13F

Stock

Bitcoin Depot Inc.

BTMCQ · held by 56 managers

Reported value

$2.96M

Holders

56

+28 new · −3 exited

Holders’ est. mark

−$702.8K

Price effect on 43 books still in the name

Largest holder

$1.09M

Owl Creek Asset Management, L.P.

Notable conviction

Share of each notable manager’s 13F book.

Holder count by quarter

Who holds it

Notable only
InvestorSharesValueEst. markChange
Owl Creek Asset Management, L.P.502K$1.09M$446.8KCut−$840.6K
Renaissance Technologies171.1K$372.9K$152.2KCut−$1.61M
VANGUARD CAPITAL MANAGEMENT LLC156.3K$340.7KHeld
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.99.6K$217.2K$88.7KCut−$673.1K
GEODE CAPITAL MANAGEMENT, LLC59.8K$130.5K$53.3KCut−$295.3K
Man Group plc49.4K$107.7K$44KCut−$171.1K
Shaolin Capital Management LLC525K$65.2K−$154.1KCut−$216.7K
LMR Partners LLP2.5M$53.5K−$227.4KCut−$227.4K
VANGUARD FIDUCIARY TRUST CO24.2K$52.8KHeld
TWO SIGMA INVESTMENTS, LP24.2K$52.8K$21.6KCut−$391.3K
ARISTEIA CAPITAL, L.L.C.2.17M$51.6K−$189.4KCut−$189.4K
Polar Asset Management Partners Inc.2.14M$50.9K−$186.5KCut−$266.3K
METEORA CAPITAL, LLC1.77M$37.8K−$160.5KCut−$172.8K
Caption Management, LLC1.59M$34K−$144.6KCut−$144.6K
Saba Capital Management, L.P.1.36M$32.3K−$118.5KCut−$118.5K
UBS Group AG14K$30.6K$12.7KCut−$128.1K
EVERGREEN CAPITAL MANAGEMENT LLC13.3K$28.9K$11.8KCut−$90.9K
State Street12.8K$27.9K$11.4KCut−$87.8K
XTX Topco Ltd12.1K$26.5K$10.8KCut−$42.1K
BlackRock, Inc.10.1K$22K$8.97KCut−$69K
Calamos Advisors LLC1M$21.2K−$91.1KCut−$91.1K
D. E. Shaw & Co., Inc.675.4K$14.3K−$61.5KCut−$61.5K
CSS LLC/IL93.4K$14K$3.5KCut−$59.4K
Greenland Capital Management LP500K$10.6K−$45.5KCut−$45.5K
Galaxy Digital Inc.400K$8.56KHeld
Itau Unibanco Holding S.A.3.54K$7.71KNew
Context Capital Management, LLC354.5K$7.58K−$32.2KCut−$32.2K
P SCHOENFELD ASSET MANAGEMENT LP337.4K$7.22K−$30.7KCut−$30.7K
WHITEBOX ADVISORS LLC213.8K$4.57K−$19.4KCut−$19.4K
WOLVERINE ASSET MANAGEMENT LLC190.6K$4.08K−$13.3KCut−$12.3K
Hudson Bay Capital Management LP186.5K$3.99K−$17KCut−$17K
Ionic Capital Management LLC165.1K$3.53K−$5.92KCut−$3.78K
Vanguard Global Advisers, LLC1.48K$3.23KHeld
FIDEURAM - INTESA SANPAOLO PRIVATE BANKING S.P.A.1.43K$3.11K$1.27KCut−$9.79K
Clear Street Group Inc.145.3K$3.11K−$13.1KCut−$13.1K
T3 Companies, LLC141.6K$3.03K−$12.9KCut−$12.9K
DRW Securities, LLC140.5K$3.01KNew
MORGAN STANLEY1.14K$2.49K$1.02KCut−$11.7K
Yakira Capital Management, Inc.69K$1.48K−$6.27KCut−$6.36K
Blue Owl Capital Holdings LP50K$1K−$4.5KCut−$4.5K
Weiss Asset Management LP33.2K$704−$3.03KCut−$19K
Tower Research Capital LLC (TRC)305$665$272Cut−$3.34K
Advisory Services Network, LLC284$619New
SUSQUEHANNA INTERNATIONAL GROUP, LLP26.6K$565−$33.8KCut−$151.8K
WELLS FARGO & COMPANY/MN140$305$124Cut−$2.13K
GTS SECURITIES LLC10K$210New
Bell Investment Advisors, Inc86$188New
WELCH CAPITAL PARTNERS LLC/NY35.1K$76$31Cut−$2.02K
HRT FINANCIAL LP15K$32New
OSAIC HOLDINGS, INC.7$15$6Cut−$49
Mint Tower Capital Management B.V.100K$2−$9Cut−$9
TORONTO DOMINION BANK100$2New
Virtu Financial LLC10.5K$0−$1Cut−$1
Avion Wealth102$0New
ROYAL BANK OF CANADA6$0$0Held

Who left

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.