Viemed Healthcare VMD Institutional Ownership

NASDAQ VMD
$8.61 -0.18 (-1.99%)
As of: Sep 9, 2026 · 1:41 PM EDT

Institutions by Trading Activity

164 Institutions
Increased 96 58.5%
Unchanged 30 18.3%
Reduced 38 23.2%

Ownership Statistics

13F · as of 30 Jun, 2026
Institutional Ownership
66.89%
+0.57 pp QoQ
Shares Held by Institutions
25.58Mn
of 38.25Mn outstanding
+1.36% QoQ
Shares Outstanding
38.25Mn
12.66Mn held outside 13F filers
Institutional Investors
164
filed 13F for Jun 2026
+15 vs prior quarter
Net Shares Added (QoQ)
+343.51K
accumulated since last quarter
Value of Holdings
$232.28Mn
reported market value

Shares Owned by Institutions

Shares held % of outstanding
Latest
Average ownership
Peak ownership

Shares Purchased/Sold by Institutions

Accumulated Distributed
Latest quarter
Net over range
Accumulating quarters

Ownership Summary

Quarter ending 30 Jun, 2026

Viemed Healthcare, Inc. (NASDAQ:VMD) appears in 164 institutional 13F filings for the quarter ending June 2026.

Form 13F Holdings

164 Institutional Holders

Report period 30 Jun, 2026
Total shares held 25.58Mn
Of outstanding 66.89%
Download Data
# Institution CIK Shares Held % of Outstanding Change (QoQ) Change (%) Value (USD)
1 BlackRock, Inc. 0002012383 4,788,307 12.52% 165,745 +3.59% $54.59Mn
2 Forager Capital Management, LLC 0001802986 2,141,184 5.60% 684,687 -24.23% $24.41Mn
3 VANGUARD CAPITAL MANAGEMENT LLC 0002100119 1,321,676 3.46% 18,292 +1.40% $15.07Mn
4 Goldman Sachs Group Inc 0000886982 1,222,534 3.20% 199,100 -14.01% $13.94Mn
5 Ameriprise Financial Inc 0000820027 1,006,195 2.63% 107,876 +12.01% $11.47Mn
6 GEODE CAPITAL MANAGEMENT, LLC 0001214717 973,744 2.55% 194,222 +24.92% $11.10Mn
7 ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 0001164508 786,269 2.06% 75,083 +10.56% $8.96Mn
8 State Street Corp 0000093751 762,097 1.99% 19,138 +2.58% $8.69Mn
9 Nantahala Capital Management, LLC 0001472322 632,445 1.65% 251,338 -28.44% $7.21Mn
10 PANAGORA ASSET MANAGEMENT INC 0000883677 538,625 1.41% 66,528 +14.09% $6.14Mn
11 First Eagle Investment Management, LLC 0001325447 535,157 1.40% 524,157 -49.48% $6.10Mn
12 PUNCH & ASSOCIATES INVESTMENT MANAGEMENT, INC. 0001238990 533,466 1.39% 3,895 -0.72% $6.08Mn
13 TWO SIGMA INVESTMENTS, LP 0001179392 438,851 1.15% 25,457 +6.16% $5.00Mn
14 RENAISSANCE TECHNOLOGIES LLC 0001037389 425,900 1.11% 16,300 -3.69% $4.86Mn
15 RAFFLES ASSOCIATES LP 0001169581 403,691 1.06% 10,000 -2.42% $4.60Mn
16 ACADIAN ASSET MANAGEMENT LLC 0000916542 398,586 1.04% 233,299 +141.15% $4.54K
17 Creative Planning 0001540235 360,356 0.94% 139,954 +63.50% $4.11Mn
18 TOCQUEVILLE ASSET MANAGEMENT L.P. 0000883961 342,100 0.89% 130,000 -27.54% $3.90Mn
19 MARTIN & CO INC /TN/ 0001008868 340,771 0.89% 67,770 +24.82% $3.88Mn
20 BARD ASSOCIATES INC 0001105907 339,672 0.89% 269 -0.08% $3.87Mn