Follow-The-Filings

Security · featured owners

SFM Sprouts Fmrs Mkt Inc.

Consumer Staples COM Equity as of 2026 Q2 among managers we track

  • 3 Owners
  • Max 2.5%
  • $157M
  • 2 add

SFM (Sprouts Fmrs Mkt Inc.) is held in 3 featured 13F books as of 2026 Q2. Rule One Partners is the largest tracked holder by portfolio weight (2.5%). Figures are as-filed 13F, not free float.

Who owns this now

Largest portfolio weights among featured holders · max 2.5% (Rule One Partners) · not free-float ownership

  1. Rule One Partners add 2.5%
  2. Mairs & Power add 0.35%
  3. Philippe Laffont 0.21%

holders

sorted by value · long equity only · current book 2026 Q2 · open a manager for their book

history
Philippe Laffont - Coatue Management 2026 Q2 0.21% Hold 1,203,773 $102M history
Mairs & Power 2026 Q2 0.35% Add +54.6% 451,826 $38M history
Rule One Partners 2026 Q2 2.5% Add +0.9% 210,800 $17M history

SEC filings

Recent issuer filings from EDGAR · 8 shown · open Filing / Doc on SEC.gov

Filed Form Detail Links
8-K 5.02
8-K 2.02,7.01,9.01
10-Q
8-K 5.07
8-K 5.02,9.01
8-K 2.02,7.01,9.01
10-Q
DEFA14A

Insider forms

Form 3 / 4 / 5 from EDGAR · 11 rows shown

Filed Form Detail Links
4 Period Sep 8, 2026
4 Period Sep 1, 2026
4 Period Aug 14, 2026
4 Period Aug 3, 2026
4 Period Jul 6, 2026
4 Period Jun 11, 2026
4 Period Jun 5, 2026
4 Period Jun 4, 2026
4 Period May 1, 2026
4 Period Mar 20, 2026 · 11 forms
4 Period Mar 18, 2026 · 5 forms

financials

US-GAAP annual · as tagged in Form 10-K · fiscal years · values link to the SEC filing

Income statement

Metric FY2023 FY2024 FY2025
Revenue $6.4B $7.72B $8.81B
Gross profit $2.35B $2.94B $3.42B
Gross margin * 36.7% 38.1% 38.8%
Net income $261.16M $380.6M $523.67M
Net margin * 4.1% 4.9% 5.9%

Balance sheet

Metric FY2023 FY2024 FY2025
Total current assets $673.8M $675.52M $809.9M
Total non-current assets * $2.4B $2.97B $3.35B
Total assets $3.07B $3.64B $4.16B
Total current liabilities $522.38M $679.97M $870.8M
Total non-current liabilities * $1.5B $1.64B $1.88B
Total equity $1.05B $1.32B $1.4B

Cash flow

Metric FY2023 FY2024 FY2025
Cash from operations $371.33M $645.21M $716M
Cash from investing -$124.01M -$230.38M -$248.27M
Cash from financing -$199.13M -$351.5M -$474.05M
Net change in cash $48.19M $63.34M -$6.32M

ownership over time

filing count by report period · click a bar for that quarter’s holders