13FPulse
BI

BIOA BIOAGE LABS INC

2026Q2 · CUSIP 09077V100 · Sector: Healthcare & Biotech

Cooling

Net holder growth weakened from last quarter

Funds that own it
150
Institutions that reported holding it to the SEC
Net increase in holders
+7
Last quarter 143 → now 150
How unusual is that
Above average
Stronger buying than 62% of US stocks
What the filings say, in one paragraph

150 funds held BIOA at the end of 2026Q2, up 7 from the quarter before. Buying has come off its highs, but funds are not exiting. On the business itself, revenue over the last 12 months was $10M, return on equity is -25.2%. BIOA has had 2 buying rushes in its history. It sits in the Healthcare & Biotech sector.

How many funds owned it, quarter by quarter

Bars = net change in institutional holders, positive (green) or negative (red). Line = total institutional holders.

2024Q4: holders=64 2025Q1: holders=66 2025Q2: holders=83 2025Q3: holders=94 2025Q4: holders=114 2026Q1: holders=143 2026Q2: holders=150 -29 -14.5 +0 +14.5 +29 57108158 24Q425Q125Q225Q325Q426Q126Q2 Net change in holders (bars) Total funds holding (line)

What happened after each past buying rush 2 times in its history

Quarter of the rush How unusual then Price, next 3 months Price, next 6 months
2026Q1 Top 20%
2025Q2 Top 20%

These are the raw price moves, not how much it beat the market by. Compare them against the market over the same months — in a strong bull market almost everything is up.

Show all the numbers (large funds, value held, options…) ▾
Of them, large funds
83
Change in large funds
+8
Total value they hold
$924M
Funds buying for the first time
31
Funds that sold out entirely
24
Price change that quarter
-36.6%
Funds holding puts (bearish)
3
Funds holding calls (bullish)
8

These are for people who want to dig. Skip them if they do not mean anything to you — the three numbers above are enough.

8,697 institutions have filed for this quarter. 13F permits late filing and a small number arrive in the weeks after the deadline, so the holder counts and changes below may tick up.

Fundamentals

PE (TTM)
EPS (TTM)
$-2.38
EPS YoY
-129.4%
Revenue (TTM)
$0.0B
Revenue YoY
Net margin
ROE
-25.2%
Debt ratio
5.5%
FCF (TTM)
-$88M
Dividend (TTM)
No dividend
Quarterly Revenue & EPS
2025-03-31: EPS -0.36 2025-06-30: EPS -0.60 2025-09-30: EPS -0.56 2025-12-31: EPS -0.72 2026-03-31: EPS -0.52 2026-06-30: EPS -0.58 0M 2M 3M $M -0.79 -0.40 0.00 20242025202606/26 Revenue EPS

Quarterly figures, revenue up to 10 years back; EPS split-adjusted, early quarters hidden when not calibrable

Quarterly free cash flow
-28M-14M0K 202420252026
Latest quarter $-24M (2026-03-31)

FCF = operating cash flow − capex, computed from SEC XBRL; banks/insurers have no standard cash-flow structure and are hidden

As of 2026-06-30 · SEC filings (XBRL)

Email me the next update

2026 Q3 holdings are due 2026-11-16. We will email you when the refreshed lists are live.