOLOGIES INTERNATIONAL CORP 169831 1329777 COM
U S GLOBAL INVS INCORPORA 522967 1260351 COM CLASS A
RESEARCH SOLUTIONS INC 356818 1049045 COM
BK TECHNOLOGIES CORPORATION 14000 1044260 COM
MILLER INDS INC TENN 26607 994287 COM
LSI INDS INC OHIO 52854 968285 COM
VIEMED HEALTHCARE INC 130100 966643 COM
LINCOLN EDL SVCS CORP 38800 937020 COM
DLH HLDGS CORP 164200 927730 COM
INFORMATION SVCS GROUP INC 159440 921562 CL B
ORION GROUP HLDGS INC 87600 870744 COM NEW
INFUSYSTEM HLDGS INC 96800 868296 CL B NEW
MITEK SYS INC COM 74166 782451 COM
BOWMAN CONSULTING GROUP LTD 23690 782244 COM
STAR EQUITY HOLDINGS INC 66300 745875 COM NEW
GENCOR INDS INC 57122 740301 COM
FLEXIBLE SOLUTIONS INTL INC 108200 727645 COM
CECO ENVIRONMENTAL CORP 12000 718200 COM
OOMA INC 58000 680340 COM NEW
UNIVERSAL TECHNICAL INST INC 25700 671541 COM
IBEX LTD SHS NEW 17350 662423 COM
PERION NETWORK LTD 66500 637070 SHS NEW
CARRIAGE SVCS INC 14992 634161 COM
CODA OCTOPUS GROUP INC 67250 625425 COM NEW
EVOLUTION PETE CORP 174275 616934 COM
CREATIVE REALITIES INC 224900 586989 COM
NATURAL GAS SVCS GROUP INC 17000 572050 COM
CONSENSUS CLOUD SOLUTIONS INC 26000 567320 COM
IMMERSION CORP 83301 566449 COM
AVIAT NETWORKS INC 26350 563363 COM NEW
USIO INC 413700 562632 COM
MAYVILLE ENGR CO INC 30000 561600 COM
TECHPRECISION CORP 115731 558981 COM
NATURES SUNSHINE PRODS INC 25000 539500 COM
VAALCO ENERGY INC 145670 530240 COM NEW
ALLIANCE ENTERTAINMENT HOLDING COM 65000 525200 COM CLASS A
DICE HOLDINGS INC 328300 508865 COM
SUPERIOR GROUP OF CO INC 52066 504000 COM
SENSUS HEALTHCARE INC 125586 499832 COM
PURE CYCLE CORP 43532 478417 COM NEW
FIRST INTERNET BANCORP 22831 476489 COM
ASURE SOFTWARE INC CORP. 50000 471000 COM
HF FOODS GROUP INC 211900 455585 COM
HERITAGE GLOBAL INC 360866 447474 COM
CHICAGO ATLANTIC REAL ESTATE F 36498 447471 COM
TWIN DISC INC 25000 417000 COM
PAYSIGN INC 80000 412000 COM
ULTRALIFE BATTERIES INC 70000 400400 COM
LAKELAND INDUSTRIES INC 44000 388960 COM
ASCENT INDUSTRIES CO 24000 388560 COM
VITESSE ENERGY INC 20000 385200 COM
BIOTE CORP 146250 380250 COM CLASS A
FLUSHING FINL CORP 25000 379250 COM
MODIV INDUSTRIAL INC COM STK 23000 330970 COM CL C
BUILD-A-BEAR WORKSHOP INC 5000 306350 COM
NETSOL TECHNOLOGIES INC COM PAR $.001 100000 303000 COM
GLOBAL WTR RES INC 35000 295750 COM
KARAT PACKAGING INC COM 13000 293410 COM
POWER SOLUTIONS INTL INC 5000 285700 COM NEW
QUEST RESOURCE HLDG CORP 147300 273978 COM NEW
PAN AMERN SILVER CORP 4829 250190 COM
ARQ INC 75000 245250 COM
VIRTRA INC COM PAR 58264 244709 COM
DATA STORAGE CORP 40000 204800 COM NEW
ASSERTIO HOLDINGS INC 19000 172330 COM NEW
SKYX PLATFORMS CORP 80000 172000 COM
AYTU BIOPHARMA INC 20000 52000 COM