Companies / Aveanna Healthcare Holdings, Inc.

Aveanna Healthcare Holdings, Inc.

Nasdaq: AVAHCIK 1832332ATLANTA, GA

Financials · FY2026

Revenue$2.43B
Net income$225.03M
Total debt$1.30B
Cash$97.20M
Diluted EPS$1.05
Shares outstanding218.2M

Ownership

218.2M shares outstanding · as of Aug 7, 2026
4.2%Insiders
Ownership
Insiders4.18%9,110,909
10%+ / strategic0.22%490,502
Institutions91.17%198,944,416
Public float4.43%9,673,869

% of common shares outstanding (exact, from the latest cover-page filing). Institutions are quarterly 13F snapshots; insiders reflect current officers & directors.

Insiders 14

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Insider% of sharesShares
Shaner JeffCEOChief Executive Officer
1.21%2,650,892
1.03%2,258,017
Reisz Edwin C.Chief Administrative Officer
0.66%1,447,057
Buckhalter MatthewChief Financial Officer
0.24%529,243
0.23%502,522
Perchik JerryChief Legal Officer
0.20%440,530
Cunningham Patrick A.Chief Compliance Officer
0.15%337,755
0.14%312,414
Stewart DeborahSVP, Chief Accounting Officer
0.14%301,807
0.13%276,414

Institutional holders 197

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HolderValue% of shares
Bain Capital Investors LLC$525.51M37.39%
J.H. Whitney Equity Partners VII, LLC$296.10M16.61%
Nut Tree Capital Management, LP$101.08M5.67%
BlackRock, Inc.$63.50M3.40%
Summit Partners L P$61.70M3.46%
Vanguard Group Inc$45.56M2.56%
Boston Partners$18.16M1.29%
State Street Corporation$16.73M0.89%
Littlejohn & Co LLC$14.19M1.01%
Morgan Stanley$14.04M0.79%

Activity

Jun 30, 2026View all →
InsidersInstitutions
Who's accumulating and trimming this stock (13F).
DateActorActionSecurityValueShares ΔPosition afterImpact
Q1 2026
as of
Boston Partners
13F manager
AddCommon Stock$16.04M+2.5M
+755.97%
2,824,074
1.29% of shares
medium
Q2 2026
as of
BlackRock, Inc.
13F manager
AddCommon Stock$10.73M+1.3M
+20.34%
7,410,053
3.40% of shares
medium
Q1 2026
as of
Two Sigma Investments, LP
13F manager
AddCommon Stock$7.01M+1.1M
+391.38%
1,367,438
0.63% of shares
medium
Q2 2026
as of
State Street Corporation
13F manager
AddCommon Stock$4.01M+468K
+31.58%
1,951,640
0.89% of shares
low
Q1 2026
as of
Littlejohn & Co LLC
13F manager
TrimCommon Stock$-3.83M-594K
-21.24%
2,203,362
1.01% of shares
low
Q4 2025
as of
Counterpoint Mutual Funds LLC
13F manager
NewCommon Stock$3.38M+414K
414,060
0.19% of shares
low
Q1 2026
as of
Arrowstreet Capital, Limited Partnership
13F manager
TrimCommon Stock$-3.28M-509K
-38.57%
811,255
0.37% of shares
low
Q1 2026
as of
Voya Investment Management LLC
13F manager
AddCommon Stock$2.51M+390K
+207.34%
578,427
0.27% of shares
low

5%+ ownership events

Schedule 13D / 13G
FilerStance% of classSharesDate
PSA Healthcare Investment Holding LLCPassive13G/A

Securities

via CUSIP / OpenFIGI
SymbolTypeMarketCUSIPFIGI
AVAHCommon StockEquity05356F105BBG00G6D6H96