Potomac Capital Management

Potomac Capital Management as of March 31, 2023

Portfolio Holdings for Potomac Capital Management

Potomac Capital Management holds 60 positions in its portfolio as reported in the March 2023 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Lesaka Technologies Com New (LSAK) 8.9 $8.5M 1.8M 4.80
KVH Industries (KVHI) 8.6 $8.3M 725k 11.38
Conx Corp *w Exp 10/30/202 (CONXW) 8.0 $7.6M 751k 10.15
Inspired Entmt (INSE) 6.7 $6.4M 501k 12.79
Echostar Corp Cl A (SATS) 4.6 $4.4M 241k 18.29
Perma-fix Environmental Svcs Com New (PESI) 4.0 $3.8M 324k 11.78
Babcock & Wilcox Enterpr (BW) 3.4 $3.2M 535k 6.06
Diversified Healthcare Tr Com Sh Ben Int (DHC) 2.8 $2.7M 2.0M 1.35
EQT Corporation (EQT) 2.5 $2.4M 75k 31.91
Composecure *w Exp 12/27/202 (CMPOW) 2.3 $2.2M 297k 7.36
Sequans Communications S A Sponsored Ads (SQNS) 2.2 $2.1M 1.1M 2.00
Allot SHS (ALLT) 2.2 $2.1M 772k 2.69
Ishares Tr Put Put Option 2.1 $2.1M 12k 178.40
Lions Gate Entmnt Corp Cl A Vtg (LGF.A) 2.1 $2.0M 183k 11.07
Enzo Biochem (ENZ) 2.0 $1.9M 781k 2.43
Dish Network Corporation Cl A 2.0 $1.9M 202k 9.33
Bluegreen Vacations Hldg Cor Class A 2.0 $1.9M 69k 27.38
Shoe Carnival (SCVL) 1.9 $1.8M 70k 25.65
Vertex Energy (VTNR) 1.5 $1.4M 145k 9.88
Evolus (EOLS) 1.5 $1.4M 166k 8.46
Yatra Online Ord Shs (YTRA) 1.5 $1.4M 611k 2.28
Composecure Com Cl A (CMPO) 1.4 $1.3M 176k 7.36
Absolute Software Corporation 1.3 $1.3M 163k 7.83
Service Pptys Tr Com Sh Ben Int (SVC) 1.3 $1.3M 126k 9.96
Viant Technology Com Cl A (DSP) 1.3 $1.3M 289k 4.35
Orion Engineered Carbons (OEC) 1.2 $1.2M 44k 26.09
Clarus Corp (CLAR) 1.2 $1.1M 120k 9.45
Dish Network Corporation Call Call Option 1.1 $1.1M 115k 9.33
Intevac (IVAC) 1.1 $1.0M 139k 7.33
Spdr Ser Tr S&p Biotech (XBI) 1.0 $945k 12k 76.21
Chicken Soup For The Soul En Cl A (CSSE) 0.9 $903k 452k 2.00
Direxion Shs Etf Tr Dly Smcap Bull3x (TNA) 0.9 $886k 28k 32.21
Information Services (III) 0.9 $865k 170k 5.09
Conduent Incorporate (CNDT) 0.9 $858k 250k 3.43
One Group Hospitality In (STKS) 0.9 $841k 104k 8.10
Biomerica Com New (BMRA) 0.8 $808k 432k 1.87
Aspen Aerogels (ASPN) 0.8 $782k 105k 7.45
Bank of America Corporation (BAC) 0.8 $775k 27k 28.60
Cyberark Software SHS (CYBR) 0.7 $666k 4.5k 147.98
Callaway Golf Company (MODG) 0.7 $649k 30k 21.62
Griffon Corporation (GFF) 0.7 $624k 20k 32.01
Tile Shop Hldgs (TTSH) 0.6 $610k 130k 4.69
Cardlytics (CDLX) 0.6 $601k 177k 3.40
Powerfleet (PWFL) 0.6 $583k 170k 3.43
Confluent Class A Com (CFLT) 0.6 $526k 22k 24.07
Travelcenters Of America Com New 0.5 $514k 5.9k 86.50
Pure Cycle Corp Com New (PCYO) 0.5 $474k 50k 9.45
Powerschool Holdings Com Cl A (PWSC) 0.5 $446k 23k 19.82
Xcel Brands Com New (XELB) 0.4 $409k 670k 0.61
Unisys Corp Com New (UIS) 0.4 $388k 100k 3.88
Spark Networks Se Sponsored Ads (LOVLQ) 0.4 $344k 513k 0.67
Madison Square Grdn Entertnm Cl A (SPHR) 0.3 $313k 5.3k 59.07
Babcock & Wilcox Enterprises Call Call Option 0.3 $303k 50k 6.06
Ituran Location And Control SHS (ITRN) 0.3 $273k 13k 21.78
Emcore Corp Com New (EMKR) 0.3 $256k 223k 1.15
Allot Call Call Option 0.3 $242k 90k 2.69
Lantronix Com New (LTRX) 0.2 $217k 50k 4.34
Athira Pharma (ATHA) 0.2 $200k 80k 2.50
Lucy Scientific Discovery In 0.1 $125k 114k 1.10
Altisource Portfolio Solns S Reg Shs (ASPS) 0.0 $46k 10k 4.60