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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

FNY Investment Advisers, LLC INSTITUTION : FNY Investment Advisers, LLC
FNY Investment Advisers, LLC Portfolio (reported on 2021-04-12)
Company (links to holding history) Ticker Value On
2021-03-31
No of Shares % of portfolio
GRUBHUB ORD    (COM) GRUB 10,649,000 177,484 3.96%
TUSCAN HOLDINGS ORD    (COM) 9,445,000 767,959 3.51%
ARTIUS ACQUISITION CL A ORD    (COM) 7,524,000 745,075 2.80%
AMAZON COM ORD    (COM) AMZN 7,172,000 2,318 2.67%
BYRNA TECHNOLOGIES ORD    (COM) 6,931,000 5,415,100 2.58%
TIGA ACQUISITION CL A ORD    (COM) 6,400,000 637,487 2.38%
BEAM GLOBAL ORD    (COM) 6,221,000 143,487 2.31%
ALUSSA ENERGY ACQUISITION CL A ORD    (COM) 5,347,000 534,775 1.99%
MOTIVE CAPITAL CL A ORD    (COM) 5,206,000 531,268 1.94%
CLEAN ENERGY FUELS ORD    (COM) CLNE 4,794,000 348,941 1.78%
FAR PEAK ACQUISITION CL A ORD    (COM) 4,688,000 479,900 1.74%
ALPHABET CL A ORD    (COM) GOOGL 4,514,000 2,189 1.68%
CLEANSPARK ORD    (COM) 4,352,000 182,734 1.62%
LEFTERIS ACQUISITION CL A ORD    (COM) 4,200,000 427,745 1.56%
LLOYDS BANKING GROUP ADR 4 ORD    (SPONSORED ADR) LYG 3,756,000 1,619,020 1.39%
SKYLINE CHAMPION ORD    (COM) SKY 3,623,000 80,055 1.35%
DMY TECHNOLOGY GROUP CL A ORD    (COM) 3,565,000 331,051 1.32%
VIAD ORD    (COM) VVI 3,294,000 78,908 1.22%
RMG ACQUISITION II CL A ORD    (COM) 3,264,000 325,751 1.21%
FLUX POWER HOLDINGS ORD    (COM) 3,195,000 246,735 1.19%
ISUN ORD    (COM) 2,749,000 205,959 1.02%
ALEXION PHARMACEUTICALS ORD    (COM) ALXN 2,714,000 17,750 1.01%
THUNDER BRIDGE ACQUISITION II LTD    (COM) 2,704,000 259,571 1.00%
SUSTAINABLE OPPORT ACQ CL A ORD    (COM) 2,695,000 271,458 1.00%
AMERICAN SUPERCONDUCTOR ORD    (COM) AMSC 2,564,000 135,267 0.95%
OSPREY TECHNOLOGY ACQUISITI CL A ORD    (COM) 2,483,000 240,647 0.92%
ASTRAZENECA ADR REP 0.5 ORD    (SPONSORED ADR) AZN 2,434,000 48,960 0.90%
TWC TECH HOLDINGS II ORD    (COM) 2,432,000 247,200 0.90%
AIRGAIN ORD    (COM) 2,430,000 114,721 0.90%
REINVENT TECHNOLOGY PART Z CL A ORD    (COM) 2,252,000 225,000 0.83%
DECARBONIZATION PLUS ACQ CL A ORD    (COM) 2,173,000 207,248 0.80%
REALPAGE ORD    (COM) RP 2,136,000 24,500 0.79%
REVOLUTION ACCELERATIN ACQU CL A ORD    (COM) 2,131,000 210,200 0.79%
QURATE RETAIL 8 0 PRF    (COM) 2,033,000 20,000 0.75%
NOKIA ADR REPSG 1 SER A ORD    (SPONSORED ADR) NOK 1,952,000 493,000 0.72%
PRIME IMPACT ACQUISITION I CL A ORD    (COM) 1,886,000 193,860 0.70%
TAKEDA PHARMA ADR REP 0.5 ORD    (SPONSORED ADR) TKPYY 1,880,000 102,988 0.70%
SC HEALTH CL A ORD    (COM) 1,798,000 178,400 0.67%
TESLA ORD    (COM) TSLA 1,715,000 2,568 0.63%
GOOD WORKS ACQUISITION ORD    (COM) 1,706,000 157,600 0.63%
APEX TECHNOLOGY ACQUISITION CL A ORD    (COM) 1,642,000 148,221 0.61%
SLACK TECHNOLOGIES CL A ORD    (COM) 1,625,000 40,000 0.60%
ACIES ACQUISITION CL A ORD    (COM) 1,500,000 150,828 0.55%
CROWN ELECTROKINETICS ORD    (COM) 1,478,000 342,984 0.55%
APHRIA ORD    (COM) 1,473,000 80,239 0.54%
PAR TECHNOLOGY ORD    (COM) PTC 1,471,000 22,500 0.54%
INFLARX ORD    (COM) 1,365,000 350,000 0.50%
TUATARA CAPITAL ACQUISITION UNT    (COM) 1,275,000 127,500 0.47%
RESMED ORD    (COM) RMD 1,261,000 6,500 0.46%
SEQUANS COMMUNICATIONS ADR REP 4 ORD    (SPONSORED ADR) 1,248,000 206,735 0.46%
SASOL ADR REP 1 ORD    (SPONSORED ADR) SSL 1,217,000 84,015 0.45%
VIACOMCBS CL B ORD    (COM) 1,186,000 26,315 0.44%
NAVSIGHT HOLDINGS CL A ORD    (COM) 1,162,000 116,000 0.43%
DECARBONIZATION PLUS ACQUISTN II UNT    (COM) 1,156,000 115,000 0.43%
SPARTAN ACQUISITION CL A ORD    (COM) 1,152,000 110,220 0.42%
WILLIS TOWERS WATSON ORD    (COM) WLTW 1,144,000 5,000 0.42%
FTAC OLYMPUS ACQUISITION CL A ORD    (COM) 1,140,000 107,900 0.42%
FOREST ROAD ACQUISITION CL A ORD    (COM) 1,125,000 111,230 0.41%
TENCENT HOLDINGS ADR (PNK)    (SPONSORED ADR) TCEHY 1,093,000 13,700 0.40%
VINCE HOLDING ORD    (COM) 1,090,000 97,233 0.40%
SUPERIOR INDS ORD    (COM) SUP 1,066,000 187,805 0.39%
JAWS SPITFIRE ACQ CL A ORD    (COM) 1,025,000 100,000 0.38%
HEALTHCOR CATALIO ACQUISTN CL A ORD    (COM) 1,025,000 102,500 0.38%
ADVANCED MICRO DEVICES ORD    (COM) AMD 1,017,000 12,966 0.37%
MID AMERICA APT COMMUNITI REIT ORD    (COM) MAA 1,011,000 7,009 0.37%
TENCENT MUSC ENT ADR REP 2 CL A ORD    (SPONSORED ADR) 1,001,000 48,930 0.37%
NORTHERN STAR INVESTMENT CL A ORD    (COM) 998,000 99,846 0.37%
SILVER SPIKE ACQUISITION II UNT    (COM) 994,000 100,000 0.37%
GREENBOX POS ORD    (COM) 986,000 70,454 0.36%
VECTOR ACQUISITION CL A ORD    (COM) 985,000 83,250 0.36%
E MERGE TECHNOLOGY ACQUISIT CL A ORD    (COM) 950,000 97,500 0.35%
USA TECHNOLOGIES ORD    (COM) USAT 945,000 80,665 0.35%
PENN NATIONAL GAMING ORD    (COM) PENN 900,000 8,585 0.33%
SIBANYE STILLWATER ADR REP 4 ORD    (SPONSORED ADR) 864,000 48,391 0.32%
ISHARES RUSSELL 2000 ETF    (COM) IWM 850,000 3,850 0.31%
CC NEUBERGER PRINCIPAL HOLD CL A ORD    (COM) 840,000 85,275 0.31%
BRIDGETOWN HOLDINGS CL A ORD    (COM) 811,000 74,833 0.30%
BABCOCK AND WILCOX ENTERPRISES ORD    (COM) 810,000 85,553 0.30%
ALTISOURCE PORTFOLIO SOLUTIONS ORD    (COM) ASPS 793,000 86,293 0.29%
LEISURE ACQUISITION ORD    (COM) 762,000 62,444 0.28%
GS ACQUISITION HOLDINGS II CL A ORD    (COM) 761,000 73,000 0.28%
TORTOISE ACQUISITION CL A ORD    (COM) 746,000 68,150 0.27%
SNAP CL A ORD    (COM) 742,000 14,196 0.27%
VG ACQUISITION CL A ORD    (COM) 732,000 72,009 0.27%
BAOZUN ADR REP 3 ORD    (SPONSORED ADR) 703,000 18,450 0.26%
ZANITE ACQUISITION CL A ORD    (COM) 702,000 70,650 0.26%
ALTITUDE ACQUISITION CL A ORD    (COM) 699,000 69,751 0.26%
CAMECO ORD    (COM) CCJ 673,000 40,600 0.25%
MUSTANG BIO ORD    (COM) 664,000 200,000 0.24%
CHEWY CL A ORD    (COM) 663,000 7,836 0.24%
EOS ENERGY ENTERPRISES CL A ORD    (COM) 659,000 33,443 0.24%
APPLIED MATERIAL ORD    (COM) AMAT 651,000 4,878 0.24%
MICROSOFT ORD    (COM) MSFT 646,000 2,742 0.24%
VISTA OUTDOOR ORD    (COM) VSTO 641,000 20,000 0.23%
CREDIT SUISSE GRP ADR REPTG ONE ORD    (SPONSORED ADR) CS 610,000 57,624 0.22%
TAIWAN SEMICONDUCTOR MNFTG ADR 5 ORD    (SPONSORED ADR) TSM 591,000 5,000 0.22%
EQUINOR ADR REP ORD    (SPONSORED ADR) 564,000 29,000 0.21%
CERES ACQUISITION CL A ORD    (COM) 563,000 55,232 0.20%
WESCO INTERL 1000 DS RP 1 SRS A PRF    (COM) 554,000 18,000 0.20%
BGC PARTNERS CL A ORD    (COM) BGCP 527,000 109,405 0.19%
GENOCEA BIOSCIENCES ORD    (COM) 514,000 190,000 0.19%
ANDINA ACQUISITION ORD    (COM) 513,000 50,000 0.19%
JAWS MUSTANG ACQUISITION UNT    (COM) 507,000 50,000 0.18%
VISTA OIL GAS ADR REP SRS A ORD    (SPONSORED ADR) 504,000 197,236 0.18%
GENMAB ADR    (COM) GMXAY 492,000 15,000 0.18%
CELLNEX TELECOM ADR    (COM) 478,000 16,650 0.17%
KISMET ACQUISITION ONE ORD    (COM) 465,000 47,061 0.17%
VOYA PRIME RATE CF    (COM) PPR 461,000 99,363 0.17%
BARCLAYS IPTH SRS B S&P SHRT TRM ETN    (COM) 454,000 39,858 0.16%
PURECYCLE TECHNOLOGIES ORD    (COM) 448,000 17,600 0.16%
SPROTT PHYSICAL SILVER ETV    (COM) PSLV 439,000 50,000 0.16%
PROPHASE LABS ORD    (COM) PRPH 439,000 59,400 0.16%
FACEBOOK CL A ORD    (COM) FB 437,000 1,485 0.16%
BRIDGETOWN 2 HOLDINGS CL A ORD    (COM) 436,000 42,580 0.16%
LANDCADIA HOLDINGS III CL A ORD    (COM) 435,000 43,500 0.16%
TRILLIUM THERAPEUTICS ORD    (COM) TRIL 428,000 39,900 0.15%
INPHI ORD    (COM) IPHI 422,000 2,367 0.15%
3D SYSTEMS ORD    (COM) TDSC 415,000 15,150 0.15%
GRUPO ARPRTUR DL ADR REP 8 SRS B ORD    (SPONSORED ADR) OMAB 404,000 8,000 0.15%
LIVEXLIVE MEDIA ORD    (COM) 403,000 92,964 0.15%
CHOICEONE FINANCIAL SERVICES ORD    (COM) COFS 392,000 16,327 0.14%
MICRO FOCUS INTERNATIONAL ADR    (COM) 384,000 50,000 0.14%
INTEL ORD    (COM) INTC 384,000 6,000 0.14%
GX ACQUISITON CL A ORD    (COM) 381,000 37,800 0.14%
EQUITY DISTRIBUTION ACQU CL A ORD    (COM) 375,000 37,914 0.13%
COVA ACQUISITION UNT    (COM) 369,000 37,100 0.13%
FISKER CL A ORD    (COM) 368,000 21,423 0.13%
NUVEEN CREDIT STRATEGIES INCOME CF    (COM) JQC 367,000 56,596 0.13%
CELLECTAR BIOSCIENCES ORD    (COM) 354,000 220,321 0.13%
LAM RESEARCH ORD    (COM) LRCX 347,000 584 0.12%
SILVER SPIKE ACQUISITION CL A ORD    (COM) 339,000 18,511 0.12%
AEQUI ACQUISITION CL A ORD    (COM) 337,000 35,000 0.12%
PROSHARES ULTRA S&P 500 ETF    (COM) SSO 337,000 3,300 0.12%
LMP AUTOMOTIVE HOLDINGS ORD    (COM) 332,000 20,000 0.12%
KKR INCOME OPPORTUNITIES CF    (COM) KIO 325,000 20,568 0.12%
VEONEER ORD    (COM) 322,000 13,159 0.12%
APPLE ORD    (COM) AAPL 318,000 2,615 0.11%
MALACCA STRAITS ACQUISITION CL A ORD    (COM) 311,000 31,600 0.11%
MAIDEN HOLDINGS LTD    (COM) 305,000 14,131 0.11%
NORTH ATLANTIC ACQUISITION UNT    (COM) 301,000 30,300 0.11%
VIPSHOP HOLDGS SPON ADS REP 0.20 ORD    (COM) VIPS 298,000 10,000 0.11%
PINTEREST CL A ORD    (COM) 296,000 4,000 0.11%
GREIF CL B ORD    (COM) GEF/B 292,000 5,116 0.10%
SOFTBANK GROUP UNSPONSORED ADR (PNK)    (SPONSORED ADR) SFTBY 289,000 6,800 0.10%
BETTER WORLD ACQUISITION ORD    (COM) 288,000 28,950 0.10%
AEGIO CL A ORD    (COM) AEGN 287,000 10,000 0.10%
WALT DISNEY ORD    (COM) DIS 276,000 1,500 0.10%
SMITH MICRO SOFTWARE ORD    (COM) 275,000 50,000 0.10%
PRUDENTIAL ADR REPSTG 2 ORD    (SPONSORED ADR) PUK 268,000 6,294 0.09%
OTR ACQUISITION UNT    (COM) 266,000 25,000 0.09%
CHURCHILL CAPITAL CORP II    (COM) 264,000 26,467 0.09%
HEICO ORD    (COM) HEI 260,000 2,070 0.09%
COMSOVEREIGN HOLDING ORD    (COM) 256,000 96,000 0.09%
NOVARTIS ADR REPSG 1 ORD    (SPONSORED ADR) NVS 256,000 3,000 0.09%
VITRU ORD    (COM) 253,000 17,078 0.09%
AGRIFY CORP    (COM) 251,000 20,158 0.09%
ONE EQUITY PARTNERS OPEN WATER I UNT    (COM) 249,000 25,000 0.09%
MAGNA INTERNATIONAL ORD    (COM) MGA 246,000 2,800 0.09%
VECTOIQ ACQUISITION II CL A ORD    (COM) 245,000 24,701 0.09%
CHP MERGER CL A ORD    (COM) 244,000 24,693 0.09%
ZOOM VIDEO COMMUNICATIONS CL A ORD    (COM) 240,000 749 0.08%
HIGHLAND INCOME CF    (COM) 238,000 21,485 0.08%
FREEPORT MCMORAN ORD    (COM) FCX 236,000 7,180 0.08%
CNH INDUSTRIAL ORD    (COM) CNHI 235,000 15,118 0.08%
GODADDY CL A ORD    (COM) GDDY 232,000 3,000 0.08%
LOGITECH N ORD    (COM) LOGI 229,000 2,200 0.08%
CAESARS ENTERTAINMENT ORD    (COM) 219,000 2,514 0.08%
TOKYO ELECTRON ADR REP 2 ORD (PNK)    (SPONSORED ADR) TOELY 218,000 2,000 0.08%
NUVEEN FLOATG RATE INCM OPPORTNTY CF    (COM) JRO 216,000 22,700 0.08%
BNY MELLON HIGH YIELD STR NAV CF    (COM) 216,000 70,014 0.08%
VECTOIQ ACQUISITION II UNT    (COM) 214,000 21,144 0.07%
WYNN RESORTS ORD    (COM) WYNN 213,000 1,700 0.07%
TAILWIND ACQUISITION CL A ORD    (COM) 213,000 21,570 0.07%
FARFETCH CL A ORD    (COM) 212,000 4,000 0.07%
SPDR GOLD SHARES ETF    (COM) GLD 211,000 1,320 0.07%
CLEVELAND CLIFFS ORD    (COM) 211,000 10,500 0.07%
MALACCA STRAITS ACQUISITION COMP UNT    (COM) 210,000 20,600 0.07%
RLX TECHNOLOGY ADS REP CL A ORD    (COM) 209,000 20,211 0.07%
MAIN STREET CAPITAL ORD    (COM) MAIN 208,000 5,313 0.07%
DOUBLELINE INCOME SOLUTIONS CF    (COM) DSL 207,000 11,410 0.07%
REDBALL ACQUISITION CL A ORD    (COM) 207,000 20,901 0.07%
WISEKEY INTERNATIONAL HOLDINGS ADR    (COM) 200,000 14,000 0.07%
FIDUS INVESTMENT ORD    (COM) FDUS 200,000 12,899 0.07%
B. RILEY PRINCIPAL 150 MERGER CORP    (COM) 200,000 20,000 0.07%
ISHARES SILVER TRUST ETF    (COM) SLV 200,000 8,840 0.07%
ARES CAPITAL ORD    (COM) ARCC 198,000 10,593 0.07%
SIXTH STREET SPECIALTY LENDING ORD    (COM) 198,000 9,458 0.07%
SEVEN OAKS ACQUISITION CL A ORD    (COM) 196,000 20,200 0.07%
NUVEEN MUNICIPAL CREDIT OPPORTUN CF    (COM) 196,000 13,991 0.07%
INVESCO CREDIT DYNAMIC OPP CF    (COM) VTA 195,000 17,180 0.07%
SOCIAL CAP HEDOSOP HOLD V CL A ORD    (COM) 192,000 11,250 0.07%
JOHN HANCOCK PREMIUM DIVIDEND CF    (COM) PDT 190,000 12,750 0.07%
PGIM HIGH YIELD BOND CF    (COM) 189,000 12,110 0.07%
NUVEEN SENIOR INCOME CF    (COM) NSL 188,000 33,638 0.07%
NUVEEN QUALITY MUNICIPAL INCM CF    (COM) NAD 186,000 12,336 0.06%
EPR PROPERTIES REIT ORD    (COM) EPR 186,000 4,000 0.06%
SCVX CL A ORD    (COM) 185,000 18,813 0.06%
URSTADT BIDDLE REIT ORD    (COM) UBP 185,000 13,524 0.06%
TPCO HLDG ORD    (COM) 185,000 25,000 0.06%
STABLE ROAD ACQUISITION CL A ORD    (COM) 185,000 14,087 0.06%
1 2 3 4 Next >Full Portfolio View
Total Value As 2021-03-31: 268,333,000 SEC FILING
* Portfolios do not reflect changes after reporting
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