Potomac Capital Management, Inc. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 11, 2026, for the 2025 Q4 period, Potomac Capital Management, Inc. held in its portfolio 69 assets valued at $124,482,252 (i.e. $124.48M).

The most valuable assets in the portfolio included: ECHOSTAR HOLDING CORP-A ($27.06M), INSPIRED ENTERTAINMENT INC ($6.09M), and VIANT TECHNOLOGY INC-A ($5.75M).

The chart below shows the top 10 valuable assets, and the table below shows the top 69 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Potomac Capital Management, Inc. Portfolio
ECHOSTAR HOLDING CORP-A
INSPIRED ENTERTAINMENT INC
VIANT TECHNOLOGY INC-A
LESAKA TECHNOLOGIES INC
CONX CORP
PERMA-FIX ENVIRONMENTAL SVCS
ANTERIX INC
XPERI INC-W/I
ALLOT COMMUNICATIONS LTD
KVH INDUSTRIES INC
Potomac Capital Management, Inc. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
ECHOSTAR HOLDING CORP-A 248900 27055430 COM
INSPIRED ENTERTAINMENT INC 650500 6088680 COM
VIANT TECHNOLOGY INC-A 477750 5752110 COM
LESAKA TECHNOLOGIES INC 999116 4765783 COM
CONX CORP 1196710 4379959 WRNT
PERMA-FIX ENVIRONMENTAL SVCS 341800 4303262 COM
ANTERIX INC 187900 4101857 COM
XPERI INC-W/I 690000 4043400 COM
ALLOT COMMUNICATIONS LTD 354288 3482651 COM
KVH INDUSTRIES INC 466600 3252202 COM
GAIN THERAPEUTICS INC 1010000 3252200 COM
CLARUS CORPORATION 968500 3244475 COM
CONDUENT INC 1646619 3161508 COM
DUOS TECHNOLOGIES GROUP INC 274235 3085144 COM
GROUPON INC 149500 2632695 COM
ISHARES RUSSELL 2000 10000 2461600 COM
COMPOSECURE INC 117000 2255760 COM
LIONSGATE STUDIOS HOLDING CO 225000 2054250 COM
ENERFLEX LTD 128400 1981212 COM
CADIZ INC 335000 1879350 COM
AMERICAN VANGUARD CORP 458300 1750706 COM
INFORMATION SERVICES GROUP 291800 1686604 COM
ALIBABA GROUP HOLDING LTD 11000 1612380 ADRS
PIXELWORKS INC 200000 1272000 COM
TECHPRECISION CORP 249561 1205380 COM
GILAT SATELLITE NETWORKS LTD 91200 1180128 COM
BANK OF AMERICA CORP 20000 1100000 COM
POWERFLEET INC 206000 1095920 COM
WIDEPOINT CORP 195670 1050748 COM
MAGNACHIP SEMICONDUCT-DEP SH 386900 986595 COM
CREXENDO INC 152300 985381 COM
SPDR S&P BIOTECH ETF 8000 975440 ETF
DIVERSIFIED HEALTHCARE TRUST 200000 970000 REIT
OWLET INC 57997 938971 COM
EVOLUS INC 141172 938794 COM
LULULEMON ATHLETICA INC 4400 914364 COM
COMTECH TELECOMMUNICATIONS 160912 851224 COM
T STAMP INC-CLASS A 192760 753692 COM
FENNEC PHARMACEUTICALS INC 95100 732270 COM
DOUBLEDOWN INTERACTIVE -ADR 79100 682633 ADRS
ALTISOURCE PORTFOLIO SOL 97528 677820 WRNT
SPDR S&P BIOTECH ETF 5000 609650 COM
INTRUSION INC 473050 544008 COM
PRIORITY TECHNOLOGY HOLDINGS 98938 539212 COM
PURE CYCLE CORP 48756 535828 COM
NEXTNAV INC 32100 534144 COM
LUNA INNOVATIONS INC 461770 531036 COM
CODEXIS INC 300000 489000 COM
SHOTSPOTTER INC 60400 485012 COM
XCEL BRANDS INC 408400 441072 COM
BRILLIANT EARTH GROUP INC-A 241000 421750 COM
BABCOCK & WILCOX ENTERPR 64000 405760 COM
SERVICE PROPERTIES TRUST 209000 384560 REIT
IPATH SERIES B S&P 500 VIX 14000 370580 ETF
ALLIANCE RESOURCE PARTNERS 15000 348450 LTDP
CPI CARD GROUP INC 22956 336994 COM
RIMINI STREET INC 83933 325660 COM
REE AUTOMOTIVE LTD - CLASS A 408200 299823 COM
UNISYS CORP 95770 264325 COM
SHOE CARNIVAL INC 15572 262855 COM
FIVE POINT HOLDINGS LLC-CL A 44275 247497 COM
5E ADVANCED MATERIALS INC 61115 186401 COM
SONIM TECHNOLOGIES INC 48000 151200 COM
MATTHEWS INTL CORP 2250 58770 CL A
AVIAT NETWORKS INC 2000 42760 COM NEW
TIGO ENERGY INC 27880 38474 COM
ALTISOURCE PORTFOLIO SOL 3209 22303 COM
MITEK SYSTEMS INC 1000 10550 COM NEW
SINGLE TOUCH SYSTEMS INC 585576 0 COM