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Institutional Filings Guide ↗
Form Filer Company Sector % Owned Mkt Cap
13D/A Jackson Investment Group, LLC Staffing 360 Solutions, Inc. 100.0%
Jackson Investment Group acquired 100% of Staffing 360 Solutions through bankruptcy reorganization plan effective April 27, 2026.
13D/A Wells Fargo & Company NMZ NUVEEN MUNICIPAL HIGH INCOME Financial Services 76.8% $1.2B
Wells Fargo reports 76.8% stake in Nuveen Municipal High Income Opportunity Fund following fund reorganization consolidating multiple series into single Series 1 VRDP shares.
13D/A Huaqin Xue LSBWF LakeShore Biopharma Co., Ltd 51.0% $6K
Huaqin Xue, holding 51% of LakeShore Biopharma, amended merger agreement reducing per-share consideration from $0.90 to $0.066.
13D/A Pershing Square Capital Management, L.P. HHH Howard Hughes Holdings Inc. Real Estate 46.7% $3.7B
Pershing Square Capital Management acquired 46.7% stake in Howard Hughes Holdings, indicating significant influence over the company's operations and strategy.
13D/A Yao Yun INDP Indaptus Therapeutics, Inc. Healthcare 37.1% $2M
Yao Yun acquired 37.1% stake in Indaptus Therapeutics, signaling significant influence over the company's strategic direction.
13D/A RA Capital Management, L.P. CLYM Climb Bio, Inc. Healthcare 33.0% $604M
RA Capital Management acquired 33.0% stake in Climb Bio, likely for investment purposes and potential influence over company direction.
13D/A BANK OF AMERICA CORP /DE/ NMZ NUVEEN MUNICIPAL HIGH INCOME Financial Services 23.2% $1.2B
Bank of America acquired 23.2% stake (1,870 shares) in Nuveen Municipal High Income Opportunity Fund for investment purposes.
13D/A Ehrlichman Matt PRCH Porch Group, Inc. Technology 21.8% $1.1B
Matt Ehrlichman acquired 21.8% stake in Porch Group with no stated plans for acquisitions, dispositions, or corporate changes.
13D Global Value Investment Corporation LDDFF Liberty Defense Holdings Ltd Industrials 21.0% $2M
Global Value Investment Corporation acquired 21.0% stake (1,188,665 shares) in Liberty Defense Holdings for investment purposes with flexibility to trade based on market or...
13D/A RTW Investments, LP OBIO ORCHESTRA BIOMED HOLDINGS, I Healthcare 19.2% $152.4B
Investments LP acquires 19.2% stake in Orchestra Biomed Holdings for investment purposes.
13D/A ORBIMED ADVISORS LLC IMA ImageneBio, Inc. Healthcare 13.1% $28M
OrbiMed Advisors acquired 13.1% stake in ImageneBio; may buy/sell based on company performance and market conditions.
13D/A BIOTECHNOLOGY VALUE FUND L P XOMAP XOMA Royalty Corp Healthcare 10.9% $454M
Biotechnology Value Fund L.P. holds 10.9% stake in XOMA Royalty Corp., which agreed to merge with Ligand Pharmaceuticals subsidiary.
13D/A Mitsui & Co., Ltd. ATLX Atlas Lithium Corporation Basic Materials 7.3% $98M
Mitsui & Co. acquired 7.3% stake (2.07M shares) in Atlas Lithium Corporation.
13D/A Pershing Square Capital Management, L.P. QSR Restaurant Brands Internatio Consumer Cyclical 6.5% $36.6B
Pershing Square Capital Management acquired 6.5% stake in Restaurant Brands International, likely for investment purposes.
13D/A Wells Fargo & Company NXJ NUVEEN NEW JERSEY QUALITY MU Financial Services $509M
Wells Fargo reports it no longer owns VRDP shares of Nuveen New Jersey Quality Municipal Income Fund following a reorganization.
13D/A Wells Fargo & Company NQP NUVEEN PENNSYLVANIA QUALITY Financial Services $448M
Wells Fargo divested all VRDP shares of Nuveen Pennsylvania Quality Municipal Income Fund due to a reorganization.
13D/A Mars Guangyuan Cai EM Smart Share Global Limited Consumer Cyclical $153M
Mars Guangyuan Cai filed a Schedule 13D supplement reporting that Smart Share Global shareholders approved a merger agreement at an extraordinary general meeting on December 31, 2025.
13D/A Unknown JOB Industrials $25M
I don't have the actual SEC Schedule 13D filing content to summarize. Please provide the document text or key details (filer name, number of shares, stated purpose), and I'll...
13G Vanguard Portfolio Management EQH-PC Equitable Holdings Inc Financial Services
Vanguard Portfolio Management reported a ? passive stake in Equitable Holdings Inc (? shares).
13G Vanguard Portfolio Management BNL Broadstone Net Lease Inc Real Estate $3.9B
Vanguard Portfolio Management reported a ? passive stake in Broadstone Net Lease Inc (? shares).
13G Vanguard Portfolio Management FRT-PC Federal Realty Investment Tr Real Estate
Vanguard Portfolio Management reported a ? passive stake in Federal Realty Investment Trust (? shares).
13G Vanguard Capital Management C-PR Citigroup Inc
Vanguard Capital Management reported a ? passive stake in Citigroup Inc (? shares).
13G Vanguard Capital Management AFL Aflac Inc Financial Services $60.1B
Vanguard Capital Management reported a ? passive stake in Aflac Inc (? shares).
13G Vanguard Portfolio Management HLF Herbalife Ltd Consumer Defensive $1.7B
Vanguard Portfolio Management reported a ? passive stake in Herbalife Ltd (? shares).
13G Vanguard Capital Management BKU BankUnited Inc Financial Services $3.6B
Vanguard Capital Management reported a ? passive stake in BankUnited Inc (? shares).
13G Vanguard Capital Management CAC Camden National Corp Financial Services $828M
Vanguard Capital Management reported a ? passive stake in Camden National Corp (? shares).
13G Vanguard Portfolio Management GNW Genworth Financial Inc Financial Services $3.6B
Vanguard Portfolio Management reported a ? passive stake in Genworth Financial Inc (? shares).
13G Vanguard Portfolio Management PI Impinj Inc Technology $4.3B
Vanguard Portfolio Management reported a ? passive stake in Impinj Inc (? shares).
13G Vanguard Portfolio Management FIBK First Interstate BancSystem Financial Services $3.6B
Vanguard Portfolio Management reported a ? passive stake in First Interstate BancSystem Inc (? shares).
13G Vanguard Portfolio Management TTD Trade Desk Inc/The Technology $11.7B
Vanguard Portfolio Management reported a ? passive stake in Trade Desk Inc/The (? shares).
13G Vanguard Portfolio Management SFBS ServisFirst Bancshares Inc Financial Services $4.4B
Vanguard Portfolio Management reported a ? passive stake in ServisFirst Bancshares Inc (? shares).
13G Vanguard Portfolio Management WWW Wolverine World Wide Inc Consumer Cyclical $1.4B
Vanguard Portfolio Management reported a ? passive stake in Wolverine World Wide Inc (? shares).
13G Vanguard Portfolio Management TDGMW Tidewater Inc Industrials $4.6B
Vanguard Portfolio Management reported a ? passive stake in Tidewater Inc (? shares).
13G Vanguard Capital Management ADP Automatic Data Processing In Industrials $87.5B
Vanguard Capital Management reported a ? passive stake in Automatic Data Processing Inc (? shares).
13G Vanguard Capital Management CAH Cardinal Health Inc Healthcare $47.2B
Vanguard Capital Management reported a ? passive stake in Cardinal Health Inc (? shares).
13G Vanguard Portfolio Management ZETA Zeta Global Holdings Corp Technology $4.1B
Vanguard Portfolio Management reported a ? passive stake in Zeta Global Holdings Corp (? shares).
13G Vanguard Capital Management FET Forum Energy Technologies In Energy $698M
Vanguard Capital Management reported a ? passive stake in Forum Energy Technologies Inc (? shares).
13G Vanguard Capital Management FDS FactSet Research Systems Inc Financial Services $8.7B
Vanguard Capital Management reported a ? passive stake in FactSet Research Systems Inc (? shares).
13G Vanguard Capital Management CLX Clorox Co/The Consumer Defensive $10.8B
Vanguard Capital Management reported a ? passive stake in Clorox Co/The (? shares).
13G Vanguard Capital Management CZWI Citizens Community Bancorp I Financial Services $202M
Vanguard Capital Management reported a ? passive stake in Citizens Community Bancorp Inc/WI (? shares).
13G Vanguard Capital Management AXGN Axogen Inc Healthcare $2.0B
Vanguard Capital Management reported a ? passive stake in Axogen Inc (? shares).
13G Vanguard Capital Management AVTR Avantor Inc Healthcare $5.4B
Vanguard Capital Management reported a ? passive stake in Avantor Inc (? shares).
13G Vanguard Capital Management CWT California Water Service Gro Utilities $2.5B
Vanguard Capital Management reported a ? passive stake in California Water Service Group (? shares).
13G Vanguard Capital Management AMGN Amgen Inc Healthcare $178.8B
Vanguard Capital Management reported a ? passive stake in Amgen Inc (? shares).
13G Vanguard Capital Management AMAT Applied Materials Inc Technology $314.4B
Vanguard Capital Management reported a ? passive stake in Applied Materials Inc (? shares).
13G Vanguard Capital Management DAL Delta Air Lines Inc Industrials $45.1B
Vanguard Capital Management reported a ? passive stake in Delta Air Lines Inc (? shares).
13G Vanguard Capital Management CNC Centene Corp Healthcare $26.2B
Vanguard Capital Management reported a ? passive stake in Centene Corp (? shares).
13G Vanguard Capital Management FANG Diamondback Energy Inc Energy $60.0B
Vanguard Capital Management reported a ? passive stake in Diamondback Energy Inc (? shares).
13G Vanguard Capital Management DASH DoorDash Inc Communication Services $77.3B
Vanguard Capital Management reported a ? passive stake in DoorDash Inc (? shares).
13G Vanguard Capital Management DKNG DraftKings Inc Consumer Cyclical $11.4B
Vanguard Capital Management reported a ? passive stake in DraftKings Inc (? shares).
13G Vanguard Capital Management FSLR First Solar Inc Energy $22.8B
Vanguard Capital Management reported a ? passive stake in First Solar Inc (? shares).
13G Vanguard Portfolio Management GSHD Goosehead Insurance Inc Financial Services $1.7B
Vanguard Portfolio Management reported a ? passive stake in Goosehead Insurance Inc (? shares).
13G Vanguard Portfolio Management ICHR Ichor Holdings Ltd Technology $2.2B
Vanguard Portfolio Management reported a ? passive stake in Ichor Holdings Ltd (? shares).
13G Vanguard Portfolio Management OPENZ Opendoor Technologies Inc $372M
Vanguard Portfolio Management reported a ? passive stake in Opendoor Technologies Inc (? shares).
13G Vanguard Portfolio Management RZC Reinsurance Group of America Financial Services $1.7B
Vanguard Portfolio Management reported a ? passive stake in Reinsurance Group of America Inc (? shares).
13G Vanguard Portfolio Management R Ryder System Inc Industrials $10.4B
Vanguard Portfolio Management reported a ? passive stake in Ryder System Inc (? shares).
13G Vanguard Portfolio Management SXI Standex International Corp Industrials $3.0B
Vanguard Portfolio Management reported a ? passive stake in Standex International Corp (? shares).
13G Vanguard Portfolio Management UFPI UFP Industries Inc Basic Materials $5.0B
Vanguard Portfolio Management reported a ? passive stake in UFP Industries Inc (? shares).
13G Vanguard Portfolio Management WKC World Kinect Corp Energy $1.5B
Vanguard Portfolio Management reported a ? passive stake in World Kinect Corp (? shares).
13G Vanguard Portfolio Management WABC Westamerica BanCorp Financial Services $1.4B
Vanguard Portfolio Management reported a ? passive stake in Westamerica BanCorp (? shares).
13G Vanguard Portfolio Management HCC Warrior Met Coal Inc Energy $4.5B
Vanguard Portfolio Management reported a ? passive stake in Warrior Met Coal Inc (? shares).
13G Vanguard Portfolio Management TYL Tyler Technologies Inc Technology $14.7B
Vanguard Portfolio Management reported a ? passive stake in Tyler Technologies Inc (? shares).
13G Vanguard Capital Management AHRT-PA AH Realty Trust Inc
Vanguard Capital Management reported a ? passive stake in AH Realty Trust Inc (? shares).
13G Vanguard Capital Management EFOR ASGN Inc
Vanguard Capital Management reported a ? passive stake in ASGN Inc (? shares).
13G Vanguard Capital Management ABCB Ameris Bancorp Financial Services $5.9B
Vanguard Capital Management reported a ? passive stake in Ameris Bancorp (? shares).
13G Vanguard Portfolio Management BWA BorgWarner Inc Consumer Cyclical $12.3B
Vanguard Portfolio Management reported a ? passive stake in BorgWarner Inc (? shares).
13G BlackRock, Inc. PKX POSCO HOLDINGS INC. Basic Materials $25.5B
BlackRock, Inc. reported a ? passive stake in POSCO HOLDINGS INC. (? shares).
13G Vanguard Capital Management ALSN Allison Transmission Holding Consumer Cyclical $11.2B
Vanguard Capital Management reported a ? passive stake in Allison Transmission Holdings Inc (? shares).
13G Vanguard Capital Management EMR Emerson Electric Co Industrials $77.9B
Vanguard Capital Management reported a ? passive stake in Emerson Electric Co (? shares).
13G Vanguard Capital Management EQT EQT Corp Energy $36.6B
Vanguard Capital Management reported a ? passive stake in EQT Corp (? shares).
13G Vanguard Capital Management CC Chemours Co/The Basic Materials $4.2B
Vanguard Capital Management reported a ? passive stake in Chemours Co/The (? shares).
13G Vanguard Capital Management CTRA Coterra Energy Inc Energy $26.9B
Vanguard Capital Management reported a ? passive stake in Coterra Energy Inc (? shares).
13G Vanguard Capital Management GM General Motors Co Consumer Cyclical $73.7B
Vanguard Capital Management reported a ? passive stake in General Motors Co (? shares).
13G Vanguard Capital Management EL Estee Lauder Cos Inc/The Consumer Defensive $28.6B
Vanguard Capital Management reported a ? passive stake in Estee Lauder Cos Inc/The (? shares).
13G Vanguard Capital Management CVX Chevron Corp Energy $353.8B
Vanguard Capital Management reported a ? passive stake in Chevron Corp (? shares).
13G Vanguard Portfolio Management EXR Extra Space Storage Inc Real Estate $30.1B
Vanguard Portfolio Management reported a ? passive stake in Extra Space Storage Inc (? shares).
13G Wasatch Advisors LP Haymaker Acquisition Corp 4
Wasatch Advisors LP reported a ? passive stake in Haymaker Acquisition Corp 4 (? shares).
13G Vanguard Portfolio Management CPT Camden Property Trust Real Estate $11.3B
Vanguard Portfolio Management reported a ? passive stake in Camden Property Trust (? shares).
13G Vanguard Portfolio Management GPK Graphic Packaging Holding Co Consumer Cyclical $2.9B
Vanguard Portfolio Management reported a ? passive stake in Graphic Packaging Holding Co (? shares).
13G Vanguard Portfolio Management HRB H&R Block Inc Consumer Cyclical $4.3B
Vanguard Portfolio Management reported a ? passive stake in H&R Block Inc (? shares).
13G Vanguard Portfolio Management HAE Haemonetics Corp Healthcare $3.0B
Vanguard Portfolio Management reported a ? passive stake in Haemonetics Corp (? shares).
13G Vanguard Portfolio Management HUBS HubSpot Inc Technology $12.8B
Vanguard Portfolio Management reported a ? passive stake in HubSpot Inc (? shares).
13G Vanguard Portfolio Management MAS Masco Corp Industrials $15.0B
Vanguard Portfolio Management reported a ? passive stake in Masco Corp (? shares).
13G Vanguard Portfolio Management IEX IDEX Corp Industrials $16.2B
Vanguard Portfolio Management reported a ? passive stake in IDEX Corp (? shares).
13G Vanguard Portfolio Management THRM Gentherm Inc Consumer Cyclical $937M
Vanguard Portfolio Management reported a ? passive stake in Gentherm Inc (? shares).
13G Vanguard Portfolio Management NWE Northwestern Energy Group In Utilities $4.4B
Vanguard Portfolio Management reported a ? passive stake in Northwestern Energy Group Inc (? shares).
13G Vanguard Portfolio Management EYE National Vision Holdings Inc Consumer Cyclical $1.9B
Vanguard Portfolio Management reported a ? passive stake in National Vision Holdings Inc (? shares).
13G Vanguard Portfolio Management PSMT PriceSmart Inc Consumer Defensive $4.8B
Vanguard Portfolio Management reported a ? passive stake in PriceSmart Inc (? shares).
13G Vanguard Portfolio Management Q Qnity Electronics Inc Technology $30.0B
Vanguard Portfolio Management reported a ? passive stake in Qnity Electronics Inc (? shares).
13G O'Connor Alternative Investments LLC ELBM Electra Battery Materials Co Basic Materials $19M
O'Connor Alternative Investments LLC reported a ? passive stake in Electra Battery Materials Corp (? shares).
13G Vanguard Portfolio Management CAH Cardinal Health Inc Healthcare $47.2B
Vanguard Portfolio Management reported a ? passive stake in Cardinal Health Inc (? shares).
13G Vanguard Portfolio Management DVN Devon Energy Corp Energy $31.8B
Vanguard Portfolio Management reported a ? passive stake in Devon Energy Corp (? shares).
13G Vanguard Portfolio Management FICO Fair Isaac Corp Technology $25.4B
Vanguard Portfolio Management reported a ? passive stake in Fair Isaac Corp (? shares).
13G Vanguard Portfolio Management FAST Fastenal Co Industrials $51.7B
Vanguard Portfolio Management reported a ? passive stake in Fastenal Co (? shares).
13G Vanguard Portfolio Management ENS EnerSys Industrials $8.6B
Vanguard Portfolio Management reported a ? passive stake in EnerSys (? shares).
13G Vanguard Portfolio Management CFFN Capitol Federal Financial In Financial Services $997M
Vanguard Portfolio Management reported a ? passive stake in Capitol Federal Financial Inc (? shares).
13G Vanguard Portfolio Management HUBG Hub Group Inc Industrials $2.6B
Vanguard Portfolio Management reported a ? passive stake in Hub Group Inc (? shares).
13G Vanguard Portfolio Management WK Workiva Inc Technology $3.1B
Vanguard Portfolio Management reported a ? passive stake in Workiva Inc (? shares).
13G Vanguard Capital Management AMTB Amerant Bancorp Inc Financial Services $943M
Vanguard Capital Management reported a ? passive stake in Amerant Bancorp Inc (? shares).
13G Vanguard Capital Management ADBE Adobe Inc Technology $107.1B
Vanguard Capital Management reported a ? passive stake in Adobe Inc (? shares).
13G Vanguard Capital Management AOS A O Smith Corp Industrials $8.4B
Vanguard Capital Management reported a ? passive stake in A O Smith Corp (? shares).
13G Vanguard Capital Management AWI Armstrong World Industries I Industrials $7.3B
Vanguard Capital Management reported a ? passive stake in Armstrong World Industries Inc (? shares).
13G Vanguard Capital Management AME AMETEK Inc Industrials $53.3B
Vanguard Capital Management reported a ? passive stake in AMETEK Inc (? shares).
13G Vanguard Capital Management BNL Broadstone Net Lease Inc Real Estate $3.9B
Vanguard Capital Management reported a ? passive stake in Broadstone Net Lease Inc (? shares).
13G Vanguard Capital Management AVB AvalonBay Communities Inc Real Estate $26.0B
Vanguard Capital Management reported a ? passive stake in AvalonBay Communities Inc (? shares).
13G Vanguard Capital Management BDX Becton Dickinson & Co Healthcare $42.9B
Vanguard Capital Management reported a ? passive stake in Becton Dickinson & Co (? shares).
13G Vanguard Portfolio Management LEG Leggett & Platt Inc Consumer Cyclical $1.5B
Vanguard Portfolio Management reported a ? passive stake in Leggett & Platt Inc (? shares).
13G Vanguard Portfolio Management HCSG Healthcare Services Group In Healthcare $1.6B
Vanguard Portfolio Management reported a ? passive stake in Healthcare Services Group Inc (? shares).
13G Vanguard Portfolio Management MPC Marathon Petroleum Corp Energy $75.1B
Vanguard Portfolio Management reported a ? passive stake in Marathon Petroleum Corp (? shares).
13G Vanguard Portfolio Management PBI-PB Pitney Bowes Inc Industrials
Vanguard Portfolio Management reported a ? passive stake in Pitney Bowes Inc (? shares).
13G/A BlackRock Portfolio Management LLC iShares iBoxx $ Investment Grade Corporate Bond ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares iBoxx $ Investment Grade Corporate Bond ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares High Yield Muni Income Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares High Yield Muni Income Active ETF (? shares).
13G/A Streeterville Capital LLC HTCO High-Trend International Gro Industrials $43M
Streeterville Capital LLC amended a ? passive stake in High-Trend International Group (? shares).
13G/A Integrated Core Strategies (US) LLC IEAGU Infinite Eagle Acquisition C Financial Services $445M
Integrated Core Strategies (US) LLC amended a ? passive stake in Infinite Eagle Acquisition Corp. (? shares).
13G/A BlackRock Portfolio Management LLC iShares S&P 500 3% Capped ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares S&P 500 3% Capped ETF (? shares).
13G/A Asymmetry Point LP NXGLW NEXGEL, INC. Healthcare $470K
Asymmetry Point LP amended a ? passive stake in NEXGEL, INC. (? shares).
13G/A FIL Limited AQNB ALGONQUIN POWER & UTILITIES Utilities $19.1B
FIL Limited amended a ? passive stake in ALGONQUIN POWER & UTILITIES CORP. (? shares).
13G/A EXENCIAL WEALTH ADVISORS, LLC PROSHARES TRUST
EXENCIAL WEALTH ADVISORS, LLC amended a ? passive stake in PROSHARES TRUST (? shares).
13G/A Vanguard Portfolio Management PD PagerDuty Inc Technology $684M
Vanguard Portfolio Management amended a ? passive stake in PagerDuty Inc (? shares).
13G/A Franklin Resources, Inc. VNO-PO Vornado Realty Trust Real Estate
Franklin Resources, Inc. amended a ? passive stake in Vornado Realty Trust (? shares).
13G/A FJ Capital Management LLC EQBK Equity Bancshares Inc. (EQBK Financial Services $882M
FJ Capital Management LLC amended a ? passive stake in Equity Bancshares Inc. (EQBK) (? shares).
13G/A Asymmetry Point LP QVCGB QVC Group, Inc. Consumer Cyclical $4M
Asymmetry Point LP amended a ? passive stake in QVC Group, Inc. (? shares).
13G/A BlackRock Portfolio Management LLC ISHARES GLOBAL INDUSTRIALS ETF
BlackRock Portfolio Management LLC amended a ? passive stake in ISHARES GLOBAL INDUSTRIALS ETF (? shares).
13G/A B. Scott Swann ROC Rank One Computing Corp Technology $119M
B. Scott Swann amended a ? passive stake in Rank One Computing Corp (? shares).
13G/A HORIZON KINETICS ASSET MANAGEMENT LLC WBI WaterBridge Infrastructure L Energy $1.3B
HORIZON KINETICS ASSET MANAGEMENT LLC amended a ? passive stake in WaterBridge Infrastructure LLC (? shares).
13G/A BlackRock, Inc. AEIS ADVANCED ENERGY INDUSTRIES I Industrials $15.0B
BlackRock, Inc. amended a ? passive stake in ADVANCED ENERGY INDUSTRIES INC (? shares).
13G/A BlackRock Portfolio Management LLC iShares Government Money Market ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Government Money Market ETF (? shares).
13G/A BlackRock Portfolio Management LLC OR OR Royalties Inc. Basic Materials $6.9B
BlackRock Portfolio Management LLC amended a ? passive stake in OR Royalties Inc. (? shares).
13G/A BlackRock Portfolio Management LLC iShares U.S. Industry Rotation Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares U.S. Industry Rotation Active ETF (? shares).
13G/A Vanguard Portfolio Management RPD Rapid7 Inc Technology $413M
Vanguard Portfolio Management amended a ? passive stake in Rapid7 Inc (? shares).
13G/A Thomas A. Satterfield, Jr. INTT inTest Corporation Technology $228M
Thomas A. Satterfield, Jr. amended a ? passive stake in inTest Corporation (? shares).
13G/A Vanguard Portfolio Management MAC Macerich Co/The Real Estate $5.5B
Vanguard Portfolio Management amended a ? passive stake in Macerich Co/The (? shares).
13G/A BlackRock Portfolio Management LLC EGO ELDORADO GOLD CORPORATION Basic Materials $6.1B
BlackRock Portfolio Management LLC amended a ? passive stake in ELDORADO GOLD CORPORATION (? shares).
13G/A BlackRock Portfolio Management LLC iShares Texas Equity ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Texas Equity ETF (? shares).
13G/A Brendan Klare ROC Rank One Computing Corp Technology $119M
Brendan Klare amended a ? passive stake in Rank One Computing Corp (? shares).
13G/A LSP 7 Cooperatieve U.A. OCSAW Oculis Holding AG
LSP 7 Cooperatieve U.A. amended a ? passive stake in Oculis Holding AG (? shares).
13G/A BlackRock, Inc. AXIA-P AXIA Energia S.A.
BlackRock, Inc. amended a ? passive stake in AXIA Energia S.A. (? shares).
13G/A BlackRock Portfolio Management LLC iShares Global Government Bond USD Hedged Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Global Government Bond USD Hedged Active ETF (? shares).
13G/A BlackRock Portfolio Management LLC SEALED AIR CORPORATION
BlackRock Portfolio Management LLC amended a ? passive stake in SEALED AIR CORPORATION (? shares).
13G/A BlackRock Portfolio Management LLC VNDA Vanda Pharmaceuticals Inc. Healthcare $413M
BlackRock Portfolio Management LLC amended a ? passive stake in Vanda Pharmaceuticals Inc. (? shares).
13G/A Bessemer Venture Partners VIII L.P. STUB StubHub Holdings, Inc. Technology $2.6B
Bessemer Venture Partners VIII L.P. amended a ? passive stake in StubHub Holdings, Inc. (? shares).
13G/A OCONNOR, A Distinct Business Unit of UBS ASSET MANAGEMENT AMERICAS (LLC) ELBM Electra Battery Materials Co Basic Materials $19M
OCONNOR, A Distinct Business Unit of UBS ASSET MANAGEMENT AMERICAS (LLC) amended a ? passive stake in Electra Battery Materials Corp (? shares).
13G/A CD Capital Asset Management Ltd GRO BRAZIL POTASH CORP. Basic Materials $115M
CD Capital Asset Management Ltd amended a ? passive stake in BRAZIL POTASH CORP. (? shares).
13G/A BlackRock, Inc. SEALED AIR CORPORATION
BlackRock, Inc. amended a ? passive stake in SEALED AIR CORPORATION (? shares).
13G/A BlackRock Portfolio Management LLC iShares Large Cap Accelerated Outcome ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Large Cap Accelerated Outcome ETF (? shares).
13G/A BlackRock Portfolio Management LLC ISHARES 10+ YEAR INVESTMENT GRADE CORPORATE BOND ETF
BlackRock Portfolio Management LLC amended a ? passive stake in ISHARES 10+ YEAR INVESTMENT GRADE CORPORATE BOND ETF (? shares).
13G/A Thomas A. Satterfield, Jr. CHRS Coherus Oncology, Inc. Healthcare $217M
Thomas A. Satterfield, Jr. amended a ? passive stake in Coherus Oncology, Inc. (? shares).
13G/A BlackRock Portfolio Management LLC ISHARES ESG ADVANCED MSCI EAFE ETF
BlackRock Portfolio Management LLC amended a ? passive stake in ISHARES ESG ADVANCED MSCI EAFE ETF (? shares).
13G/A BlackRock Portfolio Management LLC AAUC Allied Gold Corp Basic Materials $3.4B
BlackRock Portfolio Management LLC amended a ? passive stake in Allied Gold Corp (? shares).
13G/A Franklin Resources, Inc. PHM PULTEGROUP INC/MI/ Consumer Cyclical $23.8B
Franklin Resources, Inc. amended a ? passive stake in PULTEGROUP INC/MI/ (? shares).
13G/A BNP Paribas Asset Management Holding S.A. ARRY Array Technologies, Inc. Energy $1.2B
BNP Paribas Asset Management Holding S.A. amended a ? passive stake in Array Technologies, Inc. (? shares).
13G/A Franklin Resources, Inc. CTGO Contango Silver & Gold Inc. Basic Materials $252M
Franklin Resources, Inc. amended a ? passive stake in Contango Silver & Gold Inc. (? shares).
13G/A BlackRock Portfolio Management LLC ARRY ARRAY TECHNOLOGIES INC Energy $1.2B
BlackRock Portfolio Management LLC amended a ? passive stake in ARRAY TECHNOLOGIES INC (? shares).
13G/A Scott Klum ROC Rank One Computing Corp Technology $119M
Scott Klum amended a ? passive stake in Rank One Computing Corp (? shares).
13G/A BlackRock Portfolio Management LLC ISHARES 0-5 YEAR TIPS BOND ETF
BlackRock Portfolio Management LLC amended a ? passive stake in ISHARES 0-5 YEAR TIPS BOND ETF (? shares).
13G/A BlackRock Portfolio Management LLC HENNESSY SUSTAINABLE ETF
BlackRock Portfolio Management LLC amended a ? passive stake in HENNESSY SUSTAINABLE ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares Core MSCI Total International Stock ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Core MSCI Total International Stock ETF (? shares).
13G/A FMR LLC ACNB ACNB CORP Financial Services $530M
FMR LLC amended a ? passive stake in ACNB CORP (? shares).
13G/A Wasatch Advisors LP Haymaker Acquisition Corp 4
Wasatch Advisors LP amended a ? passive stake in Haymaker Acquisition Corp 4 (? shares).
13G/A HORIZON KINETICS ASSET MANAGEMENT LLC MSB MESABI TRUST Financial Services $368M
HORIZON KINETICS ASSET MANAGEMENT LLC amended a ? passive stake in MESABI TRUST (? shares).
13G/A Benjamin Klein ROC Rank One Computing Corp Technology $119M
Benjamin Klein amended a ? passive stake in Rank One Computing Corp (? shares).
13G/A CRICKSLAB LLC-FZ GLTK GlobalTech Corp Communication Services $215M
CRICKSLAB LLC-FZ amended a ? passive stake in GlobalTech Corp (? shares).
13G/A BlackRock Portfolio Management LLC iShares Large Cap 10% Target Buffer Dec ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Large Cap 10% Target Buffer Dec ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares Global Infrastructure ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Global Infrastructure ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares Large Cap 10% Target Buffer Sep ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Large Cap 10% Target Buffer Sep ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares Prime Money Market ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Prime Money Market ETF (? shares).
13G/A BlackRock, Inc. UMC UNITED MICROELECTRONICS CORP Technology $32.6B
BlackRock, Inc. amended a ? passive stake in UNITED MICROELECTRONICS CORP (? shares).
13G/A Aberdeen Group plc QNRX Quoin Pharmaceuticals, Ltd. Healthcare $7M
Aberdeen Group plc amended a ? passive stake in Quoin Pharmaceuticals, Ltd. (? shares).
13G/A BlackRock, Inc. SOLS Solstice Advanced Materials Basic Materials $12.8B
BlackRock, Inc. amended a ? passive stake in Solstice Advanced Materials Inc. (? shares).
13G/A Franklin Resources, Inc. ANDG Andersen Group Inc. Consumer Cyclical $377M
Franklin Resources, Inc. amended a ? passive stake in Andersen Group Inc. (? shares).
13G/A BlackRock Portfolio Management LLC iShares Large Cap Moderate Quarterly Laddered ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Large Cap Moderate Quarterly Laddered ETF (? shares).
13G/A BlackRock Portfolio Management LLC BKD BROOKDALE SENIOR LIVING INC Healthcare $3.4B
BlackRock Portfolio Management LLC amended a ? passive stake in BROOKDALE SENIOR LIVING INC (? shares).
13G/A BlackRock Portfolio Management LLC iShares Large Cap Core Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Large Cap Core Active ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares Long-Term National Muni Bond ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Long-Term National Muni Bond ETF (? shares).
13G/A JANE STREET GROUP, LLC AXTI AXT INC Technology $4.2B
JANE STREET GROUP, LLC amended a ? passive stake in AXT INC (? shares).
13G/A BlackRock Portfolio Management LLC iShares U.S. Select Equity Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares U.S. Select Equity Active ETF (? shares).
13G/A BlackRock, Inc. WPPGF WPP PLC Communication Services $3.8B
BlackRock, Inc. amended a ? passive stake in WPP PLC (? shares).
13G/A Franklin Resources, Inc. LUV SOUTHWEST AIRLINES CO Industrials $21.6B
Franklin Resources, Inc. amended a ? passive stake in SOUTHWEST AIRLINES CO (? shares).
13G/A HORIZON KINETICS ASSET MANAGEMENT LLC SJT SAN JUAN BASIN ROYALTY TRUST Energy $203M
HORIZON KINETICS ASSET MANAGEMENT LLC amended a ? passive stake in SAN JUAN BASIN ROYALTY TRUST (? shares).
13G/A BlackRock Portfolio Management LLC iShares Breakthrough Environmental Solutions ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Breakthrough Environmental Solutions ETF (? shares).
13G/A Meitav Investment House Ltd. TATT TAT Technologies Ltd Industrials $449M
Meitav Investment House Ltd. amended a ? passive stake in TAT Technologies Ltd (? shares).
13G/A BlackRock Portfolio Management LLC iShares GNMA Bond ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares GNMA Bond ETF (? shares).
13G/A BlackRock Portfolio Management LLC iShares Large Cap Growth Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Large Cap Growth Active ETF (? shares).
13G/A China Investment Corporation TCKRF TECK RESOURCES LTD Basic Materials $29.1B
China Investment Corporation amended a ? passive stake in TECK RESOURCES LTD (? shares).
13G/A HORIZON KINETICS ASSET MANAGEMENT LLC HE HAWAIIAN ELECTRIC INDUSTRIES Utilities $2.6B
HORIZON KINETICS ASSET MANAGEMENT LLC amended a ? passive stake in HAWAIIAN ELECTRIC INDUSTRIES INC (? shares).
13G/A BlackRock Portfolio Management LLC iShares Russell 2000 BuyWrite ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares Russell 2000 BuyWrite ETF (? shares).
13G/A Joshua Klontz ROC Rank One Computing Corp Technology $119M
Joshua Klontz amended a ? passive stake in Rank One Computing Corp (? shares).
13G/A HORIZON KINETICS ASSET MANAGEMENT LLC PBT PERMIAN BASIN ROYALTY TRUST Energy $1.0B
HORIZON KINETICS ASSET MANAGEMENT LLC amended a ? passive stake in PERMIAN BASIN ROYALTY TRUST (? shares).
13G/A BlackRock Portfolio Management LLC iShares S&P 500 ex S&P 100 ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares S&P 500 ex S&P 100 ETF (? shares).
13G/A Franklin Resources, Inc. PLG PLATINUM GROUP METALS LTD Basic Materials $187M
Franklin Resources, Inc. amended a ? passive stake in PLATINUM GROUP METALS LTD (? shares).
13G/A BlackRock Portfolio Management LLC iShares International Country Rotation Active ETF
BlackRock Portfolio Management LLC amended a ? passive stake in iShares International Country Rotation Active ETF (? shares).