13F

Stock

Everspin Technologies Inc.

MRAM · held by 86 managers

Reported value

$100M

Holders

86

+1 new · −0 exited

Holders’ est. mark

−$2.82K

Price effect on 4 books still in the name

Largest holder

$19.7M

AWM Investment Company, Inc.

Notable conviction

Share of each notable manager’s 13F book.

Holder count by quarter

Who holds it

Notable only
InvestorSharesValueEst. markChange
AWM Investment Company, Inc.2.13M$19.7M—Held
Lynrock Lake LP1.74M$16.1M—Held
Vanguard915.2K$8.49M—Held
HERALD INVESTMENT MANAGEMENT Ltd800K$7.39M—Held
D. E. Shaw & Co., Inc.445.4K$4.13M—Held
BlackRock, Inc.437.3K$4.06M—Held
DIMENSIONAL FUND ADVISORS LP362.1K$3.36M—Held
Renaissance Technologies261.4K$2.43M—Held
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP257.4K$2.39M—Held
SUSQUEHANNA INTERNATIONAL GROUP, LLP246.1K$2.28M—Held
NANO CAP NEW MILLENNIUM GROWTH FUND L P237.5K$2.2M—Held
MARSHALL WACE, LLP227K$2.11M—Held
GEODE CAPITAL MANAGEMENT, LLC221.2K$2.05M—Held
MILLENNIUM MANAGEMENT LLC218.1K$2.02M—Held
JANE STREET GROUP, LLC184K$1.71M—Held
ROYAL BANK OF CANADA165.3K$1.53M—Held
Qube Research & Technologies Ltd121.5K$1.13M—Held
TWO SIGMA INVESTMENTS, LP115.6K$1.07M—Held
683 Capital Management, LLC109.9K$1.02M—Held
GOLDMAN SACHS GROUP INC105.5K$978.7K—Held
TWO SIGMA ADVISERS, LP89.7K$832.4K—Held
Informed Momentum Co LLC86.5K$802.8K—Held
State Street85.3K$791.5K—Held
NORTHERN TRUST CORP72.4K$672.1K—Held
Point72 Asset Management, L.P.69.1K$641.1K—Held
Oppenheimer & Close, LLC69K$640K—Held
MORGAN STANLEY65.9K$611.4K−$1.41KAdded$174.4K
Citadel58.3K$541.2K—Held
GLOBEFLEX CAPITAL L P56.3K$522.6K—Held
SEI INVESTMENTS CO52.7K$488.9K—Held
Bank of New York Mellon Corp50.1K$464.6K—Held
Squarepoint Ops LLC46.7K$433.4K—Held
Green Alpha Advisors, LLC46K$426.7K—Held
O'SHAUGHNESSY ASSET MANAGEMENT, LLC45.6K$422.9K—Held
OMERS ADMINISTRATION Corp43.6K$404.6K—Held
HSBC HOLDINGS PLC38.2K$355.3K—Held
UBS Group AG37.2K$345.6K—Held
BRIDGEWAY CAPITAL MANAGEMENT, LLC35.7K$331.3K—Held
XTX Topco Ltd34.6K$321.5K—Held
Pathstone Holdings, LLC33.7K$312.4K—Held
RITHOLTZ WEALTH MANAGEMENT30.8K$286.2K—Held
Hudson Bay Capital Management LP28.7K$266.7K—New
Gordian Capital Singapore Pte Ltd28.1K$260.4K—Held
BANK OF AMERICA CORP /DE/24.8K$230.5K−$746Cut−$302.2K
OCCUDO QUANTITATIVE STRATEGIES LP24.1K$223.2K—Held
BARCLAYS PLC21.6K$200.1K−$647Cut−$204.3K
GROUP ONE TRADING LLC19K$176K—Held
WINTON GROUP Ltd16.9K$156.4K—Held
Trexquant Investment LP16.8K$155.8K—Held
Balyasny Asset Management L.P.16.8K$155.5K—Held
CANADA PENSION PLAN INVESTMENT BOARD16.7K$155K—Held
CITIGROUP INC16.6K$153.7K—Held
Jefferies Financial Group Inc.14.2K$131.8K—Held
AMERICAN CENTURY COMPANIES INC14.2K$131.4K—Held
Catalyst Funds Management Pty Ltd11.6K$107.4K—Held
Silverberg Bernstein Capital Management LLC11.4K$105.4K—Held
AlphaCore Capital LLC11.2K$103.9K—Held
BNP PARIBAS FINANCIAL MARKETS9.71K$90.1K—Held
Fidelity8.79K$81.6K—Held
SIMPLEX TRADING, LLC6.44K$59.7K—Held
Tower Research Capital LLC (TRC)6.07K$56.3K—Held
Kestra Advisory Services, LLC4.38K$40.6K—Held
Truvestments Capital LLC2.5K$23.2K—Held
SBI Securities Co., Ltd.2.33K$21.6K—Held
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC2.24K$20.8K—Held
Federation des caisses Desjardins du Quebec1.5K$13.9K—Held
Russell Investments Group, Ltd.1.03K$9.52K—Held
WHITTIER TRUST CO773$9.32K—Held
WELLS FARGO & COMPANY/MN1K$9.28K—Held
Rockefeller Capital Management L.P.1K$9.28K—Held
ACADIAN ASSET MANAGEMENT LLC833.1K$7.73K—Held
Allworth Financial LP500$4.64K−$15Cut−$15
Parallel Advisors, LLC500$4.64K—Held
BROWN BROTHERS HARRIMAN & CO304$2.82K—Held
NISA INVESTMENT ADVISORS, LLC303$2.81K—Held
NATIONAL BANK OF CANADA /FI/245$2.26K—Held
OSAIC HOLDINGS, INC.180$1.67K—Held
GAMMA Investing LLC162$1.5K—Held
Ancora Advisors LLC160$1.49K—Held
GSA CAPITAL PARTNERS LLP73.8K$685—Held
ALGERT GLOBAL LLC31.9K$296—Held
Optiver Holding B.V.18$167—Held
Larson Financial Group LLC15$139—Held
Arax Advisory Partners2$19—Held
AdvisorNet Financial, Inc1$9—Held
CWM, LLC190$2—Held

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.