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Yakira Capital Management, Inc. Top Holdings and 13F Report (2024)

About Yakira Capital Management, Inc.

Investment Activity

  • Yakira Capital Management, Inc. has $278.55 million in total holdings as of September 30, 2024.
  • Yakira Capital Management, Inc. owns shares of 265 different stocks, but just 49 companies or ETFs make up 80% of its holdings.
  • Approximately 38.40% of the portfolio was purchased this quarter.
  • About 42.96% of the portfolio was sold this quarter.
  • This quarter, Yakira Capital Management, Inc. has purchased 277 new stocks and bought additional shares in 17 stocks.
  • Yakira Capital Management, Inc. sold shares of 27 stocks and completely divested from 69 stocks this quarter.

Largest Holdings

GIGCAPITAL7 CORP
$18,457,461
Hess
$7,389,693

Largest New Holdings this Quarter

GIGCAPITAL7 CORP
$18,457,461 Holding
PetIQ
$3,684,861 Holding
Stericycle
$3,477,000 Holding
Perficient
$3,417,282 Holding

Largest Purchases this Quarter

GIGCAPITAL7 CORP
1,851,300 shares (about $18.46M)
Aaron's
489,858 shares (about $4.87M)
Atlantica Sustainable Infrastructure
200,232 shares (about $4.40M)
High Income Securities Fund
586,423 shares (about $4.01M)
Southwestern Energy
561,501 shares (about $3.99M)

Largest Sales this Quarter

IAC
80,840 shares (about $4.35M)
DWS Municipal Income Trust
348,015 shares (about $3.47M)
McGrath RentCorp
27,109 shares (about $2.85M)
Endeavor Group
52,500 shares (about $1.50M)
United States Steel
42,120 shares (about $1.49M)

Sector Allocation Over Time

Map of 500 Largest Holdings ofYakira Capital Management, Inc.

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
GIGCAPITAL7 CORP
$18,457,461$18,457,461 New Holding1,851,3006.6%UNIT 99/99/9999
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$10,327,680$1,147,520 -10.0%18,0003.7%Finance
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$10,327,680$1,147,520 -10.0%18,0003.7%Finance
Southwestern Energy stock logo
SWN
Southwestern Energy
$9,772,269$3,992,272 69.1%1,374,4403.5%Oils/Energy
Hess Co. stock logo
HES
Hess
$7,389,693$3,856,720 109.2%54,4162.7%Oils/Energy
Virtus Global Dividend & Income Fund Inc. stock logo
ZTR
Virtus Global Dividend & Income Fund
$7,108,678$140,207 -1.9%1,146,5612.6%Finance
Axonics, Inc. stock logo
AXNX
Axonics
$6,953,6660.0%99,9092.5%Medical
Broad Capital Acquisition Corp. stock logo
BRAC
Broad Capital Acquisition
$6,561,9790.0%571,8502.4%Unclassified
Nuvei Co. stock logo
NVEI
Nuvei
$6,412,305$2,102,851 48.8%192,2732.3%Business Services
Heartland Financial USA, Inc. stock logo
HTLF
Heartland Financial USA
$6,321,426$2,902,756 84.9%111,4892.3%Finance
Fortune Rise Acquisition Co. stock logo
FRLA
Fortune Rise Acquisition
$6,235,5350.0%547,9382.2%Unclassified
The Aaron's Company, Inc. stock logo
AAN
Aaron's
$5,542,140$4,874,087 729.6%556,9992.0%Consumer Discretionary
IAC Inc. stock logo
IAC
IAC
$5,452,827$4,350,809 -44.4%101,3162.0%Multi-Sector Conglomerates
Albertsons Companies, Inc. stock logo
ACI
Albertsons Companies
$5,093,605$3,560,708 232.3%275,6281.8%Consumer Staples
ChampionX Co. stock logo
CHX
ChampionX
$5,064,899$1,709,777 51.0%167,9901.8%Construction
Haynes International, Inc. stock logo
HAYN
Haynes International
$4,899,963$2,139,987 77.5%82,2971.8%Basic Materials
RF ACQUISITION CORP II
$4,705,1190.0%459,8661.7%UNIT 05/01/2026
NEW MTN FIN CORP
$4,550,8500.0%4,500,0001.6%NOTE 7.500%10/1
Atlantica Sustainable Infrastructure plc stock logo
AY
Atlantica Sustainable Infrastructure
$4,401,099$4,401,099 New Holding200,2321.6%Oils/Energy
High Income Securities Fund stock logo
PCF
High Income Securities Fund
$4,285,251$4,005,269 1,430.5%627,4161.5%Finance
Seritage Growth Properties stock logo
SRG
Seritage Growth Properties
$4,268,0630.0%917,8631.5%Finance
Mountain & Co. I Acquisition Corp. stock logo
MCAA
Mountain & Co. I Acquisition Corp.
$4,098,5000.0%350,0001.5%Unclassified
United States Steel Co. stock logo
X
United States Steel
$3,972,965$1,488,100 -27.2%112,4531.4%Basic Materials
PetIQ, Inc. stock logo
PETQ
PetIQ
$3,684,861$3,684,861 New Holding119,7551.3%Medical
HashiCorp, Inc. stock logo
HCP
HashiCorp
$3,678,957$3,086,407 520.9%108,6521.3%Computer and Technology
Stericycle, Inc. stock logo
SRCL
Stericycle
$3,477,000$3,477,000 New Holding57,0001.2%Business Services
Perficient, Inc. stock logo
PRFT
Perficient
$3,417,282$3,417,282 New Holding45,2741.2%Computer and Technology
Globalink Investment Inc. stock logo
GLLI
Globalink Investment
$3,409,5000.0%300,0001.2%Unclassified
ClimateRock stock logo
CLRC
ClimateRock
$3,316,9300.0%285,8191.2%Unclassified
FLAG SHIP ACQUISITION CORP
$3,170,946$455 0.0%313,9551.1%UNIT 05/22/2029
CORNERSTONE STRATEGIC VALUE
$3,128,218$146,711 4.9%407,3201.1%COM
Trailblazer Merger Co. I stock logo
TBMC
Trailblazer Merger Co. I
$3,067,3280.0%278,8481.1%Unclassified
RF Acquisition Corp. stock logo
RFAC
RF Acquisition
$2,993,1750.0%265,0001.1%Unclassified
DT CLOUD ACQUISITION CORP
$2,897,0700.0%275,0001.0%UNIT 99/99/9999
Juniper Networks, Inc. stock logo
JNPR
Juniper Networks
$2,830,2210.0%72,6071.0%Computer and Technology
Horizon Space Acquisition I Corp. stock logo
HSPO
Horizon Space Acquisition I
$2,801,6750.0%250,0001.0%Unclassified
Affinity Bancshares, Inc. stock logo
AFBI
Affinity Bancshares
$2,762,639$718,648 35.2%129,0351.0%Finance
BlackRock Municipal Income Fund, Inc. stock logo
MUI
BlackRock Municipal Income Fund
$2,750,290$2,750,290 New Holding218,6241.0%Financial Services
ESH ACQUISITION CORP
$2,652,5000.0%250,0001.0%COM
R1 RCM Inc. stock logo
RCM
R1 RCM
$2,610,440$2,610,440 New Holding184,2230.9%Business Services
Enstar Group Limited stock logo
ESGR
Enstar Group
$2,519,658$2,519,658 New Holding7,8350.9%Finance
KEEN VISION ACQUISITION CORP
$2,516,1260.0%232,8000.9%UNIT 99/99/9999
Bally's Co. stock logo
BALY
Bally's
$2,024,408$2,024,408 New Holding117,3570.7%Consumer Discretionary
IB ACQUISITION CORP
$2,000,0000.0%200,0000.7%COM SHS
VOYAGER ACQUISITION CORP
$2,000,000$2,000,000 New Holding200,0000.7%UNIT 99/99/9999
Catalent, Inc. stock logo
CTLT
Catalent
$1,990,149$1,990,149 New Holding32,8570.7%Medical
TMTC
TMT Acquisition
$1,967,0000.0%175,0000.7%Unclassified
Vista Outdoor Inc. stock logo
VSTO
Vista Outdoor
$1,901,797$19,590 -1.0%48,5400.7%Consumer Discretionary
EnLink Midstream, LLC stock logo
ENLC
EnLink Midstream
$1,894,992$1,894,992 New Holding130,5990.7%Oils/Energy
Kellanova stock logo
K
Kellanova
$1,836,153$1,836,153 New Holding22,7500.7%Consumer Discretionary
IRON HORSE ACQUISITIONS CORP
$1,597,1130.0%153,7060.6%UNIT 10/15/2028
EMCG
WisdomTree Emerging Markets Consumer Growth Fund
$1,552,5000.0%135,0000.6%Unclassified
HMN Financial, Inc. stock logo
HMNF
HMN Financial
$1,548,311$92,070 6.3%55,4950.6%Finance
Golden Star Acquisition Co. stock logo
GODN
Golden Star Acquisition
$1,501,5000.0%137,5000.5%Unclassified
PlayAGS Inc stock logo
AGS
PlayAGS
$1,496,441$1,496,441 New Holding131,3820.5%Consumer Discretionary
Surmodics, Inc. stock logo
SRDX
Surmodics
$1,357,300$1,357,300 New Holding35,0000.5%Medical
SIRIUSXM HOLDINGS INC
$1,344,148$1,344,148 New Holding56,8350.5%COMMON STOCK
Oak Woods Acquisition Co. stock logo
OAKU
Oak Woods Acquisition
$1,335,600$1,335,600 New Holding120,0000.5%Unclassified
Sterling Check Corp. stock logo
STER
Sterling Check
$1,310,798$701,655 -34.9%78,3970.5%Business Services
Endeavor Group Holdings, Inc. stock logo
EDR
Endeavor Group
$1,163,877$1,499,400 -56.3%40,7520.4%Consumer Discretionary
Territorial Bancorp Inc. stock logo
TBNK
Territorial Bancorp
$1,161,419$591,395 103.7%111,2470.4%Finance
Consolidated Communications Holdings, Inc. stock logo
CNSL
Consolidated Communications
$1,152,247$246,328 -17.6%248,3290.4%Utilities
Vector Group Ltd. stock logo
VGR
Vector Group
$1,119,895$1,119,895 New Holding75,0600.4%Multi-Sector Conglomerates
BUKIT JALIL GBL ACQUISITION
$1,091,0000.0%100,0000.4%ORD SHS
JVSPAC ACQUISITION CORP
$1,034,0000.0%100,0000.4%SHS CL A
Equity Commonwealth stock logo
EQC
Equity Commonwealth
$1,018,880$1,018,880 New Holding51,2000.4%Finance
SIM ACQUISITION CORP. I
$1,004,000$1,004,000 New Holding100,0000.4%UNIT 06/17/2029
LAUNCH ONE ACQUISITION CORP
$1,001,000$1,001,000 New Holding100,0000.4%UNIT 99/99/9999
DWS Municipal Income Trust stock logo
KTF
DWS Municipal Income Trust
$997,040$3,469,710 -77.7%100,0040.4%Finance
Advent Convertible and Income Fund stock logo
AVK
Advent Convertible and Income Fund
$988,379$988,379 New Holding84,1890.4%Financial Services
BLACK HAWK ACQUISITION CORP
$942,3130.0%89,9840.3%UNIT 99/99/9999
ALLETE, Inc. stock logo
ALE
ALLETE
$941,475$941,475 New Holding14,6670.3%Utilities
SEAPORT ENTMT GROUP INC
$932,280$932,280 New Holding34,0000.3%COMMON STOCK
Great Ajax Corp. stock logo
AJX
Great Ajax
$931,374$391,152 -29.6%279,6920.3%Finance
BOWEN ACQUISITION CORP
$924,0400.0%84,4790.3%UNIT 99/99/9999
Franklin Limited Duration Income Trust stock logo
FTF
Franklin Limited Duration Income Trust
$885,669$1,037,478 -53.9%132,7840.3%Financial Services
Tortoise Power and Energy Infrastructure Fund, Inc. stock logo
TPZ
Tortoise Power and Energy Infrastructure Fund
$855,263$855,263 New Holding47,2260.3%Financial Services
The India Fund, Inc. stock logo
IFN
The India Fund
$840,684$209,220 -19.9%44,2000.3%Finance
Amedisys, Inc. stock logo
AMED
Amedisys
$829,504$1,351,141 -62.0%8,5950.3%Medical
EUREKA ACQUISITION CORP
$766,500$766,500 New Holding75,0000.3%UNIT 06/25/2029
The New America High Income Fund Inc. stock logo
HYB
The New America High Income Fund
$742,670$742,670 New Holding89,1560.3%Finance
ContextLogic Inc. stock logo
WISH
ContextLogic
$739,723$128,391 21.0%135,7290.3%Consumer Cyclical
McGrath RentCorp stock logo
MGRC
McGrath RentCorp
$722,326$2,854,035 -79.8%6,8610.3%Finance
RiverNorth Capital and Income Fund, Inc. stock logo
RSF
RiverNorth Capital and Income Fund
$706,955$67,377 -8.7%45,9360.3%Miscellaneous
ICC Holdings, Inc. stock logo
ICCH
ICC
$687,9030.0%30,0000.2%Finance
PowerSchool Holdings, Inc. stock logo
PWSC
PowerSchool
$684,619$684,619 New Holding30,0140.2%Consumer Discretionary
Exscientia plc stock logo
EXAI
Exscientia
$659,913$659,913 New Holding135,2280.2%Medical
QUETTA ACQUISITION CORP
$627,6000.0%60,0000.2%UNIT 11/30/2024
Western Asset Investment Grade Defined Opportunity Trust Inc. stock logo
IGI
Western Asset Investment Grade Defined Opportunity Trust
$587,070$587,070 New Holding32,6150.2%Financial Services
Envestnet, Inc. stock logo
ENV
Envestnet
$582,053$582,053 New Holding9,2950.2%Business Services
INHIBRX BIOSCIENCES INC
$566,814$566,814 New Holding36,1950.2%COM
ALCYU
Alchemy Investments Acquisition Corp 1
$547,0000.0%50,0000.2%Financial Services
Invesco Pennsylvania Value Municipal Income Trust stock logo
VPV
Invesco Pennsylvania Value Municipal Income Trust
$536,954$536,954 New Holding47,4760.2%Finance
LEGATO MERGER CORP III
$512,5000.0%50,0000.2%UNIT 99/99/9999
GRAF GLOBAL CORP
$501,5000.0%50,0000.2%UNIT 05/31/2032
Chimerix, Inc. stock logo
CMRX
Chimerix
$472,8020.0%508,3890.2%Medical
Magnachip Semiconductor Co. stock logo
MX
Magnachip Semiconductor
$460,9290.0%98,7000.2%Computer and Technology
Sharecare, Inc. stock logo
SHCR
Sharecare
$426,000$426,000 New Holding300,0000.2%Medical
Battalion Oil Co. stock logo
BATL
Battalion Oil
$424,2990.0%63,6130.2%Oils/Energy
Marathon Oil Co. stock logo
MRO
Marathon Oil
$423,657$423,657 New Holding15,9090.2%Oils/Energy

Showing largest 100 holdings. View all holdings.
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