Aigh Capital Management Llc Portfolio Stock Holdings

Aigh Capital Management Llc disclosed 40 stock positions valued at approximately $488.3 million in its latest SEC 13F filing. The largest holdings include SANDISK CORP, TIGO ENERGY INC, and SILICON MOTION TECHNOLOGY CO. The filing reflects positions held as of March 31, 2026 and was filed on April 30, 2026.

Report Period
March 31, 2026
No. of Stocks
40
Portfolio Value
$488.3M
Holdings by Sector
Aigh Capital Management Llc Portfolio Holdings in Q1 2026

32 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
SANDISK CORPSNDKOther26.02%200,000-80,000-28.57%$127,068,000
TIGO ENERGY INCTYGOTechnology5.61%7,280,312+7,280,312+100.00%$27,373,973
SILICON MOTION TECHNOLOGY COSIMOTechnology4.60%200,000+200,000+100.00%$22,458,000
ZEBRA TECHNOLOGIES CORPORATIZBRATechnology4.28%100,000+100,000+100.00%$20,908,000
NLIGHT INCLASRTechnology3.97%340,000-260,103-43.34%$19,386,800
VANDA PHARMACEUTICALS INCVNDAHealthcare3.89%2,750,000+751,569+37.61%$19,002,500
PERSONALIS INCPSNLHealthcare3.78%2,900,000--$18,473,000
GENERAC HLDGS INCGNRCIndustrials3.60%90,000+90,000+100.00%$17,579,700
KYVERNA THERAPEUTICS INCKYTXHealthcare3.53%2,000,000+500,000+33.33%$17,260,000
CASTLE BIOSCIENCES INCCSTLHealthcare2.97%590,601-34,118-5.46%$14,499,255
DIGITAL TURBINE INCAPPSTechnology2.89%4,895,772+4,895,772+100.00%$14,099,823
REGAL REXNORD CORPORATIONRRXIndustrials2.88%75,000+75,000+100.00%$14,044,501
ABEONA THERAPEUTICS INCABEOHealthcare2.84%3,100,000+1,100,000+55.00%$13,888,000
LARIMAR THERAPEUTICS INCLRMRHealthcare2.76%3,000,000+1,000,000+50.00%$13,500,001
FENNEC PHARMACEUTICALS INCFENCHealthcare2.50%1,981,501+400,000+25.29%$12,186,231
ESPERION THERAPEUTICS INC NEESPRHealthcare2.47%4,400,000+400,000+10.00%$12,056,000
ZEVRA THERAPEUTICS INCZVRAHealthcare2.29%1,200,000+1,200,000+100.00%$11,184,000
INTELLICHECK MOBILISA INCIDNTechnology2.17%1,517,249+303,815+25.04%$10,605,570
VERASTEM INCVSTMHealthcare2.17%2,000,000+2,000,000+100.00%$10,600,000
PROTARA THERAPEUTICS INCTARAHealthcare1.73%1,622,733+1,622,733+100.00%$8,454,439
VUZIX CORPVUZITechnology1.56%3,295,754+3,295,754+100.00%$7,613,192
APYX MEDICAL CORPORATIONAPYXHealthcare0.84%1,104,970--$4,077,340
COYA THERAPEUTICS INCCOYAHealthcare0.79%975,404--$3,843,092
ELUTIA INCELUTHealthcare0.77%3,595,250+527,065+17.18%$3,775,012
RENOVORX INCRNXTHealthcare0.75%3,706,197+872,303+30.78%$3,681,777
TALPHERA INCTLPHHealthcare0.71%4,661,502--$3,481,676
IDEAL PWR INCIPWRIndustrials0.68%1,181,696+689,707+140.19%$3,344,200
BK TECHNOLOGIES CORPORATIONBKTITechnology0.50%32,615-178,838-84.58%$2,434,058
LIPOCINE INC NEWLPCNHealthcare0.33%200,000+200,000+100.00%$1,598,000
IDENTIV INCINVEIndustrials0.31%409,186+409,186+100.00%$1,513,989
LIGHTPATH TECHNOLOGIES INCLPTHTechnology0.21%100,000-930,738-90.30%$1,003,000
APREA THERAPEUTICS INCAPREHealthcare0.16%1,015,541+645,000+174.07%$774,757
Aigh Capital Management Llc Options Holdings in Q1 2026

3 options positions in the latest reporting period.

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QuarterSymbolCompanyOptionContractsNotional Value
Q1 2026IWMiShares Russell 2000 ETFPUT600,000$148,800,000
Q1 2026ZMZoom Communications, Inc.CALL700,000$56,273,000
Q1 2026XLKSPDR Select Sector Fund - TechnPUT300,000$39,870,000

Notional value represents the total exposure of the options position.

Aigh Capital Management Llc Portfolio Stock Holdings | InsiderSet