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Institutional Filings Guide β†—
Form Filer Company Sector % Owned Mkt Cap D1% D2% D3% D4% D5%
13D/A Pani Corp. TORO TORO CORP. Industrials 72.2% $107M +8.8% +3.5% +4.2% +7.8% +11.3%
13D Perfect Minds Co., Ltd MENS Jyong Biotech Ltd. Healthcare 33.3% $160M -1.8% -0.9% -0.5% +3.7% +2.7%
13D/A Cankut Durgun MRT Marti Technologies, Inc. Technology 17.1% $176M +0.9% -0.9% -2.8% -0.9% -1.4%
13D/A Oguz Alper Oktem MRT Marti Technologies, Inc. Technology 16.6% $176M +0.9% -0.9% -2.8% -0.9% -1.4%
13D Haggai Alon SMXWW SMX (Security Matters) Publi β€” 16.2% β€” β€” β€” β€” β€” β€”
13D/A SPC Field Partners LLC Stone Point Credit Corp β€” 16.1% β€” β€” β€” β€” β€” β€”
13D/A L6 Holdings Inc. TBRG TruBridge, Inc. Healthcare 14.3% $386M -0.2% -0.2% -0.2% -0.3% +0.1%
13D TPG GP A, LLC ACHV ACHIEVE LIFE SCIENCES, INC. Healthcare 12.6% $234M -1.5% +6.2% +3.2% +9.2% +9.0%
13D/A Perceptive Advisors LLC MGTX MeiraGTx Holdings plc Healthcare 12.6% $898M -1.1% -1.6% -3.0% -0.1% +2.0%
13D/A Hang Muk Shin GITS Global Interactive Technolog Technology 11.9% $5M +2.0% -4.8% -6.1% -4.1% +0.7%
13D/A Rakuten Mobile, Inc. ASTS AST SpaceMobile, Inc. Technology 7.2% $27.3B +1.0% -5.9% -8.6% -3.3% -7.2%
13D/A Bradley & Daytona Railway and Land Co. LLC PW-PA POWER REIT Real Estate 6.1% $32M -3.6% -3.6% -2.4% +2.4% +6.1%
13D/A Bradley & Daytona Railway & Land Co. LLC PW-PA Power REIT Real Estate 6.1% $32M -3.6% -3.6% -2.4% +2.4% +6.1%
13D Marvin Slosman NSPR InspireMD, Inc. Healthcare 5.2% $55M -3.2% -8.8% -8.8% -5.6% -8.0%
13D TOTH ROBERT MTEX MANNATECH INC Consumer Defensive 5.1% $9M -1.7% -3.6% -6.3% -8.0% -8.0%
13D Paul Richard Taylor VISM Visium Technologies, Inc. Technology 3.0% $823K +8.1% -8.1% -27.0% -24.3% -18.9%
13D/A AE RED HOLDINGS, LLC RDW Redwire Corp Industrials 1.0% $1.4B -3.6% -6.6% -11.2% -5.1% -3.5%
13G Venrock Healthcare Capital Partners III, L.P. ACHV Achieve Life Sciences, Inc. Healthcare β€” $234M -1.5% +6.2% +3.2% +9.2% +9.0%
13G Broadcast Music, LLC LVO LiveOne, Inc. Communication Services β€” $54M +15.0% +3.1% +1.0% +5.3% +5.9%
13G Harraden Circle Investments, LLC QRED-UN QuasarEdge Acquisition Corp β€” β€” β€” β€” β€” β€” β€” β€”
13G Bay Pond Partners, L.P. LC LendingClub Corporation Financial Services β€” $1.9B -1.7% -3.4% -5.3% -2.3% -2.3%
13G Lu Huang MKDWW MKDWELL Tech Inc. Consumer Cyclical β€” $2M +0.0% +0.0% -3.8% +6.6% -3.8%
13G Commodore Capital LP JATT JATT II Acquisition Corp. Financial Services β€” $42M β€” β€” β€” β€” β€”
13G Linden Capital L.P. SAC-UN Safeguard Acquisition Corp. Financial Services β€” $205M +0.0% +0.0% +0.0% +0.0% +0.0%
13G Great Point Partners, LLC JATT JATT II Acquisition Corp. Financial Services β€” $42M β€” β€” β€” β€” β€”
13G JANE STREET GROUP, LLC DAVEW Dave Inc./DE Technology β€” $14M +6.4% +5.9% -26.8% +9.6% +7.4%
13G Nantahala Capital Management, LLC CRIS CURIS, INC. Healthcare β€” $8M -2.3% -2.2% -5.7% +0.8% -0.5%
13G Kopion Asset Management, LLC SSTI SOUNDTHINKING, INC. Technology β€” $91M +0.9% +2.2% +2.4% +1.6% +4.2%
13G Mitchell P. Kopin OTLK Outlook Therapeutics, Inc Healthcare β€” $11M -9.6% -16.8% -18.6% -20.7% -16.8%
13G Frazier Life Sciences Public Fund, L.P. ACHV Achieve Life Sciences, Inc. Healthcare β€” $234M -1.5% +6.2% +3.2% +9.2% +9.0%
13G/A BlackRock, Inc. ENPH Enphase Energy, Inc. Energy β€” $4.3B -1.5% -4.1% -12.8% -7.9% -5.4%
13G/A BlackRock, Inc. RXRX RECURSION PHARMACEUTICALS, I Healthcare β€” $1.6B -0.9% -2.8% -6.0% -1.4% -3.4%
13G/A Ronald S. Lauder EL The Estee Lauder Companies I Consumer Defensive β€” $29.4B -0.6% -0.9% -2.7% -1.4% +1.9%
13G/A BlackRock, Inc. PFG PRINCIPAL FINANCIAL GROUP IN Financial Services β€” $21.5B +0.4% +0.7% +0.3% +1.6% +1.8%
13G/A BlackRock, Inc. SITM SITIME CORP Technology β€” $14.9B -3.9% -9.6% -7.6% -1.4% -2.0%
13G/A BlackRock, Inc. LKQ LKQ CORPORATION Consumer Cyclical β€” $7.1B -1.4% -1.6% -3.0% -0.1% -9.8%
13G/A BlackRock, Inc. NVTS NAVITAS SEMICONDUCTOR CORP Technology β€” $3.7B +5.9% -12.5% -10.4% -4.5% +1.0%
13G/A Redmile Group, LLC ADCT ADC Therapeutics SA Healthcare β€” $468M -4.6% -4.3% -4.1% -4.1% -2.8%
13G/A Bovopoulos Andreas COSM Cosmos Health Inc. Healthcare β€” $11M -4.5% -2.5% -5.8% -3.5% -0.1%
13G/A BlackRock, Inc. FITBP FIFTH THIRD BANCORP Financial Services β€” $16.6B -0.6% -0.7% -2.1% -1.8% -1.9%
13G/A BlackRock, Inc. NWN NORTHWEST NATURAL HOLDING CO Utilities β€” $2.2B +0.4% +0.0% -0.4% -0.7% -0.9%
13G/A BlackRock, Inc. VNOM VIPER ENERGY INC Energy β€” $19.1B +0.5% +0.6% +2.8% +3.8% +4.9%
13G/A BlackRock, Inc. FSLY Fastly, Inc. Technology β€” $4.3B +8.6% +3.7% +11.1% +6.3% +18.1%
13G/A BlackRock, Inc. HOG HARLEY DAVIDSON INC Consumer Cyclical β€” $2.6B -0.6% +1.3% +2.2% +3.4% +5.9%
13G/A BlackRock, Inc. UTL UNITIL CORPORATION Utilities β€” $944M -0.7% +0.4% -1.2% -0.6% -1.7%
13G/A BlackRock, Inc. TTMI TTM TECHNOLOGIES INC Technology β€” $16.4B -3.2% -7.7% -7.7% +6.2% +6.7%
13G/A BlackRock, Inc. AI C3.ai, Inc Technology β€” $1.3B +1.7% +3.8% +2.5% +2.2% +6.0%
13G/A Arbour Lane Capital Management, LP SBDS Solo Brands, Inc. Consumer Cyclical β€” $12M +1.0% +11.5% +0.0% +4.2% +11.5%
13G/A BlackRock, Inc. ISHARES INDIA 50 ETF β€” β€” β€” β€” β€” β€” β€” β€”
13G/A BlackRock, Inc. CC CHEMOURS COMPANY Basic Materials β€” $4.1B -0.5% -3.4% -1.0% +1.3% +4.2%
13G/A BlackRock, Inc. WU WESTERN UNION COMPANY Financial Services β€” $2.9B +5.3% +0.4% +0.9% +2.1% +3.5%
13G/A BlackRock, Inc. ASTE ASTEC INDUSTRIES INC Industrials β€” $1.4B -0.8% +2.4% +3.6% +9.8% +8.3%
13G/A BlackRock, Inc. JHG JANUS HENDERSON GROUP PLC Financial Services β€” $8.0B +0.1% +0.0% +0.0% +0.1% +0.1%
13G/A BlackRock, Inc. PEBO PEOPLES BANCORP INC Financial Services β€” $1.2B +1.1% +2.3% -0.3% +0.8% +1.5%
13G/A BlackRock, Inc. NWPX NWPX Infrastructure, Inc. Industrials β€” $1.0B -0.7% +2.5% +2.0% +16.0% +26.2%
13G/A BlackRock, Inc. EFOR ASGN Inc β€” β€” β€” +10.6% +16.6% +20.8% +11.2% +11.7%
13G/A BlackRock, Inc. SLNO SOLENO THERAPEUTICS INC Healthcare β€” $2.7B +0.1% +0.1% +0.1% +0.2% +0.3%
13G/A DePrince, Race & Zollo, Inc. PZZA Papa John's International, I Consumer Cyclical β€” $1.1B +0.9% -1.2% -5.3% -2.2% -4.1%
13G/A BlackRock, Inc. OTEX Open Text Corporation Technology β€” $5.8B +0.4% +0.4% -0.2% +1.1% +3.5%
13G/A BlackRock, Inc. ARWR ARROWHEAD PHARMACEUTICALS IN Healthcare β€” $10.7B -0.4% -5.1% -4.6% -0.6% +1.2%
13G/A BlackRock, Inc. CENX CENTURY ALUMINUM CO Basic Materials β€” $5.9B +1.5% -2.4% -2.9% -2.1% -2.9%
13G/A BlackRock, Inc. NXPI NXP Semiconductors N.V. Technology β€” $73.4B -2.9% -5.6% +18.5% +20.3% +21.0%
13G/A BlackRock, Inc. VICR VICOR CORPORATION Technology β€” $11.3B -1.8% -9.1% -6.2% -1.6% -1.9%
13G/A BlackRock, Inc. ORA ORMAT TECHNOLOGIES, INC. Utilities β€” $7.0B +0.6% -0.3% -2.7% +1.4% +0.1%
13G/A Peter Yu ALTI AlTi Global, Inc. Financial Services β€” $508M -1.3% -2.1% -11.0% -7.3% -5.8%
13G/A BlackRock, Inc. SUI SUN COMMUNITIES INC Real Estate β€” $15.4B -1.7% -1.2% -2.5% -1.5% -2.5%
13G/A BlackRock, Inc. FNF Fidelity National Financial, Financial Services β€” $13.8B -0.9% +0.6% -0.1% -0.1% -1.3%
13G/A BlackRock, Inc. DOCU DOCUSIGN, INC. Technology β€” $9.4B -1.2% -1.0% +1.5% -0.5% +3.8%
13G/A BlackRock, Inc. MTUS METALLUS INC Basic Materials β€” $777M +1.3% +0.3% -1.2% +0.7% +0.2%
13G/A BlackRock, Inc. ECVT Ecovyst Inc. Basic Materials β€” $1.6B +2.4% +1.2% +1.1% +2.6% +3.9%
13G/A BlackRock, Inc. ALIT ALIGHT INC Technology β€” $425M -6.3% +3.9% +6.3% +17.3% +10.8%
13G/A BlackRock, Inc. WAT WATERS CORPORATION Healthcare β€” $18.0B -3.3% -2.9% -5.7% -0.2% -0.9%
13G/A BlackRock, Inc. BXC BlueLinx Holdings Inc. Industrials β€” $383M -3.0% -3.8% -9.5% -9.2% -10.7%
13G/A Integrated Core Strategies (US) LLC BRZE Braze, Inc. Technology β€” $2.7B -0.1% -3.7% -2.5% -5.3% +1.2%
13G/A BlackRock, Inc. WEN Wendy's Co Consumer Cyclical β€” $1.2B -3.4% -4.6% -5.3% -2.5% -6.2%
13G/A BlackRock, Inc. SMA SmartStop Self Storage REIT, Real Estate β€” $1.2B -2.1% -1.3% -2.8% -3.0% -3.5%
13G/A BlackRock, Inc. KMB KIMBERLY CLARK CORPORATION Consumer Defensive β€” $31.8B +0.4% +0.6% -1.8% +0.6% -0.2%
13G/A BlackRock, Inc. ENVA ENOVA INTERNATIONAL INC Financial Services β€” $4.1B +4.2% +3.5% +1.2% +1.7% +2.6%
13G/A BlackRock, Inc. RHI ROBERT HALF INC. Industrials β€” $2.7B +2.1% +7.5% +6.2% +3.9% +5.5%
13G/A BlackRock, Inc. CTRE CareTrust REIT, Inc. Real Estate β€” $8.8B +2.1% +4.6% +2.6% +3.9% +3.2%
13G/A BlackRock, Inc. CIEN CIENA CORPORATION Technology β€” $76.1B -2.8% -9.0% -8.7% +1.3% +2.8%
13G/A BlackRock, Inc. MSEXP MIDDLESEX WATER CO Utilities β€” $11.5B +0.0% +0.0% +0.0% +0.0% +0.0%
13G/A BlackRock, Inc. CWEN-A CLEARWAY ENERGY INC Utilities β€” $8.3B +3.9% +2.3% -3.3% +2.2% +2.2%
13G/A BlackRock, Inc. RYN RAYONIER INC Real Estate β€” $3.2B +0.2% +0.7% -0.5% -0.6% -1.8%
13G/A BlackRock, Inc. KOS KOSMOS ENERGY LTD Energy β€” $1.6B +4.3% +5.3% +8.9% +9.6% +13.9%
13G/A BlackRock, Inc. HE HAWAIIAN ELECTRIC INDUSTRIES Utilities β€” $2.6B +0.5% -0.1% -2.2% -1.2% +0.1%
13G/A BlackRock, Inc. FUBO FuboTV Inc. Communication Services β€” $1.4B -3.4% -4.3% -1.3% +2.6% +15.1%
13G/A BlackRock, Inc. STAA STAAR SURGICAL CO Healthcare β€” $1.4B +3.9% +4.0% -0.7% +2.7% +5.9%
13G/A BlackRock, Inc. RLJ-PA RLJ Lodging Trust Real Estate β€” $3.8B +1.1% +1.1% +0.9% +1.2% +1.4%
13G/A BlackRock, Inc. LITE LUMENTUM HOLDINGS INC Technology β€” $69.7B -2.5% -10.2% -2.6% +2.3% +7.7%
13G/A BlackRock, Inc. NU NU HOLDINGS LTD Financial Services β€” $68.4B +0.9% -0.1% -3.2% -0.2% -0.5%
13G/A Pine Brook Road Advisors, L.P. FIHL Fidelis Insurance Holdings L Financial Services β€” $2.2B -0.4% +1.0% -0.4% +0.8% +1.2%
13G/A BlackRock, Inc. ISHARES GLOBAL HEALTHCARE ETF β€” β€” β€” β€” β€” β€” β€” β€”
13G/A BlackRock, Inc. ACHR-WT Archer Aviation Inc Industrials β€” $599M +4.0% +4.0% +1.3% +4.2% -1.5%
13G/A BlackRock, Inc. EMN EASTMAN CHEMICAL CO Basic Materials β€” $8.8B +0.0% -0.5% -2.2% +1.5% +7.7%
13G/A BlackRock, Inc. NTST NETSTREIT Corp. Real Estate β€” $1.7B -0.3% +0.2% +0.0% +0.0% -2.0%
13G/A BlackRock, Inc. WH WYNDHAM HOTELS AND RESORTS I Consumer Cyclical β€” $6.0B -0.6% -0.5% -2.1% -5.2% -5.9%
13G/A BlackRock, Inc. TXNM TXNM ENERGY INC Utilities β€” $6.4B -0.2% -0.1% -0.3% +0.1% +0.3%
13G/A BlackRock, Inc. NWL NEWELL BRANDS INC. Consumer Defensive β€” $2.0B -1.2% -5.2% -6.9% -3.5% +7.6%
13G/A BlackRock, Inc. NBHC NATIONAL BANK HOLDINGS CORPO Financial Services β€” $1.6B +1.5% +1.6% -0.8% +0.3% +1.2%
13G/A BlackRock, Inc. RUN Sunrun Inc. Energy β€” $3.0B +2.3% +1.8% -6.4% -0.1% +2.5%
13G/A BlackRock, Inc. SLS SELLAS LIFE SCIENCES GROUP I Healthcare β€” $715M +9.4% +9.4% +4.7% +11.0% +10.5%
13G/A BlackRock, Inc. OSW OneSpaWorld Holdings Limited Consumer Cyclical β€” $2.4B -1.2% -1.6% +2.9% +2.2% +4.4%
13G/A BlackRock, Inc. CWCO CONSOLIDATED WATER CO. LTD. Utilities β€” $514M +0.2% -1.3% -3.9% -5.0% -4.7%
13G/A BlackRock, Inc. SPT SPROUT SOCIAL INC Technology β€” $406M +0.3% +1.3% -1.2% +0.2% +8.5%
13G/A BlackRock, Inc. TEL TE CONNECTIVITY PLC Technology β€” $59.9B -2.4% -4.8% -4.4% -1.4% -3.4%
13G/A BlackRock, Inc. NVR NVR INC Consumer Cyclical β€” $16.5B -0.3% -0.9% -4.6% -2.9% -5.4%
13G/A Redmile Group, LLC NRIX Nurix Therapeutics, Inc. Healthcare β€” $1.5B -1.1% +2.4% -0.4% +0.1% +0.8%
13G/A BlackRock, Inc. WTRG Essential Utilities, Inc. Utilities β€” $10.8B -0.3% +0.3% -0.1% -3.3% -3.8%
13G/A BlackRock, Inc. TROLB TOOTSIE ROLL INDUSTRIES INC Consumer Defensive β€” $1.4B +0.0% +0.0% +0.0% +0.0% +0.0%
13G/A BlackRock, Inc. LMB Limbach Holdings, Inc. Industrials β€” $1.2B -3.2% -2.3% -5.0% +3.7% +3.1%
13G/A BlackRock, Inc. ASIX ADVANSIX INC Basic Materials β€” $683M +0.9% +1.2% +4.4% +5.3% +8.3%
13G/A BlackRock, Inc. HFWA HERITAGE FINANCIAL CORP Financial Services β€” $918M +3.3% +4.2% +2.8% +4.0% +4.3%
13G/A BlackRock, Inc. HBANP HUNTINGTON BANCSHARES INC Financial Services β€” $26.8B -0.4% -0.5% -1.3% -0.6% -0.5%
13G/A BlackRock, Inc. SIBN SI-BONE, Inc. Healthcare β€” $591M -2.7% -8.6% -11.8% -8.4% -2.3%
13G/A BlackRock, Inc. MYRG MYR GROUP INC. Industrials β€” $7.1B +2.1% -2.4% -0.4% +19.3% +27.8%
13G/A BlackRock, Inc. APA APA Corp Energy β€” $14.8B +1.9% +2.4% +6.9% +8.0% +6.4%
13G/A BlackRock, Inc. TEX TEREX CORP Industrials β€” $4.3B +0.1% -1.1% -3.0% -0.6% -1.2%
13G/A BlackRock, Inc. EMRJF EMERA INC β€” β€” β€” β€” β€” β€” β€” β€”
13G/A BlackRock, Inc. MOG-B MOOG INC Industrials β€” $9.6B -2.6% -2.6% -2.6% -2.6% -6.3%
13G/A BlackRock, Inc. IIIN INSTEEL INDUSTRIES INC Industrials β€” $500M +1.6% +0.3% +1.6% +3.7% +4.6%
13G/A BlackRock, Inc. ARE ALEXANDRIA REAL ESTATE EQUIT Real Estate β€” $7.2B -3.9% -14.7% -13.4% -14.5% -12.7%
13G/A BlackRock, Inc. FMC FMC CORPORATION Basic Materials β€” $1.8B +4.6% +2.6% -1.5% +3.4% -0.4%
13G/A BlackRock, Inc. STNE StoneCo Ltd. Technology β€” $2.9B -1.9% -4.6% -11.2% -10.1% -9.2%
13G/A BlackRock, Inc. AEFC AEGON LTD Financial Services β€” β€” -0.3% -0.8% -1.6% -1.4% -0.4%
13G/A BlackRock, Inc. APOG APOGEE ENTERPRISES INC Industrials β€” $738M -2.2% -3.4% -7.0% -4.9% -5.2%
13G/A BlackRock, Inc. ARR-PC ARMOUR RESIDENTIAL REIT INC Real Estate β€” $1.4B +0.0% +0.0% -0.2% +0.0% +0.0%
13G/A BlackRock, Inc. VVX V2X, INC. Industrials β€” $2.1B +0.3% +2.5% +3.7% +7.1% +7.0%
13G/A BlackRock, Inc. WS WORTHINGTON STEEL INC Basic Materials β€” $1.9B -0.1% -0.2% -3.6% +1.8% +3.8%
13G/A BlackRock, Inc. SBS COMPANHIA DE SANEAMENTO BASI Utilities β€” $22.5B -1.8% -3.1% -5.1% -3.1% -4.1%
13G/A BlackRock, Inc. iShares GNMA Bond ETF β€” β€” β€” β€” β€” β€” β€” β€”
13G/A BlackRock, Inc. CLW CLEARWATER PAPER CORP Basic Materials β€” $206M -0.1% +1.5% -11.9% -6.3% -9.0%
13G/A BlackRock, Inc. VRT Vertiv Holdings Co Industrials β€” $127.1B -0.3% -5.7% -5.3% +1.6% +1.5%
13G/A BlackRock, Inc. COHR COHERENT CORP Technology β€” $52.3B -4.3% -9.6% -9.3% -4.9% -2.0%
13G/A BlackRock, Inc. BE BLOOM ENERGY CORPORATION Industrials β€” $69.4B +1.5% -2.1% +24.6% +22.6% +25.7%
13G/A BlackRock, Inc. YORW YORK WATER Utilities β€” $465M +0.6% +0.6% -1.5% -1.8% -1.4%
13G/A Millennium Management LLC CSTM Constellium SE Basic Materials β€” $4.2B -0.6% -1.0% +2.7% -0.3% +2.0%
13G/A BlackRock, Inc. ROK ROCKWELL AUTOMATION INC Industrials β€” $45.0B +1.4% +0.0% -0.2% +1.9% +1.6%
13G/A BlackRock, Inc. SEDG SOLAREDGE TECHNOLOGIES, INC Energy β€” $2.5B +3.4% -3.4% -9.3% -6.5% -6.4%
13G/A BlackRock, Inc. WKC WORLD KINECT CORP Energy β€” $1.4B +0.5% +2.8% +3.4% +3.3% +3.8%
13G/A BlackRock, Inc. IDCC InterDigital, Inc. Technology β€” $7.0B -1.7% -4.2% -4.3% -19.5% -21.2%
13G/A BlackRock, Inc. KOP KOPPERS HOLDINGS INC Basic Materials β€” $770M +2.7% +2.9% -1.2% +1.4% +4.0%
13G/A BlackRock, Inc. KALU KAISER ALUMINUM CORP Basic Materials β€” $2.8B -1.6% -2.8% -3.0% -4.2% -2.3%
13G/A BlackRock, Inc. FTRSF FORTIS INC. Utilities β€” $9.1B +0.0% +0.1% +0.1% +0.1% +0.1%
13G/A BlackRock, Inc. SCHL SCHOLASTIC CORP Communication Services β€” $978M +0.9% +1.4% -0.3% +0.0% +0.0%
13G/A Canaan XI L.P. TYRA Tyra Biosciences, Inc. Healthcare β€” $1.9B -1.8% -6.7% -10.1% -7.6% -9.4%
13G/A BlackRock, Inc. SSRGF SSR MINING INC. Basic Materials β€” $6.0B β€” β€” β€” β€” β€”
13G/A BlackRock, Inc. DT Dynatrace, Inc. Technology β€” $11.7B +0.9% +2.0% +3.1% +2.6% +6.6%
13G/A BlackRock, Inc. CPK CHESAPEAKE UTILITIES CORPORA Utilities β€” $3.0B -0.5% -0.1% -2.0% -1.2% -0.5%
13G/A BlackRock, Inc. ALHC Alignment Healthcare, Inc. Healthcare β€” $3.9B -0.9% +3.6% +2.8% +6.7% -4.1%
13G/A BlackRock, Inc. SATS EchoStar CORP Technology β€” $34.6B +3.5% +5.3% +1.9% +4.8% +4.8%
13G/A BlackRock, Inc. LKFN LAKELAND FINANCIAL CORPORATI Financial Services β€” $1.5B +3.1% +3.3% -0.2% +1.4% +2.8%