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Institutional Filings Guide ↗
Form Filer Company Sector % Owned Mkt Cap D1% D2% D3% D4% D5%
13D Yue Zhu LHSW Lianhe Sowell International Technology 72.5% $12M +6.1% +3.2% +1.4% +40.3% +20.3%
13D/A Bayer HealthCare LLC SNTI Senti Biosciences, Inc. Healthcare 17.8% $25M +14.4% +18.5% +14.4% +18.5% +5.0%
13D/A Krstic Velibor SRTAW Strata Critical Medical, Inc Industrials 16.2% $318K +21.5% +18.0% +26.0% +37.2% +50.0%
13D Joel Drake Stone GEDC CalEthos, Inc. Technology 12.2% $13M +0.0% +0.0% +13.4% +44.6% +233.3%
13D/A Bryan Sheffield TBNRL Tamboran Resources Corporati Energy 11.9% $3M
13D/A Matthew Jore AIRJW AirJoule Technologies Corp. Industrials 11.4% $43M +2.5% +0.8% +2.5% +6.5% +1.4%
13D/A Rakuten Mobile, Inc. ASTS AST SpaceMobile, Inc. Technology 8.9% $25.5B -5.9% -10.9% -12.0% -6.9% -13.4%
13D/A Baker Bros. Advisors LP BEIGF BeOne Medicines Ltd. (f/k/a Healthcare 8.0% $33.2B
13D/A Joseph Michael Lubin SBET SHARPLINK, INC. Financial Services 7.8% $1.5B +3.2% +0.6% -4.9% -3.5% -4.0%
13D/A Ryan Steelberg VERI VERITONE, INC. Technology 6.7% $110M +1.9% +8.5% +11.8% +13.3% +3.3%
13D Jun Ma VASO VASO Corp Healthcare 6.0% $33M +3.0% +8.7% +7.0% +8.7% +8.0%
13D/A Two Seas Capital LP CORZZ Core Scientific, Inc. Technology 5.7% $7.1B +2.5% +2.9% +9.1% +11.2% +7.5%
13D/A SYLEBRA CAPITAL LLC EGHT 8X8 INC /DE/ Technology 4.8% $385M +2.6% +3.1% +7.8% +4.7% -2.6%
13D Okamoto Kyle Robert AGPU Axe Compute Inc. Technology 4.4% $18M -2.5% +28.0% +35.2% +142.4% +96.7%
13D/A 13G→D Bios Equity Partners, LP LTRN Lantern Pharma Inc. Healthcare 3.7% $24M -2.0% +8.7% +5.5% +5.5% -9.1%
13D/A 13G→D Voss Value Master Fund, LP PAR PAR TECHNOLOGY CORP Technology 2.1% $568M +4.3% +7.2% +3.2% +6.5% -1.3%
13D/A Bing Zhang CHR Cheer Holding, Inc. Communication Services 0.8% $51M +7.5% +6.3% +3.8% +20.1% +8.8%
13D/A Jia Lu CHR Cheer Holding, Inc. Communication Services 0.3% $51M +7.5% +6.3% +3.8% +20.1% +8.8%
13G/A Alpha Capital Anstalt CYCUW Cycurion, Inc. Technology $56K +1.0% +9.5% +10.0% +1.0% +1.0%
13G/A Unknown BBIO Healthcare $13.3B -1.0% -1.1% -1.7% -4.0% -7.5%
13G/A MONROE WILLIAM NINE Nine Energy Service, Inc. Energy $435M -1.9% -7.0% +0.1% +1.9% +2.0%
13G/A Integrated Core Strategies (US) LLC VTVT vTv Therapeutics Inc. Healthcare $83M +3.7% +2.7% +4.8% +10.1% -5.2%
13G/A Mastercard Foundation Asset Management Corp MA MASTERCARD INC Financial Services $440.0B +0.5% -0.4% -1.4% -1.6% -3.1%
13G/A Sanders Capital, LLC STX Seagate Technology Holdings Technology $172.9B +3.0% +1.5% +5.3% +9.0% +10.5%
13G Tyson Switzenberg BRCB Black Rock Coffee Bar, Inc. Consumer Defensive $211M +4.8% +1.5% -1.5% -5.7% -10.9%
13G Pontifax VI G.P. L.P. AGMB Agomab Therapeutics NV Healthcare $616M +1.2% -3.7% -2.2% -5.8% -4.5%
13G PRESCOTT GROUP CAPITAL MANAGEMENT, L.L.C. CRMT AMERICAS CARMART INC Consumer Cyclical $108M +13.4% +18.4% +9.9% +15.9% +7.0%
13G Millennium Management LLC BYRN Byrna Technologies Inc. Industrials $123M +6.1% +3.3% -1.6% -0.8% -2.9%
13G Focus Impact Partners, LLC DEVS DevvStream Corp. Industrials $876K -16.9% -17.5% -21.3% -36.1% -50.7%
13G Key Group Long Term Investments LP SKE Skeena Resources Ltd Basic Materials $3.6B +2.5% +4.6% -0.5% +1.8% -2.5%
13G Point72 Asset Management, L.P. CTMX CytomX Therapeutics, Inc. Healthcare $695M -1.4% +0.0% -2.7% -5.7% -9.0%
13G M.H. Davidson & Co. NUAIW New ERA Energy & Digital, In Energy $98M -4.6% -6.0% -10.1% -13.3% -17.9%
13G Rose Eric James KSCP Knightscope, Inc. Industrials $26M -6.1% -3.9% -9.2% -7.3% -10.6%