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Institutional Ownership · SEC Form 13F

Who owns Aspire Biopharma Holdings, Inc. (ASBP)


Which tracked institutional funds hold ASBP, how they are positioned, and who is buying versus exiting — from SEC Form 13F-HR filings. See ASBP company fundamentals →

Ownership as of the 2026-Q1 13F filings (latest filed 2026-05-15). 13F is disclosed up to 45 days after quarter-end, so the most recent quarter fills in over the following weeks.

44
Institutional holders
7M
Shares held (tracked funds)

Conviction spread

ASBP’s largest tracked holder by dollar value, Clear Street Derivatives LLC, sizes it at 38.2% of its own reported 13F book, while the median holder sizes it at 0.0% of theirs — a 38.2pp conviction gap — its largest holder concentrates the name more heavily than the typical one.

Book-share is each fund’s reported value in ASBP divided by its whole reported 13F book, so it is comparable across funds of different sizes and is unaffected by stock splits. A higher share means a fund has committed more of its book to the name — a starting question about conviction, not a verdict or a signal to trade.

Institutional & insider positioning

Between 2025-Q4 and 2026-Q1, across 41 tracked filers holding ASBP, 9 increased or opened the position and 31 reduced or closed it; over the same quarter, there were no open-market insider Form 4s.

This fuses two public signals for the same quarter — how tracked institutions changed their positions and whether insiders bought or sold in the open market. It describes what was filed; it is a starting question, not a verdict or a signal to trade.

New buyers & exits

No tracked fund opened or closed a position in ASBP between 2025-Q4 and 2026-Q1.

Institutional holders

One row per tracked fund, largest reported value first. “% of value” is the fund’s share of this security’s tracked institutional value — not of shares outstanding. Rows marked stale are from an earlier filing than the security’s latest quarter — that fund is absent from the newest snapshot (position exited, or reported under a different name).

FundSharesReported value% of valueQuarter
Context Capital Management, LLC175,000$3M33.4%2026-Q1
UBS Group AG trimmed191,499$197K2.3%2026-Q1
MORGAN STANLEY new76,955$79K0.9%2026-Q1
GEODE CAPITAL MANAGEMENT, LLC trimmed43,384$45K0.5%2026-Q1
Mint Tower Capital Management B.V.25,000$26K0.3%2026-Q1
Crewe Advisors LLC trimmed20,335$21K0.2%2026-Q1
Saba Capital Management, L.P.983,603$18K0.2%2026-Q1
ADAGE CAPITAL PARTNERS GP, L.L.C.1,050,000$17K0.2%2026-Q1
Linden Advisors LP899,999$17K0.2%2026-Q1
ARISTEIA CAPITAL, L.L.C.681,516$12K0.1%2026-Q1
Sculptor Capital LP500,000$9K0.1%2026-Q1
VANGUARD CAPITAL MANAGEMENT LLC new7,859$8K0.1%2026-Q1
Crossingbridge Advisors, LLC24,348$7K0.1%2026-Q1
Clear Street Group Inc. trimmed330,664$5K0.1%2026-Q1
TORONTO DOMINION BANK trimmed5,000$5K0.1%2026-Q1
D. E. Shaw & Co., Inc.199,999$3K0.0%2026-Q1
WOLVERINE ASSET MANAGEMENT LLC197,144$3K0.0%2026-Q1
Verition Fund Management LLC added191,021$3K0.0%2026-Q1
VANGUARD FIDUCIARY TRUST CO new2,856$3K0.0%2026-Q1
Polar Asset Management Partners Inc.138,536$3K0.0%2026-Q1
Tower Research Capital LLC (TRC) trimmed2,174$2K0.0%2026-Q1
LMR Partners LLP125,000$2K0.0%2026-Q1
Periscope Capital Inc.124,924$2K0.0%2026-Q1
WHITEBOX ADVISORS LLC118,750$2K0.0%2026-Q1
CITIGROUP INC trimmed1,846$2K0.0%2026-Q1
VR Advisory Services Ltd99,692$2K0.0%2026-Q1
Limestone Investment Advisors LP75,000$1K0.0%2026-Q1
VALLEY WEALTH MANAGERS, INC. trimmed1,000$1K0.0%2026-Q1
Avion Wealth trimmed1,352$1K0.0%2026-Q1
Blue Owl Capital Holdings LP50,000$1K0.0%2026-Q1
Athos Capital Ltd21,383$1K0.0%2026-Q1
PICTON MAHONEY ASSET MANAGEMENT50,000$8300.0%2026-Q1
OMERS ADMINISTRATION Corp25,000$4150.0%2026-Q1
Beacon Pointe Advisors, LLC20,000$3320.0%2026-Q1
SUSQUEHANNA INTERNATIONAL GROUP, LLP trimmed16,781$2790.0%2026-Q1
BARCLAYS PLC trimmed8,750$1450.0%2026-Q1
Caitong International Asset Management Co., Ltd new1$10.0%2026-Q1
SBI Securities Co., Ltd. new1$10.0%2026-Q1
FLOW TRADERS U.S. LLC added15,0500.0%2026-Q1
OSAIC HOLDINGS, INC. trimmed500.0%2026-Q1
Investors Research Corp100.0%2026-Q1
Clear Street Derivatives LLC106,000$5M54.5%2025-Q2 stale
JANE STREET GROUP, LLC added688,143$91K1.0%2025-Q4 stale
Harraden Circle Investments, LLC new150,000$87K1.0%2025-Q1 stale
VANGUARD GROUP INC428,552$57K0.7%2025-Q4 stale
Optivise Advisory Services LLC added357,340$47K0.5%2025-Q4 stale
XTX Topco Ltd added265,471$35K0.4%2025-Q4 stale
Procyon Advisors, LLC trimmed232,661$31K0.4%2025-Q4 stale
Antara Capital LP202,897$27K0.3%2025-Q4 stale
Resolute Advisors LLC added155,826$21K0.2%2025-Q4 stale
Alberta Investment Management Corp new250,000$17K0.2%2025-Q1 stale
Three Seasons Wealth, LLC added125,000$16K0.2%2025-Q4 stale
TWO SIGMA SECURITIES, LLC new27,413$16K0.2%2025-Q1 stale
CITADEL ADVISORS LLC new26,901$16K0.2%2025-Q1 stale
CLEAR STREET LLC331,064$15K0.2%2025-Q2 stale
Virtu Financial LLC added108,791$14K0.2%2025-Q4 stale
EP Wealth Advisors, LLC new62,685$8K0.1%2025-Q4 stale
P SCHOENFELD ASSET MANAGEMENT LP58,563$8K0.1%2025-Q4 stale
Scientech Research LLC added51,602$7K0.1%2025-Q4 stale
CIBC Private Wealth Group LLC49,129$6K0.1%2025-Q4 stale
CAAS CAPITAL MANAGEMENT LP trimmed75,000$5K0.1%2025-Q1 stale
GOLDMAN SACHS GROUP INC trimmed18,701$5K0.1%2025-Q2 stale
Platform Technology Partners37,611$5K0.1%2025-Q4 stale
NOMURA HOLDINGS INC150,000$4K0.1%2025-Q3 stale
Focus Partners Wealth new12,538$3K0.0%2025-Q3 stale
StoneX Group Inc. new14,675$2K0.0%2025-Q4 stale
Point72 Asset Management, L.P. new14,244$2K0.0%2025-Q4 stale
Allred Capital Management, LLC11,185$1K0.0%2025-Q4 stale
Fisher Asset Management, LLC new10,000$1K0.0%2025-Q4 stale
RAYMOND JAMES FINANCIAL INC new2,500$6730.0%2025-Q2 stale
SOA Wealth Advisors, LLC. new2,920$6020.0%2025-Q3 stale
BANK OF AMERICA CORP /DE/ added282$370.0%2025-Q4 stale
Farther Finance Advisors, LLC new20$120.0%2025-Q1 stale
Reyes Financial Architecture, Inc. new70$40.0%2025-Q1 stale
CONCOURSE FINANCIAL GROUP SECURITIES, INC.00.0%2025-Q2 stale

Ownership over time

Tracked institutional holder count and total shares held by filing quarter (independent scales). The curated-era tail and any mid-ingest latest quarter are handled honestly — a partial quarter is not drawn as a collapse.

HoldersTotal shares

Reading this table

Funds hold the same stock for different reasons — an index fund “holds” almost everything, an active manager sizes a name to a mandate and a benchmark, and each fund entered at its own price and time. Because 13F is filed up to 45 days after quarter-end, every row is a backward-looking snapshot; a manager may have traded since. Share-class siblings (a company’s A and C shares) are rolled up to one line so a dual-class name is never double-counted. Compare like-for-like. A large holder is not an endorsement, and a fund exiting is not a warning — this is a starting question, not a verdict.

About 13F filings

A Form 13F is a quarterly disclosure that institutional investment managers with over $100 million in US-listed equities must file with the SEC. In plain English: it is a snapshot of the long stock positions a fund held at the end of a quarter. It covers long US-listed equities only — not short positions, options, cash, or private holdings — and the funds shown are the large sample we track, not the complete 13F universe.

Learn how to read institutional ownership