Firsthand Technology Value Fund, Inc. - Common Stock, par value $0.001 per share (SVVC) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock, par value $0.001 per share
Symbol
SVVC on OTC
Shares outstanding
6,904,180
Price per share
$0.02
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,100
Total reported value
$126
% of total 13F portfolios
0%
Share change
-5,000
Value change
-$300
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Firsthand Technology Value Fund, Inc. - Common Stock, par value $0.001 per share (SVVC) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Star Equity Fund, LP 29% 0% 2,029,829 0% STAR EQUITY FUND, LP 22 Aug 2025

As of 30 Sep 2025, 2 institutional investors reported holding 2,100 shares of Firsthand Technology Value Fund, Inc. - Common Stock, par value $0.001 per share (SVVC). This represents 0.03% of the company’s total 6,904,180 outstanding shares.

Institutional Holders of Firsthand Technology Value Fund, Inc. - Common Stock, par value $0.001 per share (SVVC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 2,000 $47 $0.02 1
2025 Q3 2,100 $126 -$300 $0.06 2
2025 Q2 7,100 $408 $0.06 2
2025 Q1 7,100 $412 $0.06 2
2024 Q4 7,100 $433 $0.06 2
2024 Q3 7,100 $522 $0.07 2
2024 Q2 7,100 $504 -$89 $0.07 2
2024 Q1 8,350 $1,939 $0.23 2
2023 Q4 8,350 $2,505 -$167,652 $0.30 2
2023 Q3 397,296 $167,694 +$3,403 $0.42 19
2023 Q2 389,129 $245,188 -$16,866 $0.63 17
2023 Q1 414,295 $394,173 -$64,207 $0.95 19
2022 Q4 519,104 $483,395 +$25,102 $0.95 20
2022 Q3 469,243 $614,000 -$172,679 $1.31 13
2022 Q2 550,349 $1,007,000 +$47,959 $1.83 15
2022 Q1 503,734 $1,748,000 -$231,544 $3.47 17
2021 Q4 530,206 $2,126,000 +$83,087 $4.00 15
2021 Q3 444,850 $2,117,000 +$413,851 $4.74 16
2021 Q2 357,203 $2,038,000 -$161,103 $5.72 15
2021 Q1 387,564 $2,185,000 +$190,467 $5.36 18
2020 Q4 255,010 $1,134,000 -$678,672 $4.43 15
2020 Q3 499,830 $2,074,000 -$203,176 $4.13 15
2020 Q2 581,135 $2,437,000 -$276,090 $4.09 19
2020 Q1 655,501 $2,401,000 -$541,048 $3.71 19
2019 Q4 797,034 $5,117,013 -$917,685 $6.43 23
2019 Q3 912,979 $6,986,015 -$57,366 $7.64 24
2019 Q2 913,565 $8,504,019 +$548,557 $9.31 25
2019 Q1 840,865 $11,157,026 +$5,521,046 $13.27 29
2018 Q4 430,308 $4,775,022 -$266,018 $11.20 23
2018 Q3 420,947 $7,130,034 +$619,084 $16.94 23
2018 Q2 391,640 $5,368,028 -$10,942,889 $14.06 23
2018 Q1 1,181,629 $13,342,022 -$634,628 $11.29 25
2017 Q4 1,256,015 $11,261,018 -$1,215,784 $8.96 25
2017 Q3 1,428,077 $11,429,016 -$713,142 $8.00 23
2017 Q2 1,523,364 $12,781,017 -$261,926 $8.39 25
2017 Q1 1,557,570 $12,398,016 +$490,340 $7.96 24
2016 Q4 1,496,115 $11,475,015 +$341,225 $7.67 22
2016 Q3 1,426,351 $11,192,016 -$348,020 $7.85 19
2016 Q2 1,473,701 $10,972,258 +$1,495,377 $7.44 22
2016 Q1 1,274,082 $9,557,267 -$5,454,261 $7.50 25
2015 Q4 1,976,341 $16,410,000 -$214,736 $8.17 26
2015 Q3 1,995,305 $16,983,686 -$369,542 $8.51 28
2015 Q2 2,026,114 $26,126,980 -$1,107,811 $12.90 29
2015 Q1 2,106,297 $30,205,613 -$13,700,973 $14.34 28
2014 Q4 3,002,135 $55,989,304 -$16,950,299 $18.65 35
2014 Q3 3,638,351 $87,364,441 +$8,976,965 $24.01 38
2014 Q2 3,294,287 $70,000,846 -$3,168,706 $21.25 38
2014 Q1 3,468,025 $74,028,361 +$9,534,122 $21.35 59