SIM Acquisition Corp. I (SIMA)

Stammdaten

SIM Acquisition Corp. I is a blank check company, which was created for the purpose of effecting a merger, capital stock exchange, asset acquisition, stock purchase, reorganization, or similar business combination with one or more businesses. The company was founded on January 29, 2024 and is headquartered in Miami, FL.

Unternehmen & Branche

NameSIM Acquisition Corp. I
TickerSIMA
CIK0002014982
BoerseUS
SektorFinancial Services
IndustrieShell Companies
SIC6770 · Blank Checks

Wertpapier & Kennzahlen

CUSIPG8431T101
ISINUSG8431T1019
TypCommon Stock
Marktkapitalisierung329,4 Mio. USD
Beta0,03
Dividendenrendite0,00 %

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

Finanzkennzahlen (SEC XBRL)

PeriodeFilingUmsatzNettoergebnisEPSAktivaEigenkapital
2025-12-3110-K8,789,649245,388,730-10,884,165
2025-09-3010-Q2,252,165243,110,438-10,559,342
2025-06-3010-Q2,297,552240,822,286-10,301,331
2025-03-3110-Q2,222,746238,557,327-10,119,796
2024-12-3110-K4,747,104236,327,097-9,878,324
2024-09-3010-Q2,357,270233,872,849-9,614,114
2024-06-3010-Q-12,841-0.01226,195-16,305
2024-03-3110-Q-28,464-0.0161,136-3,464

Fondsaktivität (Vorquartalsvergleich)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
Magnetar Financial LLC2,917,79402,917,79420,809,124Neu+100,0%
PICTON MAHONEY ASSET MANAGEMENT2,500,00002,500,00019,212,780Neu+100,0%
First Trust Capital Management L.P.1,800,00001,800,00019,062,000Neu+100,0%
Karpus Management, Inc.1,735,49701,735,49718,378,913Neu+100,0%
AQR Arbitrage LLC2,274,71402,274,71415,592,507Neu+100,0%
Westchester Capital Management, LLC1,457,81101,457,81113,492,992Neu+100,0%
LMR Partners LLP1,470,00001,470,00010,483,746Neu+100,0%
D. E. Shaw & Co., Inc.987,4970987,49710,457,593Neu+100,0%
Alberta Investment Management Corp1,125,00001,125,0008,023,275Neu+100,0%
WOLVERINE ASSET MANAGEMENT LLC758,6760758,6767,762,388Neu+100,0%
MIZUHO SECURITIES USA LLC648,6100648,6106,835,250Neu+100,0%
Wealthspring Capital LLC985,2890985,2896,655,875Neu+100,0%
GOLDMAN SACHS GROUP INC623,3420623,3426,601,192Neu+100,0%
Hudson Bay Capital Management LP597,0180597,0186,322,421Neu+100,0%
BERKLEY W R CORP521,5180521,5185,522,876Neu+100,0%
WHITEBOX ADVISORS LLC750,0000750,0005,348,850Neu+100,0%
TWO SIGMA INVESTMENTS, LP500,0000500,0005,295,000Neu+100,0%
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS400,0000400,0004,236,000Neu+100,0%
TORONTO DOMINION BANK992,9990992,9993,986,872Neu+100,0%
Context Capital Management, LLC455,0000455,0002,899,149Neu+100,0%
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND625,0000625,0002,728,275Neu+100,0%
Shaolin Capital Management LLC447,9520447,9522,305,781Neu+100,0%
Verition Fund Management LLC348,1580348,1582,057,724Neu+100,0%
BOOTHBAY FUND MANAGEMENT, LLC186,1210186,1211,971,021Neu+100,0%
Quarry LP100,0000100,0001,059,000Neu+100,0%
Schonfeld Strategic Advisors LLC103,7660103,766683,897Neu+100,0%
UBS Group AG41,576041,576439,427Neu+100,0%
HGC Investment Management Inc.25,000025,000264,750Neu+100,0%
PenderFund Capital Management Ltd.30,078030,078218,121Neu+100,0%
METEORA CAPITAL, LLC499,8820499,882107,675Neu+100,0%
K2 PRINCIPAL FUND, L.P.395,0720395,07286,916Neu+100,0%
HIGHBRIDGE CAPITAL MANAGEMENT LLC387,6280387,62883,495Neu+100,0%
LONGFELLOW INVESTMENT MANAGEMENT CO LLC11,349011,34980,939Neu+100,0%
BNP PARIBAS FINANCIAL MARKETS299,5400299,54064,521Neu+100,0%
Clear Street Group Inc.126,3410126,34142,809Neu+100,0%
Saba Capital Management, L.P.111,2170111,21723,956Neu+100,0%
CSS LLC/IL104,6530104,65322,542Neu+100,0%
BARCLAYS PLC65406546,932Neu+100,0%
GLAZER CAPITAL, LLC225,1050225,1052,384Neu+100,0%
MORGAN STANLEY990991,048Neu+100,0%
Kepos Capital LP30,000030,000318Neu+100,0%

Insider-Transaktionen (12 Monate)

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

Fail-to-Deliver (6 Monate)

DatumFTD-MengeKursWert (USD)
2026-02-251910,67203
2026-02-241710,71182

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 (%)
Magnetar Financial LLC2,917,79420,809,1249.95
PICTON MAHONEY ASSET MANAGEMENT2,500,00019,212,7809.18
First Trust Capital Management L.P.1,800,00019,062,0009.11
Karpus Management, Inc.1,735,49718,378,9138.78
AQR Arbitrage LLC2,274,71415,592,5077.45
Westchester Capital Management, LLC1,457,81113,492,9926.45
LMR Partners LLP1,470,00010,483,7465.01
D. E. Shaw & Co., Inc.987,49710,457,5935.00
Alberta Investment Management Corp1,125,0008,023,2753.83
WOLVERINE ASSET MANAGEMENT LLC758,6767,762,3883.71
MIZUHO SECURITIES USA LLC648,6106,835,2503.27
Wealthspring Capital LLC985,2896,655,8753.18
GOLDMAN SACHS GROUP INC623,3426,601,1923.15
Hudson Bay Capital Management LP597,0186,322,4213.02
BERKLEY W R CORP521,5185,522,8762.64
WHITEBOX ADVISORS LLC750,0005,348,8502.56
TWO SIGMA INVESTMENTS, LP500,0005,295,0002.53
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS400,0004,236,0002.02
TORONTO DOMINION BANK992,9993,986,8721.91
Context Capital Management, LLC455,0002,899,1491.39

Hinweis

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