Cineverse Corp. (CNVS) Institutional Ownership

Institutions by Trading Activity

Ownership Statistics

20,260,000Shares Outstanding
66,893Shares held by institutions
$181,280Value of institutional holdings
14.30%Institutional ownership %
-10.87%Shares Changed QoQ
34No. of institutional investors

Shares Owned by Institutions

Shares Purchased/Sold by Institutions

Ownership Summary

The institutional landscape for Cineverse Corp. (NASDAQ:CNVS) includes 34 filers as of the latest reporting cycle ending December 2025.

34 Institutional Holders

66,893 Total Shares Held
Download Data
Owner Name Date Shares Held Change (QoQ) Change (%) Value (USD)
CORSAIR CAPITAL MANAGEMENT, L.P. 31 Dec, 2025 768,650 -33,786 -4.21% $1,621,852.00
VANGUARD GROUP INC 31 Dec, 2025 645,514 22,217 3.56% $1,362,034.00
RENAISSANCE TECHNOLOGIES LLC 31 Dec, 2025 294,947 -165,771 -35.98% $622,338.00
BlackRock, Inc. 31 Dec, 2025 169,149 6,682 4.11% $356,905.00
GEODE CAPITAL MANAGEMENT, LLC 31 Dec, 2025 168,711 6,952 4.30% $356,033.00
T3 Companies, LLC 31 Dec, 2025 129,500 129,500 0.00% $273,245.00
O'SHAUGHNESSY ASSET MANAGEMENT, LLC 31 Dec, 2025 100,810 -35,195 -25.88% $212,709.00
DIMENSIONAL FUND ADVISORS LP 31 Dec, 2025 78,936 8,155 11.52% $166,318.00
UBS Group AG 31 Dec, 2025 69,690 61,016 703.44% $147,046.00
STATE STREET CORP 31 Dec, 2025 66,792 0 0.00% $140,931.00
ACADIAN ASSET MANAGEMENT LLC 31 Dec, 2025 60,138 -151,850 -71.63% $126.00
RITHOLTZ WEALTH MANAGEMENT 31 Dec, 2025 55,219 -16,743 -23.27% $116,512.00
Byrne Asset Management LLC 31 Dec, 2025 44,200 44,200 0.00% $93,262.00
CITADEL ADVISORS LLC 31 Dec, 2025 41,866 -14,667 -25.94% $88,337.00
NORTHERN TRUST CORP 31 Dec, 2025 35,793 8,384 30.59% $75,523.00
TWO SIGMA INVESTMENTS, LP 31 Dec, 2025 29,245 -131,386 -81.79% $61,707.00
XTX Topco Ltd 31 Dec, 2025 29,126 29,126 0.00% $61,456.00
AMERICAN CENTURY COMPANIES INC 31 Dec, 2025 24,696 -46,493 -65.31% $52,109.00
FOUNDERS FINANCIAL SECURITIES LLC 31 Dec, 2025 20,000 2,000 11.11% $42,200.00
CITIGROUP INC 31 Dec, 2025 16,352 16,352 0.00% $34,503.00