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AST SpaceMobile, Inc.

ASTSNASDAQ
$58.44-0.01 (-0.02%)as of Oct 5, 2026
Legend
Insider buy
Insider sell
Congress buy
Congress sell
Hedge Funds
bought vs sold
Greener markers show more buyers; redder markers show more sellers.
Company share activityNet buybacksNo changeNet dilution
Marker size reflects transaction size.
  • Insider buy
  • Insider sell
  • Congress buy
  • Congress sell
  • Hedge Funds bought vs sold
Share activityNet buybacksNo changeNet dilution

Marker size reflects transaction size. Greener fund markers mean more buyers.

  • Insider Buy
  • Insider Sell
  • Congress Buy
  • Congress Sell
  • Hedge funds bought vs sold
  • BuybackNo changeNet dilution

AST SpaceMobile, Inc. price and activity chart data

Showing the 1Y range: Oct 6, 2025 to Oct 5, 2026. Price (-19.8%). 0 insider or congressional trades plotted in this window as 0 markers; nearby trades of the same kind are grouped.

Transactions plotted on the price chart
DateCategoryPersonRoleActionAmountChange in holding

Largest institutional holders

13F · Q2 2026
Fund% of company heldValue% of portfolioQuarterly activity
Rakuten Group, Inc.Not reported$1.38B99.68%Reduce 50.00%
BlackRock, Inc.Not reported$1.36B0.02%Not reported
Vanguard Portfolio Management LLCNot reported$1.18B0.05%Not reported
Vanguard Capital Management LLCNot reported$1.11B0.02%Not reported
Alphabet Inc.Not reported$795M0.80%Not reported
Morgan StanleyNot reported$650M0.03%Not reported
UBS Group AGNot reported$587M0.07%Not reported
State Street CorpNot reported$581M0.02%Not reported
Marex Group LtdNot reported$553M2.35%Not reported
Vodafone Ventures LtdNot reported$486M100.00%Not reported
Geode Capital Management, LLCNot reported$453M0.02%Not reported
Goldman Sachs Group IncNot reported$344M0.03%Not reported
Jane Street Group, LLCNot reported$318M0.03%Not reported
Norges BankNot reported$296M0.03%Not reported
Clear Street Group Inc.Not reported$215M0.54%Not reported
Van Eck Associates CorpNot reported$195M0.12%Add 97.91%
Vanguard Fiduciary Trust CoNot reported$151M0.03%Not reported
Charles Schwab Investment Management IncNot reported$146M0.02%Not reported
Northern Trust CorpNot reported$142M0.02%Not reported
Broad Run Investment Management, LLCNot reported$129M19.91%Reduce 0.49%
Jupiter Topco LLCNot reported$119M0.05%Not reported
Focus Partners WealthNot reported$114M0.12%Not reported
Bank of America CorpNot reported$106M0.01%Not reported
BNP Paribas Financial MarketsNot reported$96.8M0.03%Not reported
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLCNot reported$94.6M0.02%Not reported
Tidal Investments LLCNot reported$93.2M0.16%Add 9876.80%
Voya Investment Management LLCNot reported$92.4M0.08%Not reported
Tema ETFs LLCNot reported$89.2M2.88%Add 109486.79%
Nuveen, LLCNot reported$88.1M0.02%Not reported
D. E. Shaw & Co., Inc.Not reported$87M0.04%Not reported
Penserra Capital Management LLCNot reported$86.3M0.66%Not reported
First Trust Advisors LPNot reported$86.2M0.05%Reduce 26.36%
Mirae Asset Global Investments Co., Ltd.Not reported$83.5M0.12%Not reported
Legal & General Group PlcNot reported$78.8M0.02%Not reported
IMC-Chicago, LLCNot reported$74.3M0.02%Add 2730.64%
Once Capital Management, LLCNot reported$72.6M5.95%Add 3.29%
Neuberger Berman Group LLCNot reported$72.5M0.05%Not reported
Gotham Asset Management, LLCNot reported$69.5M0.16%Add 0.29%
FMR LLCNot reported$69.4M0.00%Not reported
Bank of New York Mellon CorpNot reported$67.9M0.01%Not reported
Swiss National BankNot reported$59.6M0.03%Not reported
Federated Hermes, Inc.Not reported$51.6M0.07%Not reported
Dimensional Fund Advisors LPNot reported$48.7M0.01%Not reported
Oppenheimer & Co IncNot reported$45.9M0.49%Reduce 18.86%
Sumitomo Mitsui Trust Group, Inc.Not reported$45.6M0.03%Add 22.82%
Masters Capital Management LLCNot reported$44.4M1.14%Not reported
Invesco Ltd.Not reported$44.1M0.00%Not reported
Defiance ETFs, LLCNot reported$40.6M0.55%Add 25.87%
Susquehanna International Group, LLPNot reported$40.6M0.00%Not reported
Raymond James Financial IncNot reported$38M0.01%Not reported
50 of 712 holders

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