Stock Analysis
Data Source: SEC EDGAR 13F
Updated Hourly

Financial Invs Tr (CCNR)

12 + Investors. Track Smart Money conviction in CCNR. 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
↑ +4
Streak
2Q ▲
Buyers last Q
60%

Smart Money Signals — CCNR

Based on 12 hedge funds · latest filing: 2026 Q1 · updated quarterly

📈

Buying streak — 2 quarters in a row

last 6Q
For 2 consecutive quarters, more hedge funds added CCNR than sold it. That's a consistent pattern of professional buying — not a one-time trade. When institutions keep buying quarter after quarter, it usually means they see a multi-year opportunity, not just a short-term momentum flip.
🏔️

At the ownership peak (100% of max)

100% of all-time peak
12 hedge funds hold CCNR right now — the highest count in 1.8 years. When ownership is this concentrated, any bad news can trigger a chain reaction: one big fund sells, others follow. This is a classic 'crowded trade' — high popularity doesn't equal safety.
🚀

Fast accumulation — +300% more funds vs a year ago

fund count last 6Q
+9 new funds entered over the past year (+300% YoY). That's a rapid rush of institutional money. Fast accumulation often signals a major thesis — but it also means the stock could fall quickly if that thesis breaks.
🟢

More buyers than sellers — 60% buying

9 buying6 selling
Last quarter: 9 funds were net buyers (7 opened a brand new position + 2 added to an existing one). Only 6 were sellers (3 trimmed + 3 sold completely). A clear majority buying is a strong confirmation signal.
➡️

Steady new buyers — ~7 new funds per quarter

new funds entering per quarter
Funds opening this position for the first time: 3 → 0 → 5 → 7. A stable flow of new institutional buyers suggests ongoing interest without signs of either acceleration or slowdown.
🔄

Mostly new holders — 75% entered in last year

0% conviction (2yr+) 25% medium 75% new
Only 0 funds (0%) have held >2 years. The majority of current holders are relatively new to the position. New holders tend to sell faster when prices drop — a shallow conviction base that could amplify any sell-off.
💰

Price up while funds trimmed (+14% value, -7% shares)

Value
+14%
Shares
-6%
Last quarter: total value of institutional CCNR holdings rose +14% even though funds reduced share count by 7%. The stock price increased enough to offset the selling. Institutions are quietly trimming into price strength — watch for rotation.
➡️

Steady discovery — ~7 new funds/quarter

1 → 3 → 0 → 5 → 7 new funds/Q
New funds entering each quarter: 3 → 0 → 5 → 7. Consistent flow of new institutional buyers without clear acceleration or slowdown.
🌱

Early stage — 83% of holders entered in last year

0% veterans 17% 1-2yr 83% new
Of 12 current holders: 10 (83%) entered in the past year, only 0 (0%) are 2+ year veterans. This is an early-phase institutional idea — still being discovered. High upside potential if the thesis plays out, but thin conviction base.
📋

Smaller funds dominant — 0% AUM from top-100

0% from top-100 AUM funds
2 of 12 holders rank in the top 100 by AUM, but together hold only 0% of total institutional value. The stock is held primarily by smaller and mid-sized funds.
6.9
out of 10
Moderate Exit Risk
Exit risk score 6.9/10 — some crowding factors present, but no critical concentration. Watch ownership trend over the next 1–2 quarters for direction.

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 — CCNR

In 2026 Q1, 9 hedge funds were net buyers of CCNR (7 opened a new position, 2 added to an existing one), while 6 reduced or exited (3 trimmed, 3 sold completely) — a 60% buyer ratio, indicating clear institutional accumulation. Net buying has persisted for two consecutive quarters, a positive momentum signal. Net fund flow last quarter: +4 funds (more new holders than closures). Total institutional holders: 12.

Hedge Fund Ownership: CCNR

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

Market Analysis: CCNR

Analyst Price Targets

Avg. Price Target
--

Analyst Recommendations

Stock Performance

Real-time

Company Profile: CCNR

-- --

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

Is It Too Late to Buy Financial Invs Tr (CCNR) Based on Hedge Fund 13F Filings?

Signal Freshness measures how much CCNR has moved relative to its sector benchmark (SPY) 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 · 85d ago
CCNR
-5.8%
SPY
+14.9%

CCNR outperformed SPY by -20.7% since March 31, 2026.

Since 13F Filing Date May 15, 2026 · 40d ago
CCNR
-8.7%
SPY
+1.1%

Since the filing became public, CCNR outperformed SPY by -9.8% .

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
1.0
/ 10
conviction
Hedge Fund Positioning: CCNR
12 + Investors

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

Metric All 13F Filers (2026 Q1) Prior (2025 Q4) Change
Funds Holding 12 8 50.0%
13F Shares 9M 10M -6.66%
Total Value $371M $325M 14.19%
New Positions 7 5 +2
Increased Positions 2 1 +1
Closed Positions 3 2 +1
Reduced Positions 3 2 +1
Total Calls 0 0 -
Total Puts 0 0 -
PUT/CALL Ratio 0.0 0.0 Bullish

Statistics: CCNR

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Financial Highlights

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Institutional Holders (2026 Q1)

12 + investors

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

QUARTER:
Top 12 CCNR holders by conviction (% of portfolio weight) — 2026 Q1 · Source: SEC Form 13F
# Investor % of Portfolio Shares Mkt Value
1 CoreCommodity Management, LLC 62.58% 8,395,125 $336.7M
2 Joseph Group Capital Management 4.30% 429,465 $17.2M
3 Brookwood Investment Group LLC 0.58% 116,241 $4.7M
4 Orion Porfolio Solutions, LLC 0.08% 239,643 $9.6M
5 Essex Financial Services, Inc. 0.01% 5,549 $223K
6 Old Mission Capital LLC 0.00% 5,663 $227K
7 Mml Investors Services, LLC 0.00% 22,012 $883K
8 Osaic Holdings, INC. 0.00% 7,968 $320K
9 Commonwealth Equity Services, LLC 0.00% 5,236 $210K
10 LPL Financial LLC 0.00% 16,536 $663K
11 Ameritas Advisory Services, LLC 0.00% 79 $3K
12 Jane Street Group, LLC 0.00% 19,675 $789K
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 — Financial Invs Tr (CCNR)

What does the Smart Money Trend signal show for CCNR?

Buying streak — 2 quarters in a row: For 2 consecutive quarters, more hedge funds added CCNR than sold it. That's a consistent pattern of professional buying — not a one-time trade. When institutions keep buying quarter after quarter, it usually means they see a multi-year opportunity, not just a short-term momentum flip.

What is the institutional breadth score for CCNR?

More buyers than sellers — 60% buying: Last quarter: 9 funds were net buyers (7 opened a brand new position + 2 added to an existing one). Only 6 were sellers (3 trimmed + 3 sold completely). A clear majority buying is a strong confirmation signal.

What is the fund quality score for CCNR holders?

Smaller funds dominant — 0% AUM from top-100: 2 of 12 holders rank in the top 100 by AUM, but together hold only 0% of total institutional value. The stock is held primarily by smaller and mid-sized funds.

How long have hedge funds held CCNR?

Mostly new holders — 75% entered in last year: Only 0 funds (0%) have held >2 years. The majority of current holders are relatively new to the position. New holders tend to sell faster when prices drop — a shallow conviction base that could amplify any sell-off.

Is it too late to buy Financial Invs Tr (CCNR) following the 2026 Q1 hedge fund 13F filings?

As of today, CCNR has moved -8.7% since the 2026 Q1 13F filing date (May 15, 2026), compared to +1.1% for the SPY sector ETF — an outperformance of -9.8%. Since the quarter end (March 31, 2026), CCNR has gained -5.8% vs +14.9% for SPY. 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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