13F

Stock

Bitcoin Depot Inc.

BTMCQ · held by 78 managers

Reported value

$13.5M

Holders

78

+2 new · −1 exited

Holders’ est. mark

−$587.8K

Price effect on 6 books still in the name

Largest holder

$1.98M

Renaissance Technologies

Notable conviction

Share of each notable manager’s 13F book.

Holder count by quarter

Who holds it

Notable only
InvestorSharesValueEst. markChange
Renaissance Technologies1.53M$1.98M—Held
Owl Creek Asset Management, L.P.1.5M$1.94M—Held
Vanguard1.08M$1.39M—Held
SABBY MANAGEMENT, LLC1M$1.29M—Held
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.690.1K$890.3K—Held
TWO SIGMA INVESTMENTS, LP344.3K$444.1K—Held
GEODE CAPITAL MANAGEMENT, LLC330K$425.7K—Held
Polar Asset Management Partners Inc.2.85M$317.1K−$389.3KCut−$401.7K
Shaolin Capital Management LLC675K$281.9K—Held
LMR Partners LLP2.5M$280.9K—Held
Man Group plc216.1K$278.8K—Held
ARISTEIA CAPITAL, L.L.C.2.17M$241K—Held
Invesco Ltd.177K$228.4K—Held
TWO SIGMA ADVISERS, LP174.6K$225.2K—Held
METEORA CAPITAL, LLC1.87M$210.6K—Held
Quadrature Capital Ltd162.5K$209.6K—Held
Caption Management, LLC1.59M$178.6K—Held
JANE STREET GROUP, LLC125.3K$161.6K—Held
UBS Group AG124.6K$158.7K—Held
SUSQUEHANNA INTERNATIONAL GROUP, LLP118.1K$152.3K—Held
Saba Capital Management, L.P.1.36M$150.9K—Held
Aristides Capital LLC106.5K$137.4K—Held
EVERGREEN CAPITAL MANAGEMENT LLC92.9K$119.9K—Held
State Street89.7K$115.7K—Held
Calamos Advisors LLC1M$112.3K—Held
BlackRock, Inc.70.5K$91K—Held
Alberta Investment Management Corp700K$78.6K−$95KCut−$95K
CANADA PENSION PLAN INVESTMENT BOARD60.8K$78.4K—Held
Heron Bay Capital Management59.1K$76.2K—Held
D. E. Shaw & Co., Inc.675.4K$75.8K—Held
CSS LLC/IL653.8K$73.4K—Held
XTX Topco Ltd53.1K$68.5K—Held
NORTHERN TRUST CORP52K$67.1K—Held
Hillsdale Investment Management Inc.51.5K$66.4K—Held
Centiva Capital, LP49.9K$64.3K—Held
Engineers Gate Manager LP47.5K$61.3K—Held
GOLDMAN SACHS GROUP INC44.4K$57.3K—Held
Greenland Capital Management LP500K$56.1K—Held
SIMPLEX TRADING, LLC39K$50.3K—Held
Galaxy Group Investments LLC400K$44.9K−$54.3KCut−$54.3K
TWO SIGMA SECURITIES, LLC31.6K$40.8K—Held
Context Capital Management, LLC354.5K$39.8K—Held
P SCHOENFELD ASSET MANAGEMENT LP337.4K$37.9K—Held
MILLENNIUM MANAGEMENT LLC29.1K$37.6K—Held
Verdence Capital Advisors LLC23.2K$29.9K—Held
LPL Financial LLC22K$28.3K—Held
CITIGROUP INC21.6K$27.9K—Held
Qube Research & Technologies Ltd21.2K$27.3K—Held
AMERICAN CENTURY COMPANIES INC19.3K$24.9K—Held
Mariner, LLC18.8K$24.2K—Held
WHITEBOX ADVISORS LLC213.8K$24K—Held
NINE MASTS CAPITAL Ltd16.6K$21.4K—Held
Hudson Bay Capital Management LP186.5K$20.9K−$25.3KCut−$25.3K
Weiss Asset Management LP175.4K$19.7K—New
Jacobi Capital Management LLC14K$18.1K—Held
WOLVERINE ASSET MANAGEMENT LLC145.8K$16.4K—Held
Clear Street Group Inc.144.4K$16.2K—Held
T3 Companies, LLC141.6K$15.9K—Held
MORGAN STANLEY11K$14.2K−$22.8KCut−$1.4M
StoneX Group Inc.10.9K$14.1K—Held
FIDEURAM - INTESA SANPAOLO PRIVATE BANKING S.P.A.10K$12.9K—Held
Revisor Wealth Management LLC10K$12.3K—Held
Yakira Capital Management, Inc.69.8K$7.83K—Held
Ionic Capital Management LLC65.1K$7.31K—Held
Blue Owl Capital Holdings LP50K$5.5K—Held
Tower Research Capital LLC (TRC)3.1K$4K—Held
LANDSCAPE CAPITAL MANAGEMENT, L.L.C.24.1K$2.7K—Held
WELLS FARGO & COMPANY/MN1.89K$2.43K—Held
WELCH CAPITAL PARTNERS LLC/NY1.63M$2.1K—Held
Global Retirement Partners, LLC1.35K$1.74K—Held
NewEdge Advisors, LLC1K$1.29K—Held
BANK OF AMERICA CORP /DE/520$670−$1.08KCut−$33.5K
OSAIC HOLDINGS, INC.50$64—Held
Mint Tower Capital Management B.V.100K$11—Held
Virtu Financial LLC11.2K$1—Held
ROYAL BANK OF CANADA37$0—Held

Who left

Positions as of Q4 2025. 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.