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Adviser
Type
Submitted
Adviser First Light Asset Management, LLC Type 13F-HR Submitted
05/15/2025
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker032724106 Stock NameANAPTYSBIO INC $ Position$86.1 b % Position10.00 % $ Change649.00 % # Shares4,633,602 # Change433.00 %
Stock Ticker05463X106 Stock NameAXOGEN INC $ Position$82.8 b % Position9.00 % $ Change11.00 % # Shares4,474,215 # Change-1.00 %
Stock Ticker152309100 Stock NameCENTESSA PHARMACEUTICALS PLC $ Position$70.1 b % Position8.00 % $ Change-28.00 % # Shares4,874,124 # Change-16.00 %
Stock Ticker64049M209 Stock NameNEOGENOMICS INC $ Position$57.3 b % Position7.00 % $ Change10.00 % # Shares6,042,822 # Change91.00 %
Stock Ticker90184D100 Stock NameTWIST BIOSCIENCE CORP $ Position$47.8 b % Position5.00 % $ Change-16.00 % # Shares1,218,699 # Change-1.00 %
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
05/13/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
05/07/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
03/07/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G Submitted
03/07/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
02/14/2025
Adviser First Light Asset Management, LLC Type 13F-HR Submitted
02/14/2025
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker69913P105 Stock NamePARAGON 28 INC $ Position$109.3 b % Position10.00 % $ Change61.00 % # Shares10,580,467 # Change4.00 %
Stock Ticker152309100 Stock NameCENTESSA PHARMACEUTICALS LIMITED $ Position$97.2 b % Position9.00 % $ Change2.00 % # Shares5,805,184 # Change-2.00 %
Stock Ticker05463X106 Stock NameAXOGEN INC $ Position$74.3 b % Position7.00 % $ Change30.00 % # Shares4,506,795 # Change10.00 %
Stock Ticker04963C209 Stock NameATRICURE INC $ Position$60.2 b % Position6.00 % $ Change15.00 % # Shares1,969,221 # Change6.00 %
Stock Ticker64049M209 Stock NameNEOGENOMICS INC $ Position$52.2 b % Position5.00 % $ Change15.00 % # Shares3,167,585 # Change3.00 %
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
02/07/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
01/29/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
01/08/2025
Adviser First Light Asset Management, LLC Type SCHEDULE 13G/A Submitted
01/08/2025
Adviser First Light Asset Management, LLC Type 13G Submitted
11/14/2024
Adviser First Light Asset Management, LLC Type 13G Submitted
11/14/2024
Adviser First Light Asset Management, LLC Type 13F-HR Submitted
11/14/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker152309100 Stock NameCENTESSA PHARMACEUTICALS LIMITED $ Position$95.0 b % Position8.00 % $ Change120.00 % # Shares5,940,132 # Change24.00 %
Stock Ticker69913P105 Stock NamePARAGON 28 INC $ Position$67.8 b % Position6.00 % $ Change21.00 % # Shares10,154,643 # Change24.00 %
Stock Ticker30050B101 Stock NameEVOLENT HEALTH INC $ Position$65.0 b % Position5.00 % $ Change135.00 % # Shares2,298,261 # Change59.00 %
Stock Ticker05463X106 Stock NameAXOGEN INC $ Position$57.3 b % Position5.00 % $ Change137.00 % # Shares4,090,296 # Change22.00 %
Stock Ticker04963C209 Stock NameATRICURE INC $ Position$52.3 b % Position4.00 % $ Change17.00 % # Shares1,865,536 # Change-5.00 %
Adviser First Light Asset Management, LLC Type 13G/A Submitted
11/14/2024
Adviser First Light Asset Management, LLC Type 13G/A Submitted
11/14/2024
Adviser First Light Asset Management, LLC Type 13G/A Submitted
11/14/2024
Adviser First Light Asset Management, LLC Type 13G Submitted
11/07/2024
Adviser First Light Asset Management, LLC Type N-PX Submitted
08/15/2024
Adviser First Light Asset Management, LLC Type 13F-HR Submitted
08/14/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker69913P105 Stock NamePARAGON 28 INC $ Position$55.9 b % Position5.00 % $ Change19.00 % # Shares8,174,832 # Change115.00 %
Stock Ticker64049M209 Stock NameNEOGENOMICS INC $ Position$52.5 b % Position5.00 % $ Change1.00 % # Shares3,782,561 # Change15.00 %
Stock Ticker22663K107 Stock NameCRINETICS PHARMACEUTICALS INC $ Position$53.8 b % Position5.00 % $ Change-32.00 % # Shares1,200,508 # Change-29.00 %
Stock Ticker02081G201 Stock NameALPHATEC HOLDINGS INC $ Position$55.7 b % Position5.00 % $ Change-25.00 % # Shares5,327,978 # Change-2.00 %
Stock Ticker04963C209 Stock NameATRICURE INC $ Position$44.7 b % Position4.00 % $ Change6.00 % # Shares1,964,703 # Change42.00 %
Adviser First Light Asset Management, LLC Type 13G Submitted
08/09/2024
Adviser First Light Asset Management, LLC Type 13G/A Submitted
07/10/2024
Adviser First Light Asset Management, LLC Type 13G/A Submitted
06/10/2024
Adviser First Light Asset Management, LLC Type 13G/A Submitted
06/10/2024
Adviser First Light Asset Management, LLC Type 13F-HR Submitted
05/15/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker22663K107 Stock NameCRINETICS PHARMACEUTICALS INC $ Position$79.1 b % Position6.00 % $ Change12.00 % # Shares1,690,177 # Change-15.00 %
Stock Ticker02081G201 Stock NameALPHATEC HOLDINGS INC $ Position$74.7 b % Position6.00 % $ Change-17.00 % # Shares5,418,631 # Change-9.00 %
Stock Ticker632307104 Stock NameNATERA INC $ Position$60.1 b % Position5.00 % $ Change478.00 % # Shares656,708 # Change296.00 %
Stock Ticker64049M209 Stock NameNEOGENOMICS INC $ Position$51.9 b % Position4.00 % $ Change-18.00 % # Shares3,302,165 # Change-16.00 %
Stock Ticker89377M109 Stock NameTRANSMEDICS GROUP INC $ Position$52.6 b % Position4.00 % $ Change-12.00 % # Shares711,682 # Change-6.00 %