Stock Analysis
Data Source: SEC EDGAR 13F
Updated Hourly

CHECHE GROUP INC (CCG)

10 + Investors. Track Smart Money conviction in CCG. See who's accumulating, reducing, or initiating positions.

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Current Price
-- USD
Analyst Target
-- (0 analysts)
Upside
0.00%
Net Flow Q/Q
↓ -1
Streak
2Q ▼
Buyers last Q
38%

Smart Money Signals — CCG

Based on 10 hedge funds · latest filing: 2026 Q1 · updated quarterly

📉

Selling streak — 2 quarters in a row

last 6Q
For 2 consecutive quarters, more hedge funds reduced or closed their CCG positions than added to them. Sustained institutional selling is a meaningful warning sign — these are professionals with deep research teams collectively deciding to exit.
📊

High ownership — 83% of 3.0Y peak

83% of all-time peak
10 funds currently hold this stock — 83% of the 3.0-year high of 12 funds (reached 2025 Q1). Ownership is elevated but not yet at maximum concentration. Room to grow, but watch if the trend reverses.
📉

Outflows — 17% fewer funds vs a year ago

fund count last 6Q
2 fewer hedge funds hold CCG compared to a year ago (-17% decline). When institutions consistently reduce their exposure, it's worth exploring the underlying fundamental reasons driving them away.
🔴

Heavy selling pressure — only 38% buying

3 buying5 selling
Last quarter: 5 funds sold vs only 3 buyers. This is widespread institutional distribution — not a few funds rebalancing, but a broad exit. High conviction bearish signal.
➡️

Steady new buyers — ~0 new funds per quarter

new funds entering per quarter
Funds opening this position for the first time: 2 → 4 → 1 → 0. A stable flow of new institutional buyers suggests ongoing interest without signs of either acceleration or slowdown.
🔒

40% of holders stayed for 2+ years

40% conviction (2yr+) 50% medium 10% new
4 out of 10 hedge funds have held CCG for over 2 years without selling. Long-term investors are generally harder to shake out during market stress, creating a stable ownership base that limits the risk of sudden capitulation.
⚠️

Saturation — most institutions already know this story

5 → 2 → 4 → 1 → 0 new funds/Q
New funds entering each quarter: 2 → 4 → 1 → 0. Far fewer institutions are entering now vs. a year ago. When the pool of potential new buyers shrinks this fast, future price support from institutional inflows weakens significantly.
🏛️

Deep conviction — 50% of holders stayed 2+ years

50% veterans 30% 1-2yr 20% new
Of 10 current holders: 5 (50%) have held for over 2 years without selling. These are not momentum buyers — they have lived through drawdowns and stayed. A large veteran base acts as a stabilizing force during selloffs.
🏆

Elite ownership — 46% AUM from top-100 funds

46% from top-100 AUM funds
3 of 10 holders are among the 100 largest funds by AUM, controlling 46% of total institutional value in CCG. When the biggest players dominate the cap table, it signifies deep institutional support — since mega-funds deploy the most rigorous due diligence and capital.
3.0
out of 10
Low Exit Risk
Exit risk score 3.0/10 — low institutional crowding. Ownership is below peak levels, holder base is relatively sticky, and buying momentum is positive.

Methodology note: these Smart Money cards use consecutive 13F disclosure snapshots, not trade-by-trade execution data. "Buying", "selling", "new holders", and "trimmed" refer to quarter-over-quarter changes in reported holders, aggregate shares, or disclosed position values between filings. They are useful for ownership regime analysis and crowding, but they do not imply exact trade timing on the filing date.

Institutional Sentiment Summary — CCG

In 2026 Q1, 3 hedge funds were net buyers of CCG (3 added to existing positions), while 5 reduced or exited (4 trimmed, 1 sold completely) — a 38% buyer ratio, indicating net institutional distribution. Net selling has persisted for two consecutive quarters. 46% of total institutional value in CCG is held by top-100 AUM funds, reflecting elite-tier ownership quality. Net fund flow last quarter: -1 funds (more exits than new entries). Total institutional holders: 10.

Hedge Fund Ownership: CCG

How many hedge funds hold CCG — quarterly history vs. share price
Quarterly hedge fund ownership of CCG vs. share price

Market Analysis: CCG

Analyst Price Targets

Avg. Price Target
--

Analyst Recommendations

Stock Performance

Real-time

Company Profile: CCG

-- --

Institutional ownership data sourced from SEC EDGAR Form 13F-HR filings.

Is It Too Late to Buy CHECHE GROUP INC (CCG) Based on Hedge Fund 13F Filings?

Signal Freshness measures how much CCG has moved relative to its sector benchmark (XLC) since the 2026 Q1 13F filing. A stock that has barely outrun its sector is still a relatively fresh entry point — the fund's thesis has not yet been priced in by the broader market.

Since Quarter End March 31, 2026 · 57d ago
CCG
-40.4%
XLC
+4.2%

CCG outperformed XLC by -44.6% since March 31, 2026.

Since 13F Filing Date May 15, 2026 · 12d ago
CCG
-17.7%
XLC
-0.5%

Since the filing became public, CCG outperformed XLC by -17.2% .

Interpretation: The stock is tracking its sector benchmark closely. The signal remains fresh and the entry point is still near the fund's implied reference. Learn more →

Smart Money Signal ?
Limited Smart Money Interest

No strong consensus or elite conviction detected among institutional holders.

0 top-rated funds 0 high-conviction
Consensus
0.0
/ 10
breadth
×
Elite
0.0
/ 10
conviction
Hedge Fund Positioning: CCG
10 + Investors

Track Smart Money conviction in CCG. See who's accumulating, reducing, or initiating positions.

Metric All 13F Filers (2026 Q1) Prior (2025 Q4) Change
Funds Holding 10 11 -9.09%
13F Shares 613K 603K 1.71%
Total Value $542K $500K 8.33%
New Positions 0 1 -1
Increased Positions 3 2 +1
Closed Positions 1 2 -1
Reduced Positions 4 4 -
Total Calls 0 0 -
Total Puts 0 0 -
PUT/CALL Ratio 0.0 0.0 Bullish

Statistics: CCG

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Institutional Holders (2026 Q1)

10 + investors

Explore institutional interest and hedge fund ownership dynamics. Analyze portfolio weights, new positions, and conviction trends in CCG. Verified SEC 13F-HR filings.

QUARTER:
Top 9 institutional holders of CCG — 2026 Q1 · Source: SEC Form 13F
# Investor % of Portfolio Shares Mkt Value
1 TWO SIGMA SECURITIES, LLC 0.00% 16,190 $14K
2 NOMURA HOLDINGS INC 0.00% 136,687 $121K
3 XTX Topco Ltd 0.00% 18,787 $17K
4 RENAISSANCE TECHNOLOGIES LLC 0.00% 143,989 $127K
5 Centiva Capital, LP 0.00% 12,852 $11K
6 UBS Group AG 0.00% 146,512 $130K
7 GOLDMAN SACHS GROUP INC 0.00% 105,566 $93K
8 SBI Securities Co., Ltd. 0.00% 7
9 DUPONT CAPITAL MANAGEMENT CORP 0.00% 1
Investor Ownership
History
% of Portfolio Prev % Rank Conviction Avg Buy Price 13F Score™ 3Y / 7Y Sell Timing Shares Mkt Value Change Change % Source Quarter Filed

Frequently Asked Questions — CHECHE GROUP INC (CCG)

What does the Smart Money Trend signal show for CCG?

Selling streak — 2 quarters in a row: For 2 consecutive quarters, more hedge funds reduced or closed their CCG positions than added to them. Sustained institutional selling is a meaningful warning sign — these are professionals with deep research teams collectively deciding to exit.

What is the institutional breadth score for CCG?

Heavy selling pressure — only 38% buying: Last quarter: 5 funds sold vs only 3 buyers. This is widespread institutional distribution — not a few funds rebalancing, but a broad exit. High conviction bearish signal.

What is the fund quality score for CCG holders?

Elite ownership — 46% AUM from top-100 funds: 3 of 10 holders are among the 100 largest funds by AUM, controlling 46% of total institutional value in CCG. When the biggest players dominate the cap table, it signifies deep institutional support — since mega-funds deploy the most rigorous due diligence and capital.

How long have hedge funds held CCG?

40% of holders stayed for 2+ years: 4 out of 10 hedge funds have held CCG for over 2 years without selling. Long-term investors are generally harder to shake out during market stress, creating a stable ownership base that limits the risk of sudden capitulation.

Is it too late to buy CHECHE GROUP INC (CCG) following the 2026 Q1 hedge fund 13F filings?

As of today, CCG has moved -17.7% since the 2026 Q1 13F filing date (May 15, 2026), compared to -0.5% for the XLC sector ETF — an outperformance of -17.2%. Since the quarter end (March 31, 2026), CCG has gained -40.4% vs +4.2% for XLC. The stock is tracking its sector benchmark closely. The signal remains fresh and the entry point is still near the fund's implied reference.

Where does this institutional ownership data come from?

All holdings data is sourced from SEC Form 13F filings, which institutional investment managers with over $100 million in assets are required to submit quarterly. Data is parsed directly from SEC EDGAR.

Disclaimer: The information on this page is for informational purposes only and does not constitute investment advice, a recommendation, or an offer to buy or sell any security. Institutional holdings data is sourced from SEC Form 13F filings and reflects positions as of the filing date. Past performance of any fund or portfolio is not indicative of future results. 13Foresight is not a registered investment adviser. Always conduct your own due diligence before making investment decisions.

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