Fund HoldingsAMH Equity Ltd

Total Portfolio Value
$80.30M
Total Bought
$20.33M
Total Sold
$26.50M
Net Transaction
-$6.18M
Filing Period:
Securities
SharesValue ($K)
Q2 2025
Q3 2025
Change
Q2 2025
Q3 2025
Weight (%)
Change
LIGHTPATH TECHNOLOGIES INC2,079,2931,300,000-779,2936,40410,30912.84%+3,905
BABCOCK & WILCOX ENTERPRISES(BW)0704,145+704,14502,0422.54%+2,042
PRECIPIO INC27,890131,100+103,2103082,3322.90%+2,024
RF INDS LTD0223,900+223,90001,8432.29%+1,843
MYRIAD GENETICS INC300,000400,000+100,0001,5932,8923.60%+1,299
ONE STOP SYS INC0200,000+200,00001,0721.33%+1,072
NOVA MINERALS LTD060,000+60,00009841.23%+984
NEXXEN INTL LTD0100,000+100,00009251.15%+925
DIGITALOCEAN HLDGS INC(DOCN)100,000110,000+10,0002,8563,7584.68%+902
DMC GLOBAL INC0100,000+100,00008451.05%+845
IDEAL PWR INC0156,400+156,40007850.98%+785
RICHARDSON ELECTRS LTD080,000+80,00007830.98%+783
CONCRETE PUMPING HLDGS INC0100,000+100,00007050.88%+705
LIGHTSPEED COMMERCE INC(LSPD)060,000+60,00006930.86%+693
MEIRAGTX HLDGS PLC(MGTX)080,000+80,00006580.82%+658
CLEARFIELD INC018,600+18,60006390.80%+639
INTERDIGITAL INC(IDCC)13,00010,000-3,0002,9153,4524.30%+537
TWIN DISC INC464,000330,090-133,9104,0974,6015.73%+504
ELECTROVAYA INC200,000200,718+7186821,1821.47%+500
MILESTONE PHARMACEUTICALS IN0231,671+231,67104630.58%+463
ORCHESTRA BIOMED HLDGS INC0166,000+166,00004120.51%+412
POWERFLEET INC999,000900,000-99,0004,3064,7165.87%+410
CAMBIUM NETWORKS CORP802,362800,000-2,3623257150.89%+390
COLLPLANT BIOTECHNOLOGIES LT
SHS NEW
160,849200,000+39,1512195380.67%+319
EHEALTH INC100,000166,000+66,0004357150.89%+280
HEALTH CATALYST INC427,149660,000+232,8511,6101,8812.34%+271
DUOS TECHNOLOGIES GROUP INC035,000+35,00002580.32%+258
HARVARD BIOSCIENCE INC3,508,7034,047,535+538,8321,5571,7752.21%+218
MNTN INC(MNTN)010,000+10,00001860.23%+186
DUCOMMUN INC DEL(DCO)33,00030,000-3,0002,7272,8843.59%+157
CVD EQUIP CORP424,748416,927-7,8211,2661,4011.74%+135
DATAVAULT AI INC099,200+99,20001080.13%+108
INSPIRED ENTMT INC80,00080,00006547500.93%+97
BROADWIND INC323,382323,38205856790.85%+94
INTEST CORP163,000161,711-1,2891,1871,2631.57%+76
IRIDEX CORP190,000184,230-5,7701682100.26%+43
TEAM INC80,00090,274+10,2741,4561,4971.86%+41
ASCENT INDUSTRIES CO145,019145,01901,8291,8682.33%+39
LINCOLN EDL SVCS CORP(LINC)75,00075,00001,7291,7632.19%+34
DARE BIOSCIENCE INC193,603232,373+38,7704634880.61%+25
SCYNEXIS INC261,081245,939-15,1421761890.24%+13
VIEMED HEALTHCARE INC80,00080,00005535430.68%-10
PRECISION OPTICS CORP INC MA25,00025,00001231090.14%-14
MATERIALISE NV207,661207,66101,1731,1571.44%-17
SOCKET MOBILE INC126,156116,556-9,6001451200.15%-25
QUINSTREET INC(QNST)66,00066,00001,0631,0211.27%-42
STRATASYS LTD166,000166,00001,9041,8592.32%-45
BRADY CORP(BRC)24,00019,603-4,3971,6311,5301.90%-102
DARIOHEALTH CORP215,0000-215,0001440-144
WESTPORT FUEL SYSTEMS INC155,716137,000-18,7164893110.39%-178
NANO DIMENSION LTD128,3820-128,3822080-208
ALGOMA STL GROUP INC30,1910-30,1912080-208
GREEN DOT CORP(Call)24,2000-24,2002610-261
CENTERRA GOLD INC(CGAU)(Call)40,0000-40,0002880-288
DXC TECHNOLOGY CO(DXC)(Call)63,50040,000-23,500971545-426
NLIGHT INC(LASR)100,00050,000-50,0001,9681,4821.84%-486
MARCHEX INC278,2760-278,2766090-609
HURCO CO106,40178,279-28,1222,0111,3621.70%-649
LANTRONIX INC250,0000-250,0007180-717
SEQUANS COMMUNICATIONS S A500,0000-500,0007350-735
STRATASYS LTD(Call)84,0000-84,0009630-963
HEWLETT PACKARD ENTERPRISE C(HPE)(Call)50,0000-50,0001,0230-1,022
UNIVERSAL ELECTRS INC721,273800,000+78,7274,7753,7284.64%-1,047
MARIS TECH LTD725,000684,400-40,6002,3201,2731.59%-1,047
PERFORMANT HEALTHCARE INC275,0000-275,0001,1000-1,100
PEGASYSTEMS INC(PEGA)24,0000-24,0001,2990-1,299
CENTERRA GOLD INC(CGAU)193,3580-193,3581,3940-1,394
TALOS ENERGY INC(TALO)188,3910-188,3911,5980-1,598
TERADATA CORP DEL(TDC)100,0000-100,0002,2310-2,231
DIGITALOCEAN HLDGS INC(DOCN)(Call)162,5000-162,5004,6410-4,641
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