Latest 13D/G Reports

Since 08 Jan 2026

Filed by Symbol Subject Shares owned Ownership %
Aberdeen Group plc DTIL PRECISION BIOSCIENCES INC 2,138,603 8.9%
NORGES BANK Aegon Ltd 88,813,381 5.6%
NORGES BANK ZG Zillow Group Inc 2,415,055 4.9%
MHR FUND MANAGEMENT LLC LION Lionsgate Studios Corp. 37,920,093 13%
NORGES BANK ATAT Atour Lifestyle Holdings Ltd 22,234,836 6.5%
Trium Capital LLP SOHO Sotherly Hotels Inc. 1,843,435 7.5%
Pierluigi Paracchi GNTA Genenta Science S.p.A. 2,302,516 9.8%
Golden Stone Capital Ltd ICG Intchains Group Limited 14,099,120 25%
Linden Capital L.P. X3 Acquisition Corp. Ltd. 1,400,000 7%
Linden Capital L.P. BCAR D. Boral ARC Acquisition I Corp. 1,600,000 5.5%
Hoak Public Equities, LP NGS Natural Gas Services Group Inc 575,000 4.6%
Endeavor Blockchain, LLC MIGI Mawson Infrastructure Group Inc. 1,460,000 44%
Matthew 25 Management Corp AGMA FEDERAL AGRICULTURAL MORTGAGE CORP 98,477 9.6%
ASHER DANIEL SQNS SEQUANS COMMUNICATIONS 190,125,500 12%
Lazar David E. UUU Universal Safety Products, Inc. 156,396 6.8%
Pittman Scott M. AURX Nuo Therapeutics, Inc. 5,610,050 12%
City of Boca Raton General Employees Pension Plan PennantPark Private Income Fund 400,000 22%
Chicago Painters & Decorators Pension Fund PennantPark Private Income Fund 400,000 22%
OCM XAN Holdings PT, LLC ACR ACRES Commercial Realty Corp. 0 0%
TREXLER TERRY EARL NOBH NOBILITY HOMES, INC. 1,583,826 50%
OCM Xb CBL-E Holdings, LLC CBL CBL & ASSOCIATES PROPERTIES, INC. 2,517,577 8.2%
PERCEPTIVE ADVISORS LLC TRIB Trinity Biotech plc 1,463,058,248 9.9%
Senvest Management, LLC AAT American Assets Trust, Inc. 3,088,587 5.1%
CB Beteiligungs GmbH & Co. KG BIRK Birkenstock Holding plc 13,958,475 7.6%
Funicular Funds, LP AMWL American Well Corp 810,551 5.5%
Hinojosa james C LFLY Leafly Holdings, Inc. 629 10%
Nagar Yaacov SCWO 374Water Inc. 3,211,263 19%
Tuscany Shipping Corp. SVRN OceanPal Inc. 7,759,546 19%
Abra Marinvest Inc. SVRN OceanPal Inc. 2,717,827 7.5%
Bastion Trading Ltd STSS Sharps Technology, Inc. 3,615,046 9.9%
Caption Management, LLC SUNS Sunrise Realty Trust, Inc. 100,000 0.75%
TANG CAPITAL MANAGEMENT LLC CAPR Capricor Therapeutics, Inc. 3,399,900 6.6%
Innoviva, Inc. ARMP Armata Pharmaceuticals, Inc. 55,467,459 83%
Yeganeh Reuven PHGE BiomX Inc. 381,422 20%
INTEGRATED CORE STRATEGIES (US) LLC VYGR Voyager Therapeutics, Inc. 3,407,969 6.1%
Espey Mfg. & Electronics Corp. Employee Retirement Plan & Trust ESP ESPEY MFG & ELECTRONICS CORP 537,345 18%
ACORN BIOVENTURES, L.P. JSPR Jasper Therapeutics, Inc. 1,486,492 5.3%
Kawa Capital Management, Inc ONL Orion Properties Inc. 5,474,027 9.7%
Telemark Asset Management, LLC BDSX Biodesix, Inc. 427,824 5.4%
SHIKIAR ASSET MANAGEMENT INC FTAI Aviation Ltd. 159,800 6.2%
Power Partner Capital Ltd MGRT Mega Fortune Co Ltd 10,000,000 73%
PICTET ASSET MANAGEMENT SA ESTC Elastic N.V. 5,288,262 5%
ROYCE & ASSOCIATES LP HIFS Hingham Institution for Savings 106,988 4.9%
ROYCE & ASSOCIATES LP FC Franklin Covey Co. 449,007 3.7%
ROYCE & ASSOCIATES LP CVU CPI Aerostructures, Inc. 577,202 4.4%
NORGES BANK OS Onestream Inc 5,974,029 6.6%
Hillsdale Investment Management Inc. ITRG Integra Resources Corp. 8,183,240 4.8%
Globalharvest Holdings Venture Ltd AVO Mission Produce, Inc. 9,770,608 14%
NVIDIA CORP CRWV CoreWeave, Inc. 47,213,353 12%
ATG Capital Opportunities Fund LP EMPD Empery Digital Inc. 1,892,453 5.6%
Inscobee Inc. APUS Apimeds Pharmaceuticals US, Inc. 4,316,618 34%
Starboard Value LP ROG ROGERS CORP 599,328 3.3%
LiveOne, Inc. PODC PodcastOne, Inc. 20,294,991 72%
Saba Capital Management, L.P. ASA ASA Gold and Precious Metals Limited 5,465,362 29%
European Lithium Ltd. CRML Critical Metals Corp. 48,036,338 40%
Novo Holdings A/S IOBT IO Biotech, Inc. 2,469,135 3.3%
CITADEL ADVISORS LLC BCTX BriaCell Therapeutics Corp. 717,198 10%
Hillsdale Investment Management Inc. ITRG Integra Resources Corp. 8,880,576 5.2%
Diveroli Investment Group LLC BATL BATTALION OIL CORP 887,455 5.4%
Eagle Equity Partners VI, LLC Infinite Eagle Acquisition Corp. 9,020,000 21%
TRINA SOLAR (SCHWEIZ) AG TE T1 Energy Inc. 53,152,664 20%
Brown Tice EMPD Empery Digital Inc. 3,276,997 9.7%
Zhou Hongyu YYAI AiRWA INC. 5,816,489 14%
Oaktree Capital Holdings, LLC NBR Nabors Industries Ltd 121,673 0.83%
Bluescape Riley Exploration Holdings LLC REPX Riley Exploration Permian, Inc. 3,922,699 18%
Xu Yuxia XTKG X3 Holdings Co., Ltd. 3,291,666 12%
Lor Stewart Shiang XTKG X3 Holdings Co., Ltd. 4,610,365 16%
INTEGRATED CORE STRATEGIES (US) LLC UNCY Unicycive Therapeutics, Inc. 1,172,667 5.5%
INTEGRATED CORE STRATEGIES (US) LLC Infinite Eagle Acquisition Corp. 2,970,000 9.8%
MCKENZIE W THORPE XBIT XBIOTECH INC. 3,006,259 9.8%
MASSACHUSETTS MUTUAL LIFE INSURANCE CO Invesco Real Estate Income Trust Inc. 15,157,853 100%
INTRACOASTAL CAPITAL, LLC MBOT Microbot Medical Inc. 6,002,185 8.2%
M28 Capital Management LP CRIS CURIS INC 620,167 4.8%
D. E. SHAW & CO, L.P. CABO Cable One, Inc. 308,653 5.5%
MARCIANO PAUL GES Guess?, Inc. 0 0%
Point72 Asset Management, L.P. PGEN PRECIGEN, INC. 18,383,242 5.2%
X3 Acquisition Management LLC X3 Acquisition Corp. Ltd. 5,750,000 22%
Opaleye Management Inc. CDXS Codexis, Inc. 6,789,738 7.5%
Turker Ali Ehad GME GameStop Corp. 269,777 0.09%
Encompass Capital Advisors LLC ASPI ASP Isotopes Inc. 6,413,362 5.1%
Lynwood Capital Management Inc. KZIA Kazia Therapeutics Limited 307,998,500 5.4%
DOUGLAS KEVIN IMAX IMAX Corporation 8,885,073 16%
Saba Capital Management, L.P. OneIM Acquisition Corp. 2,086,147 8.3%
Streeterville Capital LLC SONM SONIM TECHNOLOGIES INC 0 0%
Telemark Asset Management, LLC BDSX Biodesix, Inc. 327,824 4.1%
VANGUARD GROUP INC OXM Oxford Industries Inc 1,050,816 7.1%
SIMARD JOHN XBIT XBIOTECH INC. 5,719,775 18%
STRS OHIO Stone Point Credit Income Fund 1,138,352 10%
BAIRD BRENT D ASRV AMERISERV FINANCIAL INC /PA/ 1,120,984 6.8%
Khrom Investments Fund, LP ACHC Acadia Healthcare Company, Inc. 8,131,537 8.8%
Forager Capital Management, LLC RPAY Repay Holdings Corporation 5,040,000 5.9%
Baselake Partners, LP SYBX Synlogic, Inc. 1,140,000 9.7%
Dragonfly Trust GLOO Gloo Holdings, Inc. 808,478 8%
FIRST TRUST PORTFOLIOS LP SDVD First Trust Exchange-Traded Fund IV 16,137,560 48%
FIRST TRUST PORTFOLIOS LP QSPT First Trust Exchange-Traded Fund VIII 8,983,342 56%
FIRST TRUST PORTFOLIOS LP QMAR First Trust Exchange-Traded Fund VIII 8,668,384 62%
FIRST TRUST PORTFOLIOS LP QJUN First Trust Exchange-Traded Fund VIII 8,977,572 49%
FIRST TRUST PORTFOLIOS LP QDEC First Trust Exchange-Traded Fund VIII 8,742,842 52%
FIRST TRUST PORTFOLIOS LP FTXL First Trust Exchange-Traded Fund VI 5,680,966 56%
Bay Pond Partners, L.P. FFIC Flushing Financial Corporation 1,694,259 5%