Launch Two Acquisition Corp. (LPBB)

Empfehlung

13,4
Stark Verkaufen
Composite Score (0–100)
Insider (25%)
0
Keine Insider-Käufe
Institutionell (22,5%)
59.4
7 neu, 6 erhöht, 10,0M $ netto
Aktivist (12,5%)
0
Kein 13D/13G
Risikofreier Zins (T-Bills): 3,72% (Stand: 28.02.2026)

Score-Verlauf (90 Tage)

Stammdaten

Unternehmen

NameLaunch Two Acquisition Corp.
TickerLPBB
CIK0002023676

Branche

SIC-Code6770
BeschreibungBlank Checks

Wertpapier

CUSIPG5S87A105
ISINUSG5S87A1058
TypCommon Stock
TitelLaunch Two Acquisition Corp

Status

Zuletzt geprüft2026-03-20 12:51:11.277987

Fondsaktivität (letzte 3 Quartale)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
Magnetar Financial LLC2,970,0002,970,000021,102,345Unverändert0,0%
METEORA CAPITAL, LLC1,993,4421,661,704331,73816,868,743Aufgestockt+20,0%
AQR Arbitrage LLC2,268,2762,626,285-358,00916,091,008Reduziert-13,6%
LMR Partners LLP1,500,0001,500,000010,647,850Unverändert0,0%
Alberta Investment Management Corp1,470,00001,470,00010,392,900Neu+100,0%
Westchester Capital Management, LLC1,074,99901,074,99910,014,437Neu+100,0%
PICTON MAHONEY ASSET MANAGEMENT1,150,0001,150,00008,517,213Unverändert0,0%
GOLDMAN SACHS GROUP INC716,018716,01807,503,869Unverändert0,0%
Polar Asset Management Partners Inc.900,000900,00005,371,280Unverändert0,0%
TENOR CAPITAL MANAGEMENT Co., L.P.614,947614,94705,179,007Unverändert0,0%
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND1,300,0001,300,00004,738,563Unverändert0,0%
Verition Fund Management LLC536,988421,622115,3664,306,058Aufgestockt+27,4%
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS400,000500,000-100,0004,196,000Reduziert-20,0%
CSS LLC/IL1,278,9931,278,99303,747,257Unverändert0,0%
WHITEBOX ADVISORS LLC525,000525,00003,726,748Unverändert0,0%
WOLVERINE ASSET MANAGEMENT LLC344,662365,197-20,5353,618,951Reduziert-5,6%
Hudson Bay Capital Management LP326,261374,366-48,1052,661,919Reduziert-12,8%
MILLENNIUM MANAGEMENT LLC300,000300,00002,129,570Unverändert0,0%
Wealthspring Capital LLC261,341292,136-30,7951,817,879Reduziert-10,5%
MOORE CAPITAL MANAGEMENT, LP150,000150,00001,064,785Unverändert0,0%
Clear Street Group Inc.251,133249,0332,1001,007,509Aufgestockt+0,8%
Harraden Circle Investments, LLC361,752361,7520129,417Unverändert0,0%
BNP PARIBAS FINANCIAL MARKETS358,0090358,009128,078Neu+100,0%
Cannon Global Investment Management, LLC11,000011,000115,390Neu+100,0%
Tuttle Capital Management, LLC10,000010,000104,500Neu+100,0%
K2 PRINCIPAL FUND, L.P.267,954267,954085,745Unverändert0,0%
Mint Tower Capital Management B.V.1,470,0001,470,000010,435Unverändert0,0%
UBS Group AG1,9722,098-1268,801Reduziert-6,0%
GLAZER CAPITAL, LLC721,958695,84126,1177,566Aufgestockt+3,8%
SUSQUEHANNA INTERNATIONAL GROUP, LLP11,578011,5785,175Neu+100,0%
MORGAN STANLEY9984151,038Aufgestockt+17,9%
Kepos Capital LP439,150439,1500664Unverändert0,0%
Virtu Financial LLC41,969041,969437Neu+100,0%
BARCLAYS PLC3903900123Unverändert0,0%

Insider-Transaktionen (12 Monate)

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

Top-Fondshalter (aktuelles Quartal)

FondsAnteileWert (USD)Anteil (%)
Magnetar Financial LLC2,970,00021,102,34515.65
METEORA CAPITAL, LLC1,993,44216,868,74312.51
AQR Arbitrage LLC2,268,27616,091,00811.94
LMR Partners LLP1,500,00010,647,8507.90
Westchester Capital Management, LLC1,074,99910,014,4377.43
PICTON MAHONEY ASSET MANAGEMENT1,150,0008,517,2136.32
GOLDMAN SACHS GROUP INC716,0187,503,8695.57
Polar Asset Management Partners Inc.900,0005,371,2803.98
TENOR CAPITAL MANAGEMENT Co., L.P.614,9475,179,0073.84
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND1,300,0004,738,5633.52
Verition Fund Management LLC536,9884,306,0583.19
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS400,0004,196,0003.11
CSS LLC/IL1,278,9933,747,2572.78
WHITEBOX ADVISORS LLC525,0003,726,7482.76
WOLVERINE ASSET MANAGEMENT LLC344,6623,618,9512.68
Hudson Bay Capital Management LP326,2612,661,9191.97
MILLENNIUM MANAGEMENT LLC300,0002,129,5701.58
Wealthspring Capital LLC261,3411,817,8791.35
MOORE CAPITAL MANAGEMENT, LP150,0001,064,7850.79
Clear Street Group Inc.251,1331,007,5090.75