SharonAI Holdings SHAZ Institutional Ownership

NASDAQ SHAZ
$59.41 +2.84 (+5.02%)
At close: Sep 11, 2026 · 4:00 PM EDT

Institutions by Trading Activity

116 Institutions
Increased 108 93.1%
Unchanged 2 1.7%
Reduced 6 5.2%

Ownership Statistics

13F · as of 30 Jun, 2026
Institutional Ownership
672.41%
+643.48 pp QoQ
Shares Held by Institutions
126.11Mn
of 18.76Mn outstanding
+4,040.08% QoQ
Shares Outstanding
18.76Mn
-107.36Mn held outside 13F filers
Institutional Investors
116
filed 13F for Jun 2026
+89 vs prior quarter
Net Shares Added (QoQ)
+123.07Mn
accumulated since last quarter
Value of Holdings
$7.49Bn
reported market value

Shares Owned by Institutions

Shares held % of outstanding
Latest
Average ownership
Peak ownership

Shares Purchased/Sold by Institutions

Accumulated Distributed
Latest quarter
Net over range
Accumulating quarters

Ownership Summary

Quarter ending 30 Jun, 2026

SharonAI Holdings Inc. (NASDAQ:SHAZ) appears in 116 institutional 13F filings for the quarter ending June 2026.

Form 13F Holdings

116 Institutional Holders

Report period 30 Jun, 2026
Total shares held 126.11Mn
Of outstanding 672.41%
Download Data
# Institution CIK Shares Held % of Outstanding Change (QoQ) Change (%) Value (USD)
1 Diameter Capital Partners LP 0001727012 108,500,000 578.51% 108,500,000 0.00% $126.68Mn
2 Situational Awareness LP 0002045724 5,396,127 28.77% 4,600,019 +577.81% $456.84Mn
3 MILLENNIUM MANAGEMENT LLC 0001273087 1,334,105 7.11% 635,459 +90.96% $112.05Mn
4 Two Seas Capital LP 0001823138 1,293,753 6.90% 877,087 +210.50% $109.53Mn
5 CITADEL ADVISORS LLC 0001423053 1,229,398 6.55% 1,149,398 +1,436.75% $100.23Mn
6 LONE PINE CAPITAL LLC 0001061165 1,209,848 6.45% 1,209,848 0.00% $102.43Mn
7 Mercuria Capital Strategies, LLC 0002048079 767,333 4.09% 767,333 0.00% $64.96Mn
8 SONA ASSET MANAGEMENT (US) LLC 0001856405 749,362 4.00% 649,362 +649.36% $63.44Mn
9 Regal Partners Ltd 0001577774 534,963 2.85% 332,548 +164.29% $45.29Mn
10 UBS Group AG 0001610520 494,844 2.64% 494,653 +258,980.62% $41.89Mn
11 Point72 Asset Management, L.P. 0001603466 436,490 2.33% 436,490 0.00% $36.95Mn
12 Anson Funds Management LP 0001491072 363,742 1.94% 363,742 0.00% $22.71Mn
13 OAKTREE CAPITAL MANAGEMENT LP 0000949509 289,456 1.54% 289,456 0.00% $24.51Mn
14 BlackRock, Inc. 0002012383 249,109 1.33% 249,109 0.00% $21.09Mn
15 Neuberger Berman Group LLC 0001465109 224,740 1.20% 224,740 0.00% $19.03Mn
16 Clearline Capital LP 0001600136 202,044 1.08% 202,044 0.00% $17.11Mn
17 SCOGGIN MANAGEMENT LP 0001086416 195,000 1.04% 180,000 +1,200.00% $16.51Mn
18 HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND 0001535845 178,888 0.95% 178,888 0.00% $15.14Mn
19 Alaska Wealth Advisors, LLC 0001731601 128,036 0.68% 82,640 -39.23% $10.84Mn
20 PLUSTICK MANAGEMENT LLC 0001643351 120,000 0.64% 120,000 0.00% $10.16Mn