Managers / Q3 2025 · view latest →
PharVision Advisers, LLC
CIK 0001898824 · 10055 YAMATO ROAD, SUITE 508, BOCA RATON, FL, 33498 · 561-614-6014
Summary
Pharvision Advisers, LLC reported $178M in U.S.-listed holdings across 654 positions for Q3 2025.
Compared with Q2 2025, the fund opened 562 new positions and exited 175.
Portfolio Metrics
Methodology: turnover is min(value bought, value sold) ÷ average reported value across the two quarters — value-based, so market moves inflate it slightly versus a share-based measure. Concentration and largest position are shares of the filing’s total reported value, options excluded, with multiple share classes and repeated sub-manager rows for the same issuer combined into one position — the same rule the holdings table uses by default. New/exited counts compare against the prior filed quarter. All figures derive solely from the fund’s 13F filings.
Reported Value by Quarter
Portfolio Composition
- Common Stock · 85.7% · $152M
- ADR · 5.6% · $10M
- REIT · 4.4% · $8M
- Other · 4.3% · $8M
- Closed-End Fund · 0.0% · $66,931
Quarter-over-Quarter Changes full breakdown →
vs Q2 2025 (amended baseline)
| Issuer | Move | Share Δ | Shares now | Value Δ | Value now |
|---|---|---|---|---|---|
| WWAYFAIR INC | NEW | +9.8K | 9.8K | +$877,846 | $877,846 |
| TIGRUP FINTECH HLDG LTD | NEW | +68.8K | 68.8K | +$733,659 | $733,659 |
| ARRYARRAY TECHNOLOGIES INC | NEW | +89.6K | 89.6K | +$729,914 | $729,914 |
| SFMSPROUTS FMRS MKT INC | NEW | +6.7K | 6.7K | +$724,390 | $724,390 |
| CORPORACION AMER ARPTS S A | NEW | +36.2K | 36.2K | +$655,690 | $655,690 |
| VRTVERTIV HOLDINGS CO | NEW | +4.2K | 4.2K | +$639,345 | $639,345 |
| ZVRAZEVRA THERAPEUTICS INC | NEW | +66.7K | 66.7K | +$634,631 | $634,631 |
| BOWBOWHEAD SPECIALTY HLDGS INC | NEW | +22.5K | 22.5K | +$607,913 | $607,913 |
Value changes conflate price moves with buying and selling — share changes are the real signal. Share counts are not split-adjusted.
Holdings — Q3 2025
| # | Issuer | Class | % Portfolio | Value ↓ | Shares |
|---|---|---|---|---|---|
| 1 | WWAYFAIR INC | CL A | 0.49% | $877,846 | 9.8K |
| 2 | EXLSEXLSERVICE HOLDINGS INC | COM | 0.44% | $780,388 | 17.7K |
| 3 | BATRAATLANTA BRAVES HLDGS INC | COM SER A · COM SER C | 0.43% | $758,013 | 17.4K |
| 4 | TIGRUP FINTECH HLDG LTD | SPONSORED ADS | 0.41% | $733,659 | 68.8K |
| 5 | ARRYARRAY TECHNOLOGIES INC | COM SHS | 0.41% | $729,914 | 89.6K |
| 6 | SFMSPROUTS FMRS MKT INC | COM | 0.41% | $724,390 | 6.7K |
| 7 | CORPORACION AMER ARPTS S A | COM | 0.37% | $655,690 | 36.2K |
| 8 | HEI/AHEICO CORP NEW | CL A · COM | 0.36% | $639,699 | 2.3K |
| 9 | VRTVERTIV HOLDINGS CO | COM CL A | 0.36% | $639,345 | 4.2K |
| 10 | ZVRAZEVRA THERAPEUTICS INC | COM NEW | 0.36% | $634,631 | 66.7K |
| 11 | BOWBOWHEAD SPECIALTY HLDGS INC | COM SHS | 0.34% | $607,913 | 22.5K |
| 12 | LXLEXINFINTECH HLDGS LTD | ADR | 0.34% | $607,236 | 113.9K |
| 13 | EEFTEURONET WORLDWIDE INC | COM | 0.33% | $590,873 | 6.7K |
| 14 | RIGLRIGEL PHARMACEUTICALS INC | COM | 0.33% | $581,388 | 20.5K |
| 15 | MASIMO CORP | COM | 0.32% | $576,773 | 3.9K |
| 16 | LXULSB INDS INC | COM | 0.32% | $573,317 | 72.8K |
| 17 | BFAMBRIGHT HORIZONS FAM SOL IN D | COM | 0.32% | $569,124 | 5.2K |
| 18 | EVLVEVOLV TECHNOLOGIES HLDNGS IN | COM CL A | 0.31% | $545,291 | 72.2K |
| 19 | IIININSTEEL INDS INC | COM | 0.31% | $542,779 | 14.2K |
| 20 | BSXBOSTON SCIENTIFIC CORP | COM | 0.30% | $534,817 | 5.5K |
| 21 | IDTIDT CORP | CL B NEW | 0.30% | $529,534 | 10.1K |
| 22 | HONHONEYWELL INTL INC | COM | 0.30% | $525,619 | 2.5K |
| 23 | AITAPPLIED INDL TECHNOLOGIES IN | COM | 0.29% | $520,012 | 2.0K |
| 24 | PBFPBF ENERGY INC | CL A | 0.29% | $511,774 | 17.0K |
| 25 | APELLIS PHARMACEUTICALS INC | COM | 0.28% | $504,445 | 22.3K |
| 26 | CSTMCONSTELLIUM SE | CL A SHS | 0.28% | $504,328 | 33.9K |
| 27 | VICIVICI PPTYS INC | COM | 0.28% | $494,042 | 15.2K |
| 28 | EUROSEAS LTD | SHS | 0.28% | $493,273 | 8.3K |
| 29 | HLFHERBALIFE LTD | COM SHS | 0.27% | $483,781 | 57.3K |
| 30 | OZKBANK OZK LITTLE ROCK ARK | COM | 0.27% | $483,596 | 9.5K |
| 31 | SEDGSOLAREDGE TECHNOLOGIES INC | COM | 0.27% | $483,035 | 13.1K |
| 32 | LASRNLIGHT INC | COM | 0.27% | $477,280 | 16.1K |
| 33 | PARRPAR PAC HOLDINGS INC | COM NEW | 0.26% | $470,342 | 13.3K |
| 34 | ALLYALLY FINL INC | COM | 0.26% | $465,422 | 11.9K |
| 35 | RVLVREVOLVE GROUP INC | CL A | 0.26% | $463,360 | 21.8K |
| 36 | SHAKSHAKE SHACK INC | CL A | 0.26% | $461,497 | 4.9K |
| 37 | CNXNPC CONNECTION INC | COM | 0.26% | $459,594 | 7.4K |
| 38 | LNGCHENIERE ENERGY INC | COM NEW | 0.26% | $459,386 | 2.0K |
| 39 | EATBRINKER INTL INC | COM | 0.26% | $458,328 | 3.6K |
| 40 | MASMASCO CORP | COM | 0.26% | $458,028 | 6.5K |
| 41 | DOOBRP INC | COM SUN VTG | 0.26% | $454,756 | 7.5K |
| 42 | FTITECHNIPFMC PLC | COM | 0.25% | $453,004 | 11.5K |
| 43 | BMBLBUMBLE INC | COM CL A | 0.25% | $450,910 | 74.0K |
| 44 | PGNYPROGYNY INC | COM | 0.25% | $448,154 | 20.8K |
| 45 | ABNBAIRBNB INC | COM CL A | 0.25% | $446,947 | 3.7K |
| 46 | PTONPELOTON INTERACTIVE INC | CL A COM | 0.25% | $443,034 | 49.2K |
| 47 | SEISOLARIS ENERGY INFRAS INC | COM CL A | 0.25% | $441,589 | 11.0K |
| 48 | UNILEVER PLC | SPON ADR NEW | 0.25% | $439,620 | 7.4K |
| 49 | SNDRSCHNEIDER NATIONAL INC | CL B | 0.25% | $438,351 | 20.7K |
| 50 | GCMGGCM GROSVENOR INC | COM CL A | 0.25% | $436,753 | 36.2K |
| 51 | OOMAOOMA INC | COM | 0.24% | $434,590 | 36.2K |
| 52 | ACHRARCHER AVIATION INC | COM CL A | 0.24% | $433,667 | 45.3K |
| 53 | QFINQFIN HOLDINGS INC | AMERICAN DEP | 0.24% | $432,304 | 15.0K |
| 54 | SIBNSI-BONE INC | COM | 0.24% | $431,281 | 29.3K |
| 55 | TMDXTRANSMEDICS GROUP INC | COM | 0.24% | $430,960 | 3.8K |
| 56 | ENTAENANTA PHARMACEUTICALS INC | COM | 0.24% | $429,077 | 35.8K |
| 57 | AWRAMER STATES WTR CO | COM | 0.24% | $428,702 | 5.8K |
| 58 | OMCOMNICOM GROUP INC | COM | 0.24% | $426,565 | 5.2K |
| 59 | SKYWSKYWEST INC | COM | 0.24% | $426,025 | 4.2K |
| 60 | APAMARTISAN PARTNERS ASSET MGMT | CL A | 0.24% | $425,407 | 9.8K |
| 61 | NBHCNATIONAL BK HLDGS CORP | CL A | 0.24% | $423,069 | 10.9K |
| 62 | FIVERR INTL LTD | ORD SHS | 0.24% | $422,000 | 17.3K |
| 63 | ACICAMERICAN COASTAL INS CORP | COM | 0.24% | $420,143 | 36.9K |
| 64 | NUTXNUTEX HEALTH INC | COM | 0.24% | $419,686 | 4.1K |
| 65 | BYRNBYRNA TECHNOLOGIES INC | COM NEW | 0.24% | $419,112 | 18.9K |
| 66 | CFCF INDS HLDGS INC | COM | 0.24% | $418,092 | 4.7K |
| 67 | JBLJABIL INC | COM | 0.24% | $417,835 | 1.9K |
| 68 | DPZDOMINOS PIZZA INC | COM | 0.23% | $417,032 | 966 |
| 69 | NDAQNASDAQ INC | COM | 0.23% | $416,776 | 4.7K |
| 70 | NVDANVIDIA CORPORATION | COM | 0.23% | $416,073 | 2.2K |
| 71 | PSTLPOSTAL REALTY TRUST INC | CL A | 0.23% | $415,644 | 26.5K |
| 72 | DLOCAL LTD | CLASS A COM | 0.23% | $414,848 | 29.1K |
| 73 | BDNBRANDYWINE RLTY TR | SH BEN INT NEW | 0.23% | $414,310 | 99.4K |
| 74 | FCFRANKLIN COVEY CO | COM | 0.23% | $411,434 | 21.2K |
| 75 | GPREGREEN PLAINS INC | COM | 0.23% | $407,847 | 46.4K |
| 76 | MLCOMELCO RESORTS AND ENTMNT LTD | ADR | 0.23% | $406,185 | 44.3K |
| 77 | LUNRINTUITIVE MACHINES INC | CLASS A COM | 0.23% | $405,367 | 38.5K |
| 78 | MOMOHELLO GROUP INC | ADS | 0.23% | $404,101 | 54.5K |
| 79 | VERIS RESIDENTIAL INC | COM | 0.23% | $403,165 | 26.5K |
| 80 | ATATATOUR LIFESTYLE HLDGS LTD | SPONSORED ADS | 0.23% | $403,078 | 10.7K |
| 81 | NFLXNETFLIX INC | COM | 0.23% | $402,837 | 336 |
| 82 | TSMTAIWAN SEMICONDUCTOR MFG LTD | SPONSORED ADS | 0.22% | $398,826 | 1.4K |
| 83 | VREXVAREX IMAGING CORP | COM | 0.22% | $398,561 | 32.1K |
| 84 | MPAAMOTORCAR PTS AMER INC | COM | 0.22% | $397,390 | 24.0K |
| 85 | SMBCSOUTHERN MO BANCORP INC | COM | 0.22% | $396,723 | 7.5K |
| 86 | MOSMOSAIC CO NEW | COM | 0.22% | $395,005 | 11.4K |
| 87 | KRTKARAT PACKAGING INC | COM | 0.22% | $393,730 | 15.6K |
| 88 | GRBKGREEN BRICK PARTNERS INC | COM | 0.22% | $392,935 | 5.3K |
| 89 | DVDOUBLEVERIFY HLDGS INC | COM | 0.22% | $392,141 | 32.7K |
| 90 | RNGRINGCENTRAL INC | CL A | 0.22% | $389,335 | 13.7K |
| 91 | ANIKANIKA THERAPEUTICS INC | COM | 0.22% | $389,028 | 41.4K |
| 92 | PCTYPAYLOCITY HLDG CORP | COM | 0.22% | $388,778 | 2.4K |
| 93 | VEEVVEEVA SYS INC | CL A COM | 0.22% | $388,773 | 1.3K |
| 94 | CNKCINEMARK HLDGS INC | COM | 0.22% | $387,713 | 13.8K |
| 95 | OHIOMEGA HEALTHCARE INVS INC | COM | 0.22% | $386,566 | 9.2K |
| 96 | TROWPRICE T ROWE GROUP INC | COM | 0.22% | $385,618 | 3.8K |
| 97 | MANHMANHATTAN ASSOCIATES INC | COM | 0.21% | $381,878 | 1.9K |
| 98 | VTEX | SHS CL A | 0.21% | $380,964 | 87.0K |
| 99 | HUYAHUYA INC | ADS REP SHS A | 0.21% | $379,284 | 113.9K |
| 100 | HQYHEALTHEQUITY INC | COM | 0.21% | $378,796 | 4.0K |
Filing History
| Quarter | Reported Value | Positions | Filed | Type | Links |
|---|---|---|---|---|---|
| Q1 2026 | $10M | 97 | May 11, 2026 | RESTATEMENT | changes · EDGAR ↗ |
| Q4 2025 | $198M | 667 | Feb 17, 2026 | 13F-HR | changes · EDGAR ↗ |
| Q3 2025 | $178M | 654 | Nov 17, 2025 | 13F-HR | changes · EDGAR ↗ |
| Q2 2025 | $70M | 267 | Aug 13, 2025 | 13F-HR | changes · EDGAR ↗ |
| Q1 2025 | $72M | 259 | May 15, 2025 | 13F-HR | changes · EDGAR ↗ |
| Q4 2024 | $118M | 380 | Feb 18, 2025 | 13F-HR | changes · EDGAR ↗ |
13F filings are due up to 45 days after quarter end, so holdings shown here lag the fund’s current book. Source: original SEC filing on EDGAR ↗.