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Solas Capital Management, LLC

Q2 2026 13F filing

Updated 30 days ago

21 disclosed positions worth $186.6M

Portfolio value
$186.6M
Total holdings
21
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-14

Full holdings

Every line item disclosed in Q2 2026

F

FENNEC PHARMACEUTICALS INC

Value
$20.3M
Shares
1.89M
% Port
10.88%
E

EPSILON ENERGY LTD

Value
$18.8M
Shares
3.47M
% Port
10.06%
A

ALPHA COGNITION INC

Value
$13.9M
Shares
1.92M
% Port
7.45%
S

SONIDA SENIOR LIVING INC

Value
$13.8M
Shares
337.7K
% Port
7.38%
?
5.N/A

LEE ENTERPRISES INC

Value
$13.7M
Shares
1.55M
% Port
7.36%
N
6.NSP

INSPERITY INC

Value
$11.6M
Shares
281.9K
% Port
6.24%
G
7.GO

GROCERY OUTLET HLDG CORP

Value
$11.4M
Shares
1.14M
% Port
6.09%
A

ADVANSIX INC

Value
$11.4M
Shares
571.3K
% Port
6.09%
A
9.AAP

ADVANCE AUTO PARTS INC

Value
$10.5M
Shares
169.2K
% Port
5.64%
K
10.KD

KYNDRYL HLDGS INC

Value
$10.4M
Shares
915.4K
% Port
5.55%
M
11.MOH

MOLINA HEALTHCARE INC

Value
$9.2M
Shares
40.2K
% Port
4.93%
E
12.ETSY

EURONET WORLDWIDE INC

Value
$9.1M
Shares
125.0K
% Port
4.90%
S
13.SNWV

SANUWAVE HEALTH INC

Value
$6.1M
Shares
611.0K
% Port
3.27%
S
14.SEG

SEAPORT ENTMT GROUP INC

Value
$5.7M
Shares
212.9K
% Port
3.03%
B
15.BUR

BURFORD CAPITAL LIMITED

Value
$5M
Shares
1.21M
% Port
2.66%
M
16.MGM

MAIA BIOTECHNOLOGY INC

Value
$4.4M
Shares
3.03M
% Port
2.34%
N
17.NVRI

ENVIRI CORP

Value
$4M
Shares
183.3K
% Port
2.16%
?
18.N/A

LUXEXPERIENCE BV

Value
$2.6M
Shares
344.5K
% Port
1.37%
A
19.ALIT

ALIGHT INC

Value
$2.4M
Shares
4.25M
% Port
1.28%
M
20.MODD

MODULAR MED INC

Value
$2M
Shares
438.1K
% Port
1.06%
H
21.HAIN

HAIN CELESTIAL GROUP INC

Value
$480K
Shares
856.1K
% Port
0.26%