683 Capital Management LLC's portfolio and holdings - Mar 2026

As per corporate shareholdings filed for Feb-2026, people matching 683 Capital Management LLC publicly holds 191 stocks with a net worth of over US$ 1.2 B.

These are shares held by 683 Capital Management LLC as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

Month Ending
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Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
Mereo Biopharma Group Plc - ADR 683 Capital Management Llc 0.34 15,025,000 9.41% 6.35 5.1 M
IN8bio Inc 683 Capital Management Llc 1.44 724,637 7.36% NEW 1.0 M
Perceptive Capital Solutions Corp - Ordinary Shares - Class A 683 Capital Management Llc 11.20 640,894 5.79% 1.27 7.2 M
InflaRx N.V. 683 Capital Management Llc 1.59 3,315,000 4.89% 1.57 5.3 M
OPY Acquisition Corp I - Ordinary Shares - Class A 683 Capital Management Llc 0.00 231,500 4.38% 0.28 -
KNOT Offshore Partners LP - Unit 683 Capital Management Llc 10.12 1,460,000 4.18% 0.00 14.8 M
Inspired Entertainment Inc 683 Capital Management Llc 7.40 1,061,044 3.92% -0.26 7.9 M
Fractyl Health Inc. 683 Capital Management Llc 0.57 6,047,620 3.81% 0.78 3.4 M
Vigil Neuroscience Inc 683 Capital Management Llc 8.05 1,740,000 3.73% 0.73 14.0 M
MeiraGTx Holdings plc 683 Capital Management Llc 10.12 2,559,082 3.14% -0.12 25.9 M
Alector Inc 683 Capital Management Llc 2.57 3,350,000 3.04% 2.13 8.6 M
Cardlytics Inc 683 Capital Management Llc 1.01 1,400,100 2.54% 0.37 1.4 M
Aldeyra Therapeutics Inc 683 Capital Management Llc 1.80 1,530,000 2.54% 1.18 2.8 M
UWM Holdings Corporation - Ordinary Shares - Class A 683 Capital Management Llc 3.92 7,050,518 2.37% -0.20 27.6 M
AnaptysBio Inc 683 Capital Management Llc 67.51 648,093 2.25% 0.35 43.8 M
Phathom Pharmaceuticals Inc 683 Capital Management Llc 13.19 1,785,000 2.25% -0.06 23.5 M
Gossamer Bio Inc 683 Capital Management Llc 0.45 5,190,800 2.21% 0.03 2.3 M
Wave Life Sciences Ltd. 683 Capital Management Llc 7.49 4,015,000 2.13% -0.07 30.1 M
Mersana Therapeutics Inc 683 Capital Management Llc 29.08 100,000 2.01% 0.68 2.9 M
Shattuck Labs Inc 683 Capital Management Llc 7.53 1,390,000 1.84% -0.58 10.5 M
Sage Therapeutics Inc 683 Capital Management Llc 8.68 1,000,000 1.60% 0.59 8.7 M
Lafayette Acquisition Corp. 683 Capital Management Llc 9.99 250,000 1.59% NEW 2.5 M
Zevra Therapeutics Inc 683 Capital Management Llc 10.67 905,000 1.54% -0.19 9.7 M
Lexeo Therapeutics Inc. 683 Capital Management Llc 6.91 1,120,000 1.53% 0.27 7.7 M
Amylyx Pharmaceuticals Inc 683 Capital Management Llc 18.36 1,650,000 1.49% -0.10 30.3 M
Ventyx Biosciences Inc 683 Capital Management Llc 14.00 1,040,000 1.45% 0.06 14.6 M
Pyxis Oncology Inc 683 Capital Management Llc 1.66 891,910 1.42% 0.58 1.5 M
Abeona Therapeutics Inc 683 Capital Management Llc 5.50 770,000 1.35% -0.07 4.2 M
Hyperliquid Strategies Inc. 683 Capital Management Llc 6.41 1,590,000 1.28% NEW 10.2 M
Modular Medical Inc 683 Capital Management Llc 5.86 1,762,103 1.26% 0.00 10.3 M
Cogent Communications Holdings Inc 683 Capital Management Llc 23.63 600,000 1.20% -0.10 14.2 M
Chenghe Acquisition III Co - Ordinary Shares - Class A 683 Capital Management Llc 10.11 200,000 1.16% NEW 2.0 M
Cartesian Therapeutics Inc 683 Capital Management Llc 7.04 280,000 1.06% 0.17 2.0 M
Invivyd Inc 683 Capital Management Llc 1.74 2,900,000 1.03% -1.21 5.0 M
Barnes & Noble Education Inc 683 Capital Management Llc 11.09 350,000 1.02% 0.00 3.9 M
DoubleDown Interactive Co Ltd - ADR 683 Capital Management Llc 8.72 500,000 1.01% 0.40 4.4 M
Hilton Grand Vacations Inc 683 Capital Management Llc 49.02 745,000 0.92% 0.15 36.5 M
Hudson Technologies, Inc. 683 Capital Management Llc 6.34 335,000 0.79% -0.03 2.1 M
Sarepta Therapeutics Inc 683 Capital Management Llc 21.55 810,000 0.77% -0.17 17.5 M
Pangaea Logistics Solutions Ltd 683 Capital Management Llc 7.90 495,000 0.76% -0.07 3.9 M
Harmony Biosciences Holdings Inc 683 Capital Management Llc 29.99 415,000 0.72% 0.23 12.4 M
NCR Corp. 683 Capital Management Llc 6.86 925,000 0.66% 0.23 6.3 M
Bristow Group Inc. 683 Capital Management Llc 48.49 186,000 0.64% 0.04 9.0 M
uniQure N.V. 683 Capital Management Llc 17.58 384,950 0.62% -1.10 6.8 M
Cresud - ADR 683 Capital Management Llc 11.58 423,552 0.60% -0.08 4.9 M
GXO Logistics Inc 683 Capital Management Llc 58.79 685,000 0.60% -0.08 40.3 M
Protagonist Therapeutics Inc 683 Capital Management Llc 105.98 380,669 0.60% -0.04 40.3 M
Seres Therapeutics Inc 683 Capital Management Llc 8.89 52,314 0.55% NEW 465.1 K
Carvana Co. - Ordinary Shares - Class A 683 Capital Management Llc 387.53 150,000 0.52% 0.42 58.1 M
Lantronix Inc 683 Capital Management Llc 6.19 206,398 0.52% NEW 1.3 M
Xenia Hotels & Resorts Inc 683 Capital Management Llc 16.25 453,000 0.49% -0.21 7.4 M
Rani Therapeutics Holdings Inc - Ordinary Shares Class A 683 Capital Management Llc 0.96 487,168 0.49% NEW 467.7 K
1stdibs.com Inc 683 Capital Management Llc 5.98 175,786 0.48% NEW 1.1 M
Corbus Pharmaceuticals Holdings Inc 683 Capital Management Llc 10.59 85,543 0.48% NEW 905.9 K
Everspin Technologies Inc 683 Capital Management Llc 12.37 109,943 0.47% NEW 1.4 M
Blue Water Acquisition Corp III - Ordinary Shares- Class A 683 Capital Management Llc 10.26 150,000 0.46% 0.00 1.5 M
vTv Therapeutics Inc - Ordinary Shares - Class A 683 Capital Management Llc 38.12 18,268 0.46% NEW 696.4 K
Hyliion Holdings Corporation - Ordinary Shares - Class A 683 Capital Management Llc 1.26 825,000 0.46% 0.00 1.0 M
Linkhome Holdings Inc. 683 Capital Management Llc 1.27 75,000 0.46% NEW 95.3 K
Amplify Energy Corp. 683 Capital Management Llc 5.29 188,679 0.46% NEW 998.1 K
Perma-Pipe International Holdings Inc 683 Capital Management Llc 30.31 36,954 0.46% NEW 1.1 M
SunocoCorp LLC. - Unit 683 Capital Management Llc 60.16 235,000 0.46% NEW 14.1 M
NeoVolta Inc 683 Capital Management Llc 3.09 193,798 0.46% NEW 598.8 K
Exagen Inc 683 Capital Management Llc 3.08 107,571 0.45% NEW 331.3 K
Prenetics Global Limited - Ordinary Shares - Class A 683 Capital Management Llc 17.83 75,000 0.45% NEW 1.3 M
Third Harmonic Bio Inc 683 Capital Management Llc 5.38 200,000 0.44% NEW 1.1 M
Fossil Group Inc 683 Capital Management Llc 5.60 258,065 0.44% NEW 1.4 M
Black Diamond Therapeutics Inc 683 Capital Management Llc 3.06 247,958 0.43% NEW 758.8 K
Quince Therapeutics Inc 683 Capital Management Llc 1.37 238,177 0.43% NEW 326.3 K
Climb Bio Inc. 683 Capital Management Llc 9.16 201,652 0.42% NEW 1.8 M
C4 Therapeutics Inc 683 Capital Management Llc 2.92 400,000 0.41% NEW 1.2 M
Achieve Life Sciences Inc. 683 Capital Management Llc 5.10 214,897 0.40% NEW 1.1 M
Janover Inc 683 Capital Management Llc 4.78 117,990 0.40% NEW 564.0 K
Scilex Holding Company 683 Capital Management Llc 6.90 27,312 0.39% NEW 188.5 K
Sagimet Biosciences Inc - Ordinary Shares - Class A 683 Capital Management Llc 6.47 126,349 0.39% NEW 817.5 K
Granite Point Mortgage Trust Inc 683 Capital Management Llc 1.60 183,150 0.39% NEW 293.0 K
Virgin Galactic Holdings Inc - Ordinary Shares - Class A 683 Capital Management Llc 2.93 280,160 0.38% NEW 820.9 K
Microbot Medical Inc 683 Capital Management Llc 2.34 256,033 0.38% NEW 599.1 K
Intellicheck Inc 683 Capital Management Llc 8.49 76,895 0.38% NEW 652.8 K
ALT5 Sigma Corp. 683 Capital Management Llc 0.98 480,308 0.38% NEW 470.7 K
Precision Biosciences Inc 683 Capital Management Llc 7.88 97,085 0.38% NEW 765.0 K
CareCloud Inc 683 Capital Management Llc 3.07 159,761 0.38% NEW 490.5 K
Orion Office REIT Inc 683 Capital Management Llc 2.51 208,134 0.37% NEW 522.4 K
Ellington Residential Mortgage REIT 683 Capital Management Llc 4.72 108,503 0.37% NEW 512.1 K
Surrozen Inc 683 Capital Management Llc 31.56 41,999 0.37% NEW 1.3 M
One Stop Systems Inc 683 Capital Management Llc 9.92 90,253 0.36% NEW 895.3 K
Stoneridge Inc. 683 Capital Management Llc 6.91 101,765 0.36% NEW 703.2 K
Duos Technologies Group Inc 683 Capital Management Llc 8.59 106,481 0.36% NEW 914.7 K
Inovio Pharmaceuticals Inc 683 Capital Management Llc 1.19 248,790 0.36% NEW 296.1 K
Childrens Place Inc 683 Capital Management Llc 3.51 79,210 0.36% NEW 278.0 K
Aemetis Inc 683 Capital Management Llc 2.27 235,557 0.35% NEW 534.7 K
Kalaris Therapeutics Inc. 683 Capital Management Llc 6.32 80,590 0.35% NEW 509.3 K
Cabaletta Bio Inc 683 Capital Management Llc 3.44 388,562 0.35% NEW 1.3 M
Orchestra BioMed Holdings Inc 683 Capital Management Llc 4.58 204,076 0.35% NEW 934.7 K
Origin Investment Corp I 683 Capital Management Llc 10.20 30,000 0.35% 0.00 306 K
FreightCar America Inc 683 Capital Management Llc 9.17 65,596 0.34% NEW 601.5 K
Rekor Systems Inc 683 Capital Management Llc 0.89 467,011 0.34% NEW 415.6 K
Amentum Holdings Inc. 683 Capital Management Llc 27.58 835,000 0.34% -0.18 23.0 M
Coya Therapeutics Inc 683 Capital Management Llc 4.78 80,128 0.34% NEW 383.0 K
Anixa Biosciences Inc 683 Capital Management Llc 2.91 113,636 0.34% NEW 330.7 K
a.k.a. Brands Holding Corp 683 Capital Management Llc 10.76 36,417 0.34% NEW 391.8 K
Comstock Holding Co. Inc - Ordinary Shares - Class A 683 Capital Management Llc 18.76 34,127 0.33% NEW 640.2 K
LightWave Acquisition Corp. - Ordinary Shares - Class A 683 Capital Management Llc 10.16 100,000 0.33% 0.00 1.0 M
GSI Technology Inc 683 Capital Management Llc 6.48 118,835 0.33% NEW 770.1 K
Stagwell Inc - Ordinary Shares - Class A 683 Capital Management Llc 7.28 830,000 0.33% -0.03 6.0 M
Vacasa Inc - Ordinary Shares - Class A 683 Capital Management Llc 5.39 805,876 0.33% -1.08 4.3 M
BTCS Inc 683 Capital Management Llc 2.00 161,992 0.33% NEW 324.0 K
Taylor Devices Inc. 683 Capital Management Llc 56.43 10,371 0.32% NEW 585.2 K
Seadrill Ltd. 683 Capital Management Llc 46.17 200,000 0.32% 0.00 9.2 M
Elicio Therapeutics Inc. 683 Capital Management Llc 13.55 56,442 0.31% NEW 764.8 K
Geospace Technologies Corp 683 Capital Management Llc 9.66 39,252 0.30% NEW 379.2 K
Agenus Inc 683 Capital Management Llc 4.79 114,336 0.30% NEW 547.7 K
Apyx Medical Corp 683 Capital Management Llc 3.98 124,506 0.30% NEW 495.5 K
Genelux Corp 683 Capital Management Llc 2.79 131,084 0.29% NEW 365.7 K
Forte Biosciences Inc 683 Capital Management Llc 33.92 40,000 0.29% NEW 1.4 M
Navigator Holdings Ltd 683 Capital Management Llc 20.53 186,000 0.29% 0.01 3.8 M
Freightos Ltd 683 Capital Management Llc 2.09 143,269 0.28% NEW 299.4 K
Zura Bio Ltd - Ordinary Shares - Class A 683 Capital Management Llc 5.81 259,165 0.27% NEW 1.5 M
PepGen Inc 683 Capital Management Llc 1.70 186,916 0.27% NEW 317.8 K
Rapid Micro Biosystems Inc - Ordinary Shares - Class A 683 Capital Management Llc 2.28 120,773 0.27% NEW 275.4 K
Surf Air Mobility Inc 683 Capital Management Llc 1.36 202,971 0.26% NEW 276.0 K
Molina Healthcare Inc 683 Capital Management Llc 148.97 135,000 0.26% 0.10 20.1 M
Apellis Pharmaceuticals Inc 683 Capital Management Llc 40.90 330,000 0.26% 0.03 13.5 M
Eqv Ventures Acquisition Corp. II - Ordinary Shares - Class A 683 Capital Management Llc 10.12 150,000 0.26% 0.00 1.5 M
Amicus Therapeutics Inc 683 Capital Management Llc 14.46 800,000 0.25% -0.01 11.6 M
Innovative Solutions And Support Inc 683 Capital Management Llc 21.97 45,000 0.25% NEW 988.7 K
Galectin Therapeutics Inc 683 Capital Management Llc 2.45 162,484 0.25% NEW 398.1 K
Avalo Therapeutics Inc 683 Capital Management Llc 14.43 56,850 0.25% NEW 820.3 K
Owlet Inc - Ordinary Shares - Class A 683 Capital Management Llc 5.81 70,000 0.25% NEW 406.7 K
RideNow Group Inc. - Ordinary Shares - Class B 683 Capital Management Llc 6.46 95,304 0.25% NEW 615.7 K
Contineum Therapeutics Inc. - Ordinary Shares - Class A 683 Capital Management Llc 13.53 91,442 0.24% NEW 1.2 M
Insight Molecular Diagnostics Inc. 683 Capital Management Llc 3.84 77,204 0.24% NEW 296.5 K
Reservoir Media Inc 683 Capital Management Llc 10.00 156,954 0.24% NEW 1.6 M
Immuneering Corp - Ordinary Shares Class A 683 Capital Management Llc 5.56 150,697 0.23% NEW 837.9 K
Lightpath Technologies, Inc. - Ordinary Shares - Class A 683 Capital Management Llc 14.16 133,595 0.23% NEW 1.9 M
Patria Investments Ltd - Ordinary Shares - Class A 683 Capital Management Llc 13.35 365,000 0.23% -0.01 4.9 M
B. Riley Financial Inc 683 Capital Management Llc 7.80 80,000 0.23% NEW 624 K
ZenaTech Inc. 683 Capital Management Llc 2.11 128,126 0.23% NEW 270.3 K
PLBY Group Inc 683 Capital Management Llc 1.81 261,780 0.23% NEW 473.8 K
Fuelcell Energy Inc 683 Capital Management Llc 7.25 120,000 0.23% NEW 870 K
Ultragenyx Pharmaceutical Inc. 683 Capital Management Llc 24.81 222,395 0.23% 0.12 5.5 M
TG Therapeutics Inc 683 Capital Management Llc 35.33 360,000 0.23% 0.02 12.7 M
Twin Disc Incorporated 683 Capital Management Llc 17.64 31,967 0.22% NEW 563.9 K
Oyster Enterprises II Acquisition Corp - Ordinary Shares - Class A 683 Capital Management Llc 10.21 75,000 0.22% 0.00 765.8 K
NeOnc Technologies Holdings Inc. 683 Capital Management Llc 5.34 53,476 0.22% NEW 285.6 K
RXO Inc 683 Capital Management Llc 18.70 357,953 0.22% NEW 6.7 M
Veritone Inc 683 Capital Management Llc 2.15 191,517 0.21% NEW 411.8 K
Alto Neuroscience Inc. 683 Capital Management Llc 27.72 64,782 0.20% NEW 1.8 M
Irsa Inversiones Y Representaciones S.A. - ADR 683 Capital Management Llc 15.98 155,000 0.19% -0.24 2.5 M
Kyverna Therapeutics Inc. 683 Capital Management Llc 9.93 114,900 0.19% NEW 1.1 M
Assembly Biosciences Inc 683 Capital Management Llc 29.24 27,863 0.18% NEW 814.7 K
Graphic Packaging Holding Co 683 Capital Management Llc 9.84 517,678 0.18% NEW 5.1 M
Viking Therapeutics Inc 683 Capital Management Llc 35.20 182,000 0.16% -0.05 6.4 M
MasterBrand Inc 683 Capital Management Llc 9.00 200,000 0.16% 0.00 1.8 M
Iamgold Corp. 683 Capital Management Llc 19.25 900,000 0.15% 0.00 17.3 M
Callon Petroleum Co. 683 Capital Management Llc 35.76 100,000 0.15% -0.03 3.6 M
Apollomics Inc - Warrants (01/04/2028) 683 Capital Management Llc 0.01 130,000 0.15% 0.00 1.3 K
Kaspi.kz JSC - ADR 683 Capital Management Llc 84.91 265,000 0.14% NEW 22.5 M
AXT Inc 683 Capital Management Llc 82.56 75,000 0.13% NEW 6.2 M
Park City Group, Inc. 683 Capital Management Llc 10.01 22,494 0.12% NEW 225.2 K
Enova International Inc. 683 Capital Management Llc 162.81 30,000 0.12% NEW 4.9 M
Caesars Entertainment Inc 683 Capital Management Llc 27.22 244,000 0.12% 0.03 6.6 M
Science Applications International Corp. 683 Capital Management Llc 95.38 49,000 0.11% 0.00 4.7 M
Solstice Advanced Materials Inc. 683 Capital Management Llc 81.20 163,146 0.10% NEW 13.2 M
Globalstar Inc. 683 Capital Management Llc 80.02 117,000 0.09% 0.00 9.4 M
Western Alliance Bancorp 683 Capital Management Llc 79.39 100,000 0.09% 0.00 7.9 M
Howard Hughes Holdings Inc 683 Capital Management Llc 65.94 38,000 0.06% 0.00 2.5 M
Hycroft Mining Holding Corporation - Ordinary Shares - Class A 683 Capital Management Llc 44.17 50,000 0.05% NEW 2.2 M
Capital One Financial Corp. 683 Capital Management Llc 206.47 335,000 0.05% 0.00 69.2 M
Valaris Ltd 683 Capital Management Llc 88.56 35,000 0.05% 0.00 3.1 M
Caci International Inc. - Registered Shares - Class A 683 Capital Management Llc 527.16 10,500 0.05% 0.00 5.5 M
Lennar Corp. - Ordinary Shares - Class B 683 Capital Management Llc 90.15 115,000 0.05% 0.00 10.4 M
Western Digital Corp. 683 Capital Management Llc 372.52 143,300 0.04% -0.06 53.4 M
Hess Corporation 683 Capital Management Llc 148.97 107,295 0.03% 0.00 16.0 M
Builders Firstsource Inc 683 Capital Management Llc 88.50 36,000 0.03% 0.00 3.2 M
Becton, Dickinson And Co. 683 Capital Management Llc 158.54 90,000 0.03% NEW 14.3 M
Lennar Corp. - Ordinary Shares - Class A 683 Capital Management Llc 92.79 65,500 0.03% -0.01 6.1 M
Activision Blizzard Inc 683 Capital Management Llc 94.42 205,000 0.03% 0.00 19.4 M
Gold.com Inc. 683 Capital Management Llc 48.18 400,000 0.02% -0.02 19.3 M
Noble Corp Plc - Ordinary Shares - Class A 683 Capital Management Llc 46.77 32,500 0.02% -0.06 1.5 M
Elevance Health Inc 683 Capital Management Llc 323.05 42,000 0.02% 0.01 13.6 M
Warrior Met Coal Inc 683 Capital Management Llc 86.37 10,000 0.02% -0.09 863.7 K
Sandisk Corp 683 Capital Management Llc 920.99 24,000 0.02% -0.06 22.1 M
Cae Inc. 683 Capital Management Llc 26.88 25,000 0.01% 0.00 672 K
Amrize Ltd. - Registered Shares 683 Capital Management Llc 57.70 35,000 0.01% 0.00 2.0 M
Coinbase Global Inc - Ordinary Shares - Class A 683 Capital Management Llc 206.33 15,700 0.01% 0.00 3.2 M
Unitedhealth Group Inc 683 Capital Management Llc 324.63 45,000 0.00% 0.00 14.6 M
Alnylam Pharmaceuticals Inc 683 Capital Management Llc 309.66 3,782 0.00% NEW 1.2 M
BridgeBio Pharma Inc 683 Capital Management Llc 76.75 2,000 0.00% -0.15 153.5 K
Alphabet Inc - Ordinary Shares - Class A 683 Capital Management Llc 341.68 36,000 0.00% 0.00 12.3 M
Amazon.com Inc. 683 Capital Management Llc 250.56 26,500 0.00% 0.00 6.6 M
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