Knoll Capital Management, LLC originally filed its 13F report for Q2 2026 on August 14, 2026. The filing was subsequently amended, with the latest update submitted on September 10, 2026. The portfolio totaled 179.31 M reflecting a -0.48% change from the prior quarter, spanning 37 assets. The top 10 holdings comprised 61.7% of the portfolio, with Financials as the largest sector allocation. Quarterly activity included 1 new positions and 1 complete exits.
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Yes. Knoll Capital Management originally filed on 08/14/2026 and subsequently submitted 1 amendment(s). The latest filing (13F-HR/A) was submitted on 09/10/2026.
In the Q2 2026 filing, Knoll Capital Management reported a managed portfolio value of 214.31 M, consisting of 37 individual positions.
Multiple filings indicate that Knoll Capital Management updated their Q2 2026 report. The initial filing was submitted on 08/14/2026, followed by amendments to correct data or disclose previously confidential holdings.
This page displays the raw filing documents. To see which stocks Knoll Capital Management bought or sold during Q2 2026, please visit Knoll Capital Management's Portfolio Analysis page.