ARMISTICE CAPITAL, LLC Q2 2024 Filing

Filed August 14, 2024

Portfolio Value

$7.9B

Holdings

252

Report Date

Q2 2024

Filing Type

13F-HR

All Holdings (252 positions)

#StockSharesValue% PortfolioType
201
APVOAPTEVO THERAPEUTICS INC
749,234$229.3B2884.61%
202
MTBM & T BK CORP
1,512$228.9B2879.45%
203
DTEDTE ENERGY CO
2,009$223.0B2806.01%
204
CYCCEURCYCLACEL PHARMACEUTICALS INC
134,000$217.1B2731.29%
205
ANFABERCROMBIE & FITCH CO
1,213$215.7B2714.18%
206
DIGITAL BRANDS GROUP INC
147,000$215.4B2709.58%
207
ELANELANCO ANIMAL HEALTH INC
14,811$213.7B2689.05%
208
GENETIC TECHNOLOGIES LTD
140,000$210.0B2642.21%
209
SNGXSOLIGENIX INC
80,000$206.4B2596.91%
210
BPTHBIO-PATH HLDGS INC
97,000$194.0B2440.90%
211
HOTHHOTH THERAPEUTICS INC
213,000$193.7B2436.88%
212
FGIFGI INDUSTRIES LTD
933,333$176.2B2217.10%
213
CINGULATE INC
490,000$156.8B1972.85%
214
AZRXEURENTERO THERAPEUTICS INC
126,000$155.0B1950.11%
215
PAINREFORM LTD
276,000$132.5B1666.86%
216
HSDTEURHELIUS MED TECHNOLOGIES INC
130,000$127.4B1602.94%
217
PALIPALISADE BIO INC
27,858$125.4B1577.28%
218
GTGOODYEAR TIRE & RUBR CO
10,049$114.1B1435.05%
219
NXLIWNEXALIN TECHNOLOGY INC
325,000$110.5B1390.30%
220
BCTXWBRIACELL THERAPEUTICS CORP
375,000$100.8B1268.74%
221
ONFOWONFOLIO HOLDINGS INC
400,000$99.5B1252.15%
222
STKHSTEAKHOLDER FOODS LTD
26,821$98.8B1242.77%
223
HBMHUDBAY MINERALS INC
10,770$97.5B1226.35%
224
GRIGRI BIO INC
50,207$96.4B1212.86%
225
NAOVUSDNANOVIBRONIX INC
136,894$95.8B1205.68%
226
MTEKMARIS TECH LTD
1,261,058$94.6B1189.99%
227
STSSWSHARPS TECHNOLOGY INC
1,176,000$85.8B1080.13%
228
AVGREURAVINGER INC
43,747$81.4B1023.78%
229
SQFTWPRESIDIO PPTY TR INC
2,000,000$78.0B981.39%
230
MYSZMY SIZE INC
26,000$68.6B863.62%
231
DRMADERMATA THERAPEUTICS INC
28,000$66.9B841.98%
232
LCFYLOCAFY LIMITED
12,121$66.7B838.80%
233
BIAFWBIOAFFINITY TECHNOLOGIES INC
204,082$61.3B771.61%
234
NXTCNEXTCURE INC
36,000$57.2B720.19%
235
SALARIUS PHARMACEUTICALS INC
22,750$54.1B681.25%
236
SBEVWSPLASH BEVERAGE GROUP INC
904,000$51.7B650.60%
237
STAFQSTAFFING 360 SOLUTIONS INC
16,900$35.5B446.53%
238
MOBBWMOBILICOM LTD
242,100$31.5B395.99%
239
NLS PHARMACEUTICS LTD
500,000$17.3B217.04%
240
SWAGWSTRAN & COMPANY INC
545,000$16.4B205.71%
241
SVREWSAVERONE 2014 LTD
242,100$15.1B190.08%
242
RVSNRAIL VISION LTD
136,187$10.9B137.08%
243
TNONWTENON MEDICAL INC
178,000$8.9B111.75%
244
IVDAWIVEDA SOLUTIONS INC
145,000$6.5B82.10%
245
DFSCWKWESST MICRO SYSTEMS INC
120,000$3.2B40.01%
246
JFBRJEFFS BRANDS LTD
68,682$2.2B27.66%
247
ACONWACLARION INC
34,375$1.3B15.79%
248
KTTAWPASITHEA THERAPEUTICS CORP
50,000$995.0M12.52%
249
BNCWWCEA INDUSTRIES INC
58,333$875.0M11.01%
250
AREBWAMERICAN REBEL HOLDINGS INC
19,278$276.0M3.47%
251
CINGWCINGULATE INC
20,500$221.0M2.78%
252
AGRIFORCE GROWING SYSTEMS LT
12,000$119.0M1.50%
PreviousPage 3 of 3