13FPulse
AI

AIRO AIRO GROUP HOLDINGS INC

2026Q2 · CUSIP 009422106 · Sector: Industrials

Normal

Fund flows are within the usual range

Funds that own it
95
Institutions that reported holding it to the SEC
Net increase in holders
+2
Last quarter 93 → now 95
How unusual is that
Below average
Stronger than only 45% of US stocks
What the filings say, in one paragraph

95 funds held AIRO at the end of 2026Q2, up 2 from the quarter before. Fund flows are within the usual range — nothing unusual. On the business itself, revenue over the last 12 months was $107M, return on equity is -3.5%. AIRO has had 1 buying rushes in its history, and the price moved -42.1% on average over the six months after (that is the raw price move, not how much it beat the market by). It sits in the Industrials sector.

How many funds owned it, quarter by quarter

Bars = net change in institutional holders, positive (green) or negative (red). Line = total institutional holders.

2025Q3: holders=63 2025Q4: holders=79 2026Q1: holders=93 2026Q2: holders=95 -35 -17.5 +0 +17.5 +35 5678100 25Q325Q426Q126Q2 Net change in holders (bars) Total funds holding (line)

What happened after each past buying rush 1 times in its history

Quarter of the rush How unusual then Price, next 3 months Price, next 6 months
2025Q3 Top 10% -1.2% -42.1%

These are the raw price moves, not how much it beat the market by. Compare them against the market over the same months — in a strong bull market almost everything is up.

Show all the numbers (large funds, value held, options…) ▾
Of them, large funds
54
Change in large funds
0
Total value they hold
$84M
Funds buying for the first time
22
Funds that sold out entirely
20
Price change that quarter
Funds holding puts (bearish)
3
Funds holding calls (bullish)
3

These are for people who want to dig. Skip them if they do not mean anything to you — the three numbers above are enough.

8,697 institutions have filed for this quarter. 13F permits late filing and a small number arrive in the weeks after the deadline, so the holder counts and changes below may tick up.

Fundamentals

PE (TTM)
EPS (TTM)
$-0.90
EPS YoY
Revenue (TTM)
$0.1B
Revenue YoY
Net margin
-23.9%
ROE
-3.5%
Debt ratio
4.9%
FCF (TTM)
-$57M
Dividend (TTM)
No dividend
Quarterly Revenue & EPS
2024-06-30: EPS -0.34 2024-09-30: EPS -1.85 2025-03-31: EPS -0.12 2025-06-30: EPS 0.30 2025-09-30: EPS -0.28 2025-12-31: EPS -0.07 2026-03-31: EPS -0.49 2026-06-30: EPS -0.06 0M 24M 48M $M -2.03 -0.85 0.33 20242025202606/26 Revenue EPS

Quarterly figures, revenue up to 10 years back; EPS split-adjusted, early quarters hidden when not calibrable

Quarterly free cash flow
-22M-8M5M 202420252026
Latest quarter $-19M (2026-03-31)

FCF = operating cash flow − capex, computed from SEC XBRL; banks/insurers have no standard cash-flow structure and are hidden

As of 2026-06-30 · SEC filings (XBRL)

Email me the next update

2026 Q3 holdings are due 2026-11-16. We will email you when the refreshed lists are live.