HF Foods Group Inc. - COM (HFFG)

Historical Holders from Q3 2018 to Q4 2025

Type / Class
Equity / COM
Symbol
HFFG on Nasdaq
Price per share
$2.25
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
10,520,561
Holdings value
$29,037,223
% of all portfolios
0%
Share change
-423,291
Value change
-$1,410,547
Average buys %
+0%
Average sells %
-0%
Number of holders
69
Price from insider filings
$2.25
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, HF Foods Group Inc. - COM (HFFG) has 69 institutional shareholders filing 13F forms. They hold 10,520,561 shares .

Institutional Holders of HF Foods Group Inc. - COM (HFFG) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 4 $9 -$9 $2.25 1
2025 Q3 10,520,561 $29,037,223 -$1,410,547 $2.76 69
2025 Q2 10,940,339 $34,790,396 +$2,151,744 $3.18 72
2025 Q1 10,201,660 $49,986,525 +$1,372,701 $4.90 63
2024 Q4 9,938,521 $31,903,277 +$1,049,178 $3.21 54
2024 Q3 9,605,703 $34,292,329 +$394,285 $3.57 54
2024 Q2 9,419,842 $28,258,932 -$77,670 $3.00 50
2024 Q1 9,383,514 $32,857,460 -$212,893 $3.50 52
2023 Q4 18,771 $100,237 $5.34 1
2023 Q3 8,832,044 $35,062,282 +$188,883 $3.97 48
2023 Q2 8,788,228 $41,215,866 +$1,256,447 $4.69 46
2023 Q1 8,543,928 $33,492,277 +$6,072,652 $3.92 46
2022 Q4 6,977,896 $28,328,365 +$670,235 $4.06 44
2022 Q3 4,752,246 $18,390,116 -$731,621 $3.87 36
2022 Q2 7,011,598 $36,598,702 +$149,713 $5.22 48
2022 Q1 7,156,368 $47,573,304 -$502,457 $6.66 51
2021 Q4 7,232,994 $61,181,219 +$983,088 $8.46 43
2021 Q3 7,159,622 $43,313,090 -$629,337 $6.05 45
2021 Q2 7,271,242 $38,470,038 -$280,641 $5.29 44
2021 Q1 7,461,121 $53,870,888 +$99,249 $7.22 45
2020 Q4 5,436,869 $40,889,589 -$137,205 $7.52 47
2020 Q3 7,244,524 $47,882,392 -$22,858 $6.61 45
2020 Q2 5,455,488 $49,361,247 +$18,639,862 $9.05 47
2020 Q1 3,406,209 $28,576,672 +$13,501,166 $8.39 40
2019 Q4 3,107,082 $60,587,102 +$40,407,510 $19.50 29
2019 Q3 1,031,526 $17,584,257 -$396,835 $17.04 25
2019 Q2 907,297 $31,580,850 +$19,247,530 $34.80 27
2019 Q1 419,703 $5,560,000 +$862,791 $13.24 15
2018 Q4 354,394 $4,713,000 +$289,226 $13.28 8
2018 Q3 332,408 $5,019,000 +$5,018,992 $15.10 4