13F institutional ownership facts
Institutions tracked
46
Reported value
$100,132,088.00
Reported shares
3,957,790
Latest filing period
Q2 2026
Top institutional holders
- Steve Cohen - Point72 Asset Management · $61,559,150 · 0.07%
- Artisan Partners · $33,525,890 · 0.05%
- Renaissance Technologies · $32,449,679 · 0.04%
- PSP Investments · $11,014,988 · 0.03%
- David E. Shaw - D.E. Shaw & Co. · $42,957,806 · 0.02%
- Two Sigma Investments · $23,452,898 · 0.02%
Data source and limitations
This page uses public SEC Form 13F disclosures and related institutional filing data. 13F reports are periodic disclosures and may not represent current real-time holdings.
13F Hub provides research and education data only. It does not provide personalized investment advice.
$ACAD
Institutional Holdings
46
Top Institutions
Top Institutions
Steve Cohen - Point72 Asset Management
2,433,168 shares
0.07%
% of Portfolio
Artisan Partners
1,325,134 shares
0.05%
% of Portfolio
Renaissance Technologies
1,282,596 shares
0.04%
% of Portfolio
PSP Investments
435,375 shares
0.03%
% of Portfolio
David E. Shaw - D.E. Shaw & Co.
1,697,937 shares
0.02%
% of Portfolio
Two Sigma Investments
926,992 shares
0.02%
% of Portfolio
David Solomon - Goldman Sachs
2,580,115 shares
0.01%
% of Portfolio
Dmitry Balyasny - Balyasny Asset Management
388,024 shares
0.01%
% of Portfolio
Israel Englander - Millennium Management
589,924 shares
0.01%
% of Portfolio
Ken Griffin - Citadel Advisors
2,182,177 shares
0.01%
% of Portfolio
Larry Fink - BlackRock
22,515,173 shares
0.01%
% of Portfolio
Nuveen
1,348,192 shares
0.01%
% of Portfolio
Adage Capital Partners
510,000 shares
0.02%
% of Portfolio
Ken Fisher - Fisher Asset Management
699,230 shares
0.01%
% of Portfolio
Lazard Asset Management
247,569 shares
0.01%
% of Portfolio
State Street Corp
9,076,212 shares
0.01%
% of Portfolio
Cliff Asness - AQR Capital Management
522,749 shares
NaN%
% of Portfolio
Geode Capital Management
3,358,129 shares
NaN%
% of Portfolio
Charles Schwab
1,206,336 shares
NaN%
% of Portfolio
Northern Trust Corp
1,367,422 shares
NaN%
% of Portfolio
Voya Investment Mgmt
81,920 shares
NaN%
% of Portfolio
UBS Group
460,053 shares
NaN%
% of Portfolio
Jane Street Group
113,257 shares
NaN%
% of Portfolio
New York State Teachers Retirement System - New York State Teachers Retirement System
38,127 shares
NaN%
% of Portfolio
Invesco
810,462 shares
NaN%
% of Portfolio
Legal & General
282,510 shares
NaN%
% of Portfolio
Morgan Stanley
946,639 shares
NaN%
% of Portfolio
Franklin Resources
226,092 shares
NaN%
% of Portfolio
Canada Pension Plan Investment Board
68,100 shares
NaN%
% of Portfolio
BNP Paribas
58,129 shares
NaN%
% of Portfolio
Josef Lakonishok - Lsv Asset Management
17,200 shares
NaN%
% of Portfolio
SG Americas Securities
50,187 shares
NaN%
% of Portfolio
T. Rowe Price
207,047 shares
NaN%
% of Portfolio
Jamie Dimon - JPMorgan Chase
234,706 shares
NaN%
% of Portfolio
Ensign Peak Advisors
8,050 shares
NaN%
% of Portfolio
Amundi
34,153 shares
NaN%
% of Portfolio
Wellington Management
46,584 shares
NaN%
% of Portfolio
PNC Financial Services
4,499 shares
NaN%
% of Portfolio
Mitsubishi Ufj Asset Management Co., Ltd.
491 shares
NaN%
% of Portfolio
Chuck Royce - Royce & Associates
91,885 shares
0.02%
% of Portfolio
Segall Bryant & Hamill, LLC
53,034 shares
0.02%
% of Portfolio
Ray Dalio - Bridgewater Associates
50,265 shares
0.01%
% of Portfolio
Nomura Holdings INC
17,456 shares
NaN%
% of Portfolio
Stephen Schwarzman - Blackstone
13,286 shares
NaN%
% of Portfolio
Joel Greenblatt - Gotham Asset Management
0 shares
0.00%
% of Portfolio
John Hussman - Hussman Strategic Advisors
63,000 shares
0.37%
% of Portfolio
Institutional InsightPRO
Scale Distribution
MEGA
30%
LARGE
40%
MEDIUM
30%
SMALL
0%
Geographic Distribution
Institutional Activity
Buyers
55
Sellers
35
Holders
75
New
18
Exited
10
Insider TradingPRO
Trading Statistics
Insider Buyers
18
Insider Sellers
35
Purchase Value
$31.7M
Role Distribution
RatingPRO
75
B+
Overall Score
Moderate institutional interest with stable holdings
Rating Dimensions
Recent Actions
New
10
Increased
25
Decreased
8
Exited
6
Total
35