📊 Score Breakdown
Offering Ability
40
Cash Runway
65
Float Risk
27
Warrant Exposure
90
Convertible Debt—
🌦️ Dilution Forecast
⛈️
Warning
High probability of dilution event
45%
📜 Warrant Exercise
60%
• Massive warrant overhang: 100% of shares outstanding
• Warrant risk score very high (90/100)
📉 Score Deterioration
40%
• Score rose 37 points recently (worsening)
💰 Capital Raise
15%
• Under 12 months cash (11mo)
💹 Market Data
Market Cap$157.09M
Shares Outstanding11.50M
Float9.74M
Cash$378.8K
DebtN/A
Short InterestN/A
🏛 Institutional Holdings
QoQ: ↑ 31.1% shares (2025Q4 vs prior)
40 institutional holders · 11.16M shares
#1
Polar Asset Management Partners Inc.
1.05M shares
#2
Glazer Capital, LLC
915.1K shares
#3
Linden Advisors LP
850.0K shares
+ 17 more holders Sign up free to view →
📉 Short Interest
Short Interest3.4K
Days to Cover1.0
% of Float0.0%
FINRA data as of May 15, 2026
📁 Recent SEC Activity
xbrl
XBRL WARRANT
Mar 31, 2026
Full SEC filing analysis available with free account →
📰 Recent News
No recent news
🔬 More Research for SPEG
📊 SPEG FDA Catalyst Timeline & Biotech Grade — BiotechSigns
📡 SPEG Signal Convergence & Dark Pool Activity — StonkWhisper
Part of the Guerilla Finance research network. Cross-reference multiple data sources for better due diligence.