MondegarAI
Anson Funds Management LP

Q1 2025 · 13F-HR

Anson Funds Management LPholdings as filed

Filed 2025-05-14 · accession 0000950123-25-005213

$703.0M
Reported value
135
Positions
2025-03-31
Period end
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Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
90138F102TWLOTwilio Inc$68.9M9.80%637,683CommonSOLE
78462F103SPYSPDR S&P 500 ETF Trust$34.6M4.93%60,000PUTSOLE
57667L107MTCHMatch Group Inc$33.5M4.76%1,072,879CommonSOLE
63008G203NNDMNano Dimension Ltd$31.3M4.45%19,662,867CommonSOLE
53626M104Lionsgate Studios Corp$26.4M3.76%3,538,500CommonSOLE
464286509EWCiShares MSCI Canada ETF$24.4M3.48%600,000PUTSOLE
88023U101SGISomnigroup International Inc$22.5M3.20%376,130CommonSOLE
338307101FIVNFive9 Inc$21.0M2.98%772,786CommonSOLE
450913108IAGIAMGOLD Corp$20.6M2.93%3,300,000CommonSOLE
18453H106CCOClear Channel Outdoor Holdings Inc$20.1M2.85%18,076,186CommonSOLE
464287655IWMiShares Russell 2000 ETF$19.9M2.84%100,000CALLSOLE
G8068L108SNSharkNinja Inc$19.7M2.81%236,433CommonSOLE
46090E103QQQInvesco QQQ Trust Series 1$18.0M2.56%38,400CALLSOLE
54738L109LOVELOVESAC CO/THE$16.9M2.41%932,261CommonSOLE
464288513HYGiShares iBoxx $ High Yield Corporate Bond ETF$15.8M2.24%200,000PUTSOLE
G27358103DESP1EURDespegar.com Corp$14.7M2.09%780,450CommonSOLE
67066G104NVDANVIDIA CORP$14.6M2.08%135,090CommonSOLE
75734B100RDDTReddit Inc$13.3M1.89%126,674CommonSOLE
233051879ASHRXtrackers Harvest CSI 300 China A-Shares ETF$13.2M1.88%500,000CALLSOLE
500767306KWEBKraneShares CSI China Internet ETF$10.5M1.49%300,000CALLSOLE
91060H108UHGUnited Homes Group Inc$9.3M1.32%2,543,922CommonSOLE
G1827K107CEPOCantor Equity Partners I Inc$9.2M1.31%900,000CommonSOLE
81642T209SLSSELLAS Life Sciences Group Inc$8.2M1.16%7,579,095CommonSOLE
88160R101TSLATESLA, INC.$8.1M1.15%20,000PUTSOLE
65340P106NXENexGen Energy Ltd$7.8M1.12%1,750,000CommonSOLE
866674104SUISun Communities Inc$7.5M1.06%58,910CommonSOLE
891160509TDToronto-Dominion Bank/The$6.8M0.97%125,000CALLSOLE
84833T103SPROSpero Therapeutics Inc$6.7M0.95%7,638,818CommonSOLE
20602D101CNXCConcentrix Corp$5.6M0.79%100,000CALLSOLE
25401T603DBRGDigitalBridge Group Inc$5.4M0.77%610,371CommonSOLE
68828E809ODVOsisko Development Corp$5.3M0.76%3,581,267CommonSOLE
387437205GRTUFGranite Real Estate Investment Trust$4.8M0.69%104,054CommonSOLE
513272104LWLamb Weston Holdings Inc$4.8M0.68%89,759CommonSOLE
G3415K127FERAUFifth Era Acquisition Corp I$4.5M0.64%450,000CommonSOLE
92854T100Vivid Seats Inc$4.5M0.64%1,173,828CommonSOLE
03064D108COLDAmericold Realty Trust Inc$4.4M0.62%202,906CommonSOLE
554489104VREVeris Residential Inc$4.2M0.60%249,150CommonSOLE
775109200RCIRogers Communications Inc/Ontario$4.0M0.57%150,000CALLSOLE
78646V107SAFESafehold Inc$3.9M0.56%210,000CALLSOLE
775109200RCIRogers Communications Inc$3.8M0.54%142,172CommonSOLE
83419D201SLSRSolaris Resources Inc$3.6M0.52%1,153,154CommonSOLE
92340V107016Veren Inc$3.6M0.51%500,000CALLSOLE
14040H105COFCapital One Financial Corp$3.6M0.51%20,000PUTSOLE
G4000K175GRRRGorilla Technology Group Inc$3.6M0.51%121,137CommonSOLE
04010E109AGXARGAN INC$3.6M0.51%27,128CommonSOLE
87971M103TUTELUS Corp$3.5M0.49%250,000CommonSOLE
112463104BKDBrookdale Senior Living Inc$3.4M0.48%538,880CommonSOLE
86633R609DVLTWiSA Technologies Inc$3.4M0.48%3,443,008CommonSOLE
015857105AQNAlgonquin Power & Utilities Corp$3.3M0.47%637,500CommonSOLE
06417N103OZKBank OZK$3.3M0.46%75,000PUTSOLE
88160R101TSLATESLA, INC.$3.1M0.44%11,812CommonSOLE
38071H122GROY/WSGold Royalty Corp$2.8M0.40%1,977,000CommonSOLE
78464A698KRESPDR S&P Regional Banking ETF$2.8M0.40%50,000CALLSOLE
378973507GSATGlobalstar Inc$2.8M0.40%133,331CommonSOLE
229663109CUBECubeSmart$2.7M0.38%62,090CommonSOLE
912909108USX1United States Steel Corp$2.6M0.37%76,400CALLSOLE
03748R747AIVApartment Investment and Management Co$2.6M0.37%293,402CommonSOLE
70509V100PEBPebblebrook Hotel Trust$2.5M0.36%250,000CommonSOLE
49803T300KRGKite Realty Group Trust$2.5M0.35%110,000CommonSOLE
92537N108VRTVertiv Holdings Co$2.4M0.35%28,089CommonSOLE
629444209NRXPNRX Pharmaceuticals Inc$2.4M0.34%1,179,061CommonSOLE
55279B301LITSMEI PHARMA INC$2.4M0.34%1,093,184CommonSOLE
47012E403JAKKJAKKS Pacific Inc$2.3M0.33%95,182CommonSOLE
717081103PFEPfizer Inc$2.3M0.32%90,000CommonSOLE
253868103DLRDigital Realty Trust Inc$1.7M0.24%11,875CommonSOLE
36162J106GEOGEO GROUP INC/THE$1.7M0.24%57,100CommonSOLE
68827L101OREUROsisko Gold Royalties Ltd$1.7M0.24%78,500CommonSOLE
097023204BA 6 10/15/27Boeing Co/The$1.7M0.24%27,625CommonSOLE
02079K107GOOGAlphabet Inc$1.6M0.22%10,000CommonSOLE
78646V107SAFESafehold Inc$1.6M0.22%83,275CommonSOLE
55903Q104MQ8MAG Silver Corp$1.5M0.22%100,000CALLSOLE
90138A103VNETVnet Group Inc$1.4M0.20%300,000CALLSOLE
25058X303DM*Desktop Metal Inc$1.4M0.20%289,157CommonSOLE
012653200ALB 7.25 03/01/27Albemarle Corp$1.3M0.19%37,500CommonSOLE
00768Y453MSOSAdvisorShares Pure US Cannabis ETF$1.3M0.19%500,000CALLSOLE
36165L108GDSGDS Holdings Ltd$1.3M0.18%50,800CommonSOLE
92540K109VTMXCorp Inmobiliaria Vesta SAB de CV$1.3M0.18%54,826CommonSOLE
874039100TSMTaiwan Semiconductor Manufacturing Co Ltd$1.2M0.18%7,500CommonSOLE
21037T109CEGConstellation Energy Corp$1.2M0.17%6,000CommonSOLE
444097109Hudson Pacific Properties Inc$1.2M0.17%400,000CALLSOLE
30303M102METAMeta Platforms Inc$1.2M0.16%2,000CommonSOLE
57630J403GREENWAVE TECHNOLOGY SOLUTIONS INC$1.1M0.16%4,843,160CommonSOLE
90353T100UBERUber Technologies Inc$1.1M0.16%15,000CommonSOLE
38141G104GSGoldman Sachs Group Inc/The$1.1M0.16%2,000CommonSOLE
86771WAD7RUN 4 03/01/30Sunrun Inc$1.1M0.15%1,500,000CommonSOLE
69007J304OUTOutfront Media Inc$1.0M0.15%65,000CommonSOLE
11271J107BNBrookfield Corp$1.0M0.15%20,000CommonSOLE
15135U109CVECenovus Energy Inc$1.0M0.15%75,000CommonSOLE
92859E207VVOSVivos Therapeutics Inc$1.0M0.15%242,583CommonSOLE
834212102Solidion Technology Inc$1.0M0.15%2,978,008CommonSOLE
456941103INRInfinity Natural Resources Inc$1.0M0.14%53,455CommonSOLE
82509L107SHOPSHOPIFY INC.$954,8000.14%10,000CommonSOLE
64110Y108NLOPNET Lease Office Properties$903,4300.13%28,790CommonSOLE
53229C107LSPDLightspeed Commerce Inc$876,4860.12%100,000CommonSOLE
084670702BRK/BBerkshire Hathaway Inc$857,9860.12%1,611CommonSOLE
G4701H109IHSIHS Holding Ltd$847,2790.12%162,314CommonSOLE
808513105SCHWCharles Schwab Corp/The$782,8000.11%10,000CommonSOLE
570535104MKLMarkel Group Inc$774,0190.11%414CommonSOLE
443628102HBMHudBay Minerals Inc$759,0000.11%100,000CommonSOLE
444097109Hudson Pacific Properties Inc$737,5000.10%250,000CommonSOLE
023135106AMZNAMAZON.COM, INC.$730,4080.10%3,839CommonSOLE
G6077Y301MicroAlgo Inc$727,5000.10%30,000CommonSOLE
22160K105COSTCostco Wholesale Corp$726,3590.10%768CommonSOLE
89357L402TransCode Therapeutics Inc$723,7450.10%1,462,112CommonSOLE
172967424CCitigroup Inc$709,9000.10%10,000CommonSOLE
21874A106CORZCore Scientific Inc$688,5240.10%95,100CommonSOLE
G3302D111FGIWWFGI Industries Ltd$571,6000.08%740,991CommonSOLE
848574109S9QSpirit AeroSystems Holdings Inc$554,1750.08%16,261CommonSOLE
04271TAB6ARRY 1 12/01/28Array Technologies Inc$550,2150.08%750,000CommonSOLE
489398107KWKennedy-Wilson Holdings Inc$476,6360.07%54,912CommonSOLE
46655E100DCDakota Gold Corp$463,7500.07%175,000CommonSOLE
85237B101TRONSRM Entertainment Inc$429,6710.06%683,102CommonSOLE
G60409110MTALEURMAC Copper Ltd$357,7500.05%37,500CommonSOLE
98423K405XTIAXTI Aerospace Inc$357,5850.05%328,060CommonSOLE
03815U508APPLIED DNA SCIENCES INC$348,6900.05%210,054CommonSOLE
86337R202Stronghold Digital Mining Inc$325,0660.05%92,876CommonSOLE
G2287A126Color Star Technology Co Ltd$286,9490.04%404,667CommonSOLE
90137F40022ND CENTURY GROUP INC$253,5750.04%176,094CommonSOLE
29430C102VSTSVestis Corp$228,6000.03%15,000CommonSOLE
89854H102TTECTTEC Holdings Inc$221,9150.03%44,472CommonSOLE
68277K124ONFOWOnfolio Holdings Inc$190,0000.03%200,000CommonSOLE
58471K111MDCXWMedicus Pharma Ltd$157,7280.02%42,400CommonSOLE
G9442G120Universe Pharmaceuticals Inc$140,5480.02%230,407CommonSOLE
12021E117BFRGWBullfrog AI Holdings Inc$133,2380.02%80,750CommonSOLE
G8403L102SVUHFSrivaru Holding Ltd$130,2870.02%3,094,698CommonSOLE
M8186D114RVSNWRail Vision Ltd$97,6840.01%226,120CommonSOLE
G9889X115ZAPWFZapp Electric Vehicles Group Ltd$75,3380.01%75,000CommonSOLE
62818Q302MBIOMustang Bio Inc$57,1450.01%45,716CommonSOLE
82003F200Sharps Technology Inc$53,8200.01%1,800,000CommonSOLE
426897401HEPAHepion Pharmaceuticals Inc$45,4340.01%105,685CommonSOLE
98400V119XBPEWXBP Europe Holdings Inc$30,7150.00%25,074CommonSOLE
98419E108XNETXUNLEI LTD.$29,2770.00%14,712CommonSOLE
M6000J127HUBCWHub Cyber Security Ltd$29,0240.00%10,113CommonSOLE
68218J111OABIWOmniAb Inc$28,3990.00%11,833CommonSOLE
595017302MCHP 7.5 03/15/28MICROCHIP TECHNOLOGY INC$10,0660.00%20,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.