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Institutional Ownership · SEC Form 13F

Who owns Hycroft Mining Holding Corporation (HYMC)


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

168
Institutional holders
29M
Shares held (tracked funds)
34.3%
Of shares outstanding

How the tape is positioned

74 tracked funds added or opened HYMC while 26 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

HYMC’s largest tracked holder by dollar value, STATE STREET CORP, 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 HYMC more heavily than its largest holder by dollar value does.

Book-share is each fund’s reported value in HYMC 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 168 tracked filers holding HYMC, 130 increased or opened the position and 57 reduced or closed it; over the same quarter, open-market insider Form 4s were net purchases.

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 HYMC 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 37

  • VANGUARD CAPITAL MANAGEMENT LLC$80M
  • Swiss Life Asset Management Ltd$30M
  • Amundi$14M
  • VANGUARD FIDUCIARY TRUST CO$14M
  • LMR Partners LLP$4M
  • Swiss National Bank$3M

Full exits 11

  • VANGUARD GROUP INC$58M
  • Ninepoint Partners LP$18M
  • Ghisallo Capital Management LLC$5M
  • ACADIAN ASSET MANAGEMENT LLC$4M
  • Qube Research & Technologies Ltd$3M
  • Point72 Asset Management, L.P.$3M

Largest adds

  • STATE STREET CORP$157M
  • Tidal Investments LLC$95M
  • VAN ECK ASSOCIATES CORP$57M
  • CITADEL ADVISORS LLC$29M
  • MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.$17M
  • GEODE CAPITAL MANAGEMENT, LLC$10M

Largest trims

  • SCHRODER INVESTMENT MANAGEMENT GROUP$28M
  • FRANKLIN RESOURCES INC$10M
  • Regal Partners Ltd$7M
  • UBS Group AG$6M
  • JANE STREET GROUP, LLC$3M
  • SUSQUEHANNA INTERNATIONAL GROUP, LLP$3M

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
STATE STREET CORP added4,671,915$164M15.0%2026-Q1
Tidal Investments LLC added4,627,270$163M14.9%2026-Q1
BlackRock, Inc. trimmed3,245,116$114M10.4%2026-Q1
VANGUARD CAPITAL MANAGEMENT LLC new2,267,859$80M7.3%2026-Q1
VAN ECK ASSOCIATES CORP added1,669,027$59M5.4%2026-Q1
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd. trimmed1,595,658$56M5.1%2026-Q1
CITADEL ADVISORS LLC added880,858$31M2.8%2026-Q1
Swiss Life Asset Management Ltd new755,394$30M2.7%2026-Q1
FRANKLIN RESOURCES INC trimmed839,000$30M2.7%2026-Q1
GEODE CAPITAL MANAGEMENT, LLC added826,636$29M2.7%2026-Q1
MILLENNIUM MANAGEMENT LLC added578,259$20M1.9%2026-Q1
UBS Group AG trimmed493,383$17M1.6%2026-Q1
Amundi new411,116$14M1.3%2026-Q1
VANGUARD FIDUCIARY TRUST CO new398,287$14M1.3%2026-Q1
MORGAN STANLEY added360,918$13M1.2%2026-Q1
RENAISSANCE TECHNOLOGIES LLC added303,264$11M1.0%2026-Q1
IMC-Chicago, LLC added275,038$10M0.9%2026-Q1
SCHRODER INVESTMENT MANAGEMENT GROUP trimmed274,510$8M0.8%2026-Q1
Cetera Investment Advisers added220,201$8M0.7%2026-Q1
HOHIMER WEALTH MANAGEMENT, LLC added212,380$7M0.7%2026-Q1
BANK OF MONTREAL /CAN/ added208,192$7M0.7%2026-Q1
NORTHERN TRUST CORP added162,877$6M0.5%2026-Q1
LMR Partners LLP added113,100$4M0.4%2026-Q1
SPROTT INC. trimmed112,052$4M0.4%2026-Q1
Shay Capital LLC trimmed109,546$4M0.4%2026-Q1
BANK OF AMERICA CORP /DE/ added100,999$4M0.3%2026-Q1
BNP PARIBAS FINANCIAL MARKETS added95,510$3M0.3%2026-Q1
Swiss National Bank new95,500$3M0.3%2026-Q1
Brevan Howard Capital Management LP new85,782$3M0.3%2026-Q1
GROUP ONE TRADING LLC trimmed84,513$3M0.3%2026-Q1
BARCLAYS PLC added84,076$3M0.3%2026-Q1
RAYMOND JAMES FINANCIAL INC new75,766$3M0.2%2026-Q1
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC new72,402$3M0.2%2026-Q1
GOLDMAN SACHS GROUP INC trimmed70,210$2M0.2%2026-Q1
Squarepoint Ops LLC added69,789$2M0.2%2026-Q1
October Effect Ltd new68,856$2M0.2%2026-Q1
SG Americas Securities, LLC added57,329$2M0.2%2026-Q1
JANE STREET GROUP, LLC trimmed57,164$2M0.2%2026-Q1
CENTAURUS FINANCIAL, INC. added56,877$2M0.2%2026-Q1
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM trimmed55,633$2M0.2%2026-Q1
TCFG Investment Advisors, LLC new55,405$2M0.2%2026-Q1
TCFG WEALTH MANAGEMENT, LLC added55,405$2M0.2%2026-Q1
Federation des caisses Desjardins du Quebec added55,195$2M0.2%2026-Q1
LINCOLN CAPITAL CORP added53,910$2M0.2%2026-Q1
Hudson Bay Capital Management LP trimmed53,172$2M0.2%2026-Q1
Orion Porfolio Solutions, LLC new50,407$2M0.2%2026-Q1
HUB Investment Partners, LLC new50,025$2M0.2%2026-Q1
VICTORY CAPITAL MANAGEMENT INC added49,539$2M0.2%2026-Q1
First Financial Bankshares Inc new40,500$1M0.1%2026-Q1
CHARLES SCHWAB INVESTMENT MANAGEMENT INC added40,299$1M0.1%2026-Q1
GUGGENHEIM CAPITAL LLC new39,697$1M0.1%2026-Q1
ALPS ADVISORS INC added38,186$1M0.1%2026-Q1
ALGERT GLOBAL LLC trimmed36,296$1M0.1%2026-Q1
Schonfeld Strategic Advisors LLC trimmed35,650$1M0.1%2026-Q1
Legal & General Group Plc added33,522$1M0.1%2026-Q1
180 WEALTH ADVISORS, LLC new33,061$1M0.1%2026-Q1
FLORIDA FINANCIAL ADVISORS, LLC new32,057$1M0.1%2026-Q1
Cambridge Investment Research Advisors, Inc. trimmed31,918$1M0.1%2026-Q1
Bleakley Financial Group, LLC new31,737$1M0.1%2026-Q1
VANGUARD ASSET MANAGEMENT, Ltd new31,547$1M0.1%2026-Q1
Foundations Investment Advisors, LLC trimmed31,274$1M0.1%2026-Q1
STATE OF WISCONSIN INVESTMENT BOARD new30,785$1M0.1%2026-Q1
SUSQUEHANNA INTERNATIONAL GROUP, LLP trimmed30,345$1M0.1%2026-Q1
SIMPLEX TRADING, LLC added29,119$1M0.1%2026-Q1
TWO SIGMA INVESTMENTS, LP trimmed28,147$991K0.1%2026-Q1
Vanguard Global Advisers, LLC new27,478$967K0.1%2026-Q1
DARK FOREST CAPITAL MANAGEMENT LP new26,829$944K0.1%2026-Q1
JANUS HENDERSON GROUP PLC new22,100$778K0.1%2026-Q1
Kingsview Wealth Management, LLC added20,610$725K0.1%2026-Q1
Integrated Advisors Network LLC added20,529$723K0.1%2026-Q1
FORMULA GROWTH LTD new20,000$704K0.1%2026-Q1
CIBC WORLD MARKET INC. trimmed19,800$697K0.1%2026-Q1
Regal Partners Ltd trimmed19,298$679K0.1%2026-Q1
PRICE T ROWE ASSOCIATES INC /MD/ trimmed19,113$673K0.1%2026-Q1
LPL Financial LLC added18,768$661K0.1%2026-Q1
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND new18,354$646K0.1%2026-Q1
Diametric Capital, LP trimmed17,881$629K0.1%2026-Q1
Headlands Technologies LLC new17,706$623K0.1%2026-Q1
CITIGROUP INC added17,605$620K0.1%2026-Q1
ROYAL BANK OF CANADA added17,604$619K0.1%2026-Q1
ALLSTATE CORP new17,413$613K0.1%2026-Q1
Waldron Private Wealth LLC trimmed17,293$609K0.1%2026-Q1
NOMURA HOLDINGS INC trimmed17,000$598K0.1%2026-Q1
HRT FINANCIAL LP trimmed16,900$594K0.1%2026-Q1
FORA Capital, LLC added16,705$589K0.1%2026-Q1
VANGUARD GROUP INC added2,430,090$58M5.3%2025-Q4 stale
Ninepoint Partners LP new757,100$18M1.6%2025-Q4 stale
Ghisallo Capital Management LLC trimmed200,000$5M0.4%2025-Q4 stale
ACADIAN ASSET MANAGEMENT LLC added171,611$4M0.4%2025-Q4 stale
Qube Research & Technologies Ltd added146,188$3M0.3%2025-Q4 stale
Alyeska Investment Group, L.P. new1,000,000$3M0.3%2025-Q2 stale
Point72 Asset Management, L.P. new128,519$3M0.3%2025-Q4 stale
Linden Advisors LP753,819$2M0.2%2025-Q1 stale
LM Asset (IM) Inc. trimmed254,000$2M0.1%2025-Q3 stale
Virtu Financial LLC added47,208$1M0.1%2025-Q4 stale
Anson Funds Management LP added345,916$1M0.1%2025-Q2 stale
Global Retirement Partners, LLC added42,075$1M0.1%2025-Q4 stale
TWO SIGMA ADVISERS, LP added134,620$835K0.1%2025-Q3 stale
OMERS ADMINISTRATION Corp added26,800$637K0.1%2025-Q4 stale
Balyasny Asset Management L.P. added24,543$583K0.1%2025-Q4 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.

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