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IPEX INFLECTION POINT ACQU CORP V

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ORD SHS CL A (common), issuer CIK 2028355

35 managers (35 13F filers) reported a position in IPEX shares at 2025-12-31, 8,220,069 shares in all. 2 filers opened a position and 0 filers sold out during the quarter.

Managers
35
13F filers
35
New
2
Added
4
Reduced
11
Sold out
0
Shares held by filers
8,220,069

Shares held by filers adds up every 13F filer's report, so a share reported by a parent and by its subsidiary counts twice (H9). Managers counts each filer group once.

13D and 13G filers

Each filer's latest stake. The shares are the aggregate the reporting persons state, which can include entities that file no 13F.

Insider trades

No Form 4 transaction on this security in the data.

13F holders, Q4 2025

Filers in the available 13F reports with a share position at 2025-12-31, filer groups collapsed to one row (method), largest first. Options and principal amounts are left out. A group row states no % of portfolio, since each member reports its own portfolio: the members' percents are listed under it. A value about 1,000 times or 1/1,000 of the price other filers imply is shown as filed but neither ranks the row nor enters a sum.

HolderSharesValue% of portfolioChangeSource
Karpus Management, Inc.1,016,543$10.5M0.32%-8,22013F-HR/ATimeline
Linden Advisors LPin group Linden Advisors LP875,716$8.98M0.06%+75,71613F-HRTimelineGroup
BERKLEY W R CORP757,946$7.79M0.44%013F-HRTimeline
GLAZER CAPITAL, LLCin group GLAZER CAPITAL, LLC579,421$5.96M0.16%-67913F-HRTimelineGroup
Westchester Capital Management, LLCin group Westchester Capital Managemen…532,807$5.47M0.26%013F-HRTimelineGroup
MIZUHO SECURITIES USA LLCin group MIZUHO FINANCIAL GROUP INC427,826$4.42M0.07%-74,47413F-HRTimelineGroup
Polar Asset Management Partners Inc.400,000$4.11M0.08%013F-HRTimeline
AQR Arbitrage LLCin group AQR CAPITAL MANAGEMENT LLC370,917$3.81M0.08%013F-HRTimelineGroup
WOLVERINE ASSET MANAGEMENT LLCin group WOLVERINE ASSET MANAGEMENT LLC342,403$3.52M0.05%-40,08713F-HRTimelineGroup
TWO SIGMA INVESTMENTS, LPin group TWO SIGMA INVESTMENTS, LP271,875$2.79M<0.01%013F-HRTimelineGroup
RIVERNORTH CAPITAL MANAGEMENT, LLC249,797$2.57M0.12%-9613F-HRTimeline
Magnetar Financial LLCin group Magnetar Financial LLC250,000$2.56M0.03%013F-HRTimelineGroup
Shaolin Capital Management LLC230,425$2.37M0.09%+171,35113F-HRTimeline
DLD Asset Management, LP200,000$2.06M0.21%013F-HRTimeline
D. E. Shaw & Co., Inc.in group D. E. Shaw & Co., Inc.200,000$2.05M<0.01%013F-HRTimelineGroup
Verition Fund Management LLC193,704$1.99M0.01%-6,47113F-HRTimeline
Hudson Bay Capital Management LPin group Hudson Bay Capital Management…150,000$1.54M0.01%013F-HRTimelineGroup
WHITEBOX ADVISORS LLC125,000$1.28M0.02%013F-HRTimeline
TENOR CAPITAL MANAGEMENT Co., L.P.125,000$1.28M0.02%013F-HRTimeline
GOLDMAN SACHS GROUP INCin group GOLDMAN SACHS GROUP INC122,083$1.26M<0.01%013F-HR/ATimelineGroup
Radcliffe Capital Management, L.P.112,061$1.15M0.06%+1113F-HRTimeline
Meteora Capital, LLC110,925$1.14M0.1%+17,62013F-HRTimeline
Periscope Capital Inc.100,000$1.03M0.2%013F-HRTimeline
HEIGHTS CAPITAL MANAGEMENT, INCin group HEIGHTS CAPITAL MANAGEMENT, I…100,000$1.03M0.39%013F-HRTimelineGroup
Centiva Capital, LP100,000$1.03M0.06%013F-HRTimeline
Clear Street Group Inc.in group Clear Street Group Inc.67,566$695K<0.01%-30013F-HRTimelineGroup
Virtu Financial LLCin group Virtu Financial LLC50,624$519K0.02%new13F-HRTimelineGroup
JPMORGAN CHASE & COin group JPMORGAN CHASE & CO49,942$512K<0.01%-99,94813F-HRTimelineGroup
Bulldog Investors, LLP29,182$300K0.07%-15,72713F-HRTimeline
ROBINSON CAPITAL MANAGEMENT, LLC22,451$230K0.1%013F-HRTimeline
Dakota Wealth Management21,900$225K<0.01%013F-HR/ATimeline
TORONTO DOMINION BANKin group TORONTO DOMINION BANK13,918$143K<0.01%-171,48213F-HRTimelineGroup
Schonfeld Strategic Advisors LLC10,000$103K<0.01%new13F-HRTimeline
READYSTATE ASSET MANAGEMENT LP10,000$103K<0.01%013F-HRTimeline
MORGAN STANLEYin group MORGAN STANLEY37$380<0.01%-313F-HR/ATimelineGroup

Events

  • Inflection Point Fund I, LP and 2 other reporting persons reported 0 IPEX shares, 0% of the class, as of 2026-09-24, in a 13D/A filed 2026-09-25. 0001213900-26-103567

    Accepted , ingested