StockDuty ← Dashboard Aug 18, 2026 08:07 PM ET
SignalCorporate

📊 Cannell 13F — CANNELL CAPITAL LLC: $149M portfolio, 36 positions (Q2 2026)

1. ASIC — $12M (7.9%) 2. SNDL — $12M (7.8%) 3. NOA — $10M (7.0%) 4. CHEGG INC — $8M (5.2%) 5. LIFE — $7M (5.0%) 6. MDXG — $7M (4.8%) 7. OWLT — $7M (4.8%) 8. GBLI — $6M (4.3%) 9. OSUR — $6M (4.3%) 10. GOLD — $6M (4.3%) 11. ETON — $6M (4.1%) 12. NPKI — $6M (3.8%) 13. VTS — $6M (3.8%) 14. RXT — $6M (3.8%) 15. NGS — $5M (3.5%) 16. VRCA — $5M (3.2%) 17. SHIM — $4M (2.9%) 18. SJT — $4M (2.6%) 19. PCYO — $3M (2.3%) 20. BBW — $3M (2.1%) … (+16 more)
1. ASIC — $12M (7.9%)
Sources