Latest 13D/G Reports

Since 04 Mar 2026

Monitor the newest beneficial ownership disclosures filed as Schedule 13D and 13G.

What This Page Is For

This page helps you spot control and ownership changes quickly, then open the filer or subject security page for context.

How To Use This Page

  • Use the newest filing time first to prioritize recent ownership events.
  • Open 'Filed by' to review that investor's broader 13D/G history.
  • Open 'Subject' to jump into issuer-level context and related research pages.

Best Places To Start

Filed with the SEC

Backed by official SEC filings

See Original Filing

Browse recent beneficial ownership disclosures (Schedule 13D and 13G) from hedge funds and major investors. Related datasets: Latest insider ownership reports, Latest 13F portfolios, Latest investment quarter holder pages, Latest financial reports, SEC investors, SEC filers, securities.

Filed by Symbol Subject Shares owned Ownership %
Smith Denver Johnson SCRA Track Group, Inc. 691,691 5.8%
WEIL A LORNE INSE INSPIRED ENTERTAINMENT, INC. 3,123,238 11%
HealthCor Partners Management LP HTFL Heartflow, Inc. 2,082,014 2.4%
Nair Balan LILA Liberty Latin America Ltd. 712,808 1.8%
Sugarman Steven PNBK PATRIOT NATIONAL BANCORP INC 11,109,021 9.5%
Wedbush Alpha One ORBS T1, LLC ORBS Eightco Holdings Inc. 0 0%
INTEGRATED CORE STRATEGIES (US) LLC FWRG First Watch Restaurant Group, Inc. 3,069,930 5%
PESSIN NORMAN H POCI Precision Optics Corporation, Inc. 550,673 5%
TEKHILL USA LLC NEGG Newegg Commerce, Inc. 4,689,596 22%
Gavrilov Ognian Anguelov CLDI Calidi Biotherapeutics, Inc. 20,000 0.3%
Hsieh Ming FLGT Fulgent Genetics, Inc. 8,867,303 31%
BW Altor Pte. Ltd. CDLR Cadeler A/S 109,007,909 28%
BASS CHARLIE SCKT SOCKET MOBILE, INC. 5,030,216 44%
Kyriakopoulos Kristy Vahaviolos MG Mistras Group, Inc. 1,617,006 5.1%
Vahaviolos Aspasia Felice MG Mistras Group, Inc. 6,105,650 19%
Jain Global LLC MBAV M3-Brigade Acquisition V Corp. 2,846,250 9.9%
Foglia Stephanie Athena MG Mistras Group, Inc. 6,862,978 22%
Tsantanis Stamatios SHIP Seanergy Maritime Holdings Corp. 2,084,403 9.6%
Chernett Jorey STIM Neuronetics, Inc. 9,778,718 14%
KIRK RANDAL J XON PRECIGEN, INC. 133,956,416 36%
Goldenwise Capital Group Ltd PHUN Phunware, Inc. 1,233,811 6.1%
MACKAY SHIELDS LLC Nine Energy Service, Inc. 1,662,134 12%
FMR LLC Fidelity Multi-Strategy Credit Fund 3,016,127 54%
BANKERS LIFE & CASUALTY CO Privacore VPC Asset Backed Credit Fund 4,488,080 75%
Chernett Jorey KZIA KAZIA THERAPEUTICS LTD 1,588,129 14%
Perry George Herbert ALMU Aeluma, Inc. 1,000,000 5.6%
MACKAY SHIELDS LLC Nine Energy Service, Inc. 1,662,134 12%
Esousa Group Holdings LLC VCIG VCI Global Ltd 225,241 9.9%
Tiedemann Michael ALTI AlTi Global, Inc. 11,094,465 9.8%
Beretta Holding S.A. RGR STURM RUGER & CO INC 1,587,000 10%
Apollo Wise Investment Ltd AACG ATA Creativity Global 8,559,434 9.9%
Yao Yun INDP Indaptus Therapeutics, Inc. 41,991,000 38%
Wilson Dennis J. LULU lululemon athletica inc. 9,904,856 8.6%
Taylor Mark Andrew CDT CDT Equity Inc. 51,700,014 44%
Madryn Asset Management, LP VERO Venus Concept Inc. 56,991,898 100%
WENTZ MYRON W USNA USANA Health Sciences, Inc. 7,408,345 40%
ADW Capital Partners, L.P. CODI COMPASS DIVERSIFIED HOLDINGS 7,500,000 9.9%
RA CAPITAL MANAGEMENT, L.P. XNCR Xencor, Inc. 4,736,739 6.5%
RA CAPITAL MANAGEMENT, L.P. WVE WAVE LIFE SCIENCES LTD. 34,225,506 18%
MAK Capital Fund LP Evotec SE 12,503,512 7%
HELU CARLOS SLIM TALO Talos Energy Inc. 41,233,604 24%
JANA Partners Management, LP RPD Rapid7, Inc. 6,760,149 10%
Ash X LP RICK RCI HOSPITALITY HOLDINGS, INC. 380,556 4.9%
Saba Capital Management, L.P. BCV Bancroft Fund Ltd. 287,274 4.9%
Webb Kevin Michael ACH Accendra Health, Inc. 4,287,431 5.6%
Saba Capital Management, L.P. PEO ADAMS NATURAL RESOURCES FUND, INC. 2,285,362 8.3%
Philotimo Fund, LP LOVE Lovesac Co 738,001 5.1%
Cossey Brent PEW GrabAGun Digital Holdings Inc. 2,500,000 8.3%
BROOKFIELD Corp /ON/ BBU BROOKFIELD BUSINESS PARTNERS L.P. 207,007,465 100%
BROOKFIELD Corp /ON/ BBUC Brookfield Business Holdings Corp 68,186,491 100%
INTEGRATED CORE STRATEGIES (US) LLC RVPH Reviva Pharmaceuticals Holdings, Inc. 793,952 6.2%
No Street GP LP GDOT GREEN DOT CORP 4,250,000 7.7%
MAK Capital Fund LP PLX Protalix BioTherapeutics, Inc. 3,616,289 4.5%
QUMRA CAPITAL II, L.P. TALK Talkspace, Inc. 8,947,195 5.4%
Beck Peter RKLB Rocket Lab Corp 46,443,180 7.5%
Boehly Todd L LXU LSB Industries, Inc. 10,417,768 14%
General Motors Holdings LLC LAC Lithium Argentina AG 0 0%
FMR LLC Fidelity Multi-Strategy Credit Fund 3,016,127 53%
VANGUARD GROUP INC PFBC Preferred Bank/Los Angeles CA 0 0%
VANGUARD GROUP INC OZK Bank OZK 0 0%
Qatar Investment Authority BTAI BioXcel Therapeutics, Inc. 156,066 0.6%
SIT INVESTMENT ASSOCIATES INC PIM PUTNAM MASTER INTERMEDIATE INCOME TRUST 22,739,969 47%
Canada Growth Fund Inc. NMG Nouveau Monde Graphite Inc. 39,682,538 22%
HOLD Alapkezelo Zrt. PESI PERMA FIX ENVIRONMENTAL SERVICES INC 944,312 5.1%
Inscobee Inc. APUS Apimeds Pharmaceuticals US, Inc. 4,316,618 34%
Empire Fortune Management Ltd AACG ATA Creativity Global 8,559,434 9.9%
Uber Technologies, Inc WRD WeRide Inc. 56,618,266 5.8%
POPLAR POINT CAPITAL MANAGEMENT LLC RGP RESOURCES CONNECTION, INC. 2,611,473 7.8%
Atlas Investissement SAS TIGO MILLICOM INTERNATIONAL CELLULAR SA 77,070,018 46%
ICAHN CARL C ENZN VISKASE HOLDINGS, INC. 13,426,451 94%
Stonepine Capital Management, LLC CRIS CURIS INC 4,025,992 9.9%
Fairmount Funds Management LLC APGE Apogee Therapeutics, Inc. 6,764,974 10%
Corley Thomas John SOBR Safe, Inc. 360,000 19%
GLAZER CAPITAL, LLC DBRG DigitalBridge Group, Inc. 9,301,625 5.1%
MILLENNIUM MANAGEMENT LLC VTVT vTv Therapeutics Inc. 198,237 5%
Kreps Edward Jay CFLT CONFLUENT, INC. 0 0%
GLENVIEW CAPITAL MANAGEMENT, LLC DXC DXC Technology Co 8,895,875 5.2%
M Partners Fund LP SNBR Sleep Number Corp. 0 0%
Wen Sponsor LLC WENNU WEN Acquisition Corp 7,503,750 20%
EW Healthcare Partners, L.P. VERO Venus Concept, Inc. 100,037 5.4%
GAMCO INVESTORS, INC. ET AL MPTI M-tron Industries, Inc. 0 0%
Pinkney Partners, L.P. MKTW MARKETWISE, INC. 135,000 5.5%
Kaufman Daniel Louis ABEO ABEONA THERAPEUTICS INC. 2,943,629 5.2%
BANK OF AMERICA CORP /DE/ NUVEEN MISSOURI QUALITY MUNICIPAL INCOME FUND 0 0%
VANGUARD GROUP INC GTM ZoomInfo Technologies Inc 0 0%
VANGUARD GROUP INC ZWS Zurn Elkay Water Solutions Corp 0 0%
VANGUARD GROUP INC ZUMZ Zumiez Inc 0 0%
VANGUARD GROUP INC ZS Zscaler Inc 0 0%
VANGUARD GROUP INC ZTS Zoetis Inc 0 0%
VANGUARD GROUP INC ZM Zoom Communications Inc 0 0%
VANGUARD GROUP INC WWD Woodward Inc 0 0%
VANGUARD GROUP INC WMK Weis Markets Inc 0 0%
VANGUARD GROUP INC WFC Wells Fargo & Co 0 0%
VANGUARD GROUP INC WAL Western Alliance Bancorp 0 0%
VANGUARD GROUP INC WRB W R Berkley Corp 0 0%
VANGUARD GROUP INC WOR Worthington Enterprises Inc 0 0%
VANGUARD GROUP INC WMT Walmart Inc 0 0%
VANGUARD GROUP INC WGO Winnebago Industries Inc 0 0%
VANGUARD GROUP INC WTM White Mountains Insurance Group Ltd 0 0%
VANGUARD GROUP INC WCC WESCO International Inc 0 0%