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Alpine Global Management, LLC
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Back to Alpine Global Management, LLC
AG
Alpine Global Management, LLC
All holdings · as of Dec 31, 2025
295 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
ARTIUS II ACQUISITION INC
—
$105.6K
330,002
0.0%
Porch Group, Inc.
—
$106.2K
11,636
0.0%
ProPetro Holding Corp.
—
$117.7K
12,379
0.0%
FIFTH ERA ACQUISITION CORP I
—
$123.1K
307,900
0.0%
GIGCAPITAL8 CORP
—
$124.0K
400,000
0.0%
CANTOR EQUITY PARTNERS III, INC.
—
$127.5K
12,500
0.0%
XAI OCTAGN FLT RAT AND ALT INM
—
$128.5K
26,775
0.0%
BLACKROCK FLOATING RATE INCO
—
$130.7K
11,091
0.0%
LiveOne, Inc.
LVO
Common Stock
$141.6K
30,000
0.0%
AMPLIFY ETF TR
—
$144.4K
12,542
0.0%
UWM HOLDINGS CORP
—
$155.5K
35,491
0.0%
Canaan Inc.
CAN
ADR
$162.5K
235,445
0.0%
BEYOND MEAT, INC.
—
$164.0K
199,997
0.0%
DoubleLine Income Solutions Fund
DSL
Closed-End Fund
$167.2K
14,840
0.0%
MARA Holdings, Inc.
—
$168.5K
18,768
0.0%
ZIPRECRUITER, INC.
—
$168.7K
43,268
0.0%
Tilray Brands, Inc.
TLRY
Common Stock
$169.3K
18,749
0.0%
B&G FOODS, INC.
—
$169.4K
39,385
0.0%
LexinFintech Holdings Ltd.
LX
ADR
$170.6K
52,173
0.0%
Lucid Group, Inc.
LCID
Common Stock
$170.8K
16,160
0.0%
Bakkt, Inc.
BKKT
Common Stock
$171.4K
17,076
0.0%
CLARIVATE PLC
—
$171.8K
51,428
0.0%
Camping World Holdings, Inc.
—
$172.0K
17,681
0.0%
DREAM FINDERS HOMES, INC.
—
$172.3K
10,077
0.0%
Ardent Health, Inc.
ARDT
Common Stock
$172.4K
19,521
0.0%
Evolus, Inc.
—
$173.5K
26,085
0.0%
Acadia Healthcare Company, Inc.
—
$173.9K
12,252
0.0%
NCR Voyix Corp
—
$174.2K
17,076
0.0%
Li Auto Inc.
LI
ADR
$174.7K
10,320
0.0%
Evolent Health, Inc.
—
$174.8K
43,688
0.0%
Petco Health & Wellness Company, Inc.
WOOF
Common Stock
$174.8K
62,190
0.0%
3D SYSTEMS CORP
DDD
Common Stock
$175.1K
98,900
0.0%
Surgery Partners, Inc.
—
$175.2K
11,341
0.0%
Arbor Realty Trust Inc
—
$175.3K
22,584
0.0%
Chemours Co
—
$175.5K
14,888
0.0%
Edgewell Personal Care Company
—
$175.5K
10,296
0.0%
PENN Entertainment, Inc.
—
$175.8K
11,920
0.0%
WHEELS UP EXPERIENCE INC
—
$175.9K
268,016
0.0%
Sabre Corp
—
$176.1K
129,496
0.0%
AMN Healthcare Services Inc
—
$176.2K
11,180
0.0%
Sunstone Hotel Investors, Inc.
—
$176.4K
19,736
0.0%
Douglas Emmett Inc
—
$176.6K
16,069
0.0%
Compass Diversified Holdings
—
$176.7K
36,809
0.0%
Grocery Outlet Holding Corp.
—
$177.0K
17,525
0.0%
AVANOS MEDICAL, INC.
—
$177.1K
15,773
0.0%
Payoneer Global Inc.
—
$177.1K
31,521
0.0%
GoodRx Holdings, Inc.
—
$177.4K
65,453
0.0%
Embecta Corp.
—
$178.0K
14,985
0.0%
AMC Entertainment Holdings, Inc.
—
$178.2K
114,215
0.0%
Mach Natural Resources LP
—
$178.2K
16,141
0.0%
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