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Ownership

Who owns Cantor Equity Partners V, Inc., 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.

RP Investment Advisors LP, RP Select Opportunities Master Fund Ltd., RP Debt Opportunities Fund Ltd. July 29, 2026

RP Investment Advisors LP: 5.4% · 1,385,005 shares — RP Select Opportunities Master Fund Ltd.: 0.4% · 107,315 shares — RP Debt Opportunities Fund Ltd.: 2.7% · 692,500 shares

Cantor EP Holdings V, LLC, Cantor Fitzgerald, L.P., CF Group Management, Inc. November 10, 2025

Cantor EP Holdings V, LLC: 21.4% · 6,790,000 shares — Cantor Fitzgerald, L.P.: 21.4% · 6,790,000 shares — CF Group Management, Inc.: 21.4% · 6,790,000 shares

Super investors holding CEPV

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 Cantor Equity Partners V, Inc. they hold. Together these 108 managers report 454.14% of shares outstanding.

Investor Position value Shares % of their portfolio % of company As of
MMCAP International Inc. SPC $12.4M 1,200,000 1.05% 21.82% June 30, 2026
Meteora Capital, LLC $10.3M 999,000 0.85% 18.16% June 30, 2026

106 more institutional holders behind a free account

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Funds holding CEPV

Funds disclosing this stock in their monthly N-PORT portfolio, with the position's share of the fund's net assets. Together these 9 funds hold 13.24% 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
First Trust Merger Arbitrage Fund $5.27M 0.33% 9.49% March 31, 2026
First Trust Multi-Strategy Fund $807K 0.06% 1.45% March 31, 2026

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