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BRC Group Holdings, Inc. (RILY, RILYG, RILYL, RILYN, RILYP, RILYT, RILYZ)

Q3 2025 · 13F-HR

BRC Group Holdings, Inc. (RILY, RILYG, RILYL, RILYN, RILYP, RILYT, RILYZ)holdings as filed

Filed 2026-02-03 · accession 0001213900-26-011557

$147.9M
Reported value
25
Positions
2025-09-30
Period end
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The Brief · BRC Group Holdings, Inc. (RILY, RILYG, RILYL, RILYN, RILYP, RILYT, RILYZ) · Q3 2025

AI · grounded in 13F

BRC Group Holdings, Inc. established a new position in Babcock & Wilcox Enterprises, Inc. BW valued at $79.6M. The fund also initiated stakes in DoubleDown Interactive Co., Ltd DDI for $32.2M and Applied Digital Corporation AMAT for $11.4M. Other new additions include Sequans Communications S.A. SQNS and Transact Technologies Incorporated.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
05614L209BWBABCOCK & WILCOX ENTERPRISES, INC$79.6M53.8%27,446,522CommonSOLE
25862B109DDIDOUBLEDOWN INTERACTIVE CO., LTD$32.2M21.8%3,450,503CommonSOLE
038222105AMATAPPLIED DIGITAL CORPORATION$11.4M7.68%495,000CommonSOLE
817323306SQNSSEQUANS COMMUNICATIONS S.A.$7.6M5.12%800,692CommonSOLE
892918953TRANSACT TECHNOLOGIES INCORPORATED$3.1M2.11%575,009CommonSOLE
68236X100TOITHE ONCOLOGY INSTITUTE, INC$2.8M1.92%811,546CommonSOLE
87157B400SNCRSYNCHRONOSS TECHNOLOGIES, INC$2.5M1.68%409,196CommonSOLE
092915907BZAIBLAIZE HOLDINGS, INC$2.4M1.65%708,854CommonSOLE
46438F101IBITISHARES BITCOIN TRUST ETF$1.5M1.03%23,500CommonSOLE
G7633M104DRDBROMAN DBDR ACQUISITION CORP II$1.3M0.86%605,913CommonSOLE
92835K103VPGVISHAY PRECISION GROUP, INC$544,8500.37%17,000CommonSOLE
74874Q100QNSTQUINSTREET, INC$429,7570.29%27,780CommonSOLE
29415C119EOSEWEOS ENERGY ENTERPRISES, INC$397,1880.27%224,400CommonSOLE
45245E109IMAXIMAX CORPORATION$356,5490.24%10,887CommonSOLE
98400V101XBPXBP GLOBAL HOLDINGS, INC$343,9850.23%426,252CommonSOLE
68373M107OPRAOPERA LIMITED$340,2300.23%16,484CommonSOLE
M7S64L107PGYWWPAGAYA TECHNOLOGIES LTD$326,5900.22%11,000CommonSOLE
G6791A126OTGAUOTG ACQUISITION CORP. I$231,6100.16%115,000CommonSOLE
83617A108SPMCSTARDUST POWER INC$147,2820.10%47,510CommonSOLE
36170N107GCTSGCT SEMICONDUCTOR HOLDING, INC$86,3630.06%56,818CommonSOLE
G1144A105BTBTBIT DIGITAL, INC$75,0000.05%25,000CommonSOLE
08862EAB5BYND 0 03/15/27BEYOND MEAT, INC BOND ZERO CPN 03/15/2027$59,2500.04%300,000CommonSOLE
612160101AIRJAIRJOULE TECHNOLOGIES CORPORATION$58,9390.04%12,567CommonSOLE
02369M102RMCOROYALTY MANAGEMENT HOLDING CORPORATION$42,4000.03%20,000CommonSOLE
282914AE0EGHT 4 02/01/288X8, INC$18,9530.01%22,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.