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Sharecare, Inc.

SHCRDelisted Oct 22, 2024
Industry
Services-Health Services
SEC CIK
0001816233

Sharecare, Inc. was delisted on Oct 22, 2024; its insiders filed their last Form 4 on Oct 25, 2024; 101 institutions reported holding it in 13F filings for Q3 2024, worth $206.0M in total; no superinvestor held it.

13F holders, Q3 2022

Institutional positions in Sharecare, Inc. as of Sep 30, 2022. Investment managers with $100 million or more in US stocks report their long positions on Form 13F within 45 days after each quarter ends. How 13F works

Institutional holders
128
+12 vs. Q2 2022
Shares held
121.3M
+33.2M (+37.7%) vs. Q2 2022
Total value
$233.5M
+$95.2M (+68.9%) vs. Q2 2022
New holders
25
48 more added
Sold out
13
26 more reduced

Compare with Q2 2022: new holders, sold out and not filed yet

Holders and value by quarter

Institutions reporting SHCR on Form 13F each quarter since Q1 2021, and the total value they reported. Values are as of each quarter end, so they also move with the share price.

Institutional holdersQ3 2022: 128 institutions
Q1 2021: 0 institutionsQ2 2021: 1 institutionQ3 2021: 57 institutionsQ4 2021: 86 institutionsQ1 2022: 113 institutionsQ2 2022: 116 institutionsQ3 2022: 128 institutionsQ4 2022: 124 institutionsQ1 2023: 115 institutionsQ2 2023: 123 institutionsQ3 2023: 129 institutionsQ4 2023: 128 institutionsQ1 2024: 130 institutionsQ2 2024: 128 institutionsQ3 2024: 101 institutionsQ4 2024: 1 institutionQ1 2025: 0 institutionsQ2 2025: 0 institutionsQ3 2025: 0 institutionsQ4 2025: 0 institutionsQ1 2026: 0 institutionsQ2 2026: 0 institutions
Value heldQ3 2022: $233.5M
Q1 2021: $0Q2 2021: $157.0KQ3 2021: $459.8MQ4 2021: $273.1MQ1 2022: $174.2MQ2 2022: $138.3MQ3 2022: $233.5MQ4 2022: $195.3MQ1 2023: $163.7MQ2 2023: $202.3MQ3 2023: $116.3MQ4 2023: $133.3MQ1 2024: $98.9MQ2 2024: $140.5MQ3 2024: $206.0MQ4 2024: $15.0KQ1 2025: $0Q2 2025: $0Q3 2025: $0Q4 2025: $0Q1 2026: $0Q2 2026: $0
Institutions holding SHCR and their total value by quarter
QuarterHoldersValue
Q2 20260$0
Q1 20260$0
Q4 20250$0
Q3 20250$0
Q2 20250$0
Q1 20250$0
Q4 20241$15.0K
Q3 2024101$206.0M
Q2 2024128$140.5M
Q1 2024130$98.9M
Q4 2023128$133.3M
Q3 2023129$116.3M
Q2 2023123$202.3M
Q1 2023115$163.7M
Q4 2022124$195.3M
Q3 2022128$233.5M
Q2 2022116$138.3M
Q1 2022113$174.2M
Q4 202186$273.1M
Q3 202157$459.8M
Q2 20211$157.0K
Q1 20210$0

Institutions, Q3 2022

Shares, value and share of portfolio for each institution holding Sharecare, Inc.; share changes are against Q2 2022.

Institutions holding SHCR in Q3 2022
InstitutionSharesValue% of portfolioChange in sharesAction
Rhumbline Advisers362,265$688.0K0.00%+266,177+277.0%Added
Morgan Stanley368,437$700.0K0.00%+216,376+142.3%Added
M&T Bank Corp492,158$935.0K0.00%00.0%Unchanged
Kennedy Capital Management, Inc.552,201$1.05M0.03%+552,201New
Harbert Fund Advisors, Inc.873,488$1.66M1.32%00.0%Unchanged
Mirae Asset Global Investments Co., Ltd.905,452$1.72M0.00%−48,197−5.1%Reduced
Bank of New York Mellon Corp940,939$1.79M0.00%+702,029+293.8%Added
D. E. Shaw & Co., Inc.995,788$1.89M0.00%+296,174+42.3%Added
Nuveen Asset Management, LLC1,201,425$2.28M0.00%+912,684+316.1%Added
WealthPlan Investment Management, LLC1,206,899$2.46M0.18%+1,206,899New
Cannell Peter B & Co Inc1,315,845$2.50M0.10%−591,899−31.0%Reduced
Swiss Re Ltd1,391,647$2.64M0.77%00.0%Unchanged
Palisade Capital Management LLC1,468,099$2.79M0.08%−2,294,000−61.0%Reduced
Aflac Inc2,208,644$4.20M1.78%+2,208,644New
Charles Schwab Investment Management Inc2,257,721$4.29M0.00%+668,362+42.1%Added
Northern Trust Corp2,440,498$4.64M0.00%+1,539,197+170.8%Added
Cowen Prime Advisors LLC2,752,500$5.23M3.00%+1,465,500+113.9%Added
Senvest Management, LLC3,129,390$5.95M0.25%−1,630,318−34.3%Reduced
Point72 Asset Management, L.P.3,309,400$6.29M0.03%+3,044,400+1,148.8%Added
Samjo Capital LLC2,705,000$8.18M9.98%+1,305,000+93.2%Added
State Street Corp5,326,577$10.1M0.00%+3,182,419+148.4%Added
Geode Capital Management, LLC5,674,801$10.8M0.00%+2,297,989+68.1%Added
Mudrick Capital Management, L.P.6,250,000$11.9M3.12%+6,250,000New
Wells Fargo & Company7,659,041$14.6M0.01%−1,4480.0%Reduced
Kim, LLC9,000,000$17.1M0.80%00.0%Unchanged
Vanguard Group Inc14,754,474$28.0M0.00%+1,759,262+13.5%Added
Ameriprise Financial Inc15,803,312$30.0M0.01%−592,552−3.6%Reduced
BlackRock Inc.19,599,420$37.2M0.00%+11,504,540+142.1%Added
Millennium Management LLC0$00.00%−981,677−100.0%Sold out
Squarepoint Ops LLC0$00.00%−63,152−100.0%Sold out
Evanson Asset Management, LLC0$00.00%−52,000−100.0%Sold out
Rafferty Asset Management, LLC0$00.00%−35,803−100.0%Sold out
Virtu Financial LLC0$00.00%−36,175−100.0%Sold out
Meridian Wealth Management, LLC0$00.00%−16,109−100.0%Sold out
Penserra Capital Management LLC0$00.00%−14,689−100.0%Sold out
The PNC Financial Services Group, Inc.0$00.00%−1,360−100.0%Sold out
ACG Wealth0$00.00%−1,000−100.0%Sold out
Captrust Financial Advisors0$00.00%−346−100.0%Sold out
Point72 Hong Kong Ltd0$00.00%−328−100.0%Sold out
American Research & Management Co.0$00.00%−30−100.0%Sold out
Quantbot Technologies LP0$00.00%−565−100.0%Sold out