WR
| Investor | Type | Est. change | Change | Δ Own | Date | ||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
|
Fenghe Fund Management PTE. Ltd.
· Exited
Change
−4.2M
Δ Own
−100.0%
Date
Q1 2026
|
Fenghe Fund Management PTE. Ltd. | Exited· Q1 2026 | – | −4.2M | −100.0% | Q1 2026 | |||||
|
FMR LLC
· Reduced
Change
−3.4M
Δ Own
−82.5%
Date
Q1 2026
|
FMR LLC | Reduced· Q1 2026 | – | −3.4M | −82.5% | Q1 2026 | |||||
|
Temasek Holdings (private) Ltd
· Exited
Change
−3.0M
Δ Own
−100.0%
Date
Q1 2026
|
Temasek Holdings (private) Ltd | Exited· Q1 2026 | – | −3.0M | −100.0% | Q1 2026 | |||||
|
Mirae Asset Global Etfs Holdings Ltd.
· Reduced
Change
−2.5M
Date
Q1 2026
|
Mirae Asset Global Etfs Holdings Ltd. | Reduced· Q1 2026 | – | −2.5M | – | Q1 2026 | |||||
|
Carrhae Capital LLP
· Exited
Change
−2.4M
Δ Own
−100.0%
Date
Q1 2026
|
Carrhae Capital LLP | Exited· Q1 2026 | – | −2.4M | −100.0% | Q1 2026 | |||||
|
Styrax Capital, LP
· Exited
Change
−1.4M
Δ Own
−100.0%
Date
Q1 2026
|
Styrax Capital, LP | Exited· Q1 2026 | – | −1.4M | −100.0% | Q1 2026 | |||||
|
Mercer Global Advisors Inc
· Reduced
Change
−948K
Date
Q1 2026
|
Mercer Global Advisors Inc | Reduced· Q1 2026 | – | −948K | – | Q1 2026 | |||||
|
Point72 Asset Management, L.P.
· Reduced
Change
−753K
Δ Own
−28.7%
Date
Q1 2026
|
Point72 Asset Management, L.P. | Reduced· Q1 2026 | – | −753K | −28.7% | Q1 2026 | |||||
|
Susquehanna International Group, LLP
· Reduced
Change
−649K
Date
Q1 2026
|
Susquehanna International Group, LLP | Reduced· Q1 2026 | – | −649K | – | Q1 2026 | |||||
|
Verition Fund Management LLC
· Reduced
Change
−589K
Date
Q1 2026
|
Verition Fund Management LLC | Reduced· Q1 2026 | – | −589K | – | Q1 2026 | |||||
|
Millennium Management LLC
· Exited
Change
−491K
Δ Own
−100.0%
Date
Q1 2026
|
Millennium Management LLC | Exited· Q1 2026 | – | −491K | −100.0% | Q1 2026 | |||||
|
Brighton Jones LLC
· Exited
Change
−445K
Δ Own
−100.0%
Date
Q1 2026
|
Brighton Jones LLC | Exited· Q1 2026 | – | −445K | −100.0% | Q1 2026 | |||||
|
Capital Fund Management S.A.
· Reduced
Change
−308K
Date
Q1 2026
|
Capital Fund Management S.A. | Reduced· Q1 2026 | – | −308K | – | Q1 2026 | |||||
|
Hudson Bay Capital Management LP
· Exited
Change
−292K
Δ Own
−100.0%
Date
Q1 2026
|
Hudson Bay Capital Management LP | Exited· Q1 2026 | – | −292K | −100.0% | Q1 2026 | |||||
|
Jane Street Group, LLC
· Exited
Change
−290K
Δ Own
−100.0%
Date
Q1 2026
|
Jane Street Group, LLC | Exited· Q1 2026 | – | −290K | −100.0% | Q1 2026 | |||||
121 reporting institutions disclosed WRD position changes in the Q1 2026 snapshot.
For each manager, WhoBought compares accepted consecutive 13F share counts. Share change is current shares minus prior shares. Estimated dollar change is that signed share change multiplied by the split-adjusted quarter-mean close. The activity table on this page uses Q1 2026.
An investor crossing 5% of a share class generally files Schedule 13D for activist intent or Schedule 13G for a passive position. The technical form names appear here rather than in the activity rows.
Ownership and institutional activity come from SEC Form 13F filings. Insider activity comes from SEC Form 4, and large-shareholder activity from SEC Schedules 13D and 13G. FMP supplies price data only. Company logos use the local verified Parqet cache with one shared fallback.
Form 13F is a quarterly disclosure and is normally filed after the quarter ends. Every ownership and activity value therefore names its represented period; it is not presented as a live position.
A muted dash marks a missing table value. It means the filing omitted the value, comparable data is unavailable, or no prior position exists for comparison.