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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F Institutional Ownership · PALI

Palisade Bio Inc NASDAQ NMS - GLOBAL MARKET:PALI

Institutional holders, quarter-over-quarter share deltas, and new and closed positions disclosed in Form 13F. Period 2025-12-31 · prior 2025-09-30.

74 new7 added4 reduced1 exited

New Positions(74)

ManagerSharesΔ SharesValueΔ Value% Δ
PERCEPTIVE ADVISORS LLC12,050,000+12,050,000$28.3M+$28.3M
COMMODORE CAPITAL LP11,445,000+11,445,000$26.9M+$26.9M
JANUS HENDERSON GROUP PLC10,540,334+10,540,334$24.8M+$24.8M
Point72 Asset Management, L.P.10,495,252+10,495,252$24.7M+$24.7M
Octagon Capital Advisors LP9,567,898+9,567,898$22.5M+$22.5M
RA CAPITAL MANAGEMENT, L.P.7,124,116+7,124,116$16.7M+$16.7M
AMERIPRISE FINANCIAL INC6,911,237+6,911,237$16.2M+$16.2M
Eversept Partners, LP5,391,548+5,391,548$12.7M+$12.7M
FRANKLIN RESOURCES INC5,092,562+5,092,562$12.0M+$12.0M
Boxer Capital Management, LLC4,799,875+4,799,875$11.3M+$11.3M
Squadron Capital Management LLC4,500,000+4,500,000$10.6M+$10.6M
ADAGE CAPITAL PARTNERS GP, L.L.C.4,500,000+4,500,000$10.6M+$10.6M
B Group, Inc.4,500,000+4,500,000$10.6M+$10.6M
STEMPOINT CAPITAL LP4,192,375+4,192,375$9.9M+$9.9M
RENAISSANCE TECHNOLOGIES LLC2,382,500+2,382,500$5.6M+$5.6M
Vivo Capital, LLC2,293,578+2,293,578$5.4M+$5.4M
VANGUARD GROUP INC2,115,622+2,115,622$5.0M+$5.0M
ADAR1 Capital Management, LLC2,004,845+2,004,845$4.7M+$4.7M
Artia Global Partners LP1,992,367+1,992,367$4.7M+$4.7M
BlackRock, Inc.1,879,319+1,879,319$4.4M+$4.4M
ORBIMED ADVISORS LLC1,871,420+1,871,420$4.4M+$4.4M
CITADEL ADVISORS LLC1,701,411+1,701,411$4.0M+$4.0M
HighVista Strategies LLC1,300,031+1,300,031$3.1M+$3.1M
Exome Asset Management LLC758,203+758,203$1.8M+$1.8M
PLATINUM INVESTMENT MANAGEMENT LTD664,087+664,087$1.6M+$1.6M
Hudson Bay Capital Management LP656,460+656,460$1.5M+$1.5M
STATE STREET CORP643,997+643,997$1.5M+$1.5M
GOLDMAN SACHS GROUP INC557,565+557,565$1.3M+$1.3M
Persistent Asset Partners Ltd416,035+416,035$977.7K+$977.7K
Resolute Capital Asset Partners LLC400,000+400,000$940.0K+$940.0K
SUPERSTRING CAPITAL MANAGEMENT LP367,103+367,103$862.7K+$862.7K
JANE STREET GROUP, LLC343,686+343,686$807.7K+$807.7K
Seven Fleet Capital Management LP327,500+327,500$769.6K+$769.6K
Balyasny Asset Management LLC325,367+325,367$764.6K+$764.6K
Squarepoint Ops LLC322,090+322,090$756.9K+$756.9K
Creek Drive Management Group LLC307,500+307,500$722.6K+$722.6K
BIT Capital GmbH305,000+305,000$716.8K+$716.8K
MILLENNIUM MANAGEMENT LLC294,486+294,486$692.0K+$692.0K
NORTHERN TRUST CORP283,147+283,147$665.4K+$665.4K
Ikarian Capital, LLC274,978+274,978$646.2K+$646.2K
Quadrature Capital Ltd240,586+240,586$565.4K+$565.4K
SUSQUEHANNA INTERNATIONAL GROUP, LLP212,659+212,659$499.7K+$499.7K
Scientech Research LLC211,441+211,441$496.9K+$496.9K
TD Asset Management Inc204,448+204,448$480.5K+$480.5K
SPHERA FUNDS MANAGEMENT LTD.184,100+184,100$432.6K+$432.6K
DIADEMA PARTNERS LP166,049+166,049$390.2K+$390.2K
ACT CAPITAL MANAGEMENT, LLC150,000+150,000$352.5K+$352.5K
BOOTHBAY FUND MANAGEMENT, LLC132,648+132,648$311.7K+$311.7K
OMERS ADMINISTRATION Corp108,000+108,000$253.8K+$253.8K
MANUFACTURERS LIFE INSURANCE COMPANY, THE106,636+106,636$251.7K+$251.7K
SILVERARC CAPITAL MANAGEMENT, LLC102,108+102,108$240.0K+$240.0K
Pale Fire Capital SE70,710+70,710$166.2K+$166.2K
Jefferies Financial Group Inc.46,761+46,761$109.9K+$109.9K
Virtus ETF Advisers LLC46,000+46,000$108.1K+$108.1K
Lighthouse Investment Partners, LLC39,480+39,480$92.8K+$92.8K
Total Clarity Wealth Management, Inc.29,935+29,935$70.3K+$70.3K
Caitong International Asset Management Co., Ltd29,388+29,388$69.1K+$69.1K
TWO SIGMA INVESTMENTS, LP27,640+27,640$65.0K+$65.0K
Vontobel Holding Ltd.20,000+20,000$47.0K+$47.0K
COMMONWEALTH EQUITY SERVICES, LLC16,650+16,650$39.1K+$39.1K
VICTORY CAPITAL MANAGEMENT INC16,072+16,072$37.8K+$37.8K
LPL Financial LLC15,154+15,154$35.6K+$35.6K
WINTON GROUP Ltd14,891+14,891$35.0K+$35.0K
BARCLAYS PLC14,780+14,780$34.7K+$34.7K
Atom Investors LP14,041+14,041$33.0K+$33.0K
Bank of New York Mellon Corp12,912+12,912$30.3K+$30.3K
Schonfeld Strategic Advisors LLC11,231+11,231$26.4K+$26.4K
Cetera Investment Advisers10,512+10,512$24.7K+$24.7K
PRICE T ROWE ASSOCIATES INC /MD/1,577,856+1,577,856$3.7K+$3.7K
ADVISOR GROUP HOLDINGS, INC.66+66$155+$155
Virtu Financial LLC11,870+11,870$28+$28
FMR LLC10+10$24+$24
FNY Investment Advisers, LLC9,951+9,951$23+$23
Avion Wealth500+500$1+$1

Added To(7)

ManagerSharesΔ SharesValueΔ Value% Δ
MORGAN STANLEY4,142,446+4,133,828$9.7M+$9.7M47967.4%
GEODE CAPITAL MANAGEMENT, LLC1,565,452+1,538,832$3.7M+$3.7M5780.7%
UBS Group AG247,754+228,341$582.2K+$565.5K1176.2%
BANK OF AMERICA CORP /DE/70,097+70,011$164.7K+$164.7K81408.1%
CITIGROUP INC52,281+49,934$122.9K+$120.8K2127.6%
XTX Topco Ltd21,669+7,584$50.9K+$38.8K53.8%
Newbridge Financial Services Group, Inc.15,000+2,000$35.3K+$24.1K15.4%

Reduced(4)

ManagerSharesΔ SharesValueΔ Value% Δ
Tower Research Capital LLC (TRC)1,025-4,371$2.4K-$2.2K-81.0%
Rockefeller Capital Management L.P.5000$1.2K+$7450.0%
Federation des caisses Desjardins du Quebec1000$235+$1490.0%
WELLS FARGO & COMPANY/MN210$49+$310.0%

Sold Out(1)

ManagerSharesΔ SharesValueΔ Value% Δ
TWO SIGMA SECURITIES, LLC0-29,406$0-$25.3K

Top Holders by reported value

Ranked by the dollar value reported on the latest Form 13F. Share counts reflect long positions as of 2025-12-31.

ManagerShares$ ValueΔ SharesQoQ %
PERCEPTIVE ADVISORS LLC12,050,000$28.3M+12,050,000
COMMODORE CAPITAL LP11,445,000$26.9M+11,445,000
JANUS HENDERSON GROUP PLC10,540,334$24.8M+10,540,334
Point72 Asset Management, L.P.10,495,252$24.7M+10,495,252
Octagon Capital Advisors LP9,567,898$22.5M+9,567,898
RA CAPITAL MANAGEMENT, L.P.7,124,116$16.7M+7,124,116
AMERIPRISE FINANCIAL INC6,911,237$16.2M+6,911,237
Eversept Partners, LP5,391,548$12.7M+5,391,548
FRANKLIN RESOURCES INC5,092,562$12.0M+5,092,562
Boxer Capital Management, LLC4,799,875$11.3M+4,799,875
B Group, Inc.4,500,000$10.6M+4,500,000
ADAGE CAPITAL PARTNERS GP, L.L.C.4,500,000$10.6M+4,500,000
Squadron Capital Management LLC4,500,000$10.6M+4,500,000
STEMPOINT CAPITAL LP4,192,375$9.9M+4,192,375
MORGAN STANLEY4,142,446$9.7M+4,133,82847967.4%
RENAISSANCE TECHNOLOGIES LLC2,382,500$5.6M+2,382,500
Vivo Capital, LLC2,293,578$5.4M+2,293,578
VANGUARD GROUP INC2,115,622$5.0M+2,115,622
ADAR1 Capital Management, LLC2,004,845$4.7M+2,004,845
Artia Global Partners LP1,992,367$4.7M+1,992,367

New & Closed Positions this quarter

Methodology

Form 13F is the SEC's quarterly disclosure for institutional investment managers exercising discretion over $100 million or more in qualifying U.S. equity securities. Managers must file within 45 days of each calendar quarter end, which is why holdings shown here reflect a snapshot at the period date — not real-time positioning.

Quarter-over-quarter deltas compare each manager's most recently reported share count for PALI against its prior-quarter count. New positions are entries where the prior count was zero; closed positions are entries where the current count is zero. Amendments (13F-HR/A) replace prior filings for the same period.

Source: SEC EDGAR Form 13F (XML information tables). Dollar values are as reported by the manager and may use mid-quarter pricing conventions. CUSIP-to-ticker resolution is best-effort.