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MAPS

WM TECHNOLOGY INC A

Delisted

MAPS was delisted on the 24th of April, 2026.

115 hedge funds and large institutions have $26M invested in WM TECHNOLOGY INC A in 2026 Q1 according to their latest regulatory filings, with 22 funds opening new positions, 31 increasing their positions, 34 reducing their positions, and 18 closing their positions.

New
Increased
Maintained
Reduced
Closed

359% more call options, than puts

Call options by funds: $436K | Put options by funds: $95K

22% more first-time investments, than exits

New positions opened: 22 | Existing positions closed: 18

3% more funds holding

Funds holding: 112115 (+3)

9% less repeat investments, than reductions

Existing positions increased: 31 | Existing positions reduced: 34

2.88% less ownership

Funds ownership: 38.42%35.54% (-2.9%)

24% less capital invested

Capital invested by funds: $34.4M → $26M (-$8.37M)

Holders
115
Holders Change
+3
Holders Change %
+2.68%
% of All Funds
1.41%
Holding in Top 10
Holding in Top 10 Change
Holding in Top 10 Change %
% of All Funds
New
22
Increased
31
Reduced
34
Closed
18
Calls
$436K
Puts
$95K
Net Calls
+$341K
Net Calls Change
+$414K
Name Holding Trade Value Shares
Change
Change in
Stake
BlackRock
1
BlackRock
New York
$3.59M -$77.9K -106,140 -2%
Morgan Stanley
2
Morgan Stanley
New York
$3.32M -$117K -159,742 -3%
VCM
3
Vanguard Capital Management
Pennsylvania
$2.78M +$3.11M +4,231,483 New
SM
4
Senvest Management
New York
$2.1M
SBH
5
Segall Bryant & Hamill
Illinois
$1.49M -$3.65K -4,969 -0.2%
Renaissance Technologies
6
Renaissance Technologies
New York
$1.27M +$47.5K +64,700 +3%
TI
7
Tidal Investments
Wisconsin
$1.12M -$152K -206,376 -11%
State Street
8
State Street
Massachusetts
$1.11M +$9.1K +12,390 +0.7%
RCM
9
Requisite Capital Management
Texas
$755K
Mirae Asset Global ETFs Holdings
10
Mirae Asset Global ETFs Holdings
Hong Kong
$692K +$114K +155,010 +17%
AQR Capital Management
11
AQR Capital Management
Connecticut
$638K +$456K +621,532 +179%
Arrowstreet Capital
12
Arrowstreet Capital
Massachusetts
$576K -$70.4K -95,867 -10%
Los Angeles Capital Management
13
Los Angeles Capital Management
California
$563K -$102K -138,586 -14%
CIM
14
Cambria Investment Management
California
$531K -$80.3K -109,440 -12%
Northern Trust
15
Northern Trust
Illinois
$440K -$217K -295,808 -31%
VFT
16
Vanguard Fiduciary Trust
Pennsylvania
$420K +$468K +637,615 New
BCM
17
Beartown Capital Management
Michigan
$375K
VPM
18
Vanguard Portfolio Management
Pennsylvania
$355K +$396K +540,056 New
Goldman Sachs
19
Goldman Sachs
New York
$321K +$1.55K +2,113 +0.4%
ATPW
20
Ashton Thomas Private Wealth
Arizona
$300K +$194K +263,830 +137%
Ameriprise
21
Ameriprise
Minnesota
$267K -$12.4K -16,876 -4%
BBA
22
Baader Bank Aktiengesellschaft
Germany
$230K
VA
23
Verdad Advisers
Massachusetts
$224K -$50.9K -69,289 -17%
SC
24
Shay Capital
New York
$219K
Connor, Clark & Lunn Investment Management (CC&L)
25
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$146K -$330K -449,310 -67%

MAPS Hedge Fund Activity: Q1 2026 in Review

115 of the 8,132 institutional investors tracked by Wall St. Rank reported a position in WM TECHNOLOGY INC A (MAPS) for Q1 2026, worth a combined $26M — down 24% from $34.4M a quarter earlier.

Buyers outnumbered sellers: 22 funds opened new MAPS positions and 18 closed out — a net gain of 4 holders — while 31 added to existing stakes and 34 trimmed.

The largest buyer was AQR Capital Management, adding an estimated $456K. The largest seller was JP Morgan Chase, cutting an estimated $351K.

  • 115 institutional investors held WM TECHNOLOGY INC A (MAPS) as of Q1 2026, up from 112 in Q4 2025.
  • Funds reported $26M of WM TECHNOLOGY INC A stock for Q1 2026, down 24% quarter-over-quarter.
  • 22 funds opened new WM TECHNOLOGY INC A positions in Q1 2026 and 18 closed out, a net change of +4 holders.
  • The largest WM TECHNOLOGY INC A buyer in Q1 2026 was AQR Capital Management, an estimated $456K added.
  • The largest WM TECHNOLOGY INC A seller in Q1 2026 was JP Morgan Chase, an estimated $351K sold.

Based on aggregated 13F filings for Q1 2026.