SPROTT INC. (SII)

Sentiment-Signal

11,9
Stark Bearisch
Composite Score (0–100)
Insider (25%)
0
Keine Insider-Käufe
Institutionell (22,5%)
0.7
Keine neuen Positionen
Aktivist (12,5%)
0
Kein 13D/13G
Risikofreier Zins (T-Bills): 3,70% (Stand: 31.03.2026)

Score-Verlauf (90 Tage)

Stammdaten

Sprott Inc. is a publicly owned asset management holding company. Through its subsidiaries, the firm provides asset management, portfolio management, wealth management, fund management, and administrative and consulting services to its clients. It offers mutual funds, hedge funds, and offshore funds, along with managed accounts. Further, the firm also provides broker-dealer activities. Sprott Inc. was formed on February 13, 2008 and is based in Toronto, Canada.

Unternehmen & Branche

NameSPROTT INC.
TickerSII
CIK0001512920
BoerseUS
SektorFinancial Services
IndustrieAsset Management
SIC6199 · Finance Services

Wertpapier & Kennzahlen

CUSIP00162Q494
ISINUS00162Q4947
TypCommon Stock
Marktkapitalisierung3,27 Mrd. USD
Beta1,37
Dividendenrendite0,01 %

Externe Quellen: SEC EDGAR » · FMP-Profil » · Yahoo Finance »

Fondsaktivität (Vorquartalsvergleich)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
Optiver Holding B.V.105,859,8000105,859,80018,535,261,631Neu+100,0%
IMC-Chicago, LLC48,476,200048,476,2008,414,496,780Neu+100,0%
JPMORGAN CHASE & CO58,449,600058,449,6007,019,425,157Neu+100,0%
SIMPLEX TRADING, LLC23,336,800023,336,8001,805,421,869Neu+100,0%
AKUNA SECURITIES LLC4,837,30004,837,3001,190,749,768Neu+100,0%
Bracebridge Capital, LLC35,680035,680878,298,880Neu+100,0%
Irenic Capital Management LP2,940,90002,940,900723,931,944Neu+100,0%
GROUP ONE TRADING LLC12,410,200012,410,200697,633,317Neu+100,0%
HIGHBRIDGE CAPITAL MANAGEMENT LLC1,500,00001,500,000369,240,000Neu+100,0%
Maven Securities LTD3,732,80003,732,800278,086,438Neu+100,0%
Allianz Asset Management GmbH18,650018,650102,034,150Neu+100,0%
Assenagon Asset Management S.A.1,020,00001,020,00095,064,000Neu+100,0%
NATIONAL BANK OF CANADA /FI/21,024021,02492,415,157Neu+100,0%
RIPOSTE CAPITAL LLC300,0000300,00073,848,000Neu+100,0%
SABBY MANAGEMENT, LLC1,21401,21429,883,824Neu+100,0%
Gladius Capital Management LP109,8000109,80017,358,921Neu+100,0%
CenterStar Asset Management, LLC125,5000125,50012,851,304Neu+100,0%
Marathon Trading Investment Management LLC111,6000111,60010,201,231Neu+100,0%
SPROTT INC.124,5000124,5006,636,473Neu+100,0%
Ancora Advisors LLC2,40002,4003,895,200Neu+100,0%
Warberg Asset Management LLC42,000042,0002,982,340Neu+100,0%
SUMMIT SECURITIES GROUP LLC53,300053,3002,961,495Neu+100,0%
PING CAPITAL MANAGEMENT, INC.7,50007,5001,846,200Neu+100,0%
Swan Global Investments, LLC17,000017,0001,843,000Neu+100,0%
Absolute Gestao de Investimentos Ltda.89,984089,9841,297,555Neu+100,0%
Rosalind Advisors, Inc.200,0000200,0001,112,000Neu+100,0%
CMT Capital Markets Trading GmbH2,642,90002,642,900231,575Neu+100,0%
HRT FINANCIAL LP1,623,40001,623,400125,637Neu+100,0%
Capital Markets Trading UK LLP1,144,70001,144,700109,209Neu+100,0%
SG Americas Securities, LLC15,007,600015,007,60071,486Neu+100,0%
Northwest & Ethical Investments L.P.49,400049,40056,810Neu+100,0%
OSAIC HOLDINGS, INC.8084,440Neu+100,0%
Dunhill Financial, LLC60632Neu+100,0%

Insider-Transaktionen (12 Monate)

Keine Insider-Käufe/Verkäufe in den letzten 12 Monaten.

Top-Fondshalter

Hinweis: Keine aktuelleren Daten zu dieser Aktie verfuegbar. Stand der gezeigten 13F-Holdings: 31.12.2025. Letztes global veroeffentlichtes 13F-Quartal: 31.03.2026.

FondsAnteileWert (USD)Anteil (%)
Optiver Holding B.V.105,859,80018,535,261,63145.91
IMC-Chicago, LLC48,476,2008,414,496,78020.84
JPMORGAN CHASE & CO58,449,6007,019,425,15717.39
SIMPLEX TRADING, LLC23,336,8001,805,421,8694.47
AKUNA SECURITIES LLC4,837,3001,190,749,7682.95
Bracebridge Capital, LLC35,680878,298,8802.18
Irenic Capital Management LP2,940,900723,931,9441.79
GROUP ONE TRADING LLC12,410,200697,633,3171.73
HIGHBRIDGE CAPITAL MANAGEMENT LLC1,500,000369,240,0000.91
Maven Securities LTD3,732,800278,086,4380.69
Allianz Asset Management GmbH18,650102,034,1500.25
Assenagon Asset Management S.A.1,020,00095,064,0000.24
NATIONAL BANK OF CANADA /FI/21,02492,415,1570.23
RIPOSTE CAPITAL LLC300,00073,848,0000.18
SABBY MANAGEMENT, LLC1,21429,883,8240.07
Gladius Capital Management LP109,80017,358,9210.04
CenterStar Asset Management, LLC125,50012,851,3040.03
Marathon Trading Investment Management LLC111,60010,201,2310.03
SPROTT INC.124,5006,636,4730.02
Ancora Advisors LLC2,4003,895,2000.01

Hinweis

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