13FBOX
Archon Capital Management LLC · 13F Holdings
Options Calculator Rankings

Archon Capital Management LLC

No.6421 Data as of 2026Q2
Latest AUM (Q2 2026)
$246.3M
QoQ Change Q1 2026
+$69.1M+39.0%
Holdings
43
New Buys
11
Adds
15
Reduces
10
Exits
13
Unchanged
7
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
BBANDWIDTH INC COM CL ABAND
8%5.86%$19.7M311,443$10.4M583,122-271,679-46.59%Reduce
OOMADA HEALTH INC COMOMDA
7.05%5.14%$17.4M790,994$9.1M725,120+65,874+9.08%Add
TTERADATA CORP DELTDC
6.49%5.01%$16.0M461,232$8.9M346,232+115,000+33.21%Add
SAVERS VALUE VLG INCSVV
6.19%5.45%$15.3M1.5M$9.7M1.3M+214,287+16.52%Add
SSTITCH FIX INC COM CL ASFIX
5.02%4.67%$12.4M3.0M$8.3M2.5M+510,785+20.44%Add
AAPYX MEDICAL CORPORATIONAPYX
4.82%5.81%$11.9M2.6M$10.3M2.8M-146,206-5.24%Reduce
BBRAZE INCBRZE
4.67%5.37%$11.5M529,747$9.5M402,747+127,000+31.53%Add
TTARGET HOSPITALITY CORPTH
3.82%2.29%$9.4M462,422$4.1M437,885+24,537+5.60%Add
OOceaneering Intl Inc ComOII
3.42%4.16%$8.4M208,000$7.4M208,00000.00%Unchanged
SATELLOGIC INC CLASS ASATL
3.37%5.06%$8.3M1.4M$9.0M1.6M-198,000-12.02%Reduce
Nice Ltd ADRNICE
3.02%$7.4M82,000$00+82,000New Buy
EL POLLO LOCO HLDGS INC COMLOCO
2.9%0.9%$7.1M420,690$1.6M114,502+306,188+267.41%Add
TTHREDUP INCTDUP
2.86%2.29%$7.0M1.0M$4.1M1.2M-210,000-16.96%Reduce
COGNYTE SOFTWARE LTDCGNT
2.85%1.41%$7.0M800,007$2.5M309,171+490,836+158.76%Add
LLSI INDS INC OHIOLYTS
2.84%2.77%$7.0M263,480$4.9M263,48000.00%Unchanged
QQ2 HLDGS INCQTWO
2.84%$7.0M145,249$00+145,249New Buy
STARBUCKS CORPSBUX
2.53%$6.2M61,000$00+61,000New Buy
OORION GROUP HLDGS INC COMORN
2.42%1.96%$6.0M353,980$3.5M318,980+35,000+10.97%Add
MATERIALISE NV-ADRMTLS
2.31%2.07%$5.7M766,622$3.7M742,722+23,900+3.22%Add
33D SYS CORP DELDDD
2.14%0.58%$5.3M1.7M$1.0M546,221+1.2M+219.69%Add
REVOLVE GROUP INCRVLV
2.09%$5.2M225,000$00+225,000New Buy
SSOPHIA GENETICS SA FSOPH
1.62%1.23%$4.0M691,413$2.2M441,413+250,000+56.64%Add
ZOOM COMMUNICATIONS INCZM
1.58%0.77%$3.9M45,000$1.4M17,000+28,000+164.71%Add
BBOBS DISC FURNITURE INCBOBS
1.49%$3.7M232,257$00+232,257New Buy
TWIN DISC INC COMTWIN
1.39%0.16%$3.4M147,660$285,26018,929+128,731+680.07%Add
BBENCHMARK ELECTRS INCBHE
1.38%$3.4M34,332$00+34,332New Buy
OORASURE TECHNOLOGIES INCOSUR
1.35%1.27%$3.3M747,909$2.2M747,90900.00%Unchanged
OOPTEX SYS HLDGS INCOPXS
1.12%1.46%$2.8M196,124$2.6M195,586+538+0.28%Add
THE REALREAL INCREAL
1.1%1.69%$2.7M229,075$3.0M329,075-100,000-30.39%Reduce
KKORU MEDICAL SYSTEMS INCKRMD
1.1%1.57%$2.7M642,923$2.8M642,92300.00%Unchanged
SSPORTSMANS WHSE HLDGS INC COMSPWH
0.87%1.33%$2.1M1.6M$2.4M1.7M-60,000-3.60%Reduce
SSTEREOTAXIS INCSTXS
0.86%1.27%$2.1M1.2M$2.3M1.2M00.00%Unchanged
CORE LABORATORIES INCCLB
0.85%$2.1M178,700$00+178,700New Buy
CCODA OCTOPUS GROUP INCCODA
0.56%0.89%$1.4M140,000$1.6M140,00000.00%Unchanged
MMERCURY SYS INCMRCY
0.54%3.94%$1.3M10,901$7.0M95,814-84,913-88.62%Reduce
NNCR VOYIX CORPORATIONVYX
0.5%$1.2M149,922$00+149,922New Buy
MITEK SYS INCMITK
0.48%2.98%$1.2M59,134$5.3M390,785-331,651-84.87%Reduce
MMATRIX SVC CO COMMTRX
0.39%$959,00070,000$00+70,000New Buy
MM-TRON INDS INC COMMPTI
0.36%2.95%$885,7078,933$5.2M78,233-69,300-88.58%Reduce
BBETA BIONICS INCBBNX
0.34%$844,19053,873$00+53,873New Buy
SSPRINKLR INC CLASS ACXM
0.26%0.93%$646,404125,272$1.7M275,272-150,000-54.49%Reduce
VVIRTRA INCVTSI
0.16%0.26%$387,052123,265$457,313123,26500.00%Unchanged
1STDIBS COM INC COMDIBS
0.06%$154,47331,525$00+31,525New Buy

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow