Latest 13D/G Reports

Since Apr 2, 2025

Company Symbol Filer Shares owned Ownership %
Stardust Power Inc. SDST PUJARI ROSHEN 26.7M 46.2%
Alset Inc. AEI Chan Heng Fai Ambrose 7.72M 65.8%
CAL-MAINE FOODS INC CALM BAKER ADOLPHUS B 1.47M 3.02%
Chimerix, Inc. CMRX GLAZER CAPITAL, LLC 4.61M 4.92%
SolarWinds Corporation SWI Silver Lake Group, L.L.C. 0 0%
MICROSTRATEGY Inc MSTR BlackRock, Inc. 14.2M 5.8%
Varex Imaging Corp VREX BlackRock, Inc. 3.36M 8.2%
Value Exchange International, Inc. Chan Heng Fai Ambrose 51.6M 69.9%
SITE Centers Corp. SITC RUSH ISLAND MANAGEMENT, LP 2.66M 5.1%
Tortoise Sustainable and Social Impact Term Fund TEAF Saba Capital Management, L.P. 1.53M 11.33%
AGNICO EAGLE MINES LTD AEM BlackRock, Inc. 29.1M 5.8%
CHEETAH MOBILE INC. CMCM Tencent Holdings Ltd 236M 31.9%
Icahn Enterprises L.P. IEP ICAHN CARL C 473M 86.79%
SUN COMMUNITIES INC SUI BlackRock, Inc. 9.94M 7.8%
NAUTICUS ROBOTICS, INC. KITT Material Impact Fund II, L.P. 6.99M 16.6%
Xtant Medical Holdings, Inc. XTNT Nantahala Capital Management, LLC 68.4M 49.1%
Nanobiotix S.A. NBTX Invus Global Management, LLC 4.23M 8.9%
Star Holdings STHO BlackRock, Inc. 950K 7.1%
FIREFLY NEUROSCIENCE, INC. AIFF Roxy Capital Corp 425K 3.7%
Aspire Biopharma Holdings, Inc. ASBP Friedman Lance 4.05M 8.28%
Gen Digital Inc. GEN BlackRock, Inc. 50.1M 8.1%
Enstar Group Limited ESGR Silvester Dominic Francis Michael 868K 5.8%
EXAGEN INC. XGN NMSIC Co-Investment Fund, L.P. 1.76M 9.83%
Northfield Bancorp, Inc. NFBK BlackRock, Inc. 3.15M 7.3%
Duolingo, Inc. DUOL Hacker Severin 3.2M 7.6%
Dianthus Therapeutics, Inc. /DE/ DNTH Point72 Asset Management, L.P. 1.89M 5.9%
STANDARD MOTOR PRODUCTS, INC. SMP GAMCO INVESTORS, INC. ET AL 882K 4%
PACKAGING CORP OF AMERICA PKG BlackRock, Inc. 7.42M 8.3%
QUANTUM CORPORATION QMCO PACIFIC INVESTMENT MANAGEMENT CO LLC 0 0%
Innovative Eyewear, Inc. LUCY INTRACOASTAL CAPITAL, LLC 333K 9.99%
Allakos Inc. ALLK TANG CAPITAL MANAGEMENT LLC 8.69M 9.6%
MacroGenics, Inc. MGNX MILLENNIUM MANAGEMENT LLC 1.72M 2.7%
United Homes Group, Inc. UHG Conversant Capital LLC 1.49M 6.9%
XYLO TECHNOLOGIES LTD XYLO L.I.A. Pure Capital Ltd 2.9M 8.77%
Hudson Pacific Properties, Inc. HPP MILLENNIUM MANAGEMENT LLC 5.6M 4%
LKQ CORP LKQ BlackRock, Inc. 21.9M 8.5%
HEALTHSTREAM INC HSTM BlackRock, Inc. 3.62M 11.9%
The Carlyle Group Inc. CG Rubenstein David M. 29.2M 8.1%
The Carlyle Group Inc. CG D'Aniello Daniel A. 32.5M 9%
The Carlyle Group Inc. CG CONWAY WILLIAM E JR 30M 8.3%
The Carlyle Group Inc. CG Carlyle Group Management L.L.C. 0 0%
Cushman & Wakefield plc CWK VAUGHAN NELSON INVESTMENT MANAGEMENT, L.P. 9.13M 3.97%
Kosmos Energy Ltd. KOS VAUGHAN NELSON INVESTMENT MANAGEMENT, L.P. 4.03M 0.84%
Robin Energy Ltd. Pani Corp. 1.3M 54.3%
DEVON ENERGY CORP/DE DVN BlackRock, Inc. 44.5M 6.9%
SAFE & GREEN HOLDINGS CORP. SGBX East West Capital, LLC 700K 9.9%
CHEMUNG FINANCIAL CORP CHMG BlackRock, Inc. 211K 4.4%
Denali Therapeutics Inc. DNLI BlackRock, Inc. 10.5M 7.2%
CRA INTERNATIONAL, INC. CRAI BlackRock, Inc. 501K 7.4%
Nutanix, Inc. NTNX BlackRock, Inc. 16.4M 6.1%
CytoSorbents Corporation CTSO Skylands Capital, LLC 3M 4.8%
AppLovin Corp APP BlackRock, Inc. 16.7M 5.4%
Citi Trends Inc CTRN Shay Capital LLC 442K 5.1%
Vertiv Holdings Co VRT BlackRock, Inc. 21.3M 5.6%
APA Corp APA BlackRock, Inc. 22.9M 6.3%
NEWMONT Corp /DE/ NEM BlackRock, Inc. 97.6M 8.7%
ACUITY BRANDS INC AYI BlackRock, Inc. 2.76M 8.9%
Carlyle Tactical Private Credit Fund THRIVENT FINANCIAL FOR LUTHERANS 3M 10%
Austin Gold Corp. AUST HIGGS DENNIS LYLE 3.93M 27.9%
Atea Pharmaceuticals, Inc. AVIR Radoff Bradley Louis 3.38M 4%
SecureWorks Corp. SCWX GARDNER LEWIS ASSET MANAGEMENT L P 0 0%
Cloudflare, Inc. NET BAILLIE GIFFORD & CO 27.4M 8.9%
GOLDEN ENTERTAINMENT, INC. GDEN DAVENPORT & Co LLC 1.43M 5.4%
WORTHINGTON ENTERPRISES INC WOR BlackRock, Inc. 4.67M 9.3%
VOYA FINANCIAL INC VOYA BlackRock, Inc. 8.8M 9.2%
Wingstop Inc. WING BlackRock, Inc. 2.74M 9.6%
WILLIAMS SONOMA INC WSM BlackRock, Inc. 11.3M 9.1%
UNIVERSAL HEALTH SERVICES INC UHS BlackRock, Inc. 4.14M 7.2%
WATERS CORPORATION WAT BlackRock, Inc. 5.35M 9%
WORLD ACCEPTANCE CORPORATION WRLD BlackRock, Inc. 520K 9%
UNITED PARCEL SERVICE INC UPS BlackRock, Inc. 44.7M 6.1%
RADIUS RECYCLING, INC. RDUS BlackRock, Inc. 1.97M 7.1%
Rush Street Interactive, Inc. RSI BlackRock, Inc. 5.61M 5.9%
SJW GROUP SJW BlackRock, Inc. 5.62M 16.7%
V. F. CORPORATION VFC BlackRock, Inc. 28.9M 7.4%
Block, Inc. XYZ BlackRock, Inc. 29.1M 5.2%
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORPORATION WAB BlackRock, Inc. 12.1M 7.1%
WINMARK CORP WINA BlackRock, Inc. 217K 6.1%
WASHINGTON TRUST BANCORP INC WASH BlackRock, Inc. 1.55M 8%
SUTRO BIOPHARMA, INC. STRO BlackRock, Inc. 6.14M 7.3%
Texas Roadhouse Inc TXRH BlackRock, Inc. 6.2M 9.3%
PINNACLE WEST CAPITAL CORP PNW BlackRock, Inc. 9.82M 8.2%
TYSON FOODS INC TSN BlackRock, Inc. 25M 8.7%
YORK WATER YORW BlackRock, Inc. 1.53M 10.7%
MODINE MANUFACTURING CO MOD BlackRock, Inc. 3.84M 7.3%
NATERA INC NTRA BlackRock, Inc. 7.57M 5.6%
SUN COMMUNITIES INC SUI BlackRock, Inc. 9.94M 7.8%
FLAGSTAR FINANCIAL, INC. FLG BlackRock, Inc. 34M 8.2%
MOVADO GROUP INC MOV BlackRock, Inc. 1.12M 7.2%
MIDWESTONE FINANCIAL GROUP INC MOFG BlackRock, Inc. 1.37M 6.6%
STEELCASE INC SCS BlackRock, Inc. 7.32M 7.8%
SI-BONE, Inc. SIBN BlackRock, Inc. 3.42M 8.1%
HENRY SCHEIN INC HSIC BlackRock, Inc. 7.61M 6.1%
SANDY SPRING BANCORP INC SASR BlackRock, Inc. 3.56M 7.9%
Ryerson Holding Corp RYI BlackRock, Inc. 2.72M 8.5%
Liberty Media Corp FWONK BlackRock, Inc. 12.2M 5.5%
LAMB WESTON HOLDINGS INC LW BlackRock, Inc. 8.89M 6.2%
ROSS STORES INC ROST BlackRock, Inc. 22.6M 6.9%
ROBERT HALF INC. RHI BlackRock, Inc. 14.5M 14.2%
RIGEL PHARMACEUTICALS INC RIGL BlackRock, Inc. 1.38M 7.7%