← Latest Third Point portfolio

Third Point portfolio · 2021-12-31

Form 13F reports holdings as of 2021-12-31 and was filed on 2022-02-14. It is delayed, can omit confidential positions, and is not the manager's current portfolio or fund NAV. Options show reported underlying value—not premium, net exposure, or investment intent.

Disclosed long book

$14.04 billion

Long positions

92

Calls / puts

0 / 0

Top 5 concentration

33.9%

Longs with AI data

3 / 92

Average AI 1Y

+15.7%

13F filing comparison

Quarter-over-quarter changes

2021-09-30 to 2021-12-31

Newly reported

28

No longer reported

49

Increased

16

Reduced

10

Newly reported this quarter

Present now and absent from the immediately preceding comparable filing.

PositionKindSharesValue

ACCENTURE PLC IRELAND

ACCENTURE PLC IRELAND

LONG1,250,000$518.2 million

RIVIAN AUTOMOTIVE INC

RIVIAN AUTOMOTIVE INC

LONG4,046,572$408.3 million

EXPEDIA INC DEL

EXPEDIA INC DEL

LONG1,307,359$236.3 million

ALIGN TECHNOLOGY INC

ALIGN TECHNOLOGY INC

LONG300,000$197.2 million

HERTZ GLOBAL HLDGS INC

HERTZ GLOBAL HLDGS INC

LONG5,995,465$149.8 million

ZENDESK INC

ZENDESK INC

LONG1,304,400$136.0 million

CROWN HOLDINGS INC

CROWN HOLDINGS INC

LONG1,000,000$110.6 million

EQT CORP

EQT CORP

LONG4,975,000$108.5 million

COUPA SOFTWARE INC

COUPA SOFTWARE INC

LONG650,000$102.7 million

COMCAST CORP NEW

COMCAST CORP NEW

LONG2,000,000$100.7 million

PERIMETER SOLUTIONS SA

PERIMETER SOLUTIONS SA

LONG6,450,000$89.6 million

GRAB HOLDINGS LIMITED

GRAB HOLDINGS LIMITED

LONG12,408,903$88.5 million

VENTYX BIOSCIENCES INC

VENTYX BIOSCIENCES INC

LONG4,312,834$83.1 million

OPENDOOR TECHNOLOGIES INC

OPENDOOR TECHNOLOGIES INC

LONG3,775,000$55.2 million

BLUE WHALE ACQUISITION CORP

BLUE WHALE ACQUISITION CORP

LONG2,000,000$19.4 million

RICE ACQUISITION CORP II

RICE ACQUISITION CORP II

LONG1,500,000$15.0 million

APOLLO GLOBAL MGMT INC

APOLLO GLOBAL MGMT INC

LONG200,000$14.5 million

EG ACQUISITION CORP

EG ACQUISITION CORP

LONG1,102,500$10.7 million

JAWS HURRICANE ACQUISITN COR

JAWS HURRICANE ACQUISITN COR

LONG992,739$9.7 million

LOGISTICS INNOVTN TECHNLGS C

LOGISTICS INNOVTN TECHNLGS C

LONG1,000,000$9.7 million

AURORA INNOVATION INC

AURORA INNOVATION INC

LONG1,032,463$6.5 million

AURORA INNOVATION INC

AURORA INNOVATION INC

LONG1,835,000$5.5 million

GRAB HOLDINGS LIMITED

GRAB HOLDINGS LIMITED

LONG300,000$633,000

RICE ACQUISITION CORP II

RICE ACQUISITION CORP II

LONG375,000$562,000

BLUE WHALE ACQUISITION CORP

BLUE WHALE ACQUISITION CORP

LONG500,000$425,000

LOGISTICS INNOVTN TECHNLGS C

LOGISTICS INNOVTN TECHNLGS C

LONG333,332$287,000

JAWS HURRICANE ACQUISITN COR

JAWS HURRICANE ACQUISITN COR

LONG248,184$243,000

EG ACQUISITION CORP

EG ACQUISITION CORP

LONG367,499$228,000

No longer reported this quarter

Present in the prior comparable filing and absent from this one.

PositionKindPrior sharesPrior value

ARCHAEA ENERGY INC

ARCHAEA ENERGY INC · *W EXP 10/26/202

LONG510,000$3.7 million

ACTIVISION BLIZZARD INC

ACTIVISION BLIZZARD INC · COM

LONG2,000,000$154.8 million

ALTIMETER GROWTH CORP

ALTIMETER GROWTH CORP · *W EXP 09/30/202

LONG300,000$678,000

ALTIMETER GROWTH CORP

ALTIMETER GROWTH CORP · CL A

LONG1,600,000$16.4 million

APTIV PLC

APTIV PLC · SHS

LONG1,300,000$193.7 million

ARCHER AVIATION INC

ARCHER AVIATION INC · COM CL A

LONG2,500,000$22.2 million

ARGO BLOCKCHAIN PLC

ARGO BLOCKCHAIN PLC · ADS

LONG100,000$1.6 million

AUSTERLITZ ACQUISITION CORP

AUSTERLITZ ACQUISITION CORP · *W EXP 02/19/202

LONG1,000,000$1.1 million

AUSTERLITZ ACQUISITION CORP

AUSTERLITZ ACQUISITION CORP · COM CL A

LONG4,000,000$39.0 million

BLACK KNIGHT INC

BLACK KNIGHT INC · COM

LONG1,800,000$129.6 million

BLUE WHALE ACQUISITION CORP

BLUE WHALE ACQUISITION CORP · UNIT 07/30/2026

LONG2,000,000$19.9 million

BLUESCAPE OPPORTUNITIES ACQU

BLUESCAPE OPPORTUNITIES ACQU · SHS

LONG1,484,299$14.5 million

DIDI GLOBAL INC

DIDI GLOBAL INC · SPONSORED ADS

LONG13,079,728$99.4 million

EG ACQUISITION CORP

EG ACQUISITION CORP · UNIT 99/99/9999

LONG1,102,500$10.9 million

ENDEAVOR GROUP HLDGS INC

ENDEAVOR GROUP HLDGS INC · CL A COM

LONG12,500,000$358.4 million

META PLATFORMS INC

META PLATFORMS INC · CL A

LONG1,000,000$339.4 million

FIFTH WALL ACQUISITN CORP II

FIFTH WALL ACQUISITN CORP II · CLASS A ORD SHS

LONG1,000,000$9.8 million

FINTECH ACQUISITION CORP V

FINTECH ACQUISITION CORP V · COM CL A

LONG3,000,000$30.4 million

HAMILTON LANE ALLIANCE HLDGS

HAMILTON LANE ALLIANCE HLDGS · UNIT 99/99/9999

LONG500,000$5.0 million

HUMANCO ACQUISITION CORP

HUMANCO ACQUISITION CORP · *W EXP 99/99/999

LONG500,000$530,000

HUMANCO ACQUISITION CORP

HUMANCO ACQUISITION CORP · COM CL A

LONG1,000,000$9.9 million

INOGEN INC

INOGEN INC · COM

LONG73,675$3.2 million

INTEL CORP

INTEL CORP · COM

LONG9,000,000$479.5 million

JACKSON FINANCIAL INC

JACKSON FINANCIAL INC · COM CL A

LONG1,812,124$47.1 million

JAWS HURRICANE ACQUISITN COR

JAWS HURRICANE ACQUISITN COR · UNIT 06/08/2026

LONG992,739$9.9 million

LAUDER ESTEE COS INC

LAUDER ESTEE COS INC · CL A

LONG1,000,000$299.9 million

LOGISTICS INNOVTN TECHNLGS C

LOGISTICS INNOVTN TECHNLGS C · UNIT 06/10/2026

LONG1,000,000$9.9 million

MEDICUS SCIENCES ACQUISITION

MEDICUS SCIENCES ACQUISITION · *W EXP 02/12/202

LONG87,774$62,000

NIGHTDRAGON ACQUISITION CORP

NIGHTDRAGON ACQUISITION CORP · *W EXP 02/26/202

LONG160,000$136,000

NIGHTDRAGON ACQUISITION CORP

NIGHTDRAGON ACQUISITION CORP · CLASS A COM

LONG800,000$7.8 million

OPTION CARE HEALTH INC

OPTION CARE HEALTH INC · COM NEW

LONG200,000$4.9 million

PAYSAFE LIMITED

PAYSAFE LIMITED · *W EXP 03/30/202

LONG1,666,666$3.1 million

PAYSAFE LIMITED

PAYSAFE LIMITED · ORD

LONG39,474,064$305.9 million

REINVENT TECHNOLOGY PARTNERS

REINVENT TECHNOLOGY PARTNERS · *W EXP 03/12/202

LONG1,835,000$2.6 million

REINVENT TECHNOLOGY PARTNERS

REINVENT TECHNOLOGY PARTNERS · CLASS A ORD SHS

LONG7,647,625$51.0 million

RICE ACQUISITION CORP II

RICE ACQUISITION CORP II · UNIT 99/99/9999

LONG1,500,000$15.4 million

ROCKET LAB USA INC

ROCKET LAB USA INC · COM

LONG1,500,000$24.2 million

SUNCOR ENERGY INC NEW

SUNCOR ENERGY INC NEW · COM

LONG7,000,000$145.2 million

SVF INVESTMENT CORP 3

SVF INVESTMENT CORP 3 · CL A SHS

LONG800,000$7.9 million

TE CONNECTIVITY LTD

TE CONNECTIVITY LTD · REG SHS

LONG1,310,000$179.8 million

THE MUSIC ACQUISITION CORP

THE MUSIC ACQUISITION CORP · UNIT 99/99/9999

LONG500,000$5.0 million

TISHMAN SPEYER INNOVATION CO

TISHMAN SPEYER INNOVATION CO · *W EXP 02/11/202

LONG150,000$126,000

TISHMAN SPEYER INNOVATION CO

TISHMAN SPEYER INNOVATION CO · COM CL A

LONG750,000$7.3 million

TLG ACQUISITION ONE CORP

TLG ACQUISITION ONE CORP · COM CL A

LONG1,500,000$14.8 million

VISA INC

VISA INC · COM CL A

LONG1,400,000$311.9 million

VY GLOBAL GROWTH

VY GLOBAL GROWTH · COM CL A

LONG2,000,000$19.6 million

WHEELS UP EXPERIENCE INC

WHEELS UP EXPERIENCE INC · COM CL A

LONG2,500,000$16.5 million

ZIMMER BIOMET HOLDINGS INC

ZIMMER BIOMET HOLDINGS INC · COM

LONG900,000$131.7 million

ZIMMER ENERGY TRANSITION ACQ

ZIMMER ENERGY TRANSITION ACQ · UNIT 06/16/2026

LONG1,000,000$10.0 million

“No longer reported” means the position is absent from this comparable 13F filing. It does not prove the manager sold it: reporting thresholds, confidential treatment, corporate actions, or instrument changes can also explain the omission.

PositionKindSharesValueLong weightQuarter changeAI at filing · 1YAI now

SENTINELONE INC

SENTINELONE INC · CL A · 81730H109

LONG26,712,482$1.35 billion9.6%UNCHANGED

1Y —

5Y —

DANAHER CORPORATION

DANAHER CORPORATION · COM · 235851102

LONG2,900,000$954.1 million6.8%INCREASED

1Y —

5Y —

PG&E CORP

PG&E CORP · COM · 69331C108

LONG77,000,000$934.8 million6.7%REDUCED

1Y —

5Y —

AMAZON COM INC

AMAZON COM INC · COM · 023135106

LONG235,000$783.6 million5.6%INCREASED

1Y —

5Y —

INTU

Intuit Inc.

LONG1,150,000$739.7 million5.3%INCREASED

1Y +15.7%

5Y +94.7% · 24 models

ALPHABET INC

ALPHABET INC · CAP STK CL A · 02079K305

LONG212,000$614.2 million4.4%UNCHANGED

1Y —

5Y —

UPSTART HLDGS INC

UPSTART HLDGS INC · COM · 91680M107

LONG4,000,000$605.2 million4.3%REDUCED

1Y —

5Y —

MSFT

Microsoft Corporation

LONG1,600,000$538.1 million3.8%UNCHANGED

1Y +16.6%

5Y +97.8% · 27 models

ACCENTURE PLC IRELAND

ACCENTURE PLC IRELAND · SHS CLASS A · G1151C101

LONG1,250,000$518.2 million3.7%NEWLY REPORTED

1Y —

5Y —

S&P GLOBAL INC

S&P GLOBAL INC · COM · 78409V104

LONG1,000,000$471.9 million3.4%UNCHANGED

1Y —

5Y —

AVANTOR INC

AVANTOR INC · COM · 05352A100

LONG10,800,000$455.1 million3.2%UNCHANGED

1Y —

5Y —

CSGP

CoStar Group

LONG5,687,819$449.5 million3.2%UNCHANGED

1Y —

5Y —

BURLINGTON STORES INC

BURLINGTON STORES INC · COM · 122017106

LONG1,480,000$431.4 million3.1%REDUCED

1Y —

5Y —

RIVIAN AUTOMOTIVE INC

RIVIAN AUTOMOTIVE INC · COM CL A · 76954A103

LONG4,046,572$408.3 million2.9%NEWLY REPORTED

1Y —

5Y —

UNH

UnitedHealth Group Inc.

LONG790,000$396.7 million2.8%INCREASED

1Y —

5Y —

IQV

IQVIA

LONG1,325,000$373.8 million2.7%INCREASED

1Y —

5Y —

DIS

Walt Disney Co.

LONG2,000,000$309.8 million2.2%REDUCED

1Y +14.7%

5Y +71.8% · 25 models

RH

RH · COM · 74967X103

LONG535,000$286.7 million2.0%INCREASED

1Y —

5Y —

DUPONT DE NEMOURS INC

DUPONT DE NEMOURS INC · COM · 26614N102

LONG3,310,607$267.4 million1.9%INCREASED

1Y —

5Y —

CATALENT INC

CATALENT INC · COM · 148806102

LONG1,925,000$246.5 million1.8%INCREASED

1Y —

5Y —

EXPEDIA INC DEL

EXPEDIA INC DEL · COM NEW · 30212P303

LONG1,307,359$236.3 million1.7%NEWLY REPORTED

1Y —

5Y —

TRANSDIGM GROUP INC

TRANSDIGM GROUP INC · COM · 893641100

LONG326,878$208.0 million1.5%REDUCED

1Y —

5Y —

DELL TECHNOLOGIES INC

DELL TECHNOLOGIES INC · CL C · 24703L202

LONG3,600,000$202.2 million1.4%INCREASED

1Y —

5Y —

ALIGN TECHNOLOGY INC

ALIGN TECHNOLOGY INC · COM · 016255101

LONG300,000$197.2 million1.4%NEWLY REPORTED

1Y —

5Y —

HERTZ GLOBAL HLDGS INC

HERTZ GLOBAL HLDGS INC · COM NEW · 42806J700

LONG5,995,465$149.8 million1.1%NEWLY REPORTED

1Y —

5Y —

LESLIES INC

LESLIES INC · COM · 527064109

LONG5,950,000$140.8 million1.0%REDUCED

1Y —

5Y —

AES CORP

AES CORP · COM · 00130H105

LONG5,750,000$139.7 million1.0%INCREASED

1Y —

5Y —

ZENDESK INC

ZENDESK INC · COM · 98936J101

LONG1,304,400$136.0 million1.0%NEWLY REPORTED

1Y —

5Y —

CROWN HOLDINGS INC

CROWN HOLDINGS INC · COM · 228368106

LONG1,000,000$110.6 million0.8%NEWLY REPORTED

1Y —

5Y —

EQT CORP

EQT CORP · COM · 26884L109

LONG4,975,000$108.5 million0.8%NEWLY REPORTED

1Y —

5Y —

COUPA SOFTWARE INC

COUPA SOFTWARE INC · COM · 22266L106

LONG650,000$102.7 million0.7%NEWLY REPORTED

1Y —

5Y —

COMCAST CORP NEW

COMCAST CORP NEW · CL A · 20030N101

LONG2,000,000$100.7 million0.7%NEWLY REPORTED

1Y —

5Y —

CANO HEALTH INC

CANO HEALTH INC · COM CL A · 13781Y103

LONG11,284,192$100.5 million0.7%INCREASED

1Y —

5Y —

PG&E CORP

PG&E CORP · UNIT 99/99/9999 · 69331C140

LONG800,000$92.5 millionUNCHANGED

1Y —

5Y —

ALIGHT INC

ALIGHT INC · COM CL A · 01626W101

LONG8,372,080$90.5 million0.6%REDUCED

1Y —

5Y —

PERIMETER SOLUTIONS SA

PERIMETER SOLUTIONS SA · COMMON STOCK · L7579L106

LONG6,450,000$89.6 million0.6%NEWLY REPORTED

1Y —

5Y —

GRAB HOLDINGS LIMITED

GRAB HOLDINGS LIMITED · CLASS A ORD · G4124C109

LONG12,408,903$88.5 millionNEWLY REPORTED

1Y —

5Y —

CF INDS HLDGS INC

CF INDS HLDGS INC · COM · 125269100

LONG1,244,477$88.1 million0.6%INCREASED

1Y —

5Y —

VENTYX BIOSCIENCES INC

VENTYX BIOSCIENCES INC · COM · 92332V107

LONG4,312,834$83.1 million0.6%NEWLY REPORTED

1Y —

5Y —

ARCHAEA ENERGY INC

ARCHAEA ENERGY INC · COM CL A · 03940F103

LONG4,454,110$81.4 million0.6%INCREASED

1Y —

5Y —

OPENDOOR TECHNOLOGIES INC

OPENDOOR TECHNOLOGIES INC · COM · 683712103

LONG3,775,000$55.2 million0.4%NEWLY REPORTED

1Y —

5Y —

GLOBAL BLUE GROUP HOLDING AG

GLOBAL BLUE GROUP HOLDING AG · ORD SHS · H33700107

LONG8,580,069$54.9 million0.4%UNCHANGED

1Y —

5Y —

AES CORP

AES CORP · UNIT 99/99/9999 · 00130H204

LONG500,000$48.0 millionUNCHANGED

1Y —

5Y —

SOHO HOUSE & CO INC

SOHO HOUSE & CO INC · COM CL A · 586001109

LONG3,750,000$47.9 million0.3%UNCHANGED

1Y —

5Y —

JAWS MUSTANG ACQUISITION COR

JAWS MUSTANG ACQUISITION COR · SHS CL A · G50737108

LONG4,000,000$39.0 million0.3%UNCHANGED

1Y —

5Y —

GO ACQUISITION CORP

GO ACQUISITION CORP · COM · 362019101

LONG3,000,000$29.5 million0.2%UNCHANGED

1Y —

5Y —

AVANTI ACQUISITION CORP

AVANTI ACQUISITION CORP · SHS CL A · G0682V109

LONG3,000,000$29.5 million0.2%UNCHANGED

1Y —

5Y —

COMPUTE HEALTH ACQUISITIN CO

COMPUTE HEALTH ACQUISITIN CO · COM CL A · 204833107

LONG2,500,000$24.3 million0.2%UNCHANGED

1Y —

5Y —

KHOSLA VENTURES ACQUT CO III

KHOSLA VENTURES ACQUT CO III · COM CL A · 482506102

LONG2,000,000$19.5 million0.1%REDUCED

1Y —

5Y —

BLUE WHALE ACQUISITION CORP

BLUE WHALE ACQUISITION CORP · CLASS A ORD SHS · G1330M103

LONG2,000,000$19.4 million0.1%NEWLY REPORTED

1Y —

5Y —

SEMA4 HOLDINGS CORP

SEMA4 HOLDINGS CORP · COM CL A · 81663L101

LONG4,295,000$19.2 million0.1%INCREASED

1Y —

5Y —

COHN ROBBINS HOLDINGS CORP

COHN ROBBINS HOLDINGS CORP · COM CL A · G23726105

LONG1,900,000$18.7 million0.1%UNCHANGED

1Y —

5Y —

ION ACQUISITION CORP 3 LTD

ION ACQUISITION CORP 3 LTD · SHS CL A · G4940J114

LONG1,800,000$17.6 million0.1%UNCHANGED

1Y —

5Y —

FIRSTMARK HORIZON ACQUISITIO

FIRSTMARK HORIZON ACQUISITIO · CL A COM · 33765Y101

LONG1,750,000$17.3 million0.1%UNCHANGED

1Y —

5Y —

TPG PACE BEN FIN CORP

TPG PACE BEN FIN CORP · CL A COM · G8990D125

LONG1,700,000$16.7 million0.1%INCREASED

1Y —

5Y —

RICE ACQUISITION CORP II

RICE ACQUISITION CORP II · SHS CL A · G75529100

LONG1,500,000$15.0 million0.1%NEWLY REPORTED

1Y —

5Y —

APOLLO GLOBAL MGMT INC

APOLLO GLOBAL MGMT INC · COM CL A · 03768E105

LONG200,000$14.5 million0.1%NEWLY REPORTED

1Y —

5Y —

VECTOR ACQUISITION CORP II

VECTOR ACQUISITION CORP II · CL A SHS · G9460A104

LONG1,420,595$13.9 million0.1%REDUCED

1Y —

5Y —

ALTIMETER GROWTH CORP 2

ALTIMETER GROWTH CORP 2 · COM CL A · G0371B109

LONG1,285,000$12.7 million0.1%UNCHANGED

1Y —

5Y —

LERER HIPPEAU ACQUISITION CO

LERER HIPPEAU ACQUISITION CO · CL A · 526749106

LONG1,250,000$12.3 million0.1%UNCHANGED

1Y —

5Y —

DRAGONEER GROWTH OPT CORP II

DRAGONEER GROWTH OPT CORP II · CL A SHS · G28315102

LONG1,200,000$11.7 million0.1%UNCHANGED

1Y —

5Y —

SPIRIT AIRLS INC

SPIRIT AIRLS INC · NOTE 1.000% 5/1 · 848577AB8

LONG13,000,000$11.2 millionREDUCED

1Y —

5Y —

EG ACQUISITION CORP

EG ACQUISITION CORP · COM CL A · 26846A100

LONG1,102,500$10.7 million0.1%NEWLY REPORTED

1Y —

5Y —

DISRUPTIVE ACQUISITION CORP

DISRUPTIVE ACQUISITION CORP · UNIT 03/06/2026 · G2770Y110

LONG1,000,000$10.3 millionUNCHANGED

1Y —

5Y —

VALOR LATITUDE ACQUISITN COR

VALOR LATITUDE ACQUISITN COR · UNIT 04/02/2026 · G9460N114

LONG1,000,000$9.9 millionUNCHANGED

1Y —

5Y —

SOCIAL LEVERAGE ACQUISN CORP

SOCIAL LEVERAGE ACQUISN CORP · COM CL A · 83363K102

LONG1,000,000$9.8 million0.1%UNCHANGED

1Y —

5Y —

JAWS HURRICANE ACQUISITN COR

JAWS HURRICANE ACQUISITN COR · CLASS A COM · 47201B103

LONG992,739$9.7 million0.1%NEWLY REPORTED

1Y —

5Y —

LOGISTICS INNOVTN TECHNLGS C

LOGISTICS INNOVTN TECHNLGS C · CLASS A COM · 54141L100

LONG1,000,000$9.7 million0.1%NEWLY REPORTED

1Y —

5Y —

MEDICUS SCIENCES ACQUISITION

MEDICUS SCIENCES ACQUISITION · CL A SHS · G5960S108

LONG790,000$7.7 million0.1%UNCHANGED

1Y —

5Y —

ISHARES TR

ISHARES TR · 1 3 YR TREAS BD · 464287457

LONG82,116$7.0 millionINCREASED

1Y —

5Y —

AURORA INNOVATION INC

AURORA INNOVATION INC · CLASS A COM · 051774107

LONG1,032,463$6.5 million0.0%NEWLY REPORTED

1Y —

5Y —

AURORA INNOVATION INC

AURORA INNOVATION INC · *W EXP 11/03/202 · 051774115

LONG1,835,000$5.5 millionNEWLY REPORTED

1Y —

5Y —

FAR PEAK ACQUISITION CORP

FAR PEAK ACQUISITION CORP · *W EXP 12/07/202 · G3312L111

LONG666,666$1.3 millionUNCHANGED

1Y —

5Y —

JOBY AVIATION INC

JOBY AVIATION INC · *W EXP 08/10/202 · G65163118

LONG750,000$1.2 millionUNCHANGED

1Y —

5Y —

JAWS MUSTANG ACQUISITION COR

JAWS MUSTANG ACQUISITION COR · *W EXP 01/30/202 · G50737124

LONG1,000,000$1.0 millionUNCHANGED

1Y —

5Y —

AVANTI ACQUISITION CORP

AVANTI ACQUISITION CORP · *W EXP 99/99/999 · G0682V125

LONG1,500,000$888,000UNCHANGED

1Y —

5Y —

BLUESCAPE OPPORTUNITIES ACQU

BLUESCAPE OPPORTUNITIES ACQU · *W EXP 10/28/202 · G1195N113

LONG1,000,000$842,000UNCHANGED

1Y —

5Y —

GLOBAL BLUE GROUP HOLDING AG

GLOBAL BLUE GROUP HOLDING AG · *W EXP 08/28/202 · H33700115

LONG1,333,333$800,000UNCHANGED

1Y —

5Y —

COHN ROBBINS HOLDINGS CORP

COHN ROBBINS HOLDINGS CORP · *W EXP 08/28/202 · G23726113

LONG833,332$667,000UNCHANGED

1Y —

5Y —

GO ACQUISITION CORP

GO ACQUISITION CORP · *W EXP 08/31/202 · 362019119

LONG1,000,000$660,000UNCHANGED

1Y —

5Y —

GRAB HOLDINGS LIMITED

GRAB HOLDINGS LIMITED · *W EXP 12/01/202 · G4124C117

LONG300,000$633,000NEWLY REPORTED

1Y —

5Y —

RICE ACQUISITION CORP II

RICE ACQUISITION CORP II · *W EXP 99/99/999 · G75529126

LONG375,000$562,000NEWLY REPORTED

1Y —

5Y —

COMPUTE HEALTH ACQUISITIN CO

COMPUTE HEALTH ACQUISITIN CO · *W EXP 01/25/202 · 204833115

LONG625,000$552,000UNCHANGED

1Y —

5Y —

FIRSTMARK HORIZON ACQUISITIO

FIRSTMARK HORIZON ACQUISITIO · *W EXP 09/26/202 · 33765Y119

LONG505,000$505,000UNCHANGED

1Y —

5Y —

BLUE WHALE ACQUISITION CORP

BLUE WHALE ACQUISITION CORP · *W EXP 07/30/202 · G1330M129

LONG500,000$425,000NEWLY REPORTED

1Y —

5Y —

LOGISTICS INNOVTN TECHNLGS C

LOGISTICS INNOVTN TECHNLGS C · *W EXP 06/15/202 · 54141L118

LONG333,332$287,000NEWLY REPORTED

1Y —

5Y —

TMC THE METALS COMPANY INC

TMC THE METALS COMPANY INC · *W EXP 09/09/202 · 87261Y114

LONG1,000,000$270,000UNCHANGED

1Y —

5Y —

TLG ACQUISITION ONE CORP

TLG ACQUISITION ONE CORP · *W EXP 01/25/202 · 87257M116

LONG500,000$260,000UNCHANGED

1Y —

5Y —

JAWS HURRICANE ACQUISITN COR

JAWS HURRICANE ACQUISITN COR · *W EXP 03/26/202 · 47201B111

LONG248,184$243,000NEWLY REPORTED

1Y —

5Y —

EG ACQUISITION CORP

EG ACQUISITION CORP · *W EXP 05/28/202 · 26846A118

LONG367,499$228,000NEWLY REPORTED

1Y —

5Y —

SOCIAL LEVERAGE ACQUISN CORP

SOCIAL LEVERAGE ACQUISN CORP · *W EXP 02/17/202 · 83363K110

LONG250,000$208,000UNCHANGED

1Y —

5Y —

HIPPO HLDGS INC

HIPPO HLDGS INC · *W EXP 99/99/999 · 433539111

LONG240,000$115,000UNCHANGED

1Y —

5Y —

AI outlook values are averages across the latest successful run per covered model at the labeled cutoff. “No longer reported” does not necessarily mean sold; thresholds, confidential treatment, corporate actions, or instrument changes may explain an omission. Reviewed API mapping covers 20.0%of disclosed long-book value; exact editorial CUSIP mappings may add current-only AI coverage on this public page. Research use only. No warranty and not investment advice.