SEC 13F Intelligence

Managers / Q3 2025 · view latest →

PharVision Advisers, LLC

CIK 0001898824 · 10055 YAMATO ROAD, SUITE 508, BOCA RATON, FL, 33498 · 561-614-6014

Reported Value
$178M
Q3 2025
Positions
654
Filings on Record
7
2025–present window
Filed
Nov 17, 2025
original filing

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

Turnover
+40.1%
vs prior filed quarter
Top-10 Concentration
+4.0%
share of reported value
Largest Position
+0.5%
Wayfair
New / Exited
562 / 175
positions this quarter

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

13F Reported Value
Q4 ’24: $118MQ4 ’24Q1 ’25: $72MQ1 ’25Q2 ’25: $70MQ2 ’25Q3 ’25: $178MQ3 ’25Q4 ’25: $198MQ4 ’25Q1 ’26: $10MQ1 ’26filingsflow.com

Portfolio Composition

By security type
Common Stock: 85.7%ADR: 5.6%REIT: 4.4%Other: 4.3%Closed-End Fund: 0.0%
  • 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)

IssuerMoveShare ΔShares nowValue ΔValue now
WWAYFAIR INCNEW+9.8K9.8K+$877,846$877,846
TIGRUP FINTECH HLDG LTDNEW+68.8K68.8K+$733,659$733,659
ARRYARRAY TECHNOLOGIES INCNEW+89.6K89.6K+$729,914$729,914
SFMSPROUTS FMRS MKT INCNEW+6.7K6.7K+$724,390$724,390
CORPORACION AMER ARPTS S ANEW+36.2K36.2K+$655,690$655,690
VRTVERTIV HOLDINGS CONEW+4.2K4.2K+$639,345$639,345
ZVRAZEVRA THERAPEUTICS INCNEW+66.7K66.7K+$634,631$634,631
BOWBOWHEAD SPECIALTY HLDGS INCNEW+22.5K22.5K+$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

498 positions (from 500 filing rows — )
#IssuerClass% PortfolioValueShares
1WWAYFAIR INCCL A0.49%$877,8469.8K
2EXLSEXLSERVICE HOLDINGS INCCOM0.44%$780,38817.7K
3BATRAATLANTA BRAVES HLDGS INCCOM SER A · COM SER C0.43%$758,01317.4K
4TIGRUP FINTECH HLDG LTDSPONSORED ADS0.41%$733,65968.8K
5ARRYARRAY TECHNOLOGIES INCCOM SHS0.41%$729,91489.6K
6SFMSPROUTS FMRS MKT INCCOM0.41%$724,3906.7K
7CORPORACION AMER ARPTS S ACOM0.37%$655,69036.2K
8HEI/AHEICO CORP NEWCL A · COM0.36%$639,6992.3K
9VRTVERTIV HOLDINGS COCOM CL A0.36%$639,3454.2K
10ZVRAZEVRA THERAPEUTICS INCCOM NEW0.36%$634,63166.7K
11BOWBOWHEAD SPECIALTY HLDGS INCCOM SHS0.34%$607,91322.5K
12LXLEXINFINTECH HLDGS LTDADR0.34%$607,236113.9K
13EEFTEURONET WORLDWIDE INCCOM0.33%$590,8736.7K
14RIGLRIGEL PHARMACEUTICALS INCCOM0.33%$581,38820.5K
15MASIMO CORPCOM0.32%$576,7733.9K
16LXULSB INDS INCCOM0.32%$573,31772.8K
17BFAMBRIGHT HORIZONS FAM SOL IN DCOM0.32%$569,1245.2K
18EVLVEVOLV TECHNOLOGIES HLDNGS INCOM CL A0.31%$545,29172.2K
19IIININSTEEL INDS INCCOM0.31%$542,77914.2K
20BSXBOSTON SCIENTIFIC CORPCOM0.30%$534,8175.5K
21IDTIDT CORPCL B NEW0.30%$529,53410.1K
22HONHONEYWELL INTL INCCOM0.30%$525,6192.5K
23AITAPPLIED INDL TECHNOLOGIES INCOM0.29%$520,0122.0K
24PBFPBF ENERGY INCCL A0.29%$511,77417.0K
25APELLIS PHARMACEUTICALS INCCOM0.28%$504,44522.3K
26CSTMCONSTELLIUM SECL A SHS0.28%$504,32833.9K
27VICIVICI PPTYS INCCOM0.28%$494,04215.2K
28EUROSEAS LTDSHS0.28%$493,2738.3K
29HLFHERBALIFE LTDCOM SHS0.27%$483,78157.3K
30OZKBANK OZK LITTLE ROCK ARKCOM0.27%$483,5969.5K
31SEDGSOLAREDGE TECHNOLOGIES INCCOM0.27%$483,03513.1K
32LASRNLIGHT INCCOM0.27%$477,28016.1K
33PARRPAR PAC HOLDINGS INCCOM NEW0.26%$470,34213.3K
34ALLYALLY FINL INCCOM0.26%$465,42211.9K
35RVLVREVOLVE GROUP INCCL A0.26%$463,36021.8K
36SHAKSHAKE SHACK INCCL A0.26%$461,4974.9K
37CNXNPC CONNECTION INCCOM0.26%$459,5947.4K
38LNGCHENIERE ENERGY INCCOM NEW0.26%$459,3862.0K
39EATBRINKER INTL INCCOM0.26%$458,3283.6K
40MASMASCO CORPCOM0.26%$458,0286.5K
41DOOBRP INCCOM SUN VTG0.26%$454,7567.5K
42FTITECHNIPFMC PLCCOM0.25%$453,00411.5K
43BMBLBUMBLE INCCOM CL A0.25%$450,91074.0K
44PGNYPROGYNY INCCOM0.25%$448,15420.8K
45ABNBAIRBNB INCCOM CL A0.25%$446,9473.7K
46PTONPELOTON INTERACTIVE INCCL A COM0.25%$443,03449.2K
47SEISOLARIS ENERGY INFRAS INCCOM CL A0.25%$441,58911.0K
48UNILEVER PLCSPON ADR NEW0.25%$439,6207.4K
49SNDRSCHNEIDER NATIONAL INCCL B0.25%$438,35120.7K
50GCMGGCM GROSVENOR INCCOM CL A0.25%$436,75336.2K
51OOMAOOMA INCCOM0.24%$434,59036.2K
52ACHRARCHER AVIATION INCCOM CL A0.24%$433,66745.3K
53QFINQFIN HOLDINGS INCAMERICAN DEP0.24%$432,30415.0K
54SIBNSI-BONE INCCOM0.24%$431,28129.3K
55TMDXTRANSMEDICS GROUP INCCOM0.24%$430,9603.8K
56ENTAENANTA PHARMACEUTICALS INCCOM0.24%$429,07735.8K
57AWRAMER STATES WTR COCOM0.24%$428,7025.8K
58OMCOMNICOM GROUP INCCOM0.24%$426,5655.2K
59SKYWSKYWEST INCCOM0.24%$426,0254.2K
60APAMARTISAN PARTNERS ASSET MGMTCL A0.24%$425,4079.8K
61NBHCNATIONAL BK HLDGS CORPCL A0.24%$423,06910.9K
62FIVERR INTL LTDORD SHS0.24%$422,00017.3K
63ACICAMERICAN COASTAL INS CORPCOM0.24%$420,14336.9K
64NUTXNUTEX HEALTH INCCOM0.24%$419,6864.1K
65BYRNBYRNA TECHNOLOGIES INCCOM NEW0.24%$419,11218.9K
66CFCF INDS HLDGS INCCOM0.24%$418,0924.7K
67JBLJABIL INCCOM0.24%$417,8351.9K
68DPZDOMINOS PIZZA INCCOM0.23%$417,032966
69NDAQNASDAQ INCCOM0.23%$416,7764.7K
70NVDANVIDIA CORPORATIONCOM0.23%$416,0732.2K
71PSTLPOSTAL REALTY TRUST INCCL A0.23%$415,64426.5K
72DLOCAL LTDCLASS A COM0.23%$414,84829.1K
73BDNBRANDYWINE RLTY TRSH BEN INT NEW0.23%$414,31099.4K
74FCFRANKLIN COVEY COCOM0.23%$411,43421.2K
75GPREGREEN PLAINS INCCOM0.23%$407,84746.4K
76MLCOMELCO RESORTS AND ENTMNT LTDADR0.23%$406,18544.3K
77LUNRINTUITIVE MACHINES INCCLASS A COM0.23%$405,36738.5K
78MOMOHELLO GROUP INCADS0.23%$404,10154.5K
79VERIS RESIDENTIAL INCCOM0.23%$403,16526.5K
80ATATATOUR LIFESTYLE HLDGS LTDSPONSORED ADS0.23%$403,07810.7K
81NFLXNETFLIX INCCOM0.23%$402,837336
82TSMTAIWAN SEMICONDUCTOR MFG LTDSPONSORED ADS0.22%$398,8261.4K
83VREXVAREX IMAGING CORPCOM0.22%$398,56132.1K
84MPAAMOTORCAR PTS AMER INCCOM0.22%$397,39024.0K
85SMBCSOUTHERN MO BANCORP INCCOM0.22%$396,7237.5K
86MOSMOSAIC CO NEWCOM0.22%$395,00511.4K
87KRTKARAT PACKAGING INCCOM0.22%$393,73015.6K
88GRBKGREEN BRICK PARTNERS INCCOM0.22%$392,9355.3K
89DVDOUBLEVERIFY HLDGS INCCOM0.22%$392,14132.7K
90RNGRINGCENTRAL INCCL A0.22%$389,33513.7K
91ANIKANIKA THERAPEUTICS INCCOM0.22%$389,02841.4K
92PCTYPAYLOCITY HLDG CORPCOM0.22%$388,7782.4K
93VEEVVEEVA SYS INCCL A COM0.22%$388,7731.3K
94CNKCINEMARK HLDGS INCCOM0.22%$387,71313.8K
95OHIOMEGA HEALTHCARE INVS INCCOM0.22%$386,5669.2K
96TROWPRICE T ROWE GROUP INCCOM0.22%$385,6183.8K
97MANHMANHATTAN ASSOCIATES INCCOM0.21%$381,8781.9K
98VTEXSHS CL A0.21%$380,96487.0K
99HUYAHUYA INCADS REP SHS A0.21%$379,284113.9K
100HQYHEALTHEQUITY INCCOM0.21%$378,7964.0K

Filing History

QuarterReported ValuePositionsFiledTypeLinks
Q1 2026$10M97May 11, 2026RESTATEMENTchanges · EDGAR ↗
Q4 2025$198M667Feb 17, 202613F-HRchanges · EDGAR ↗
Q3 2025$178M654Nov 17, 202513F-HRchanges · EDGAR ↗
Q2 2025$70M267Aug 13, 202513F-HRchanges · EDGAR ↗
Q1 2025$72M259May 15, 202513F-HRchanges · EDGAR ↗
Q4 2024$118M380Feb 18, 202513F-HRchanges · 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 ↗.