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Institutional Ownership · SEC Form 13F

Who owns Corsair Gaming, Inc. (CRSR)


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

Ownership as of the 2026-Q1 13F filings (latest filed 2026-05-18). 13F is disclosed up to 45 days after quarter-end, so the most recent quarter fills in over the following weeks.

205
Institutional holders
40M
Shares held (tracked funds)
37.7%
Of shares outstanding

How the tape is positioned

26 tracked funds added or opened CRSR while 24 trimmed or exited it between 2025-Q4 and 2026-Q1 — the tape is split. When large holders disagree on a name, the funds moving first are sometimes ahead of the story.

A prompt to read the filings, not a verdict. 13F is a quarter-end snapshot disclosed up to 45 days late; a fund adds or exits for mandate, benchmark, and timing reasons that have nothing to do with a view on the stock. This is a starting question, not a signal to trade.

Conviction spread

CRSR’s largest tracked holder by dollar value, BlackRock, Inc., sizes it at 0.0% of its own reported 13F book, while the median holder sizes it at 0.0% of theirs — a 0.0pp gap the other way — the median holder sizes CRSR more heavily than its largest holder by dollar value does.

Book-share is each fund’s reported value in CRSR 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 205 tracked filers holding CRSR, 114 increased or opened the position and 96 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

Funds opening or closing a position in CRSR between the 2025-Q4 and 2026-Q1 13F filings, and the largest changes among funds holding it in both. New buyers and exits are counted on fund presence (split-invariant); adds and trims are measured on reported value.

New buyers 8

  • VANGUARD PORTFOLIO MANAGEMENT LLC$15M
  • VANGUARD CAPITAL MANAGEMENT LLC$11M
  • VANGUARD FIDUCIARY TRUST CO$2M
  • Vanguard Global Advisers, LLC$2M
  • GSA CAPITAL PARTNERS LLP$642K
  • FIRST TRUST ADVISORS LP$606K

Full exits 10

  • VANGUARD GROUP INC$34M
  • ArrowMark Colorado Holdings LLC$3M
  • ALGERT GLOBAL LLC$1M
  • Balyasny Asset Management L.P.$1M
  • Point72 Asset Management, L.P.$1M
  • Optimize Financial Inc$943K

Largest adds

  • AQR CAPITAL MANAGEMENT LLC$8M
  • D. E. Shaw & Co., Inc.$5M
  • GOLDMAN SACHS GROUP INC$4M
  • Trexquant Investment LP$3M
  • UBS Group AG$3M
  • WINTON GROUP Ltd$1M

Largest trims

  • PALISADE CAPITAL MANAGEMENT, LP$3M
  • MILLENNIUM MANAGEMENT LLC$3M
  • BlackRock, Inc.$2M
  • DIMENSIONAL FUND ADVISORS LP$1M
  • NEW YORK STATE COMMON RETIREMENT FUND$1M
  • Squarepoint Ops LLC$998K

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
BlackRock, Inc. added7,368,991$41M13.1%2026-Q1
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ added3,119,308$17M5.5%2026-Q1
VANGUARD PORTFOLIO MANAGEMENT LLC new2,782,146$15M4.9%2026-Q1
DIMENSIONAL FUND ADVISORS LP trimmed2,322,867$13M4.1%2026-Q1
VANGUARD CAPITAL MANAGEMENT LLC new2,063,237$11M3.7%2026-Q1
AQR CAPITAL MANAGEMENT LLC added1,976,710$11M3.5%2026-Q1
STATE STREET CORP added1,773,301$10M3.2%2026-Q1
PALISADE CAPITAL MANAGEMENT, LP trimmed1,621,080$9M2.9%2026-Q1
D. E. Shaw & Co., Inc. added1,449,251$8M2.6%2026-Q1
Invesco Ltd. added1,333,605$7M2.4%2026-Q1
GOLDMAN SACHS GROUP INC added1,233,022$7M2.2%2026-Q1
GEODE CAPITAL MANAGEMENT, LLC added1,197,945$7M2.1%2026-Q1
UBS Group AG added916,207$5M1.6%2026-Q1
MORGAN STANLEY added720,529$4M1.3%2026-Q1
Trexquant Investment LP added673,384$4M1.2%2026-Q1
NEW YORK STATE COMMON RETIREMENT FUND trimmed595,813$3M1.1%2026-Q1
NORTHERN TRUST CORP added533,365$3M0.9%2026-Q1
CHARLES SCHWAB INVESTMENT MANAGEMENT INC added427,228$2M0.8%2026-Q1
WINTON GROUP Ltd added417,016$2M0.7%2026-Q1
STIFEL FINANCIAL CORP added392,093$2M0.7%2026-Q1
VANGUARD FIDUCIARY TRUST CO new299,231$2M0.5%2026-Q1
Bank of New York Mellon Corp trimmed291,660$2M0.5%2026-Q1
Vanguard Global Advisers, LLC new289,591$2M0.5%2026-Q1
LOS ANGELES CAPITAL MANAGEMENT LLC added237,752$1M0.4%2026-Q1
Engineers Gate Manager LP added236,744$1M0.4%2026-Q1
BANK OF AMERICA CORP /DE/ added230,700$1M0.4%2026-Q1
PRINCIPAL FINANCIAL GROUP INC added228,159$1M0.4%2026-Q1
MILLENNIUM MANAGEMENT LLC trimmed225,853$1M0.4%2026-Q1
CastleKnight Management LP171,400$951K0.3%2026-Q1
Public Sector Pension Investment Board added167,423$929K0.3%2026-Q1
SUSQUEHANNA INTERNATIONAL GROUP, LLP added167,075$927K0.3%2026-Q1
RHUMBLINE ADVISERS trimmed139,357$773K0.2%2026-Q1
NANO CAP NEW MILLENNIUM GROWTH FUND L P trimmed125,000$694K0.2%2026-Q1
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP added123,537$686K0.2%2026-Q1
GSA CAPITAL PARTNERS LLP added115,670$642K0.2%2026-Q1
FIRST TRUST ADVISORS LP added109,149$606K0.2%2026-Q1
Legal & General Group Plc trimmed106,450$591K0.2%2026-Q1
IEQ CAPITAL, LLC added103,640$575K0.2%2026-Q1
Atom Investors LP added103,486$574K0.2%2026-Q1
BNP PARIBAS FINANCIAL MARKETS added102,716$570K0.2%2026-Q1
Creative Planning added101,817$565K0.2%2026-Q1
Counterpoint Mutual Funds LLC added101,551$564K0.2%2026-Q1
Connor, Clark & Lunn Investment Management Ltd. added100,860$560K0.2%2026-Q1
MARSHALL WACE, LLP added100,224$556K0.2%2026-Q1
INVESTOR AB trimmed99,711$553K0.2%2026-Q1
Mariner, LLC added96,700$537K0.2%2026-Q1
AMERIPRISE FINANCIAL INC added91,511$508K0.2%2026-Q1
Swiss National Bank91,100$506K0.2%2026-Q1
EntryPoint Capital, LLC added88,765$493K0.2%2026-Q1
AMERICAN CENTURY COMPANIES INC86,859$482K0.2%2026-Q1
Nuveen, LLC added81,901$455K0.1%2026-Q1
Schonfeld Strategic Advisors LLC added78,820$437K0.1%2026-Q1
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd. trimmed77,695$431K0.1%2026-Q1
SIGNATUREFD, LLC trimmed75,111$417K0.1%2026-Q1
Vontobel Holding Ltd. added74,167$412K0.1%2026-Q1
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC added71,284$396K0.1%2026-Q1
PRUDENTIAL FINANCIAL INC added70,872$393K0.1%2026-Q1
FULLER & THALER ASSET MANAGEMENT, INC. added69,716$387K0.1%2026-Q1
ALLIANCEBERNSTEIN L.P. added63,307$376K0.1%2026-Q1
CWM, LLC added64,167$356K0.1%2026-Q1
VOYA INVESTMENT MANAGEMENT LLC added61,403$341K0.1%2026-Q1
PRICE T ROWE ASSOCIATES INC /MD/ added60,619$337K0.1%2026-Q1
Cerity Partners LLC added58,510$325K0.1%2026-Q1
Dynamic Technology Lab Private Ltd added52,679$292K0.1%2026-Q1
Centiva Capital, LP added52,443$291K0.1%2026-Q1
VANGUARD GROUP INC trimmed5,661,102$34M10.8%2025-Q4 stale
Sunriver Management LLC added1,888,561$17M5.4%2025-Q1 stale
Driehaus Capital Management LLC new877,183$8M2.5%2025-Q1 stale
Alyeska Investment Group, L.P. trimmed584,415$5M1.7%2025-Q3 stale
BANK OF MONTREAL /CAN/ added390,728$4M1.2%2025-Q2 stale
ArrowMark Colorado Holdings LLC trimmed489,000$3M0.9%2025-Q4 stale
Cubist Systematic Strategies, LLC added256,165$2M0.8%2025-Q2 stale
VOLORIDGE INVESTMENT MANAGEMENT, LLC trimmed247,704$2M0.7%2025-Q3 stale
G2 Investment Partners Management LLC new219,812$2M0.6%2025-Q1 stale
RENAISSANCE TECHNOLOGIES LLC trimmed217,070$2M0.6%2025-Q1 stale
Jump Financial, LLC trimmed205,800$2M0.6%2025-Q3 stale
CITADEL ADVISORS LLC trimmed194,123$2M0.6%2025-Q2 stale
NFJ INVESTMENT GROUP, LLC new163,081$1M0.5%2025-Q3 stale
ALGERT GLOBAL LLC trimmed238,040$1M0.5%2025-Q4 stale
Balyasny Asset Management L.P. added222,569$1M0.4%2025-Q4 stale
Point72 Asset Management, L.P. added215,147$1M0.4%2025-Q4 stale
SCHRODER INVESTMENT MANAGEMENT GROUP new131,025$1M0.4%2025-Q1 stale
Y-Intercept (Hong Kong) Ltd added117,322$1M0.3%2025-Q3 stale
Optimize Financial Inc added158,745$943K0.3%2025-Q4 stale
HUSSMAN STRATEGIC ADVISORS, INC. new105,000$937K0.3%2025-Q3 stale
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO added10,630$697K0.2%2025-Q4 stale
TEACHER RETIREMENT SYSTEM OF TEXAS added107,026$636K0.2%2025-Q4 stale
DARK FOREST CAPITAL MANAGEMENT LP trimmed61,669$582K0.2%2025-Q2 stale
Qube Research & Technologies Ltd trimmed97,525$579K0.2%2025-Q4 stale
Tidal Investments LLC added93,356$555K0.2%2025-Q4 stale
Summit Global Investments new59,174$528K0.2%2025-Q3 stale
XTX Topco Ltd added52,442$465K0.1%2025-Q1 stale
Lotus Technology Management, LP new71,660$426K0.1%2025-Q4 stale
BOOTHBAY FUND MANAGEMENT, LLC added45,351$402K0.1%2025-Q1 stale
Verition Fund Management LLC added41,020$387K0.1%2025-Q2 stale
PEAK6 LLC trimmed38,785$366K0.1%2025-Q2 stale
BAILARD, INC. new40,800$364K0.1%2025-Q3 stale
J. Goldman & Co LP trimmed36,149$341K0.1%2025-Q2 stale
Corton Capital Inc. added32,935$311K0.1%2025-Q2 stale
OCCUDO QUANTITATIVE STRATEGIES LP trimmed34,181$305K0.1%2025-Q3 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