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CCM

Context Capital Management Portfolio holdings

AUM $5.15B
1-Year Est. Return 1.28%
This Fund
S&P 500
This Quarter Est. Return
+0.1%
1 Year Est. Return
+1.28%
3 Year Est. Return
+3.38%
5 Year Est. Return
+13.56%
10 Year Est. Return
+42.39%
AUM
$3.24B
AUM Growth
+$285M
Cap. Flow
-$1.7B
Cap. Flow %
-52.46%
Top 10 Hldgs %
39.18%
Holding
301
New
78
Increased
2
Reduced
14
Closed
33
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
WTGUU
201
Wintergreen Acquisition Corp Unit
WTGUU
-100,000
Closed -$1.01M
BLUWU
202
Blue Water Acquisition Corp III Unit
BLUWU
-50,000
Closed -$501K
BACCU
203
Blue Acquisition Corp Unit
BACCU
-100,000
Closed -$1M
AXINU
204
Axiom Intelligence Acquisition Corp 1 Units
AXINU
-250,000
Closed -$2.52M
PACHU
205
Pioneer Acquisition I Corp Units
PACHU
-150,000
Closed -$1.5M
LWACU
206
LightWave Acquisition Corp Units
LWACU
-100,000
Closed -$1.01M
OBAWU
207
Oxley Bridge Acquisition Ltd Unit
OBAWU
-300,000
Closed -$3M
MCGAU
208
Yorkville Acquisition Corp Unit
MCGAU
$157M
-150,000
Closed -$1.69M
FIGXU
209
FIGX Capital Acquisition Corp Units
FIGXU
-250,000
Closed -$2.5M

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Context Capital Management's Q3 2025 Portfolio in Review

As of Q3 2025, Context Capital Management held 301 positions worth $3.24B, up 9.6% from $2.96B the previous quarter. Its ten largest holdings account for 39% of the portfolio.

Context Capital Management withdrew a net $1.7B in Q3 2025, closing 33 positions and reducing 14 holdings. Its most notable exit was KKR & Co 6.25% Series D Preferred Stock, an estimated $32.2M position sold in full.

By sector, the portfolio is most concentrated in Financials at 4.6% of assets, up from 2.4% a quarter earlier, followed by Technology and Energy.

Against the trend, Context Capital Management opened a new position in Albemarle Corp Depositary Shares worth $20.8M.

  • Context Capital Management's largest Q3 2025 buy was Albemarle Corp Depositary Shares: 550,000 shares worth $20.8M.
  • Context Capital Management added most to PG&E Corp 6.000% Series A Preferred Stock in Q3 2025, an estimated $1.95M increase.
  • Context Capital Management's biggest Q3 2025 reduction was Boeing Co 6.00% Series A Preferred Stock, cutting an estimated $28.9M.
  • Context Capital Management fully exited KKR & Co 6.25% Series D Preferred Stock in Q3 2025, selling an estimated $32.2M.
  • Context Capital Management's ten largest holdings make up 39% of its $3.24B portfolio in Q3 2025.
  • Context Capital Management opened 78 new positions and closed 33 in Q3 2025.
  • Context Capital Management's portfolio value rose 9.6% quarter-over-quarter to $3.24B.

Based on Context Capital Management's 13F filing for Q3 2025, filed 12 Nov 2025.