Neal Flomenberg, the See Remarks of $TVGN, sold 232,968 shares of the company on 03-12-2025 for an estimated $253,935. We received data on the trade from a recent SEC filing. This was a sale of approximately 6.1% of their shares of this class of stock. Following this trade, they now own 3,595,608 shares of this class of $TVGN stock.
$TVGN Insider Trading Activity
$TVGN insiders have traded $TVGN stock on the open market 8 times in the past 6 months. Of those trades, 0 have been purchases and 8 have been sales.
Here’s a breakdown of recent trading of $TVGN stock by insiders over the last 6 months:
- NEAL FLOMENBERG (See Remarks) has made 0 purchases and 8 sales selling 1,737,294 shares for an estimated $2,483,007.
To track insider transactions, check out Quiver Quantitative's insider trading dashboard.
$TVGN Hedge Fund Activity
We have seen 30 institutional investors add shares of $TVGN stock to their portfolio, and 15 decrease their positions in their most recent quarter.
Here are some of the largest recent moves:
- PORTLAND GLOBAL ADVISORS LLC removed 1,854,517 shares (-100.0%) from their portfolio in Q4 2024, for an estimated $1,910,152
- POLAR ASSET MANAGEMENT PARTNERS INC. removed 1,577,387 shares (-100.0%) from their portfolio in Q4 2024, for an estimated $1,624,708
- CANTOR FITZGERALD, L. P. removed 603,691 shares (-100.0%) from their portfolio in Q4 2024, for an estimated $621,801
- BLACKROCK, INC. added 370,936 shares (+160.6%) to their portfolio in Q4 2024, for an estimated $382,064
- HGC INVESTMENT MANAGEMENT INC. removed 223,077 shares (-100.0%) from their portfolio in Q4 2024, for an estimated $229,769
- UBS GROUP AG added 174,031 shares (+1644.9%) to their portfolio in Q4 2024, for an estimated $179,251
- NEW YORK STATE COMMON RETIREMENT FUND removed 119,500 shares (-94.5%) from their portfolio in Q4 2024, for an estimated $123,085
To track hedge funds' stock portfolios, check out Quiver Quantitative's institutional holdings dashboard.
This article is not financial advice. See Quiver Quantitative's disclaimers for more information.