13D/G large-stake feed

Latest 13D/G Reports

Since 02 Jul 2026. Review filer CIK, subject security, ownership %, and SEC evidence first.

Recent 13D/G signals

Large-stake disclosures to inspect

Start with holder, issuer/security, stake size, and SEC evidence.

13D/A

New Enterprise Associates 17, L.P. stake in Monte Rosa Therapeutics, Inc.

Holder CIK 0001768564

13D/A GLUE
CIK
0001768564
Issuer
Monte Rosa Therapeutics, Inc.
Security
GLUE
Source
SEC 13D/A
Action
Beneficial ownership disclosure
Magnitude
7.9% / 6,692,298 shares
Filed
06 Jul 2026, 17:51:43 UTC

Check whether this is a new stake, an amended position, or a material ownership change before moving to the issuer page.

13D/A

SYLEBRA CAPITAL LLC stake in Aeva Technologies, Inc.

Holder CIK 0002003074

13D/A AEVA
CIK
0002003074
Issuer
Aeva Technologies, Inc.
Security
AEVA
Source
SEC 13D/A
Action
Beneficial ownership disclosure
Magnitude
29% / 19,392,411 shares
Filed
06 Jul 2026, 17:42:36 UTC

Check whether this is a new stake, an amended position, or a material ownership change before moving to the issuer page.

13G

LPL Financial LLC stake in Tofutti Brands Inc.

Holder CIK 0001403438

13G TOFB
CIK
0001403438
Issuer
TOFUTTI BRANDS INC
Security
TOFB
Source
SEC 13G
Action
Beneficial ownership disclosure
Magnitude
5.2% / 266,367 shares
Filed
06 Jul 2026, 17:31:40 UTC

Check whether this is a new stake, an amended position, or a material ownership change before moving to the issuer page.

13D/A

BEASLEY BRUCE G stake in BEASLEY BROADCAST GROUP, INC.

Holder CIK 0001134118

13D/A BBGI
CIK
0001134118
Issuer
BEASLEY BROADCAST GROUP INC
Security
BBGI
Source
SEC 13D/A
Action
Beneficial ownership disclosure
Magnitude
8.1% / 84,516 shares
Filed
06 Jul 2026, 17:30:02 UTC

Check whether this is a new stake, an amended position, or a material ownership change before moving to the issuer page.

13D/A

BEASLEY CAROLINE stake in BEASLEY BROADCAST GROUP, INC.

Holder CIK 0001134290

13D/A BBGI
CIK
0001134290
Issuer
BEASLEY BROADCAST GROUP INC
Security
BBGI
Source
SEC 13D/A
Action
Beneficial ownership disclosure
Magnitude
9.3% / 97,037 shares
Filed
06 Jul 2026, 17:30:02 UTC

Check whether this is a new stake, an amended position, or a material ownership change before moving to the issuer page.

13G/A

MILLENNIUM MANAGEMENT LLC stake in Avalo Therapeutics, Inc.

Holder CIK 0001273087

13G/A AVTX
CIK
0001273087
Issuer
Avalo Therapeutics, Inc.
Security
AVTX
Source
SEC 13G/A
Action
Beneficial ownership disclosure
Magnitude
0% / 9,857 shares
Filed
06 Jul 2026, 17:29:14 UTC

Check whether this is a new stake, an amended position, or a material ownership change before moving to the issuer page.

Rows shown
2,351-2,400 of 2,479
Per page
50
Current page
48

Schedule 13D/G ownership events

Activist and large-stake radar

Stake size, change direction, reporting filer, issuer, active/passive form type, and SEC evidence.

Visible reports

6

Fresh large-stake filings promoted above the legacy table.

13D/13G mix

4/2

Active-intent candidates versus passive large-stake disclosures.

Largest visible stake

29%

Highest class ownership surfaced in the preview cards.

Newest evidence

06 Jul 2026

Use recency before treating an old large-stake story as fresh.

Signal checks

13D active-intent check

active/control intent, item text, amendments

13G passive stake check

large passive holder disclosure

Stake change direction

ownership percent and share change

Issuer and owner follow-up

issuer, filer history, insider activity, 13F context

SEC-verifiable Schedule 13D/G path

Open the Schedule 13D/G filing, then cross-check insider and Form 13F evidence.

Large-stake signal

New Enterprise Associates 17, L.P.

Monte Rosa Therapeutics, Inc. (GLUE)

Schedule 13D/A Ownership 7.9% Filing-backed
CIK
000107261326000558
Source
SEC Schedule 13D/A
Action
Potential activist/control stake disclosed
Magnitude
7.9%
Filed
06 Jul 2026, 17:51:43 UTC
Period
01 Jul 2026

New Enterprise Associates 17, L.P. filed Schedule 13D/A for Monte Rosa Therapeutics, Inc. (GLUE). Reported class ownership: 7.9%. Ownership change: -1.8%. Share change: -14%. Open the SEC evidence before treating this as an activist or passive large-stake signal.

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Large-stake signal

SYLEBRA CAPITAL LLC

Aeva Technologies, Inc. (AEVA)

Schedule 13D/A Ownership 29% Filing-backed
CIK
000108514626000453
Source
SEC Schedule 13D/A
Action
Potential activist/control stake disclosed
Magnitude
29%
Filed
06 Jul 2026, 17:42:36 UTC
Period
30 Jun 2026

SYLEBRA CAPITAL LLC filed Schedule 13D/A for Aeva Technologies, Inc. (AEVA). Reported class ownership: 29%. Open the SEC evidence before treating this as an activist or passive large-stake signal.

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Large-stake signal

LPL Financial LLC

Tofutti Brands Inc. (TOFB)

Schedule 13G Ownership 5.2% Filing-backed
CIK
000119312526296445
Source
SEC Schedule 13G
Action
Large beneficial ownership stake disclosed
Magnitude
5.2%
Filed
06 Jul 2026, 17:31:40 UTC
Period
30 Jun 2026

LPL Financial LLC filed Schedule 13G for Tofutti Brands Inc. (TOFB). Reported class ownership: 5.2%. Open the SEC evidence before treating this as an activist or passive large-stake signal.

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Large-stake signal

BEASLEY BRUCE G

BEASLEY BROADCAST GROUP, INC. (BBGI)

Schedule 13D/A Ownership 8.1% Filing-backed
CIK
000119312526296441
Source
SEC Schedule 13D/A
Action
Potential activist/control stake disclosed
Magnitude
8.1%
Filed
06 Jul 2026, 17:30:02 UTC
Period
30 Jun 2026

BEASLEY BRUCE G filed Schedule 13D/A for BEASLEY BROADCAST GROUP, INC. (BBGI). Reported class ownership: 8.1%. Open the SEC evidence before treating this as an activist or passive large-stake signal.

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Large-stake signal

BEASLEY CAROLINE

BEASLEY BROADCAST GROUP, INC. (BBGI)

Schedule 13D/A Ownership 9.3% Filing-backed
CIK
000119312526296442
Source
SEC Schedule 13D/A
Action
Potential activist/control stake disclosed
Magnitude
9.3%
Filed
06 Jul 2026, 17:30:02 UTC
Period
30 Jun 2026

BEASLEY CAROLINE filed Schedule 13D/A for BEASLEY BROADCAST GROUP, INC. (BBGI). Reported class ownership: 9.3%. Open the SEC evidence before treating this as an activist or passive large-stake signal.

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Large-stake signal

MILLENNIUM MANAGEMENT LLC

Avalo Therapeutics, Inc. (AVTX)

Schedule 13G/A Ownership 0% Filing-backed
CIK
000110465926080836
Source
SEC Schedule 13G/A
Action
Large stake reduction disclosed
Magnitude
0%
Filed
06 Jul 2026, 17:29:14 UTC
Period
30 Jun 2026

MILLENNIUM MANAGEMENT LLC filed Schedule 13G/A for Avalo Therapeutics, Inc. (AVTX). Reported class ownership: 0%. Ownership change: -5%. Share change: -99%. Open the SEC evidence before treating this as an activist or passive large-stake signal.

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Filed by Symbol Subject Shares owned Ownership % Source
New Enterprise Associates 17, L.P. CIK 0001768564 GLUE Monte Rosa Therapeutics, Inc. 6,692,298 7.9% SEC filing
SYLEBRA CAPITAL LLC CIK 0002003074 AEVA Aeva Technologies, Inc. 19,392,411 29% SEC filing
LPL Financial LLC CIK 0001403438 TOFB Tofutti Brands Inc. 266,367 5.2% SEC filing
BEASLEY BRUCE G CIK 0001134118 BBGI BEASLEY BROADCAST GROUP, INC. 84,516 8.1% SEC filing
BEASLEY CAROLINE CIK 0001134290 BBGI BEASLEY BROADCAST GROUP, INC. 97,037 9.3% SEC filing
MILLENNIUM MANAGEMENT LLC CIK 0001273087 AVTX Avalo Therapeutics, Inc. 9,857 0% SEC filing
Divisadero Street Capital Management, LP CIK 0001901865 LIFE Ethos Technologies Inc. 2,018,326 6.5% SEC filing
Private Capital Management, LLC CIK 0001588456 TH Target Hospitality Corp. 3,701,815 3.7% SEC filing
Beryl Capital Management LLC CIK 0001719307 ULYX Urgent.ly Inc. 0 0% SEC filing
Ewon Comfortech Co., Ltd. CIK 0001973072 LIMN Liminatus Pharma, Inc. 5,500,000 11% SEC filing
Astaris Capital Management LLP CIK 0002040734 KNOP KNOT Offshore Partners LP 2,741,926 8.1% SEC filing
Private Capital Management, LLC CIK 0001588456 BBSI Barrett Business Services, Inc. 1,260,539 5.1% SEC filing
Chen Bihua CIK 0001599214 BBOT BridgeBio Oncology Therapeutics, Inc. 17,878,594 22% SEC filing
INTRACOASTAL CAPITAL, LLC CIK 0001646799 TNON Tenon Medical, Inc. 912,600 5% SEC filing
C/M CAPITAL PARTNERS, LP CIK 0002038499 SOAR Volato Group, Inc. 3,294,563 6.2% SEC filing
Konstantakopoulos Christos CIK 0001513019 CMRE Costamare Inc. 17,801,588 15% SEC filing
Konstantakopoulos Achillefs CIK 0001513021 CMDB Costamare Bulkers Holdings Ltd 4,790,965 20% SEC filing
Carmichael Oliver Cromwell III CIK 0001667420 SRCE 1st Source Corporation 1,228,240 4.9% SEC filing
S.H.N. Financial Investments Ltd. CIK 0001890802 FAMI Farmmi, Inc. 4,154,720 10% SEC filing
Universities Superannuation Scheme Ltd as sole corporate trustee for Universities Superannuation Scheme CIK 0001523591 CUSIP 21039R309 Constitution Capital Access Fund, LLC 44,016,021 68% SEC filing
Morris John Benjamin CIK 0002143731 SOGP Sound Group Inc. 42,922,600 7% SEC filing
HIRSCH LAURENCE E CIK 0001016213 ONDS Ondas Inc. 32,688,035 5.7% SEC filing
SEG Opportunity Fund, LLC CIK 0002041952 SOAR Volato Group, Inc. 5,000,000 9.4% SEC filing
Feis Equities LLC CIK 0001891626 WTGUU Wintergreen Acquisition Corp. 3,713 0.01% SEC filing
TRUIST FINANCIAL CORP CIK 0000092230 BDVG iM Global Partner Funds 233,615 32% SEC filing
CAPITAL MANAGEMENT CORP /VA CIK 0001074273 GTN Gray Television, Inc. 7,070,668 7.6% SEC filing
CAPITAL MANAGEMENT CORP /VA CIK 0001074273 LFVN LifeVantage Corporation 1,878,411 15% SEC filing
CAPITAL MANAGEMENT CORP /VA CIK 0001074273 TSQ Townsquare Media, Inc. 2,866,340 16% SEC filing
TRUIST FINANCIAL CORP CIK 0000092230 MGOV FIRST TRUST EXCHANGE-TRADED FUND IV 1,048,539 20% SEC filing
Capital Research Global Investors CIK 0001422848 HAL Halliburton Co. 8,651,999 1% SEC filing
Capital Research Global Investors CIK 0001422848 WOLF Wolfspeed, Inc. 1,831,822 3.4% SEC filing
WHITEBOX ADVISORS LLC CIK 0001257391 CUSIP 67623C307 OFFICE PROPERTIES INCOME TRUST 1,797,150 8.2% SEC filing
SIT INVESTMENT ASSOCIATES INC CIK 0000769317 MMT ABERDEEN MULTI-MARKET INCOME FUND 7,175,980 6.2% SEC filing
SIT INVESTMENT ASSOCIATES INC CIK 0000769317 BSL Blackstone Senior Floating Rate 2027 Term Fund 822,750 6.3% SEC filing
SIT INVESTMENT ASSOCIATES INC CIK 0000769317 BGX Blackstone Long-Short Credit Income Fund 607,252 4.8% SEC filing
SIT INVESTMENT ASSOCIATES INC CIK 0000769317 TSI TCW STRATEGIC INCOME FUND INC 20,744,061 33% SEC filing
NUANCE INVESTMENTS, LLC CIK 0001473182 MRTN MARTEN TRANSPORT LTD 0 4.9% SEC filing
Manulife Private Credit Plus Fund CIK 0001988855 CUSIP 03116F309 John Hancock Comvest Private Income Fund 1,672,168 8% SEC filing
Walther Larry M CIK 0002102021 ARTW ARTS WAY MANUFACTURING CO INC 480,000 9.2% SEC filing
Walther Larry M CIK 0002102021 ARTW ARTS WAY MANUFACTURING CO INC 480,000 0.1% SEC filing
TENOR CAPITAL MANAGEMENT Co., L.P. CIK 0001346554 CMII Columbus Circle Capital Corp II 1,225,028 5.2% SEC filing
I.B.I. Investments House Ltd CIK 0001666605 TATT TAT Technologies Ltd. 620,114 4.8% SEC filing
Calamos Wealth Management LLC CIK 0001455258 CUSIP 12811G306 Calamos Aksia Hedged Strategies Fund 743,450 13% SEC filing
Calamos Wealth Management LLC CIK 0001455258 CUSIP 12811C305 Calamos Aksia Private Equity and Alternatives Fund 5,780,351 16% SEC filing
Calamos Wealth Management LLC CIK 0001455258 CUSIP 12811A309 Calamos Aksia Alternative Credit and Income Fund 10,345,060 9.1% SEC filing
HOYANG DEVELOPMENT Ltd CIK 0002139302 RYDE Ryde Group Ltd 14,642,000 9.8% SEC filing
Hash Digital Investment Limited CIK 0002138526 RAY Raytech Holding Limited 165,836 6.1% SEC filing
Hash Digital Investment Limited CIK 0002138526 RYDE Ryde Group Ltd 10,000,000 6.7% SEC filing
LEE CHONG KUANG CIK 0001576035 CUSIP 39540F408 Greenpro Capital Corp. 2,106,799 12% SEC filing
Francisco Trust under agreement dated February 28, 1996 CIK 0001328329 DYAI DYADIC INTERNATIONAL INC 4,328,045 12% SEC filing
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