Gesher Acquisition Corp. II (GSHR)

Empfehlung

12,6
Stark Verkaufen
Composite Score (0–100)
Insider (25%)
0
Keine Insider-Käufe
Institutionell (22,5%)
55.9
7 neu, 4 erhöht, 1,2M $ netto
Aktivist (12,5%)
0
Kein 13D/13G
Risikofreier Zins (T-Bills): 3,72% (Stand: 28.02.2026)

Score-Verlauf (90 Tage)

Stammdaten

Unternehmen

NameGesher Acquisition Corp. II
TickerGSHR
CIK0002044635

Branche

SIC-Code6770
BeschreibungBlank Checks

Wertpapier

CUSIPG3852D107
ISINUSG3852D1075
TypCommon Stock
TitelGesher Acquisition II Corp

Status

Zuletzt geprüft2026-03-20 13:38:48.216334

Fondsaktivität (letzte 3 Quartale)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
TENOR CAPITAL MANAGEMENT Co., L.P.1,800,0001,800,000012,590,640Unverändert0,0%
Fort Baker Capital Management LP1,541,5701,541,570011,391,868Unverändert0,0%
Magnetar Financial LLC1,350,0001,350,00009,400,500Unverändert0,0%
Verition Fund Management LLC1,086,7921,114,398-27,6066,931,797Reduziert-2,5%
LMR Partners LLP500,000500,00005,185,000Unverändert0,0%
Alberta Investment Management Corp750,0000750,0005,158,725Neu+100,0%
First Trust Capital Management L.P.482,440482,44004,953,308Unverändert0,0%
Hudson Bay Capital Management LP637,500637,50004,447,625Unverändert0,0%
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS584,7000584,7004,182,527Neu+100,0%
DRIEHAUS CAPITAL MANAGEMENT LLC517,973517,97303,326,054Unverändert0,0%
WHITEBOX ADVISORS LLC450,000450,00003,147,660Unverändert0,0%
GOLDMAN SACHS GROUP INC257,063257,046172,639,317Aufgestockt0,0%
MOORE CAPITAL MANAGEMENT, LP375,000375,00002,623,050Unverändert0,0%
Schonfeld Strategic Advisors LLC369,114507,000-137,8862,606,903Reduziert-27,2%
Westchester Capital Management, LLC359,9990359,9992,499,600Neu+100,0%
PICTON MAHONEY ASSET MANAGEMENT337,500337,50002,356,245Unverändert0,0%
WOLVERINE ASSET MANAGEMENT LLC220,633285,442-64,8092,083,635Reduziert-22,7%
Clear Street Group Inc.321,013321,01301,789,812Unverändert0,0%
Wealthspring Capital LLC275,551310,591-35,0401,633,648Reduziert-11,3%
ARISTEIA CAPITAL, L.L.C.224,999224,99901,570,830Unverändert0,0%
HGC Investment Management Inc.150,000150,00001,555,500Unverändert0,0%
JPMORGAN CHASE & CO100,000100,00001,166,000Unverändert0,0%
DLD Asset Management, LP110,023168,300-58,2771,129,628Reduziert-34,6%
METEORA CAPITAL, LLC131,28239,42491,858468,243Aufgestockt+233,0%
AQR Arbitrage LLC371,476371,4760167,164Unverändert0,0%
CSS LLC/IL226,262226,2620101,818Unverändert0,0%
BNP PARIBAS FINANCIAL MARKETS128,523128,523044,983Unverändert0,0%
UBS Group AG1,1971,200-312,389Reduziert-0,3%
Mint Tower Capital Management B.V.375,000375,00003,850Unverändert0,0%
GLAZER CAPITAL, LLC249,254249,955-7012,311Reduziert-0,3%
MORGAN STANLEY652540667Aufgestockt+160,0%
Virtu Financial LLC15,24280,612-65,370156Reduziert-81,1%

Insider-Transaktionen (12 Monate)

Keine Insider-Käufe/Verkäufe in den letzten 12 Monaten.

Fail-to-Deliver (6 Monate)

DatumFTD-MengeKursWert (USD)
2026-02-2734210,363.543
2026-02-2684210,358.715

Top-Fondshalter (aktuelles Quartal)

FondsAnteileWert (USD)Anteil (%)
TENOR CAPITAL MANAGEMENT Co., L.P.1,800,00012,590,64013.99
Fort Baker Capital Management LP1,541,57011,391,86812.66
Magnetar Financial LLC1,350,0009,400,50010.44
Verition Fund Management LLC1,086,7926,931,7977.70
LMR Partners LLP500,0005,185,0005.76
First Trust Capital Management L.P.482,4404,953,3085.50
Hudson Bay Capital Management LP637,5004,447,6254.94
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS584,7004,182,5274.65
DRIEHAUS CAPITAL MANAGEMENT LLC517,9733,326,0543.70
WHITEBOX ADVISORS LLC450,0003,147,6603.50
GOLDMAN SACHS GROUP INC257,0632,639,3172.93
MOORE CAPITAL MANAGEMENT, LP375,0002,623,0502.91
Schonfeld Strategic Advisors LLC369,1142,606,9032.90
Westchester Capital Management, LLC359,9992,499,6002.78
PICTON MAHONEY ASSET MANAGEMENT337,5002,356,2452.62
WOLVERINE ASSET MANAGEMENT LLC220,6332,083,6352.31
Clear Street Group Inc.321,0131,789,8121.99
Wealthspring Capital LLC275,5511,633,6481.81
ARISTEIA CAPITAL, L.L.C.224,9991,570,8301.75
HGC Investment Management Inc.150,0001,555,5001.73