LifeMD, Inc. - COM (LFMD) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / COM
Symbol
LFMD on Nasdaq
Price per share
$3.41
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
20,469,760
Total reported value
$138,987,584
% of total 13F portfolios
0%
Share change
-3,264,692
Value change
-$45,253,877
Number of holders
111
Price from insider filings
$3.41
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 111 institutional investors reported holding 20,469,760 shares of LifeMD, Inc. - COM (LFMD).

Institutional Holders of LifeMD, Inc. - COM (LFMD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 37,366 $127,152 -$1,394,940 $3.41 3
2025 Q3 20,469,760 $138,987,584 -$45,253,877 $6.79 111
2025 Q2 23,936,447 $326,006,450 +$112,379,923 $13.62 126
2025 Q1 16,484,300 $89,676,910 +$3,415,763 $5.44 101
2024 Q4 16,046,161 $79,433,129 -$6,285,118 $4.95 106
2024 Q3 17,035,353 $89,266,879 +$1,798,061 $5.24 99
2024 Q2 16,224,184 $111,297,770 +$5,225,201 $6.86 103
2024 Q1 14,626,097 $150,305,820 +$21,456,683 $10.28 89
2023 Q4 111,738 $926,308 +$309,540 $8.29 1
2023 Q3 8,874,717 $55,469,343 +$20,614,243 $6.25 62
2023 Q2 5,769,940 $25,098,482 +$729,552 $4.35 51
2023 Q1 5,672,748 $9,644,553 -$195,378 $1.70 43
2022 Q4 6,872,431 $13,330,787 +$818,176 $1.94 43
2022 Q3 5,348,977 $10,538,000 -$321,966 $1.97 38
2022 Q2 5,498,710 $11,220,000 +$643,665 $2.04 37
2022 Q1 5,162,931 $18,227,000 -$2,935,888 $3.53 44
2021 Q4 5,944,453 $23,012,000 -$15,606,158 $3.87 51
2021 Q3 8,769,797 $54,711,000 +$10,001,175 $6.21 65
2021 Q2 6,747,165 $79,450,000 +$19,912,754 $11.78 60
2021 Q1 4,729,156 $74,792,000 +$74,590,040 $15.82 48
2020 Q4 7,710 $91,000 $0 $11.80 1
2020 Q3 7,710 $91,000 $0 $11.80 1
2020 Q2 7,710 $91,000 $0 $11.80 1
2020 Q1 7,710 $91,000 $0 $11.80 1
2019 Q4 7,710 $91,000 $0 $11.80 1
2019 Q3 7,710 $91,000 $0 $11.80 1
2019 Q2 7,710 $91,000 $0 $11.80 1
2019 Q1 7,710 $91,000 $0 $11.80 1