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Plum Acquisition Corp, IV hedge fund holdings

PLMKWNASDAQ
$0.40+0.01 (+2.56%)as of Oct 2, 2026

Every quarter, large institutional investment managers with over $100M in U.S.-listed assets under management disclose their U.S. equity holdings through 13F filings. Read together, those filings show which businesses professional capital is moving into and out of.

Price vs funds buying and selling

PLMKW · close · 13FReported Aug 14, 2026

Price vs funds buying and selling data

Showing the 1Y range: Jul 17, 2026 to Oct 2, 2026. Price (-14.7%). 0 fund reports plotted in this window as 0 markers; nearby trades of the same kind are grouped.

Transactions plotted on the price chart
DateCategoryPersonRoleActionAmountChange in holding
Funds buying · new + increased
Funds selling · reduced + closed
Net buyers vs sellers
Buying = new + increased; selling = reduced + closed. Counts exclude position changes under 5% of the fund's holding last quarter.

Price and fund activity data

Quarterly 13F fund buying and selling activity
QuarterFunds buyingFunds sellingBoughtSoldFilersReported
Q2 202567$209K$99.8K31Aug 14, 2025
Q3 202547$85.2K$157K34Nov 14, 2025
Q4 202546$78.1K$134K32Feb 14, 2026
Q1 2026613$637K$1.3M27May 15, 2026
Q2 202625$51.2K$141K30Aug 14, 2026

Quarterly action breakdown

Q2 2026
30 filers
New position
2
$50.2K+111K sh
Increased
0
$1.01K+2.25K sh
Reduced
5
-$141K-314K sh
Out / sold
0
$00 sh
Last 4 quarters · free
Reported Aug 14, 2026
FundActionChange in dollarValue% of portfolioReported
Readystate Asset Management LPNew Buy+$27.7K$27.7K0.00%Aug 14, 2026
Lineage Point Capital LPReduce 0.58%-$1.13K$191K0.04%Aug 14, 2026

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