Latest 13D/G Reports

Since 07 Jan 2026

Filed by Symbol Subject Shares owned Ownership %
STATE OF MICHIGAN RETIREMENT SYSTEM HarbourVest Private Investments Fund 54,666,818 99%
Conestoga Capital Advisors, LLC HLIO HELIOS TECHNOLOGIES, INC. 1,662,124 5%
Conestoga Capital Advisors, LLC EXPO EXPONENT INC 2,526,244 5.1%
Conestoga Capital Advisors, LLC EVI EVI INDUSTRIES, INC. 872,555 6%
Fresenius Medical Care AG AHAC HUMACYTE, INC. 18,312,735 9.5%
Forsakringsaktiebolaget Avanza Pension SILC Silicom Ltd 282,501 5%
Asset Value Investors Ltd NLOP Net Lease Office Properties 710,013 4.8%
Friedland Enterprises LLC LVLU Lulu's Fashion Lounge Holdings, Inc. 137,447 5%
Campion Thomas D ZUMZ Zumiez Inc. 835,862 4.9%
Brooks Richard Miles ZUMZ Zumiez Inc. 2,647,954 16%
Conestoga Capital Advisors, LLC TRNS TRANSCAT INC 1,013,365 11%
Conestoga Capital Advisors, LLC STVN Stevanato Group S.p.A. 8,322,390 17%
Conestoga Capital Advisors, LLC LMAT LEMAITRE VASCULAR INC 1,527,429 8.1%
MIRABELLA FINANCIAL SERVICES LLP KFS Kingsway Financial Services Inc 1,983,825 6.8%
TimesSquare Capital Management, LLC MVBF MVB Financial Corp. 0 0%
Bonita Biotech (HK) Ltd ACRS Aclaris Therapeutics, Inc. 11,281,950 9.4%
Exicure HiTron Inc. XCUR EXICURE, INC. 2,592,061 41%
RIME VALUE ORIENTED LPF SUPX SuperX AI Technology Ltd 1,780,000 4.1%
He Wei-Wu CASI CASI Pharmaceuticals, Inc. 3,965,535 19%
Stephens Investment Management Group LLC ECPG Encore Capital Group, Inc. 1,305,649 5.9%
Singolda Adam TBLA Taboola.com Ltd. 14,720,361 5.7%
Scilex Holding Co DVLT DATAVAULT AI INC. 229,731,770 40%
ASHER DANIEL EKSO Ekso Bionics Holdings, Inc. 321,763 9.5%
Portolan Capital Management, LLC REAX Real Brokerage Inc 11,296,427 5.4%
Focus Partners Wealth SPE SPECIAL OPPORTUNITIES FUND, INC. 1,377,246 13%
BANK OF MONTREAL /CAN/ NOA North American Construction Group Ltd. 2,873,159 9.8%
Mink Brook Asset Management LLC CREX CREATIVE REALITIES, INC. 613,459 5.8%
BANK OF MONTREAL /CAN/ MACI Melar Acquisition Corp. I/Cayman 0 0%
BANK OF MONTREAL /CAN/ CBSTF Cannabist Co Holdings Inc. 36,721,908 7%
Conestoga Capital Advisors, LLC DGII DIGI INTERNATIONAL INC 3,166,083 8.5%
Cohen Ryan GME GameStop Corp. 41,082,626 9.1%
Focus Partners Wealth SPEPRC SPECIAL OPPORTUNITIES FUND, INC. 1,147,665 48%
ACORN BIOVENTURES, L.P. ATHA Athira Pharma, Inc. 596,068 6.2%
Herzfeld Erik Mervin HERZ Herzfeld Credit Income Fund, Inc. 7,394,580 38%
Art Technology Sponsor, LLC ARTC Art Technology Acquisition Corp. 9,138,333 29%
Brave Warrior Advisors, LLC MRP Millrose Properties, Inc. 8,600,224 5.6%
Saba Capital Management, L.P. HQL abrdn Life Sciences Investors 2,002,516 6.8%
Saba Capital Management, L.P. AFB ALLIANCEBERNSTEIN NATIONAL MUNICIPAL INCOME FUND, INC. 2,674,609 9.3%
AWM Investment Company, Inc. LSF Laird Superfood, Inc. 0 0%
INTEGRATED CORE STRATEGIES (US) LLC ANGO AngioDynamics, Inc. 842,548 2%
Bain Capital Life Sciences Fund II, L.P. MRSN Mersana Therapeutics, Inc. 0 0%
Bain Capital Asset Management, LP Bain Capital Private Credit 4,678,209 14%
Jamroz Krzysztof W. JETMF Global Crossing Airlines Group Inc. 2,060,520 5.1%
Novel Inspiration International Co., Ltd. IRIX IRIDEX CORPORATION 5,351,483 24%
Cummins Wes APLD Applied Digital Corp. 21,154,050 7.6%
MORGAN STANLEY KVYO Klaviyo, Inc. 14,538,026 10%
MORGAN STANLEY GOOS Canada Goose Holdings Inc. 5,877 0%
CALM WATERS PARTNERSHIP ASUR ASURE SOFTWARE INC 2,340,000 8.4%
AWM Investment Company, Inc. SYNX Silynxcom Ltd. 0 0%
CITY OF LONDON INVESTMENT MANAGEMENT CO LTD MXE Mexico Equity & Income Fund Inc 1,142,425 26%
Oaktree Capital Group Holdings GP, LLC TRMD TORM plc 26,425,059 26%
GRATIA CAPITAL, LLC TRTX TPG RE Finance Trust, Inc. 4,351,196 5.6%
MetLife Investment Management, LLC ACP abrdn Income Credit Strategies Fund 4,000,000 100%
Yu Cao MINM FiEE, Inc. 4,615,012 42%
Pinetree Capital Ltd. TBRG TruBridge, Inc. 2,130,000 14%
EdgePoint Investment Group Inc. DAY Dayforce, Inc. 0 0%
Andalusian Private Capital, LP ETOR eToro Group Ltd. 0 0%
Sessa Capital IM, L.P. THS TreeHouse Foods, Inc. 468,176 0.93%
Partners Capital LLP Vista Credit Strategic Lending Corp. 5,508,182 18%
EdgePoint Investment Group Inc. AQN ALGONQUIN POWER & UTILITIES CORP. 81,727,385 11%
PROEHL GERALD T DRMA Dermata Therapeutics, Inc. 694,530 25%
MORGAN STANLEY PLRX PLIANT THERAPEUTICS, INC 545,228 0.9%
GAMCO INVESTORS, INC. ET AL ASTE ASTEC INDUSTRIES INC 1,167,886 5.1%
WOLVERINE ASSET MANAGEMENT LLC AITR AI Transportation Acquisition Corp 0 0%
Saba Capital Management, L.P. GDV The Gabelli Dividend & Income Trust 5,694,804 6.4%
BlackRock Portfolio Management LLC IBAT iSHARES TRUST 0 0%
REALTY ADVISORS INC GBR New Concept Energy, Inc. 400,000 7.8%
BlackRock Portfolio Management LLC IALT BlackRock ETF Trust 2,800,000 95%
Trigran Investments, Inc. ANIK Anika Therapeutics, Inc. 168,400 1.2%
BlackRock, Inc. MSGS Madison Square Garden Sports Corp. 1,959,824 10%
BlackRock, Inc. OMAB Central North Airport Group 34,749,387 10%
Invesco Ltd. OPAL OPAL Fuels Inc 5,206,386 18%
BlackRock, Inc. PAC Pacific Airport Group 52,613,696 12%
BlackRock, Inc. SOLS Solstice Advanced Materials Inc. 16,505,376 10%
EVERGREEN CAPITAL MANAGEMENT LLC EDD Morgan Stanley Emerging Markets Domestic Debt Fund, Inc. 3,124,299 4.8%
Hyperion Asset Management Ltd LIF Life360, Inc. 7,167,533 9.1%
CYVN Investments RSC Ltd NIO NIO Inc. 418,833,157 18%
Doma Perpetual Capital Management LLC HIFS Hingham Institution for Savings 117,354 5.4%
BlackRock, Inc. THRY THRYV HOLDINGS, INC. 2,756,510 6.3%
BlackRock, Inc. UAA UNDER ARMOUR INC 20,088,049 11%
BlackRock, Inc. ASIX ADVANSIX INC 3,199,954 12%
BlackRock, Inc. RGR STURM RUGER & CO INC 1,300,706 8.2%
BlackRock, Inc. CWST CASELLA WASTE SYSTEMS INC 8,928,731 14%
BlackRock, Inc. CEVA CEVA INC 1,871,507 6.9%
BlackRock, Inc. BAH BOOZ ALLEN HAMILTON HOLDING CORPORATION 13,083,615 11%
BlackRock, Inc. SITC SITE Centers Corp. 4,260,895 8.1%
BlackRock, Inc. HE HAWAIIAN ELECTRIC INDUSTRIES INC 27,798,093 16%
BlackRock, Inc. VAC MARRIOTT VACATIONS WORLDWIDE Corp 4,084,555 12%
BlackRock, Inc. RC Ready Capital Corporation 13,045,875 8%
BlackRock, Inc. PINS PINTEREST, INC. 59,584,440 10%
BlackRock, Inc. PRIM Primoris Services Corp 7,932,231 15%
BlackRock, Inc. LKQ LKQ CORPORATION 29,234,280 11%
BlackRock, Inc. RCUS ARCUS BIOSCIENCES INC 12,736,927 10%
BlackRock, Inc. FIBK FIRST INTERSTATE BANCSYSTEM INC 13,290,004 13%
BlackRock, Inc. IRDM IRIDIUM COMMUNICATIONS INC 13,072,774 12%
BlackRock, Inc. VITL Vital Farms, Inc. 5,419,901 12%
BlackRock, Inc. MGPI MGP INGREDIENTS INC 1,067,363 5%
BlackRock, Inc. MPWR MONOLITHIC POWER SYSTEMS INC 4,899,383 10%
BlackRock, Inc. PRGO Perrigo Company plc 15,941,915 12%
BlackRock, Inc. INDV INDIVIOR PLC 17,806,183 14%