13F Filings for Mink Brook Asset Management LLC (CIK: 2052205)
View the most recent portfolio holdings disclosed by Mink Brook Asset Management LLC in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
BSVN - BANK7 CORP(Class: COMM) | 419.58K | $16.25M | - | Decreased | 6.14K (1.0%, $3.61M) |
ACU - ACME UNITED CORP(Class: COMM) | 320.34K | $12.69M | - | Increased | 58.73K (22.0%, $2.92M) |
ACNT - ASCENT INDUSTRIES CO(Class: COMM) | 1M | $12.67M | - | Increased | 4.12K (0.0%, $1.53M) |
N/A - CURRENCY EXCHANGE INTERNATIO(Class: COMM) | 567.73K | $8.21M | - | Increased | 51.71K (10.0%, $245.50K) |
ELA - ENVELA CORPORATION(Class: COMM) | 1.30M | $8.10M | - | Increased | 156.75K (13.0%, $109.05K) |
DLHC - DLH HOLDINGS CORP(Class: COMM) | 1.44M | $5.83M | - | Increased | 69.72K (5.0%, $5.17M) |
SRBK - SR BANCORP INC(Class: COMM) | 362.95K | $4.33M | - | Increased | 78.81K (27.0%, $945.90K) |
HGBL - HERITAGE GLOBAL INC(Class: COMM) | 1.87M | $4.07M | - | Unchanged | |
ALOT - ASTRO-MED INC(Class: COMM) | 375.41K | $3.45M | - | Increased | 150 (0.0%, $1.06M) |
HSON - HUDSON GLOBAL INC(Class: COMM) | 265.26K | $2.83M | - | Increased | 4.21K (1.0%, $576.32K) |
FRD - FRIEDMAN INDUSTRIES(Class: COMM) | 189.62K | $2.82M | - | Increased | 952 (0.0%, $61.29K) |
N/A - BBX CAPITAL INC(Class: COMM) | 393.30K | $2.49M | - | Unchanged | |
ETON - ETON PHARMACEUTICALS INC(Class: COMM) | 141.49K | $1.84M | - | Decreased | 314.32K (68.0%, $4.23M) |
HLLY - HOLLEY INC(Class: WRNT) | 551.74K | $1.42M | - | Unchanged | |
CRAWA - CRAWFORD UNITED CORPORATION(Class: COMM) | 28.85K | $1.40M | - | Increased | 4.80K (19.0%, $395.23K) |
NAII - NATURAL ALTERNATIVES INTL(Class: COMM) | 294.92K | $1.01M | - | Decreased | 5.08K (1.0%, $278.49K) |
FTLF - FITLIFE BRANDS INC(Class: COMM) | 76.77K | $928.87K | - | New | 76.77K ($928.87K) |
ELVA - ELECTROVAYA INC(Class: COMM) | 378.39K | $874.08K | - | Increased | 28.93K (8.0%, $7.43K) |
IRD - OPUS GENETICS INC(Class: COMM) | 810.08K | $795.34K | - | New | 810.08K ($795.34K) |
DWSN - DAWSON GEOPHYSICAL CO(Class: COMM) | 540.42K | $664.71K | - | Unchanged | |
KVHI - KVH INDUSTRIES INC(Class: COMM) | 83.30K | $440.66K | - | New | 83.30K ($440.66K) |
TELA - TELA BIO INC(Class: COMM) | 357.09K | $435.65K | - | Unchanged | |
CDXS - CODEXIS INC(Class: COMM) | 126.64K | $340.67K | - | New | 126.64K ($340.67K) |
ENZ - ENZO BIOCHEM INC(Class: COMM) | 807.90K | $298.92K | - | Unchanged | |
SALM - SALEM MEDIA GROUP INC-CL A(Class: COMM) | 527K | $279.31K | - | Unchanged |