AIGH Capital Management LLC — 13F Holdings & Portfolio

CIK 1835943 · latest 13F-HR filed 2026-04-30

AIGH Capital Management LLC manages $733.2M in 13F-reported U.S. long-equity assets across 85 reported positions as of its 2026-03-31 13F-HR filing. Its largest disclosed positions are IWM (14.79%), SNDK (12.61%), ZM (5.60%). Quarter over quarter (versus its 2025-12-31 filing) the fund opened 15 new positions, exited 6, added to 13, and trimmed 10.

AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.

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AUM

$733.2M

Long-equity book

Holdings

85

Distinct positions

Period

2026-03-31

Filed 2026-04-30

Q/Q Activity

+15 / −6 / ↑13 / ↓10

vs 2025-12-31

Firm Profile & Key People
Name Title / Status Ownership Type

Top Adds (vs prior quarter)

  • SANDISK CORP$60.6M +91.2%
  • LARIMAR THERAPEUTICS INC$5.9M +77.2%
  • ABEONA THERAPEUTICS INC$3.3M +31.8%
  • KYVERNA THERAPEUTICS INC$3.2M +22.4%
  • INTELLICHECK MOBILISA INC$2.5M +30.8%
Show all 13

Top Trims

  • BK TECHNOLOGIES CORPORATION-$13.3M -84.6%
  • LIGHTPATH TECHNOLOGIES INC-$10.1M -91.0%
  • CASTLE BIOSCIENCES INC-$9.8M -40.3%
  • PERSONALIS INC-$4.6M -20.0%
  • NLIGHT INC-$3.1M -13.9%
Show all 10

New Positions

  • TIGO ENERGY INC$27.4M
  • SILICON MOTION TECHNOLOGY CO$22.5M
  • ZEBRA TECHNOLOGIES CORPORATI$20.9M
  • GENERAC HLDGS INC$17.6M
  • DIGITAL TURBINE INC$14.1M
Show all 15

Exited Positions

  • DAY ONE BIOPHARMACEUTICALS$18.6M
  • DOMO INC$15.5M
  • ARQ INC$7.4M
  • ARDELYX INC$6.7M
  • BYRNA TECHNOLOGIES INC$6.6M
Show all 6
All Holdings

Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).

# Issuer Symbol CUSIP Value Weight Shares Type
1 ISHARES TR Put IWM 464287655 $108.5M 14.79% 437,400 SH
2 SANDISK CORP SNDK 80004C200 $92.5M 12.61% 145,520 SH
3 ZOOM COMMUNICATIONS INC Call ZM 98980L101 $41.0M 5.60% 510,400 SH
4 ISHARES TR Put IWM 464287655 $40.3M 5.50% 162,600 SH
5 SANDISK CORP SNDK 80004C200 $34.6M 4.72% 54,480 SH
6 SELECT SECTOR SPDR TR Put XLK 81369Y803 $29.1M 3.96% 218,700 SH
7 TIGO ENERGY INC TYGO 88675P103 $20.0M 2.72% 5,307,363 SH
8 SILICON MOTION TECHNOLOGY CO SIMO 82706C108 $16.4M 2.23% 145,800 SH
9 ZOOM COMMUNICATIONS INC Call ZM 98980L101 $15.2M 2.08% 189,600 SH
10 ZEBRA TECHNOLOGIES CORPORATI ZBRA 989207105 $15.2M 2.08% 72,900 SH
11 NLIGHT INC LASR 65487K100 $14.1M 1.92% 247,438 SH
12 VANDA PHARMACEUTICALS INC VNDA 921659108 $13.8M 1.89% 2,002,014 SH
13 PERSONALIS INC PSNL 71535D106 $13.5M 1.84% 2,114,209 SH
14 GENERAC HLDGS INC GNRC 368736104 $12.8M 1.75% 65,611 SH
15 KYVERNA THERAPEUTICS INC KYTX 501976104 $12.6M 1.72% 1,458,002 SH
16 SELECT SECTOR SPDR TR Put XLK 81369Y803 $10.8M 1.47% 81,300 SH
17 CASTLE BIOSCIENCES INC CSTL 14843C105 $10.6M 1.44% 430,571 SH
18 DIGITAL TURBINE INC APPS 25400W102 $10.3M 1.40% 3,569,021 SH
19 REGAL REXNORD CORPORATION RRX 758750103 $10.2M 1.40% 54,675 SH
20 ABEONA THERAPEUTICS INC ABEO 00289Y206 $10.1M 1.38% 2,259,900 SH
21 LARIMAR THERAPEUTICS INC LRMR 517125100 $9.8M 1.34% 2,183,795 SH
22 FENNEC PHARMACEUTICALS INC FENC 31447P100 $8.9M 1.22% 1,451,513 SH
23 ESPERION THERAPEUTICS INC NE ESPR 29664W105 $8.8M 1.20% 3,207,734 SH
24 ZEVRA THERAPEUTICS INC ZVRA 488445206 $8.2M 1.11% 874,801 SH
25 BIODESIX INC BDSX 09075X207 $8.0M 1.09% 552,726 SH
26 INTELLICHECK MOBILISA INC IDN 45817G201 $7.7M 1.05% 1,106,082 SH
27 VERASTEM INC VSTM 92337C203 $7.7M 1.05% 1,458,001 SH
28 TIGO ENERGY INC TYGO 88675P103 $7.4M 1.01% 1,972,949 SH
29 PROTARA THERAPEUTICS INC TARA 74365U107 $6.2M 0.84% 1,182,973 SH
30 SILICON MOTION TECHNOLOGY CO SIMO 82706C108 $6.1M 0.83% 54,200 SH
31 ZEBRA TECHNOLOGIES CORPORATI ZBRA 989207105 $5.7M 0.77% 27,100 SH
32 VUZIX CORP VUZI 92921W300 $5.6M 0.76% 2,402,609 SH
33 NLIGHT INC LASR 65487K100 $5.3M 0.72% 92,562 SH
34 VANDA PHARMACEUTICALS INC VNDA 921659108 $5.2M 0.70% 747,986 SH
35 PERSONALIS INC PSNL 71535D106 $5.0M 0.68% 785,791 SH
36 GENERAC HLDGS INC GNRC 368736104 $4.8M 0.65% 24,389 SH
37 KYVERNA THERAPEUTICS INC KYTX 501976104 $4.7M 0.64% 541,998 SH
38 POLYPID LTD PYPD M8001Q126 $4.4M 0.61% 1,013,752 SH
39 CASTLE BIOSCIENCES INC CSTL 14843C105 $3.9M 0.54% 160,030 SH
40 DIGITAL TURBINE INC APPS 25400W102 $3.8M 0.52% 1,326,751 SH
41 REGAL REXNORD CORPORATION RRX 758750103 $3.8M 0.52% 20,325 SH
42 ABEONA THERAPEUTICS INC ABEO 00289Y206 $3.8M 0.51% 840,100 SH
43 LARIMAR THERAPEUTICS INC LRMR 517125100 $3.7M 0.50% 816,205 SH
44 ESPERION THERAPEUTICS INC NE ESPR 29664W105 $3.3M 0.45% 1,192,266 SH
45 FENNEC PHARMACEUTICALS INC FENC 31447P100 $3.3M 0.44% 529,988 SH
46 ZEVRA THERAPEUTICS INC ZVRA 488445206 $3.0M 0.41% 325,199 SH
47 RENOVORX INC RNXT 75989R107 $3.0M 0.41% 3,041,534 SH
48 BIODESIX INC BDSX 09075X207 $3.0M 0.41% 205,602 SH
49 APYX MEDICAL CORPORATION APYX 03837C106 $3.0M 0.41% 805,524 SH
50 INTELLICHECK MOBILISA INC IDN 45817G201 $2.9M 0.39% 411,167 SH
Filing History
Period Filed AUM Holdings Accession
2026-03-31 2026-04-30 $733.2M 85 0001214659-26-005295
2025-12-31 2026-02-02 $413.1M 68 0001214659-26-001042