Latest 13D/G Reports

Since 28 Jan 2026

Filed by Symbol Subject Shares owned Ownership %
MainStreet Bank 401(k) Retirement Plan MNSB MainStreet Bancshares, Inc. 383,763 5.1%
GAMCO INVESTORS, INC. ET AL MNRO MONRO, INC. 0 0%
Pierri Ciro Leonardo NITO N2OFF, Inc. 227,064 4.4%
Paradigm Biocapital Advisors LP EYPT EyePoint, Inc. 4,192,261 5.1%
Springhouse Capital Management, LP BNED Barnes & Noble Education, Inc. 2,335,442 6.8%
Felix Holdings B.V. TRUP TRUPANION, INC 4,296,538 9.9%
Springhouse Capital Management, LP LOVE Lovesac Co. 918,674 6.3%
Streeterville Capital LLC XTKG X3 Holdings Co., Ltd. 2,048,722 9.9%
PL Capital Advisors, LLC ARBV American Riviera Bancorp 569,500 10%
Amundi ERII Energy Recovery, Inc. 2,852,138 5.4%
RPD Fund Management LLC APPN APPIAN CORPORATION 3,900,656 9.1%
Fourth Sail Capital LP GPRK GeoPark Ltd 3,232,585 6.3%
Fourth Sail Capital LP CVGW CALAVO GROWERS INC 1,109,343 6.2%
Zisapel Michael RDCM RadCom Ltd 2,294,738 14%
Galloway Capital Partners, LLC NDLS NOODLES & Co 512,800 8.8%
Phoenix Financial Ltd. SMWB SIMILARWEB LTD 2,502,769 2.9%
SUNCORPORATION CLBT Cellebrite DI Ltd. 106,065,324 43%
Elliott Investment Management L.P. LUV SOUTHWEST AIRLINES CO 45,875,000 9.3%
Linden Capital L.P. Abony Acquisition Corp. I 1,350,000 5.7%
PROEHL GERALD T DRMA Dermata Therapeutics, Inc. 694,687 17%
Point72 Asset Management, L.P. BBNX Beta Bionics, Inc. 2,290,023 5.2%
Saba Capital Management, L.P. HQL abrdn Life Sciences Investors 1,464,161 5%
Kruse William R REI RING ENERGY, INC. 14,758,732 7%
Brown Tice EMPD Empery Digital Inc. 3,242,022 9.8%
BW Group Ltd DHT DHT Holdings 13,461,181 8.4%
Alta Partners LLC VSEE VSee Health, Inc. 833,331 2%
Global Frontier Investments LLC Infleqtion, Inc. 25,705,546 12%
Morrison Todd Hale BRTX BioRestorative Therapies, Inc. 0 0%
DAVIDSON KEMPNER CAPITAL MANAGEMENT LP NVRI ENVIRI Corp 4,285,800 5.3%
Bios Equity Partners, LP LTRN Lantern Pharma Inc. 960,026 8.6%
Ghassemieh Babak BHR Braemar Hotels & Resorts Inc. 2,615,949 3.7%
South Dakota Investment Council VTOL Bristow Group Inc. 2,098,126 7.3%
JANE STREET GROUP, LLC BRR ProCap Financial, Inc. 6,287,596 7.4%
JEFFERSON RIVER CAPITAL LLC RNLXY Renalytix plc 19,644,391 4.5%
JANE STREET GROUP, LLC BRR ProCap Financial, Inc. 6,873,230 7.9%
Greuling Megan TREE LendingTree, Inc. 2,547,410 18%
STRS OHIO Stone Point Credit Income Fund 1,138,352 8.9%
Chiliz Group Ltd. PCSA Processa Pharmaceuticals, Inc. 305,644 13%
Star Financial Corp ZenaTech, Inc. 5,345,000 100%
RP Investment Advisors LP Vine Hill Capital Investment Corp. II 1,250,000 5.4%
RP Investment Advisors LP Willow Lane Acquisition Corp. II 741,980 5.9%
Harel Insurance Investments & Financial Services Ltd. BWAY Brainsway Ltd. 1,981,714 5.2%
Harel Insurance Investments & Financial Services Ltd. GILT Gilat Satellite Networks Ltd 3,873,305 5.2%
Parex Resources Inc. GPRK GeoPark Ltd 6,085,086 12%
ORTENZIO ROBERT A SEM SELECT MEDICAL HOLDINGS CORP 14,019,735 11%
GILEAD SCIENCES, INC. ACLX Arcellx, Inc. 6,720,803 12%
CUSHING ASSET MANAGEMENT, LP dba NXG INVESTMENT MANAGEMENT ARKO Petroleum Corp. 715,000 6.4%
Opaleye Management Inc. ACOG Alpha Cognition Inc. 2,193,589 10%
Opaleye Management Inc. QTTB Q32 Bio Inc. 1,256,228 8.6%
BIOTECHNOLOGY VALUE FUND L P IMUX IMMUNIC, INC. 13,630,601 10%
Harris Brian LADR Ladder Capital Corp 8,708,733 6.8%
Grupo Angeles Servicios de Salud, S.A. de C.V. AUNA AUNA S.A. 655,538 2.2%
BT DE Investments Inc. OGI ORGANIGRAM GLOBAL INC. 40,134,389 30%
MILLENNIUM MANAGEMENT LLC Proem Acquisition Corp I 752,500 4.1%
TPG GP A, LLC MITT TPG Mortgage Investment Trust, Inc. 1,458,933 4.6%
COLUMBUS CIRCLE 2 SPONSOR Corp LLC Columbus Circle Capital Corp II 7,931,667 25%
Tether Global Investments Fund, S.I.C.A.F., S.A. BTDR BITDEER TECHNOLOGIES GROUP 38,356,531 20%
Vivo Opportunity Fund Holdings, L.P. IMUX Immunic, Inc. 29,126,906 10%
CORSAIR CAPITAL MANAGEMENT, L.P. CNVS Cineverse Corp. 1,762,650 8.1%
DNA Holdings Venture Inc. SONM DNA X, Inc. 223,201 20%
Severgnini Achille G. RPRX Royalty Pharma plc 24,223,082 5.7%
MILLENNIUM MANAGEMENT LLC NTST NETSTREIT Corp. 5,246,726 5.4%
CASCADE INVESTMENT, L.L.C. RSG Republic Services, Inc. 109,816,832 36%
INTRACOASTAL CAPITAL, LLC LIMN Liminatus Pharma, Inc. 2,065,885 5%
KW Kingfisher LLC SOHO Sotherly Hotels Inc. 100 100%
Opaleye Management Inc. ACOG Alpha Cognition Inc. 2,268,589 10%
Chernett Jorey KZIA KAZIA THERAPEUTICS LTD 1,412,662 12%
Huntsman Peter R HUN Huntsman Corporation 8,905,173 5.1%
Apollo Principal Holdings A GP, Ltd. GBTG Global Business Travel Group, Inc. 22,884,991 4.4%
KARIEGA VENTURES, S.L. WBX WALLBOX NV 1,129,107 6.7%
Coastlands Capital LP NERV Minerva Neurosciences, Inc. 4,563,031 10%
Sculptor Capital LP BCAR D. Boral Acquisition I Corp. 1,750,000 5.6%
Taylor Ryan Barwick ASTI Ascent Solar Technologies, Inc. 753,500 9.8%
RP Investment Advisors LP UACU United Acquisition Corp. I 925,000 9.1%
RP Investment Advisors LP Spartacus Acquisition Corp. II 1,250,000 5.4%
Radoff Bradley Louis SEER Seer, Inc. 2,100,000 3.7%
LSQ Investment Fund SPC - Disruptive Opportunity Fund II SP MATH Metalpha Technology Holding Ltd 3,709,600 8.6%
GG Mars Capital Inc ZenaTech, Inc. 3,951,864 100%
Braeden Lichti NVNO enVVeno Medical Corp 33,151 5%
NORTHSTRIVE FUND II LP NVNO enVVeno Medical Corp 33,151 5%
Farallon Capital Partners, L.P. TYRA Tyra Biosciences, Inc. 2,984,818 5.6%
ORAMED PHARMACEUTICALS INC. NNDM Nano Dimension Ltd. 10,942,087 5.2%
Harraden Circle Investments, LLC Spartacus Acquisition Corp. II 1,500,000 6.5%
Two Seas Capital LP CORZ Core Scientific, Inc. 20,697,679 6.7%
United Acquisition SPAC LLC United Acquisition Corp. I 3,908,790 27%
KOHNEN CHARLES SCIA SCI Engineered Materials, Inc. 364,000 8.1%
LENNAR CORP /NEW/ HIPO Hippo Holdings Inc. 0 0%
Fund 1 Investments, LLC FNKO Funko, Inc. 5,450,251 10%
Ascent Partners Fund LLC Our Bond, Inc. 1,728,022 10%
SIM Sponsor 1 LLC SIMA SIM ACQUISITION CORP. I 7,526,669 25%
Funicular Funds, LP ACOG Alpha Cognition Inc. 1,114,747 5.1%
Bradley & Daytona Railway & Land Co. LLC PWPRA Power REIT 16,860 5%
Portolan Capital Management, LLC FORR Forrester Research, Inc. 1,163,008 6.1%
Feis Equities LLC XFLH Capital Corp 585,475 5.8%
Ascent Capital Partners LLC INV Innventure, Inc. 5,282,828 6.7%
BOARD OF DIRECTORS OF METLIFE INC MET MetLife, Inc. 105,374,380 16%
Pale Fire Capital SE PHR Phreesia, Inc. 5,572,824 9.2%
SANFORD PENNY EXPI EXP WORLD HOLDINGS, INC. 26,731,114 17%
Sanford Glenn Darrel EXPI EXP WORLD HOLDINGS, INC. 41,663,780 26%
Point72 Asset Management, L.P. QTTB Q32 Bio Inc. 2,057,308 9.9%