PharVision Advisers, LLC 13F holdings, Q1 2026
Holdings as of March 31, 2026 · filings on SEC EDGAR · latest filing →
PharVision Advisers, LLC disclosed 97 US equity positions worth $9.9m in its Q1 2026 13F filing. The largest position was HPQ at 2.4% of the reported book, followed by MLCO and FSM.
What did PharVision Advisers, LLC own in Q1 2026? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs prior |
|---|---|---|---|---|---|---|---|
| 1 | HPQ HP INC | Technology | 2.4% | $232.8k | 12,118 | – | |
| 2 | MLCO MELCO RESORTS AND ENTMNT LTD | Consumer Cyclical | 2.0% | $199.2k | 35,072 | – | |
| 3 | FSM FORTUNA MNG CORP | Basic Materials | 1.9% | $182.6k | 18,393 | – | |
| 4 | HLF HERBALIFE LTD | Consumer Defensive | 1.8% | $175.6k | 11,930 | – | |
| 5 | SWBI SMITH & WESSON BRANDS INC | Industrials | 1.8% | $175.5k | 12,248 | – | |
| 6 | EFC ELLINGTON FINANCIAL INC | 1.7% | $169.1k | 14,267 | – | ||
| 7 | ATEC ALPHATEC HLDGS INC | Healthcare | 1.7% | $165.6k | 15,222 | – | |
| 8 | DCH DAUCH CORP | Consumer Cyclical | 1.6% | $162.6k | 27,417 | – | |
| 9 | SAFE BULKERS INC | 1.6% | $158.5k | 25,033 | – | ||
| 10 | SAN BANCO SANTANDER SA | 1.5% | $150.2k | 13,320 | – | ||
| 11 | F FORD MTR CO | Consumer Cyclical | 1.5% | $150.0k | 12,996 | – | |
| 12 | QUAD QUAD / GRAPHICS INC | Industrials | 1.5% | $144.8k | 21,901 | – | |
| 13 | OIS OIL STS INTL INC | Energy | 1.4% | $142.1k | 12,212 | – | |
| 14 | ALTG ALTA EQUIPMENT GROUP INC | 1.4% | $141.3k | 26,305 | – | ||
| 15 | AGNC AGNC INVT CORP | Real Estate | 1.4% | $140.5k | 14,007 | – | |
| 16 | EMBC EMBECTA CORP | Healthcare | 1.4% | $140.4k | 15,877 | – | |
| 17 | CNH INDL N V | 1.4% | $139.5k | 12,680 | – | ||
| 18 | FIVERR INTL LTD | 1.4% | $136.5k | 13,622 | – | ||
| 19 | RIG TRANSOCEAN LTD | Energy | 1.4% | $134.8k | 20,339 | – | |
| 20 | NEXT NEXTDECADE CORP | Energy | 1.4% | $134.4k | 17,550 | – | |
| 21 | ZGN ERMENEGILDO ZEGNA N V | Consumer Cyclical | 1.3% | $132.2k | 12,690 | – | |
| 22 | PAGAYA TECHNOLOGIES LTD | 1.3% | $130.8k | 11,225 | – | ||
| 23 | AVAH AVEANNA HEALTHCARE HLDGS INC | Healthcare | 1.3% | $129.4k | 20,092 | – | |
| 24 | MITT TPG MTG INVTS TR INC | 1.3% | $128.4k | 17,565 | – | ||
| 25 | ORC ORCHID IS CAP INC | 1.3% | $127.8k | 18,180 | – | ||
| 26 | BTG B2GOLD CORP | Basic Materials | 1.3% | $127.1k | 28,064 | – | |
| 27 | ITUB ITAU UNIBANCO HLDG S A | Financial Services | 1.3% | $126.9k | 15,149 | – | |
| 28 | OSCR OSCAR HEALTH INC | Healthcare | 1.3% | $126.1k | 10,998 | – | |
| 29 | ACVA ACV AUCTIONS INC | Consumer Cyclical | 1.3% | $125.4k | 29,579 | – | |
| 30 | HLN HALEON PLC | Healthcare | 1.2% | $123.2k | 12,303 | – | |
| 31 | MTA METALLA RTY & STREAMING LTD | 1.2% | $121.6k | 18,345 | – | ||
| 32 | BORR BORR DRILLING LTD | Energy | 1.2% | $121.0k | 20,978 | – | |
| 33 | ASAN ASANA INC | Technology | 1.2% | $119.9k | 18,741 | – | |
| 34 | GO GROCERY OUTLET HLDG CORP | Consumer Defensive | 1.2% | $119.0k | 16,876 | – | |
| 35 | TRTX TPG RE FIN TR INC | Real Estate | 1.2% | $116.6k | 14,932 | – | |
| 36 | TROX TRONOX HOLDINGS PLC | Basic Materials | 1.2% | $113.5k | 11,616 | – | |
| 37 | PANGAEA LOGISTICS SOLUTION L | 1.2% | $113.4k | 16,015 | – | ||
| 38 | TKC TURKCELL ILETISIM | 1.1% | $113.3k | 18,783 | – | ||
| 39 | BTDR BITDEER TECHNOLOGIES GROUP | Technology | 1.1% | $112.0k | 12,951 | – | |
| 40 | GOGO GOGO INC | Communication Services | 1.1% | $111.2k | 27,669 | – | |
| 41 | UWMC UWM HOLDINGS CORPORATION | Financial Services | 1.1% | $110.8k | 30,619 | – | |
| 42 | RPD RAPID7 INC | Technology | 1.1% | $109.5k | 19,872 | – | |
| 43 | SNAP SNAP INC | Communication Services | 1.1% | $109.3k | 23,753 | – | |
| 44 | KODK EASTMAN KODAK CO | Industrials | 1.1% | $106.3k | 11,743 | – | |
| 45 | ARCO ARCOS DORADOS HLDGS INC | Consumer Cyclical | 1.1% | $105.1k | 12,735 | – | |
| 46 | AVPT AVEPOINT INC | Technology | 1.0% | $102.1k | 10,733 | – | |
| 47 | PHR PHREESIA INC | Healthcare | 1.0% | $99.2k | 11,833 | – | |
| 48 | HIMX HIMAX TECHNOLOGIES INC | Technology | 1.0% | $98.2k | 12,474 | – | |
| 49 | NIO NIO INC | Consumer Cyclical | 1.0% | $98.0k | 16,259 | – | |
| 50 | ILPT INDUSTRIAL LOGISTICS PPTYS T | 1.0% | $97.8k | 17,219 | – |
Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.