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Reported Holdings Of The
EAM Investors LLC

Legal Name: EAM INVESTORS, LLC

Period of report: Jun 30, 2019
Effectiveness Date: Aug 14, 2019

Security Shares Held / Principal Amount Market Value Option
Digital Turbine, Inc. (25400W102) 1,034,445 $5,172k
Napco Sec Technologies, Inc. (630402105) 169,728 $5,038k
Veracyte Inc (92337F107) 154,781 $4,413k
BIODELIVERY SCI INTL (09060J106) 838,260 $3,898k
AXSOME THERAPEUTICS INC (05464T104) 148,471 $3,823k
ZIX CORP (98974P100) 413,507 $3,759k
TANDEM DIABETES CARE (875372203) 57,227 $3,692k
ARQULE INC (04269E107) 334,433 $3,682k
NEOGENOMICS INC (64049M209) 165,058 $3,621k
TELARIA INC COM (879181105) 473,933 $3,564k
GREAT LAKES DREDGE & DOCK CO (390607109) 318,716 $3,519k
ENPHASE ENERGY INC COM USD0.00001 (29355A107) 191,477 $3,491k
NMI HLDGS INC (629209305) 121,198 $3,441k
AXONICS MODULATION TECH INC (05465P101) 83,285 $3,412k
RUBICON PROJECT INC/THE (78112V102) 525,944 $3,345k
Everi Holdings Inc (30034T103) 279,728 $3,337k
KRYSTAL BIOTECH INC (501147102) 81,447 $3,280k
PAYSIGN INC (70451A104) 244,160 $3,264k
GOOSEHEAD INS INC COM CL A (38267D109) 66,751 $3,191k
FRESHPET INC COM (358039105) 69,684 $3,171k
SIMPLY GOOD FOODS CO/THE (82900L102) 130,900 $3,152k
NanoString Technologies Inc (63009R109) 98,342 $2,985k
CASELLA WASTE SYSTEMS INC-A (147448104) 75,226 $2,981k
LOVESAC COMPANY COM (54738L109) 94,171 $2,926k
RENT A CTR INC NEW (76009N100) 106,882 $2,846k
Perficient, Inc. (71375U101) 82,425 $2,829k
NEXPOINT RESIDENTIAL (65341D102) 66,985 $2,773k
ADVERUM BIOTECHNOLOGIES INC (00773U108) 232,043 $2,759k
FLUIDIGM CORP (34385P108) 221,082 $2,724k
Upland Software Inc. (91544A109) 59,315 $2,701k
JOINT CORP (47973J102) 148,304 $2,699k
LATTICE SEMICONDUCTOR CORP (518415104) 178,713 $2,607k
BIOHAVEN PHARMACTL HLDG CO L (G11196105) 59,383 $2,600k
CRYOPORT INC (229050307) 141,088 $2,585k
RA PHARMACEUTICALS (74933V108) 83,611 $2,514k
ORTHOPEDIATRICS CORP (68752L100) 64,414 $2,512k
CORINDUS VASCULAR ROBOTICS I (218730109) 806,746 $2,404k
PAR TECHNOLOGY CORP (698884103) 85,028 $2,398k
CONFORMIS INC COM (20717E101) 547,544 $2,387k
Clarus Corp (18270P109) 157,227 $2,270k
EIDOS THERAPEUTICS INC (28249H104) 71,461 $2,221k
AGILYSYS INC (00847J105) 102,728 $2,206k
ROSETTA STONE INC (777780107) 94,183 $2,155k
DHI Group Inc (23331S100) 603,248 $2,154k
MISONIX INC (604871103) 84,380 $2,145k
TELENAV INC (879455103) 264,585 $2,117k
AVID TECHNOLOGY INC (05367P100) 232,061 $2,116k
ICAD INC (44934S206) 329,800 $2,101k
AVEDRO INC COM (05355N109) 106,706 $2,096k
ZYNGA INC - CL A (98986T108) 323,234 $1,981k
Alphatec (02081G201) 427,659 $1,942k
ARROWHEAD PHARMACEUT (04280A100) 72,636 $1,925k
CAREDX INC COM (14167L103) 52,504 $1,890k
Iovance Biotherapeutics Inc (462260100) 76,739 $1,882k
NORTHWEST PIPE CO (667746101) 72,715 $1,875k
PHASEBIO PHARMACEUTICALS INC (717224109) 140,850 $1,848k
CENTURY CASINOS INC (156492100) 186,674 $1,811k
Kratos Defense & Security Solu (50077B207) 78,886 $1,806k
RADIANT LOGISTICS INC (75025X100) 292,692 $1,797k
ACM RESEARCH INC (00108J109) 111,576 $1,742k
AMERICOLD RLTY TR (03064D108) 52,315 $1,696k
YETI HLDGS INC COM (98585X104) 58,285 $1,687k
DSP GROUP INC (23332B106) 116,624 $1,675k
Zynex Inc (98986M103) 184,301 $1,657k
INSEEGO CORP (45782B104) 341,251 $1,635k
SUNPOWER CORP (867652406) 144,253 $1,542k
R1 RCM INC COM (749397105) 121,581 $1,529k
AIRGAIN INC (00938A104) 107,789 $1,525k
HORIZON THERAPEUTICS PLC (G46188101) 63,088 $1,518k
MERITOR INC (59001K100) 62,425 $1,514k
LANTHEUS HLDGS INC (516544103) 52,922 $1,498k
LINDBLAD EXPEDITIONS HOLDING (535219109) 83,059 $1,491k
THE WENDY'S COMPANY (95058W100) 74,697 $1,463k
COHERUS BIOSCIENCES INC (19249H103) 66,041 $1,460k
MARCHEX INC (56624R108) 306,826 $1,442k
SONIM TECHNOLOGIES INC (83548F101) 113,188 $1,441k
CAREER EDUCATION CORP (141665109) 75,571 $1,441k
Fate Therapeutics Inc (31189P102) 70,799 $1,437k
VICTORY CAP HLDGS INC (92645B103) 83,608 $1,436k
SVMK INC (78489x103) 81,209 $1,341k
CARETRUST REIT INC (14174T107) 54,859 $1,305k
ESSENTIAL PROPERTIES REALTY (29670E107) 61,951 $1,241k
VIVINT SOLAR INC (92854Q106) 162,699 $1,188k
Model N, Inc. (607525102) 60,171 $1,173k
Codexis Inc (192005106) 61,941 $1,142k
DHT Holdings Inc (Y2065G121) 186,724 $1,104k
MOBILEIRON INC (60739U204) 176,742 $1,096k
DENNYS CORP (24869P104) 53,090 $1,090k
1 800 FLOWERS COM INC CL A (68243Q106) 57,399 $1,084k
HyreCar Inc. (44916T107) 255,017 $1,071k
VIAVI SOLUTIONS INC COM (925550105) 79,756 $1,060k
VERRA MOBILITY CORP (92511U102) 79,955 $1,047k
ORION ENERGY SYSTEMS INC (686275108) 327,813 $974k
ADESTO TECHNOLOGIES CORP COM (00687D101) 117,586 $958k
GLOBALSCAPE INC (37940G109) 93,572 $956k
CLEAN ENERGY FUELS CORP (184499101) 352,581 $941k
LiqTech International, Inc (53632A201) 90,459 $896k
CECO ENVIRONMENTAL CORP (125141101) 92,351 $886k
HALLMARK FINL SVCS INC ECCOM N (40624Q203) 61,378 $873k
Coda Octopus Group Inc. (19188U206) 66,235 $864k
GLOBAL MED REIT INC (37954A204) 81,738 $858k
Harrow Health Inc (415858109) 98,269 $855k
ASPEN AEROGELS INC (04523Y105) 113,157 $807k
RED VIOLET INC (75704L104) 61,858 $767k
SMITH MICRO SOFTWARE INC (832154207) 252,161 $767k
StarTek, Inc. (85569C107) 93,827 $767k
MEDALLION FINANCIAL CORP (583928106) 113,634 $766k
SILVERCREST METALS INC COM NPV ISIN #CA8283631015 SEDOL #BYVY3D2 (828363101) 192,309 $762k
GSI TECHNOLOGY (36241U106) 87,319 $748k
DYADIC INTERNATIONAL INC (26745T101) 116,797 $731k
Payment Data Systems, Inc. (70438S202) 207,921 $719k
PROVENTION BIO INC (74374N102) 58,693 $710k
Veritone, Inc. (92347M100) 84,275 $705k
PFENEX INC (717071104) 102,061 $688k
INTELLICHECK INC (45817G201) 118,599 $687k
LUNA INNOVATIONS (550351100) 152,389 $686k
QUMU CORPORATION (749063103) 159,088 $660k
CHARLES & COLVARD LTD (159765106) 391,102 $618k
CERECOR INC (15671L109) 111,299 $605k
Enzo Biochem Inc. (294100102) 178,939 $603k
AKOUSTIS TECHNOLOGIES INC (00973N102) 84,653 $542k
IEC ELECTRONICS CORP (44949L105) 82,281 $517k
AVENUE THERAPEUTICS INC (05360L205) 75,303 $474k
Xbiotech Inc (98400H102) 61,327 $465k

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