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Anson Funds Management LP 13F holdings, Q1 2026

Holdings as of March 31, 2026 · filings on SEC EDGAR · latest filing →

Anson Funds Management LP disclosed 102 US equity positions worth $787.1m in its Q1 2026 13F filing. The largest position was LION at 7.4% of the reported book, followed by MSOS and MTCH.

· Q2 2026 →

What did Anson Funds Management LP own in Q1 2026? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs prior
1 LION Lionsgate Studios Corp 7.4%$58.4m6,092,254
2 MSOS AdvisorShares Pure US Cannabis ETF 7.4%$58.0m16,330,922
3 MTCH Match Group Inc Communication Services 5.3%$41.7m1,357,879
4 NVDA NVIDIA CORP Technology 5.1%$40.1m229,890
5 SEALSQ Corp 4.1%$32.6m12,457,698
6 SPSC SPS Commerce Inc Technology 4.1%$32.0m575,000
7 FIVN Five9 Inc Technology 4.0%$31.7m2,086,675
8 New America Acquisition I Corp 3.9%$30.8m2,968,491
9 FutureCrest Acquisition Corp 3.3%$26.4m2,588,965
10 Blue Water Acquisition Corp III 3.2%$25.5m2,485,000
11 MOZAYYX Acquisition Corp 3.1%$24.4m2,450,000
12 Texas Ventures Acquisition III Corp 2.9%$22.9m2,199,942
13 Cantor Equity Partners I Inc 2.7%$21.4m2,039,750
14 VENU Venu Holding Corp 2.3%$18.2m5,508,548
15 LOVE LOVESAC CO/THE 2.2%$17.5m1,183,986
16 TSLA TESLA, INC. Consumer Cyclical 2.0%$16.1m43,184
17 Imperial Petroleum Inc 1.9%$14.8m3,466,680
18 Churchill Capital Corp XI 1.7%$13.3m1,300,974
19 Blue Water Acquisition Corp III 1.6%$13.0m1,261,031
20 NPDEUR Osisko Development Corp 1.6%$12.6m3,862,208
21 GLXY Galaxy Digital Inc Financial Services 1.4%$11.1m600,000
22 SHAZ SharonAI Holdings Inc. Technology 1.4%$10.7m472,041
23 GSAT Globalstar Inc Communication Services 1.3%$10.5m158,179
24 Sprott Physical Silver Trust 1.3%$9.9m406,900
25 Texas Ventures Acquisition III Corp 1.1%$8.8m845,600
26 XXI Twenty One Capital Inc 1.0%$8.1m1,271,500
27 CAE CAE Inc Industrials 0.9%$7.3m280,000
28 DJT Trump Media & Technology Group Corp 0.8%$6.6m710,986
29 PLD PROLOGIS INC Real Estate 0.8%$6.4m48,050
30 PSA Public Storage Real Estate 0.8%$6.3m23,100
31 SGHC Super Group SGHC Ltd Consumer Cyclical 0.7%$5.7m531,214
32 O Realty Income Corp Real Estate 0.7%$5.6m91,900
33 CBRE CBRE Group Inc Real Estate 0.7%$5.6m41,070
34 CVNA CARVANA CO Consumer Cyclical 0.6%$5.0m16,000
35 SPG SIMON PROPERTY GROUP INC Real Estate 0.6%$4.9m26,100
36 BKD Brookdale Senior Living Inc Healthcare 0.6%$4.7m340,000
37 Yorkville Acquisition Corp 0.6%$4.6m457,767
38 CORZ Core Scientific Inc Technology 0.6%$4.6m306,000
39 TSM Taiwan Semiconductor Manufacturing Co Ltd Technology 0.6%$4.6m13,500
40 IRM Iron Mountain Inc Real Estate 0.5%$4.3m42,200
41 BHR Braemar Hotels & Resorts Inc 0.5%$4.3m1,808,219
42 SN SharkNinja Inc Consumer Cyclical 0.5%$4.2m40,000
43 LRCX LAM RESEARCH CORP Technology 0.5%$4.2m19,750
44 MDA MDA Space Ltd 0.5%$3.8m151,848
45 MKSI MKS Inc Technology 0.5%$3.8m16,500
46 TOON Kartoon Studios Inc 0.4%$3.2m5,198,384
47 AMT American Tower Corp Real Estate 0.4%$3.1m18,100
48 GROY Gold Royalty Corp 0.4%$3.1m856,814
49 AQN Algonquin Power & Utilities Corp Utilities 0.4%$3.1m500,000
50 RDDT Reddit Inc Communication Services 0.4%$3.0m22,500

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.