13F

Investor

Anson Funds Management LP

CIK 0001491072 · filed 2026-05-19 · SEC filing

13F book

$1.15B

Positions

106

46 new · 43 sold

Largest name

5.1%

Lionsgate Studios Corp. · LION

Est. mark

−$26.1M

Price effect on 60 names still held. Flow $69.5M.
NameTickerSharesValueWeightEst. markChange
Lionsgate Studios Corp.LION6.09M$58.4M5.1%$2.8MCut−$28.8M
Advisorshares Tr16.3M$58M5.0%−$9.17MAdded$21M
Match Group Inc New1.36M$41.7M3.6%−$2.07MAdded−$530.9K
Nvidia CorpNVDA229.9K$40.1M3.5%−$2.78MHeld
Sealsq CorpLAES12.5M$32.6M2.8%New
Sps Comm Inc575K$32M2.8%New
Five9, Inc.FIVN2.09M$31.7M2.8%−$7.51MAdded$790.5K
New Amer Acquisition I Corp2.97M$30.8M2.7%−$89.1KHeld
Futurecrest Acquisition Corp2.59M$26.4M2.3%−$155.3KHeld
Blue Wtr Acquisition Corp. I2.48M$25.5M2.2%−$99.4KHeld
Mozayyx Acquisition Corp2.45M$24.4M2.1%New
Texas Ventures Acquisition I2.2M$22.9M2.0%−$572KHeld
Cantor Equity Partners I, Inc.CEPO2.04M$21.4M1.9%$183.6KHeld
Venu Hldg Corp5.51M$18.2M1.6%New
Lovesac CompanyLOVE1.18M$17.5M1.5%$21.4KAdded$1.7M
Tesla, Inc.TSLA43.2K$16.1M1.4%−$1.49MAdded$7.45M
Imperial Pete Inc3.47M$14.8M1.3%$2.29MCut−$944.9K
Churchill Cap Corp Xi1.3M$13.3M1.2%$52KHeld
Blue Wtr Acquisition Corp. I1.26M$13M1.1%−$50.4KHeld
Osisko Development Corp3.86M$12.6M1.1%−$66.4KAdded$11.6M
Galaxy Digital Inc.GLXY600K$11.1M1.0%New
Sharonai Holdings Inc472K$10.7M0.9%New
Globalstar, Inc.GSAT158.2K$10.5M0.9%$269KAdded$7.45M
Sprott Asset Management Lp406.9K$9.92M0.9%New
Texas Ventures Acquisition I845.6K$8.79M0.8%−$219.9KCut−$266.7K
Twenty One Cap Inc1.27M$8.14M0.7%New
CAE IncCAE280K$7.3M0.6%−$627.6KAdded$2.89M
Trump Media & Technology Gro711K$6.6M0.6%New
Prologis Inc.48K$6.35M0.6%New
Public Storage Oper Co23.1K$6.26M0.5%New
Super Group Sghc Limited531.2K$5.74M0.5%−$293.3KAdded$2.69M
Realty Income CorpO91.9K$5.62M0.5%New
Cbre Group, Inc.CBRE41.1K$5.56M0.5%New
Carvana Co.CVNA16K$5.03M0.4%−$107.6KAdded$4.61M
Simon Ppty Group Inc New26.1K$4.87M0.4%New
Brookdale Sr Living Inc340K$4.65M0.4%$981.1KAdded$988.1K
Yorkville Acquisition Corp.457.8K$4.63M0.4%−$9.15KAdded−$6.12K
Core Scientific Inc New306K$4.58M0.4%New
Taiwan Semiconductor Mfg Ltd13.5K$4.56M0.4%$119.2KAdded$3.5M
Iron Mtn Inc Del42.2K$4.31M0.4%New
Braemar Hotels & Resorts Inc1.81M$4.27M0.4%−$621.1KAdded$772K
SharkNinja, Inc.SN40K$4.24M0.4%−$30KAdded$3.68M
Lam Research CorpLRCX19.8K$4.22M0.4%New
MDA Space Ltd.MDA151.8K$3.85M0.3%New
Mks IncMKSI16.5K$3.79M0.3%New
Kartoon Studios, Inc.TOON5.2M$3.24M0.3%−$499KHeld
American Tower Corp New18.1K$3.12M0.3%New
Gold Royalty Corp856.8K$3.07M0.3%−$394.1KCut−$8.04M
Algonquin Pwr Utils Corp500K$3.06M0.3%New
Reddit, Inc.RDDT22.5K$3.03M0.3%New
Americold Realty TrustCOLD259K$2.97M0.3%New
Tapestry, Inc.TPR20K$2.82M0.2%$266.8KCut−$1.01M
Fgi Industries Ltd741K$2.76M0.2%−$1.46MHeld
Boyd Group Services Inc.BGSI20K$2.55M0.2%New
Jakks Pac Inc126.6K$2.52M0.2%$384.9KCut$384.5K
Papa Johns Intl Inc75K$2.43M0.2%New
Gold Royalty Corp675K$2.42M0.2%−$310.5KHeld
New Amer Acquisition I Corp238.6K$2.39M0.2%New
Rocket Cos Inc165K$2.35M0.2%New
Broadstone Net Lease, Inc.BNL120K$2.19M0.2%$72KAdded$802.8K
Sea LtdSE26.1K$2.16M0.2%−$895.2KAdded−$390.1K
Fermi Inc.FRMI352.7K$2.06M0.2%−$761.8KHeld
K Wave Media Ltd3.82M$1.98M0.2%New
Riskified Ltd.RSKD483.7K$1.9M0.2%−$507.9KCut−$1.25M
Ddc Enterprise LtdDDC956.7K$1.89M0.2%New
I-80 Gold Corp843.8K$1.78M0.2%$538.4KCut−$2.66M
Resideo Technologies, Inc.REZI51.1K$1.72M0.1%−$72.1KCut−$1.44M
Canadian Pacific Kansas City20K$1.57M0.1%New
BILL Holdings, Inc.BILL40K$1.53M0.1%New
Soleno Therapeutics Inc44.2K$1.48M0.1%New
Asml Holding N V1K$1.32M0.1%New
Curbline Pptys Corp51K$1.32M0.1%New
West Fraser Timber Co., LtdWFG20.1K$1.32M0.1%$87.9KHeld
DoorDash, Inc.DASH8.75K$1.31M0.1%New
Datacentrex, Inc.DTCX578.1K$1.24M0.1%New
Zillow Group Inc30K$1.24M0.1%−$805.2KHeld
Anteris Technologies Global Corp.AVR202.8K$1.13M0.1%New
Blue Wtr Acquisition Corp. I100K$1.04M0.1%−$15KHeld
Alibaba Group Hldg Ltd8K$1M0.1%−$169KHeld
Mitek Sys Inc73.9K$998.1K0.1%New
Spero Therapeutics, Inc.SPRO422K$987.4K0.1%$4.22KCut−$469K
Costco Whsl Corp New913$909.7K0.1%$122.4KHeld
Applovin CorpAPP2.25K$895.5K0.1%−$620.6KCut−$957.5K
Teradyne, IncTER3K$889.4K0.1%New
Procap Finl Inc408.2K$861.3K0.1%−$579.6KCut−$7.8M
Markel Group Inc.MKL441$844.1K0.1%−$103.9KHeld
Berkshire Hathaway Inc Del1.73K$827.6K0.1%−$40.5KHeld
Amazon Com IncAMZN3.86K$803.7K0.1%−$87KHeld
Proshares Tr Ii6.23K$744.3K0.1%New
Vyne Therapeutics Inc1.24M$742.8K0.1%$21.6KCut$3.48K
Sono Group N.V.SSM99.8K$631.7K0.1%−$25.5KAdded$365.3K
Forgent Power Solutions, Inc.FPS18.4K$538K0.0%New
M3brigade Acquisition V Corp50K$537K0.0%$5.5KCut−$29.7M
Versamet Royalties CorpVMET52.6K$498.9K0.0%New
Venture Global, Inc.VG25K$394K0.0%New
Dave Inc1.9K$330.8K0.0%−$89.9KHeld
Mount Logan Cap Inc78K$279.1K0.0%−$364.1KCut−$3.51M
Alight Inc406K$236.6K0.0%−$555.1KCut−$4.54M
Purple Innovation, Inc.PRPL300K$198.4K0.0%−$8.79KHeld
Bullfrog Ai Hldgs Inc80.8K$135.7K0.0%$64.4KHeld
Trade Desk, Inc.TTD5K$113.5K0.0%New
22nd Centy Group Inc Com50.9K$112.4K0.0%New
Zeta Network GroupZNB32.8K$64.9K0.0%New
Xbp Global Holdings Inc12.5K$55.2K0.0%−$30.2KHeld
Medicus Pharma Ltd42.4K$19.5K0.0%−$45.4KHeld
Omniab Inc11.8K$18.6K0.0%−$3.31KHeld

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.