Titelia

Holdings of AWM Investment Company, Inc.

83 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 46.5 % of the equity sleeve

Sector breakdown

  • Health care 0.4 %
  • Unattributed 99.6 %

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 99.6 %
  • NL 0.4 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US82767.7M $99.64 %
2NL12.7M $0.36 %

Positions

RankCompanySharesValueWeight
1Aehr Test Systems 1,593,97159.1M $
2nLight Inc 1,023,73958.4M $
3Vicor Corp 288,18046.4M $
4BlackSky Technology Inc 1,725,61043.4M $
5908 Devices Inc 5,199,92431.8M $
6American Superconductor Corp 801,60427.1M $
7Kopin Corp 11,814,81226.6M $
8AeroVironment Inc 130,65823.9M $
9Impinj Inc 207,01821.3M $
10LightPath Technologies Inc 2,037,61020.4M $
11Talkspace Inc 3,826,89219.8M $
12VELO3D INC 1,978,28218.6M $
13Everspin Technologies Inc 2,077,24118.3M $
14Arlo Technologies Inc 1,265,10918M $
15Butterfly Network Inc 4,430,59317.9M $
16Universal Technical Institute Inc 489,09817.7M $
17CEVA Inc 864,80616.2M $
18Powerfleet Inc NJ 4,701,50614.5M $
19RealReal Inc/The 1,483,84713.5M $
20Strata Critical Medical Inc 2,821,46811.8M $
21GENASYS INC 5,649,54410.3M $
22Owlet Inc 1,978,47010.2M $
23ASP Isotopes Inc 2,124,4969.4M $
24INSIGHT MOLECULAR DIAGNOSTICS 2,806,2569.2M $
25Palvella Therapeutics Inc 69,4168.7M $
26TriSalus Life Sciences Inc 2,079,1058.3M $
27Galaxy Digital Inc 445,0008.2M $
28Natural Gas Services Group Inc 214,7768.1M $
29Tigo Energy Inc 2,150,9308.1M $
30SANUWAVE Health Inc 454,5507.9M $
31Lovesac Co/The 500,0027.4M $
32Citi Trends Inc 166,1277.2M $
33Ooma Inc 411,1086M $
34Reservoir Media Inc 551,5945.4M $
35Spire Global Inc 428,8135.4M $
36Forte Biosciences Inc 200,0005.2M $
37Red Cat Holdings Inc 374,4604.9M $
38Backblaze Inc 1,400,1664.8M $
39Destination XL Group Inc 9,399,2974.8M $
40Rani Therapeutics Holdings Inc 6,500,0004.8M $
415E ADVANCED MATERIALS INC 3,250,0004.6M $
42BEELINE HOLDINGS INC 1,848,6414.3M $
43Alto Neuroscience Inc 170,0003.8M $
44OrthoPediatrics Corp 237,1693.8M $
45Aviat Networks Inc 165,7233.7M $
46Progyny Inc 220,0003.7M $
47GrowGeneration Corp 3,380,7843.7M $
48Crinetics Pharmaceuticals Inc 100,0003.6M $
49Abeona Therapeutics Inc 803,1303.6M $
50Gaia Inc 1,252,0903.5M $
51Ouster Inc 186,0003.4M $
52Eledon Pharmaceuticals Inc 1,100,0003.4M $
53IDEAL POWER INC 1,196,8493.4M $
54XTANT MEDICAL HOLDINGS INC 5,976,9103.3M $
55LSI Industries Inc 176,0973.3M $
56PepGen Inc 1,830,9253.2M $
57American Public Education Inc 53,5003M $
58Nextdoor Holdings Inc 2,153,8383M $
59Argenx SE 3,7502.7M $
60Aeluma Inc 200,0002.6M $
61Hippo Holdings Inc 100,0002.6M $
62OPKO Health, Inc. 2,100,0002.4M $
63Paysign Inc 385,9652.3M $
64Benitec Biopharma Inc 187,9772M $
65Modular Medical Inc 366,6661.9M $
66Nkarta Inc 906,0001.9M $
67InfuSystem Holdings Inc 201,0771.9M $
68Aytu BioPharma Inc 619,5741.7M $
69SAB Biotherapeutics Inc 400,0001.5M $
70OptimizeRx Corp 230,4211.4M $
71Nektar Therapeutics 20,0001.4M $
72Abacus Global Management Inc 177,7721.4M $
73DHI Group Inc 497,6981.4M $
74NextCure Inc 117,3711.2M $
75Aquestive Therapeutics Inc 270,4001.1M $
76Black Diamond Therapeutics Inc 525,0001.1M $
77Century Casinos Inc 639,834889.4K $
78Ultra Clean Holdings Inc 11,442711.5K $
79CytomX Therapeutics Inc 150,000705K $
80Atrium Therapeutics Inc 50,000668.5K $
81Anteris Technologies Global Corp 115,000638.3K $
82CryoPort Inc 61,111506K $
83Sera Prognostics Inc 207,382421K $