Latest 13D/G Reports

Since 29 Jan 2026

Filed by Symbol Subject Shares owned Ownership %
MORGAN STANLEY IHD Voya Emerging Markets High Dividend Equity Fund 1,086,748 6.1%
MORGAN STANLEY ODD Oddity Tech Ltd 3,822,142 8.3%
AKIN THOMAS B HIPO Hippo Holdings Inc. 1,479,262 5.8%
Invesco Ltd. ADMA ADMA Biologics Inc 11,785,202 5%
MORGAN STANLEY MEGI NYLI CBRE Global Infrastructure Megatrends Term Fund 2,832,138 5.4%
MORGAN STANLEY NET Cloudflare, Inc. 16,803,415 5.3%
Invesco Ltd. BLFS BioLife Solutions Inc 3,932,191 8.2%
MORGAN STANLEY NPCT NUVEEN CORE PLUS IMPACT FUND 2,290,571 8%
KCM Capital Inc VVPR VivoPower International PLC 0 0%
GOLDMAN SACHS GROUP INC MBVI M3-BRIGADE ACQUISITION VI CORP 2,080,501 6%
GOLDMAN SACHS GROUP INC NTLA INTELLIA THERAPEUTICS, INC. 3,157,178 2.7%
Wells Dominic Benjamin James ONFO Onfolio Holdings, Inc 1,716,931 27%
Invesco Ltd. KGS Kodiak Gas Services Inc 7,593,274 8.8%
GOLDMAN SACHS GROUP INC BACQ INFLECTION POINT ACQUISITION CORP. IV 3,244,391 13%
MORGAN STANLEY XOMA XOMA Royalty Corp 1,702,545 14%
Invesco Ltd. HTHT H World Group Ltd 138,528,710 4.5%
GOLDMAN SACHS ASSET MANAGEMENT, L.P. BFAM BRIGHT HORIZONS FAMILY SOLUTIONS INC. 2,982,913 5.3%
HOME FEDERAL BANK EMPLOYEE STOCK OWNERSHIP PLAN TRUST HFBL Home Federal Bancorp, Inc. of Louisiana 426,986 14%
Invesco Ltd. EWBC East West Bancorp Inc 9,248,838 6.7%
REINHART PARTNERS, LLC. MMI Marcus & Millichap, Inc. 0 0%
MORGAN STANLEY XFOR X4 Pharmaceuticals, Inc 8,196,489 9.4%
Champlain Investment Partners, LLC FRPT Freshpet, Inc. 1,776,396 3.6%
GOTTWALD JOHN D TG TREDEGAR CORPORATION 6,448,925 18%
MORGAN STANLEY QXO QXO, Inc. 57,700,582 8.6%
Flynn James E BCRX BioCryst Pharmaceuticals, Inc. 14,341,000 6.8%
Flynn James E NUVL Nuvalent, Inc. 22,852,280 24%
RENAISSANCE TECHNOLOGIES LLC XBIO Xenetic Biosciences, Inc. 178,509 7.8%
RENAISSANCE TECHNOLOGIES LLC W Wayfair Inc. 5,407,325 5.1%
RENAISSANCE TECHNOLOGIES LLC TK TEEKAY CORP LTD 4,195,875 4.9%
RENAISSANCE TECHNOLOGIES LLC TAIT TAITRON COMPONENTS INC 0 0%
RENAISSANCE TECHNOLOGIES LLC SWBI SMITH & WESSON BRANDS, INC. 2,196,874 4.9%
RENAISSANCE TECHNOLOGIES LLC REX REX AMERICAN RESOURCES Corp 1,595,630 4.8%
RENAISSANCE TECHNOLOGIES LLC PRDO PERDOCEO EDUCATION Corp 3,654,064 5.7%
RENAISSANCE TECHNOLOGIES LLC MOMO Hello Group Inc. 7,823,010 6.6%
RENAISSANCE TECHNOLOGIES LLC INVA Innoviva, Inc. 4,210,172 5.6%
RENAISSANCE TECHNOLOGIES LLC HSII HEIDRICK & STRUGGLES INTERNATIONAL INC 0 0%
RENAISSANCE TECHNOLOGIES LLC HLF HERBALIFE LTD. 5,619,568 5.4%
RENAISSANCE TECHNOLOGIES LLC GRDX GridAI Technologies Corp. 31,000 0.92%
RENAISSANCE TECHNOLOGIES LLC GBIO Generation Bio Co. 287,614 4.3%
RENAISSANCE TECHNOLOGIES LLC FONR FONAR CORPORATION 315,716 5.1%
RENAISSANCE TECHNOLOGIES LLC FFNW First Financial Northwest, Inc. 0 0%
RENAISSANCE TECHNOLOGIES LLC DBX DROPBOX, INC. 8,376,364 4.6%
RENAISSANCE TECHNOLOGIES LLC DAIO DATA I/O CORP 437,637 4.7%
RENAISSANCE TECHNOLOGIES LLC CORT CORCEPT THERAPEUTICS INCORPORATED 5,758,528 5.5%
RENAISSANCE TECHNOLOGIES LLC BTM Bitcoin Depot Inc. 1,534,631 4.3%
RENAISSANCE TECHNOLOGIES LLC BFIN BankFinancial CORP 575,287 4.6%
Linden Capital L.P. RNGT Range Capital Acquisition Corp II 1,729,896 7.3%
MORGAN STANLEY PROK PROKIDNEY CORP. 8,519,982 6%
RENAISSANCE TECHNOLOGIES LLC AMR Alpha Metallurgical Resources, Inc. 611,915 4.8%
Linden Capital L.P. IPEX Inflection Point Acquisition Corp. V 875,716 8%
Linden Capital L.P. HVII Hennessy Capital Investment Corp. VII 1,463,732 7.4%
Linden Capital L.P. LPSN LivePerson, Inc. 5,001 0%
Invesco Ltd. PHB Invesco Fundamental High Yield Corporate Bond ETF 2,467,545 12%
Linden Capital L.P. HGAS Global Gas Corporation 358,080 4.6%
Champlain Investment Partners, LLC TRNS TRANSCAT INC 241,996 2.6%
Invesco Ltd. EHC Encompass Health Corp 4,972,725 4.9%
MORGAN STANLEY IONQ IonQ, Inc. 17,092,900 4.8%
Invesco Ltd. AAOI Applied Optoelectronics Inc 3,512,309 5.1%
Champlain Investment Partners, LLC BWIN Baldwin Insurance Group, Inc. 3,650,410 3.8%
Invesco Ltd. CRL Charles River Laboratories International Inc 2,696,150 5.5%
Invesco Ltd. HESM Hess Midstream LP 6,619,868 5.1%
Tabor Douglas STKS The ONE Group Hospitality, Inc. 2,000,000 6.4%
SymBiosis Capital Partners, LLC Rani Therapeutics Holdings, Inc. 6,300,000 6.5%
INVESTMENTS AKA, LLC AASP Agassi Sports Entertainment Corp. 2,240,398 18%
BRANDES INVESTMENT PARTNERS, LP AOUT American Outdoor Brands, Inc. 1,889,926 15%
Invesco Ltd. UCTT Ultra Clean Holdings Inc 3,399,834 7.5%
JOHNSON TINA P Publix Super Markets, Inc. 354,160,567 11%
Kishon Eyal RSKD Riskified Ltd. 4,852,979 4.4%
PUBLIX SUPER MARKETS INC EMPLOYEE STOCK OWNERSHIP PLAN Publix Super Markets, Inc. 671,722,848 21%
Publix Super Markets, Inc. 401(k) SMART Plan Publix Super Markets, Inc. 277,904,966 8.7%
MORGAN STANLEY WOLF WOLFSPEED, INC. 2,455,877 9.5%
MORGAN STANLEY TENX TENAX THERAPEUTICS, INC. 596,376 9.6%
MORGAN STANLEY TE T1 ENERGY INC 10,533,358 4.1%
Weiss Asset Management LP SITC SITE Centers Corp. 2,406,321 4.6%
MORGAN STANLEY TCMD TACTILE SYSTEMS TECHNOLOGY INC 1,293,289 5.8%
ARDSLEY ADVISORY PARTNERS LP ASBP Aspire Biopharma Holdings, Inc. 10,750,000 7.8%
MORGAN STANLEY PKST Peakstone Realty Trust 2,478,511 6.7%
Leviticus Partners LP MTEK Maris Tech Ltd. 770,000 9.6%
MORGAN STANLEY LNTH Lantheus Holdings, Inc. 1,640,837 2.5%
Texas County & District Retirement System CCAP Crescent Capital BDC, Inc 5,001,752 14%
Champlain Investment Partners, LLC SXI STANDEX INTERNATIONAL CORP/DE/ 488,359 4%
MORGAN STANLEY KRNT Kornit Digital Ltd. 3,945,982 8.6%
Champlain Investment Partners, LLC OS OneStream, Inc. 2,886,232 3.3%
MORGAN STANLEY FUN Six Flags Entertainment Corporation/NEW 9,198,875 9.1%
Champlain Investment Partners, LLC SIBN SI-BONE, Inc. 2,108,944 4.9%
MORGAN STANLEY AIJTY Jianpu Technology Inc. 22,218,800 6%
AQR CAPITAL MANAGEMENT LLC SAM BOSTON BEER CO INC 440,224 5.1%
MORGAN STANLEY OPEN Opendoor Technologies Inc. 50,555,152 5.3%
SILVERARC CAPITAL MANAGEMENT, LLC NXTC NextCure, INC. 176,057 5%
AQR CAPITAL MANAGEMENT LLC RHI ROBERT HALF INC. 6,342,169 6.3%
Blackdragon Ventures LLC OceanPal Inc. 3,592,156 10%
AQR CAPITAL MANAGEMENT LLC MOH MOLINA HEALTHCARE, INC. 410,403 0.8%
Champlain Investment Partners, LLC BWIN Baldwin Insurance Group, Inc. 3,915,879 5.5%
MORGAN STANLEY ONON On Holding AG 19,166,610 6.5%
AQR CAPITAL MANAGEMENT LLC XRAY DENTSPLY SIRONA Inc. 4,898,136 2.4%
BANK OF AMERICA CORP /DE/ SUNC SunocoCorp LLC 3,706,416 7.2%
AQR CAPITAL MANAGEMENT LLC MAN ManpowerGroup Inc. 1,673,666 3.6%
STANDARD CHARTERED BANK Polestar Automotive Holding UK PLC 10,341,261 9.1%
AQR CAPITAL MANAGEMENT LLC ARW ARROW ELECTRONICS, INC. 1,997,991 3.9%
First Seacoast Bank Employee Stock Ownership Plan Trust FSEA First Seacoast Bancorp, Inc. 414,733 8.8%