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Ownership

Who owns Broad Capital Acquisition Corp, from the filings themselves: stakes over 5% (Schedule 13D/G), the institutional managers reporting the stock each quarter (13F), and the funds holding it (N-PORT).

Stakes over 5%

Investors crossing 5% ownership must disclose it. Schedule 13G filers certify the stake is passive; Schedule 13D is the general form for everyone else — founders, strategic holders, and activists alike. Each entry is the holder's most recent disclosure. Coverage begins with SEC's structured filings from December 18, 2024; a holder appears once they file or amend after that date.

Meteora Capital, LLC, Vik Mittal February 14, 2025

Meteora Capital, LLC: 3.9% · 289,266 shares — Vik Mittal: 3.9% · 289,266 shares

Exited (13G) Lighthouse Investment Partners, LLC, MAP 136 Segregated Portfolio, a segregated portfolio of LMA SPC February 07, 2025

Lighthouse Investment Partners, LLC: 0.0% · 0 shares — MAP 136 Segregated Portfolio, a segregated portfolio of LMA SPC: 0.0% · 0 shares

Super investors holding Broad Capital Acquisition Corp

Every institutional manager whose latest 13F reports this stock, largest position first. "% of their portfolio" is the weight inside that manager's own book — how much conviction the position represents; "% of company" is how much of Broad Capital Acquisition Corp they hold. Together these 11 managers report 52.40% of shares outstanding.

Investor Position value Shares % of their portfolio % of company As of
Yakira Capital Management, Inc. $6.73M 571,850 2.44% 19.12% December 31, 2024
RIVERNORTH CAPITAL MANAGEMENT, LLC $3.74M 317,925 0.18% 10.63% December 31, 2024

9 more institutional holders behind a free account

See every manager reporting Broad Capital Acquisition Corp, how much of the company they hold, and how big the position is inside their own portfolio.

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Funds holding Broad Capital Acquisition Corp

Funds disclosing this stock in their monthly N-PORT portfolio, with the position's share of the fund's net assets. Together these 1 funds hold 0.04% of shares outstanding — counted inside the manager totals above, not on top of them, since a fund's shares also appear in its manager's 13F.

Fund Position value % of net assets % of company As of
Fidelity Nasdaq Composite Index Fund $12.3K 0.00% 0.04% November 30, 2024

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