Latest 13D/G Reports

Since Apr 2, 2025

Company Symbol Filer Shares owned Ownership %
PROSHARES TRUST MRGR EXENCIAL WEALTH ADVISORS, LLC 25.6K 10.3%
iSHARES TRUST HEWJ BlackRock Portfolio Management LLC 2.46M 28.6%
OPKO HEALTH, INC. OPK FROST PHILLIP MD ET AL 252M 31.7%
OPKO HEALTH, INC. OPK HSIAO JANE PH D 35.7M 4.5%
iSHARES TRUST TWOX BlackRock Portfolio Management LLC 400K 71.4%
iSHARES TRUST DMAX BlackRock Portfolio Management LLC 400K 13.2%
iShares, Inc. EWG BlackRock Portfolio Management LLC 2.09M 3.8%
TrueBlue, Inc. TBI Azarias Capital Management, L.P. 1.72M 5.8%
HOOKER FURNISHINGS Corp HOFT Azarias Capital Management, L.P. 683K 6.4%
MATRIX SERVICE CO MTRX Azarias Capital Management, L.P. 1.44M 5.2%
WillScot Holdings Corp WSC BlackRock, Inc. 21.6M 11.8%
Upland Software, Inc. UPLD van Schaick Petrus Paulus 2M 7%
Allakos Inc. ALLK TANG CAPITAL MANAGEMENT LLC 8.69M 9.6%
Element Solutions Inc ESI BlackRock, Inc. 26M 10.7%
Resolute Holdings Management, Inc. RHLD LOCUST WOOD CAPITAL ADVISERS, LLC 547K 6.4%
AMBAC FINANCIAL GROUP INC AMBC BlackRock, Inc. 4M 8.7%
Ensysce Biosciences, Inc. ENSC PERCEPTIVE ADVISORS LLC 86.7K 5.3%
Fulgent Genetics, Inc. FLGT BlackRock, Inc. 1.82M 5.9%
GameStop Corp. GME Cohen Ryan 37.3M 8.4%
Mueller Water Products, Inc. MWA BlackRock, Inc. 25.3M 16.1%
Sow Good Inc. SOWG CALM WATERS PARTNERSHIP 561K 4.9%
CPI AEROSTRUCTURES INC CVU CALM WATERS PARTNERSHIP 654K 5%
Sandisk Corporation SNDK WESTERN DIGITAL CORP 28.8M 19.9%
Solaris Energy Infrastructure, Inc. SEI BlackRock Portfolio Management LLC 4.15M 10.9%
Nvni Group Limited NVNI Busnello Luiz 150K 30%
Nvni Group Limited NVNI Schurmann Pierre 350K 70%
DATA 443 RISK MITIGATION, INC Quick Capital, LLC 9.9 9.9%
VOXX International Corp VOXX GAMCO INVESTORS, INC. ET AL 0 0%
Ryman Hospitality Properties, Inc. RHP BlackRock, Inc. 10.3M 17.3%
WABASH NATIONAL Corp WNC BlackRock, Inc. 3.71M 8.7%
HAIN CELESTIAL GROUP INC HAIN BlackRock, Inc. 6.67M 7.4%
GREEN DOT CORP GDOT BlackRock, Inc. 3.4M 6.3%
NABORS INDUSTRIES LTD NBR BlackRock, Inc. 739K 5.1%
iSHARES TRUST INDY BlackRock, Inc. 1.98M 15.6%
Mativ Holdings, Inc. MATV BlackRock, Inc. 4.14M 7.6%
Green Plains Inc. GPRE BlackRock, Inc. 4.9M 7.6%
JBT Marel Corp JBTM BlackRock, Inc. 6.98M 13.5%
NorthWestern Energy Group, Inc. NWE BlackRock, Inc. 7.98M 13%
BORGWARNER INC BWA BlackRock, Inc. 25.5M 11.6%
Freshpet, Inc. FRPT BlackRock, Inc. 5.64M 11.6%
FMC CORP FMC BlackRock, Inc. 17.4M 14%
KRATOS DEFENSE & SECURITY SOLUTIONS, INC. KTOS BlackRock, Inc. 24.1M 15.8%
XTI Aerospace, Inc. XTIA Streeterville Capital LLC 0 0%
Verde Clean Fuels, Inc. VGASW Walleye Capital LLC 780K 3.53%
HF Sinclair Corp DINO BlackRock, Inc. 19.1M 10.1%
CLEANSPARK, INC. CLSK BlackRock, Inc. 43.6M 15.5%
NEXSTAR MEDIA GROUP, INC. NXST BlackRock, Inc. 3.21M 10.5%
Aeva Technologies, Inc. AEVA Sylebra Capital Ltd 16.2M 29.6%
Consolidated Water Co. Ltd. CWCO BlackRock, Inc. 1.75M 11%
Celanese Corp CE BlackRock, Inc. 12.5M 11.2%
GeoPark Ltd GPRK cobas asset management, sgiic, s.a. 2.57M 5%
Invesco Exchange-Traded Fund Trust II XSHQ NEW YORK LIFE INVESTMENT MANAGEMENT LLC 568K 0%
TELEFLEX INC TFX BlackRock, Inc. 5.68M 12.7%
Chewy, Inc. CHWY BAILLIE GIFFORD & CO 5.98M 3.1%
Desktop Metal, Inc. DM Trium Capital LLP 100 5.1%
Stronghold Digital Mining, Inc. SDIG Trium Capital LLP 0 0%
BARNWELL INDUSTRIES INC BRN SHERWOOD NED L 3.01M 29.9%
ANGI INC. ANGI Diller Barry 3.36M 6.8%
GRANITESHARES ETF TRUST SMCL MIZUHO FINANCIAL GROUP INC 493K 18.4%
PolyPid Ltd. PYPD Aurum Ventures M.K.I. Ltd. 2.01M 19.8%
TALPHERA, INC. TLPH Nantahala Capital Management, LLC 1.99M 11.7%
IMPACT BIOMEDICAL INC. Chan Heng Fai Ambrose 2.04M 16.9%
Pyxis Oncology, Inc. PYXS Sullivan Lara 7.54M 11.21%
Stagwell Inc STGW Stagwell Group LLC 154M 57.9%
Prairie Operating Co. PROP BRISTOL INVESTMENT FUND LTD 2.63M 6.36%
Broad Street Realty, Inc. BRST Fortress Investment Group LLC 2.56M 6.8%
DoubleDown Interactive Co., Ltd. DDI B. Riley Financial, Inc. 222K 9%
Babcock & Wilcox Enterprises, Inc. BW B. Riley Financial, Inc. 13.2M 13.5%
TransAct Technologies, Inc. TACT B. Riley Financial, Inc. 827K 8.3%
Babcock & Wilcox Enterprises, Inc. BW B. Riley Securities, Inc. 15.6M 15.8%
Guess?, Inc. GES MARCIANO PAUL 19.5M 37.7%
SHARING SERVICES GLOBAL Corp SHRG Chan Heng Fai Ambrose 4.27M 96%
STAAR SURGICAL CO STAA BROADWOOD PARTNERS, L.P. 12.5M 25.4%
Two Roads Shared Trust FDTB FOUNDATIONS INVESTMENT ADVISORS, LLC 379K 45.89%
DoubleLine ETF Trust DCMT FOUNDATIONS INVESTMENT ADVISORS, LLC 668K 83.56%
CCC INTELLIGENT SOLUTIONS HOLDINGS INC. CCCS ADVENT INTERNATIONAL, L.P. 97.3M 15%
KINGSWAY FINANCIAL SERVICES INC KFS STILWELL JOSEPH 5.97M 21.6%
Entera Bio Ltd. ENTX OPKO HEALTH, INC. 3.69M 8.1%
Royalty Management Holding Corp RMCO White River Holdings LLC 1.15M 7.7%
KKR Real Estate Select Trust Inc. KKR Alternative Assets LLC 10.4M 43.6%
Axil Brands, Inc. AXIL TOGHRAIE JEFF 3.8M 47.9%
Venus Concept Inc. VERO Madryn Asset Management, LP 175K 20%
WESTERN ASSET INTERMEDIATE MUNI FUND INC. SBI SIT INVESTMENT ASSOCIATES INC 628K 4.5%
GABELLI MULTIMEDIA TRUST INC. GGT SIT INVESTMENT ASSOCIATES INC 1.67M 4.9%
NXG Cushing Midstream Energy Fund SRV SIT INVESTMENT ASSOCIATES INC 213K 4.9%
ALLSPRING MULTI-SECTOR INCOME FUND ERC SIT INVESTMENT ASSOCIATES INC 2.23M 8%
MFS CHARTER INCOME TRUST MCR SIT INVESTMENT ASSOCIATES INC 2.45M 5.9%
KKR Income Opportunities Fund KIO SIT INVESTMENT ASSOCIATES INC 2.26M 5.5%
Valens Semiconductor Ltd. VLN Zilka Yahal 963K 0.9%
Innoviz Technologies Ltd. INVZ Zilka Yahal 83.4K 0.05%
Fluent, Inc. FLNT FROST PHILLIP MD ET AL 4.91M 23.7%
Mustang Bio, Inc. MBIO Fortress Biotech, Inc. 199K 7.9%
Shoals Technologies Group, Inc. SHLS Point72 Asset Management, L.P. 9.03M 5.4%
Avenue Therapeutics, Inc. ATXI Fortress Biotech, Inc. 329K 10.3%
Mawson Infrastructure Group Inc. MIGI MEWAWALLA RAHUL 4.26M 22.7%
AZUL SA AZUL NEELEMAN DAVID 26.3M 7.4%
Surrozen, Inc. SRZN Venrock Healthcare Capital Partners III, L.P. 873K 9.9%
Prairie Operating Co. PROP Bayswater Exploration & Production, LLC 3.66M 9.8%
Hamilton Lane Incorporated HLNE HLA INVESTMENTS LLC 15.7M 28.2%
CommScope Holding Company, Inc. COMM Carlyle Group Inc. 45.2M 17.3%