81 /100
LOW RISK
Score updated Feb 26, 2026
EVI
EVI Industries, Inc.

DilutionScore™ measures dilution risk across 5 factors. Lower scores indicate higher risk of share dilution.

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📊 Score Breakdown
📋 Offering Ability
80
💰 Cash Runway
90
📊 Float Risk
55
⚠️ Warrant Exposure
85
🔄Convertible Debt
💹 Market Data
Market Cap$294.31M
Shares Outstanding12.86M
Float5.21M
Cash$4.25M
Debt$71.22M
Short InterestN/A
🏛 Institutional Holdings
67 institutional holders · 5.69M shares
#1 Gemmer Asset Management LLC 1.02M shares
#2 ROYCE & ASSOCIATES LP 808.1K shares
#3 Conestoga Capital Advisors, LLC 806.7K shares
+ 17 more holders Sign up free to view →
📉 Short Interest
Short Interest80.9K
Days to Cover5.1
% of Float1.6%
FINRA data as of Jan 15, 2026
📁 Recent SEC Activity
No recent SEC insights
📰 Recent News
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