Latest 13D/G Reports

Since 09 Jan 2026

Filed by Symbol Subject Shares owned Ownership %
METEORA CAPITAL, LLC Hall Chadwick Acquisition Corp 1,576,180 7.4%
TRUIST FINANCIAL CORP FTRB Federated Hermes ETF Trust 2,406,401 15%
METEORA CAPITAL, LLC Crane Harbor Acquisition Corp. II 2,857,810 8.1%
METEORA CAPITAL, LLC COLA Columbus Acquisition Corp/Cayman Islands 269,916 3.4%
METEORA CAPITAL, LLC BCAR D. Boral ARC Acquisition I Corp. 728,190 2.5%
METEORA CAPITAL, LLC PELI Pelican Acquisition Corp 0 0%
Invesco Ltd. ICLO Invesco AAA CLO Floating Rate Note ETF 1,609,096 9.6%
METEORA CAPITAL, LLC NWAXU New America Acquisition I Corp. 0 0%
METEORA CAPITAL, LLC ISRLF Israel Acquisitions Corp 0 0%
METEORA CAPITAL, LLC HCACU Hall Chadwick Acquisition Corp 0 0%
Artisan Partners Limited Partnership AXTA AXALTA COATING SYSTEMS LTD. 24,592,005 12%
METEORA CAPITAL, LLC CRANU Crane Harbor Acquisition Corp. II 0 0%
BlackRock Portfolio Management LLC BlackRock ETF Trust II 3,926,770 43%
Pyrophyte Acquisition II LLC PAII Pyrophyte Acquisition Corp. II 7,135,721 26%
BlackRock Portfolio Management LLC HYG iSHARES TRUST 23,255,537 10%
Affinity Bank Employee Stock Ownership Plan Trust AFBI AFFINITY BANCSHARES, INC. 545,613 8.9%
MILLER VALUE PARTNERS, LLC JELD JELD-WEN Holding, Inc. 0 5.1%
BlackRock Portfolio Management LLC IALT BlackRock ETF Trust 2,800,000 83%
Robert W. Baird & Co. Inc REMG Russell Investments Exchange Traded Funds 119,828 4.8%
AMERIPRISE FINANCIAL INC WIX Wix.com Ltd. 6,019,660 11%
WASATCH ADVISORS LP UFPT UFP TECHNOLOGIES INC 782,708 10%
FMR LLC SATS ECHOSTAR CORP 24,487,776 15%
FMR LLC MTSI MACOM TECHNOLOGY SOLN HLDS INC 8,033,059 11%
FMR LLC FLMB Franklin Municipal Green Bond ETF 626,884 16%
FMR LLC VECO VEECO INSTRUMENTS INC 6,077,506 10%
FMR LLC BRCB BLACK ROCK COFFEE BAR INC 2,019,958 12%
FMR LLC CNTA CENTESSA PHARMACEUTICALS PLC 10,999,793 12%
FMR LLC PEN PENUMBRA INC 1,826,862 4.7%
FMR LLC ROAD CONSTRUCTION PARTNERS INC 5,135,799 11%
FMR LLC MTX MINERALS TECHNOLOGIES INC 3,124,775 10%
FMR LLC MRNA MODERNA INC 41,301,469 11%
FMR LLC FWRG FIRST WATCH RESTAURANT GROUP INC 6,664,674 11%
FMR LLC ELVA ELECTROVAYA INC 4,859,998 10%
WASATCH ADVISORS LP ARHS Arhaus Inc 8,374,521 16%
Travogue Electronic Travel LLP MMYT MakeMyTrip Limited 3,699,950 4%
Capital World Investors FTAI FTAI Aviation Ltd. 12,754,798 12%
Capital World Investors MTN Vail Resorts, Inc. 4,312,266 12%
Capital World Investors OWL Blue Owl Capital Inc. 124,703,642 19%
Capital World Investors VNOM Viper Energy, Inc. 18,753,294 11%
BlackRock Portfolio Management LLC IWMW iShares Russell 2000 BuyWrite ETF 240,000 21%
BlackRock Portfolio Management LLC DMAX iShares Large Cap Max Buffer Dec ETF 400,000 7.8%
BlackRock Portfolio Management LLC EVLU ISHARES MSCI EMERGING MARKETS VALUE FACTOR ETF 104,000 29%
BlackRock Portfolio Management LLC IBRN iShares Neuroscience and Healthcare ETF 56,000 37%
BlackRock Portfolio Management LLC ISMF iShares Managed Futures Active ETF 600,000 52%
BlackRock Portfolio Management LLC TEND iShares Large Cap 10% Target Buffer Dec ETF 400,000 25%
BlackRock Portfolio Management LLC RXI ISHARES GLOBAL CONSUMER DISCRETIONARY ETF 208,399 15%
BlackRock Portfolio Management LLC TOPC iShares S&P 500 3% Capped ETF 173,000 27%
BlackRock Portfolio Management LLC XOEF iShares S&P 500 ex S&P 100 ETF 400,000 59%
BlackRock Portfolio Management LLC IDEF iShares Defense Industrials Active ETF 400,000 23%
BlackRock Portfolio Management LLC TMET iShares Transition-Enabling Metals ETF 214,000 54%
TL Stiftung LTRX LANTRONIX INC 0 0%
BlackRock, Inc. ARTNA ARTESIAN RESOURCES CORP 961,054 10%
BlackRock, Inc. SHLS Shoals Technologies Group, Inc. 17,879,419 11%
BlackRock, Inc. SM SM ENERGY COMPANY 22,635,921 9.5%
BlackRock, Inc. MKTX MarketAxess Holdings Inc 4,034,537 11%
BlackRock, Inc. WINA WINMARK CORP 432,141 12%
BlackRock, Inc. Versant Media Group, Inc. 15,292,572 10%
BlackRock, Inc. RYN RAYONIER INC 17,121,124 11%
BlackRock, Inc. PCH POTLATCHDELTIC CORP 5,954,512 7.7%
BlackRock, Inc. MCHP MICROCHIP TECHNOLOGY INCORPORATED 54,307,425 10%
BlackRock, Inc. HBAN HUNTINGTON BANCSHARES INC 158,609,861 10%
BlackRock, Inc. AHR AMERICAN HEALTHCARE REIT INC 24,609,199 13%
BlackRock, Inc. GPRE GREEN PLAINS INC 7,117,042 10%
BlackRock, Inc. FITB FIFTH THIRD BANCORP 68,067,535 10%
BlackRock, Inc. CMA COMERICA INC 3,035,762 2.4%
BlackRock, Inc. BDN BRANDYWINE REALTY TRUST 16,254,828 9.4%
BlackRock, Inc. ARRY ARRAY TECHNOLOGIES INC 16,575,687 11%
BlackRock, Inc. ELME Elme Communities 8,686 0%
BlackRock, Inc. APLS Apellis Pharmaceuticals Inc 13,228,073 10%
BlackRock, Inc. ACM AECOM 13,088,821 10%
BlackRock, Inc. QIAGEN N.V. 20,678,987 10%
BlackRock, Inc. STNE StoneCo Ltd. 25,517,531 10%
METEORA CAPITAL, LLC PELI Pelican Acquisition Corp 751,469 6.3%
Saba Capital Management, L.P. NQP Nuveen Pennsylvania Quality Municipal Income Fund 1,856,441 5%
METEORA CAPITAL, LLC NWAXU New America Acquisition I Corp. 1,998,502 5.4%
METEORA CAPITAL, LLC ISRLF Israel Acquisitions Corp 101,491 8%
METEORA CAPITAL, LLC HCACU Hall Chadwick Acquisition Corp 1,153,708 6.3%
METEORA CAPITAL, LLC CRANU Crane Harbor Acquisition Corp. II 2,639,790 7.5%
METEORA CAPITAL, LLC COLA Columbus Acquisition Corp/Cayman Islands 445,858 5.6%
Robert W. Baird & Co. Inc RUSC Russell Investments Exchange Traded Funds 63,768 4.6%
METEORA CAPITAL, LLC BCAR D. Boral ARC Acquisition I Corp. 1,928,291 6.6%
NATIXIS Polestar Automotive Holding UK PLC 7,755,946 8.4%
Elgethun Capital Management CWGL Crimson Wine Group, Ltd. 1,657,948 8%
Robert W. Baird & Co. Inc RINT Russell Investments Exchange Traded Funds 178,371 4.7%
Robert W. Baird & Co. Inc RIFR Russell Investments Exchange Traded Funds 42,896 3.7%
Robert W. Baird & Co. Inc RGLO Russell Investments Exchange Traded Funds 422,983 4.8%
FIRST TRUST PORTFOLIOS LP TDVI First Trust Exchange-Traded Fund IV 2,745,868 28%
FIRST TRUST PORTFOLIOS LP SEPM First Trust Exchange-Traded Fund VIII 100,816 10%
FIRST TRUST PORTFOLIOS LP OCTM First Trust Exchange-Traded Fund VIII 98,231 10%
FIRST TRUST PORTFOLIOS LP MISL First Trust Exchange-Traded Fund 15,656,003 52%
FIRST TRUST PORTFOLIOS LP JULM First Trust Exchange-Traded Fund VIII 95,570 11%
FIRST TRUST PORTFOLIOS LP FXU First Trust Exchange-Traded AlphaDEX(R) Fund 107,544 0.62%
FIRST TRUST PORTFOLIOS LP FTXL First Trust Exchange-Traded Fund VI 5,234,602 51%
FIRST TRUST PORTFOLIOS LP FEUZ First Trust Exchange-Traded AlphaDEX(R) Fund II 666,084 35%
FIRST TRUST PORTFOLIOS LP FBT First Trust Exchange-Traded Fund 3,651,216 32%
FIRST TRUST PORTFOLIOS LP APXM First Trust Exchange-Traded Fund VIII 103,420 41%
APIS GROWTH 13 Ltd LSAK LESAKA TECHNOLOGIES, INC. 6 5.7%
Robert W. Baird & Co. Inc AQMS Aqua Metals, Inc. 550 0%
T. Rowe Price Investment Management, Inc. STTK SHATTUCK LABS INC 7,373,891 12%
T. Rowe Price Investment Management, Inc. DAVA ENDAVA PLC- SPON ADR 4,078,281 10%