AIGH Capital Management LLC

Holdings as of 2026-06-30, filed 2026-08-07

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 38 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
86
Value reported by manager
$1.6B
Sum of our stored positions
$1.5B
should match the line above
Disclosure lag
38 d
quarter end to filing
Top 5 concentration
52.8%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
3
puts and calls

Positions

86 largest shown
IssuerClassValueSharesTypeCUSIP
SANDISK CORPCOM$256.3M112,715—80004C200
ISHARES TRRUSSELL 2000 ETF$250.9M835,000Put464287655
INVESCO QQQ TRUNIT SER 1$107.1M145,400Put46090E103
SANDISK CORPCOM$82.5M36,285—80004C200
MAXLINEAR INCCOM$79M617,222—57776J100
INTEL CORPCOM$65.9M471,992—458140100
DIGITAL TURBINE INCCOM NEW$63.9M4,952,268—25400W102
SILICON MOTION TECHNOLOGY COSPONSORED ADR$36.3M108,922—82706C108
CLEARFIELD INCCOM$30.3M762,164—18482P103
MAXLINEAR INCCOM$25.7M200,778—57776J100
METHODE ELECTRS INCCOM$24.1M1,269,488—591520200
AMTECH SYS INCCOM PAR $0.01N$21.8M945,100—032332504
INTEL CORPCOM$21.2M151,508—458140100
DIGITAL TURBINE INCCOM NEW$20.6M1,596,182—25400W102
FENNEC PHARMACEUTICALS INCCOM$19.9M1,852,295—31447P100
KYVERNA THERAPEUTICS INCCOM$18.5M2,071,894—501976104
NYXOAH S ASHS$17.8M10,555,230—B6S7WD106
PERSONALIS INCCOM$17.4M1,298,075—71535D106
SOPHIA GENETICS SAORDINARY SHARES$16.6M2,880,304—H82027105
3D SYS CORP DELCOM NEW$16.6M5,483,948—88554D205
VUZIX CORPCOM NEW$14.8M5,100,254—92921W300
ABEONA THERAPEUTICS INCCOM NEW$14M2,259,900—00289Y206
ARDELYX INCCOM$12.4M2,422,069—039697107
SILICON MOTION TECHNOLOGY COSPONSORED ADR$11.7M35,078—82706C108
BIODESIX INCCOM$11.6M513,424—09075X207
SPRUCE BIOSCIENCES INCCOM NEW$10.2M188,842—85209E208
CASTLE BIOSCIENCES INCCOM$9.8M412,346—14843C105
CLEARFIELD INCCOM$9.8M246,305—18482P103
VANDA PHARMACEUTICALS INCCOM$9.4M1,544,056—921659108
METHODE ELECTRS INCCOM$7.8M408,921—591520200
AMTECH SYS INCCOM PAR $0.01N$7.1M306,900—032332504
PELTHOS THERAPEUTICS INCCOM SHS$7M248,424—171126204
DOMO INCCOM CL B$6.8M2,178,600Call257554105
FENNEC PHARMACEUTICALS INCCOM$6.8M633,743—31447P100
NYXOAH S ASHS$6.7M3,979,650—B6S7WD106
KYVERNA THERAPEUTICS INCCOM$6.4M723,903—501976104
SOPHIA GENETICS SAORDINARY SHARES$6.2M1,073,890—H82027105
PERSONALIS INCCOM$5.6M416,925—71535D106
VERASTEM INCCOM NEW$5.6M1,458,001—92337C203
3D SYS CORP DELCOM NEW$5.4M1,787,052—88554D205
POLYPID LTDCOM$4.8M948,964—M8001Q126
VUZIX CORPCOM NEW$4.8M1,645,413—92921W300
ABEONA THERAPEUTICS INCCOM NEW$4.5M727,100—00289Y206
BROADWIND INCCOM NEW$4.2M874,800—11161T207
AEYE INCCL A NEW$4.2M2,916,000—008183204
ARDELYX INCCOM$4M777,931—039697107
ORTHOPEDIATRICS CORPCOM$3.9M204,382—68752L100
APYX MEDICAL CORPORATIONCOM$3.8M853,470—03837C106
IDEAL PWR INCCOM NEW$3.8M706,649—451622203
ENERGOUS CORPCOM NEW$3.8M156,735—29272C301
BIODESIX INCCOM$3.7M164,904—09075X207
TIGO ENERGY INCCOM$3.5M1,506,497—88675P103
TALPHERA INCCOM NEW$3.5M3,397,489—00444T209
SPRUCE BIOSCIENCES INCCOM NEW$3.3M61,158—85209E208
CASTLE BIOSCIENCES INCCOM$3.2M132,755—14843C105
VANDA PHARMACEUTICALS INCCOM$3.1M500,113—921659108
NEURAXIS INCCOM$3M408,825—64134X201
RENOVORX INCCOM NEW$3M3,041,534—75989R107
RICHARDSON ELECTRS LTDCOM$2.9M151,387—763165107
POLYPID LTDCOM$2.8M555,777—M8001Q126
COYA THERAPEUTICS INCCOMMON STOCK$2.8M477,760—22407B108
IDENTIV INCCOM NEW$2.8M1,096,548—45170X205
PELTHOS THERAPEUTICS INCCOM SHS$2.3M80,674—171126204
ELUTIA INCCL A COM$1.9M1,981,136—05479K106
VERASTEM INCCOM NEW$1.8M468,999—92337C203
BROADWIND INCCOM NEW$1.4M281,200—11161T207
AEYE INCCL A NEW$1.4M939,000—008183204
RENOVORX INCCOM NEW$1.3M1,363,905—75989R107
ORTHOPEDIATRICS CORPCOM$1.3M65,383—68752L100
TALPHERA INCCOM NEW$1.2M1,204,013—00444T209
APYX MEDICAL CORPORATIONCOM$1.2M274,873—03837C106
TIGO ENERGY INCCOM$1.1M483,874—88675P103
IDEAL PWR INCCOM NEW$1M188,082—451622203
RICHARDSON ELECTRS LTDCOM$932.4K49,047—763165107
COYA THERAPEUTICS INCCOMMON STOCK$901.8K154,152—22407B108
IDENTIV INCCOM NEW$888.5K352,573—45170X205
NEURAXIS INCCOM$812.2K111,113—64134X201
APREA THERAPEUTICS INCCOM NEW$734.3K915,244—03836J201
ELUTIA INCCL A COM$699.9K714,508—05479K106
ENERGOUS CORPCOM NEW$607.6K25,265—29272C301
BIOFRONTERA INCCOM NEW$606.9K641,885—09077D209
QUOIN PHARMACEUTICALS LTDSPONSORED ADS$246.8K51,000—74907L409
BIOFRONTERA INCCOM NEW$92.7K98,025—09077D209
QUOIN PHARMACEUTICALS LTDSPONSORED ADS$92K19,000—74907L409
APREA THERAPEUTICS INCCOM NEW$80.5K100,297—03836J201
NN INCCOM$41.3K11,496—629337106
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-08-07

AIGH Capital Management LLC — 86 positions reported for 2026Q2 — investment.com