CIFR
Cipher Mining Inc. · Technology · Information Technology Services
Momentum inputs (comparable managers):
holder breadth -7.7% ·
share flow +13.0% ·
net new positions -8.3%
— formula
Concentrated accumulation — rising shares among fewer holders
All ownership figures: tracked 13F managers only, common-stock positions, reporting period Q2 2025
| Quarter | Holders | Δ | Shares | Reported value | New | Exits |
|---|---|---|---|---|---|---|
| Q2 2026 | 125 | +13 | 208.66M | $5.14B | +18 | −5 |
| Q1 2026 | 115 | +5 | 170.37M | $2.19B | +14 | −9 |
| Q4 2025 | 109 | 0 | 182.36M | $2.69B | +2 | −2 |
| Q3 2025 | 16 | +1 | 88.18M | $1.11B | +1 | — |
| Q2 2025 | 12 | -1 | 73.10M | $349.44M | +1 | −2 |
| Q1 2025 | 10 | 0 | 22.20M | $51.07M | +2 | −2 |
| Q4 2024 | 10 | 0 | 19.63M | $91.10M | +3 | −3 |
| Q3 2024 | 9 | +2 | 8.94M | $34.61M | +2 | — |
| Q2 2024 | 7 | — | 13.45M | $55.82M | — | — |
| # | Manager | Shares | Δ shares | Value | Their weight | Held | ||
|---|---|---|---|---|---|---|---|---|
| 1 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 2 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 3 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 4 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 5 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 6 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 7 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 8 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 9 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 10 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 11 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 12 | BlackRock ✦ (passive) | 22.38M | — | $106.96M | 0.0% | n/c | 1 | SEC ↗ |
| 13 | The Vanguard Group ✦ (passive) | 20.11M | — | $96.15M | 0.0% | n/c | 1 | SEC ↗ |
| 14 | The Vanguard Group ✦ (passive) | 20.11M | — | $96.15M | 0.0% | n/c | 1 | SEC ↗ |
| 15 | The Vanguard Group ✦ (passive) | 20.11M | — | $96.15M | 0.0% | n/c | 1 | SEC ↗ |
| 16 | The Vanguard Group ✦ (passive) | 20.11M | — | $96.15M | 0.0% | n/c | 1 | SEC ↗ |
| 17 | The Vanguard Group ✦ (passive) | 20.11M | — | $96.15M | 0.0% | n/c | 1 | SEC ↗ |
| 18 | Geode Capital Management ✦ (passive) | 7.24M | +18.1% | $34.62M | 0.0% | ▲ Add | 5 | SEC ↗ |
| 19 | Geode Capital Management ✦ (passive) | 7.24M | +18.1% | $34.62M | 0.0% | ▲ Add | 5 | SEC ↗ |
| 20 | State Street Global Advisors ✦ (passive) | 7.15M | +3.1% | $34.20M | 0.0% | ▲ Add | 3 | SEC ↗ |
| 21 | Millennium Management ✦ | 4.97M | +22.7% | $23.75M | 0.0% | ▲ Add | 2 | SEC ↗ |
| 22 | Two Sigma Investments ✦ | 4.09M | +148.4% | $19.56M | 0.0% | ▲ Add | 5 | SEC ↗ |
| 23 | Point72 Asset Management ✦ | 3.73M | New | $17.82M | 0.0% | New | 1 | SEC ↗ |
| 24 | Citadel Advisors ✦ | 1.96M | +24.8% | $9.37M | 0.0% | ▲ Add | 5 | SEC ↗ |
| 25 | Citadel Advisors ✦ | 1.96M | +24.8% | $9.37M | 0.0% | ▲ Add | 5 | SEC ↗ |
| 26 | Soros Fund Management ✦ | 1.30M | +67.5% | $6.21M | 0.2% | ▲ Add | 2 | SEC ↗ |
| 27 | T. Rowe Price ✦ | 132.47K | +54.0% | $634,000 | 0.0% | ▲ Add | 5 | SEC ↗ |
| 28 | AQR Capital Management ✦ | 22.43K | -70.3% | $107,240 | 0.0% | ▼ Trim | 5 | SEC ↗ |
| 29 | AQR Capital Management ✦ | 22.43K | -70.3% | $107,240 | 0.0% | ▼ Trim | 5 | SEC ↗ |
| 30 | AQR Capital Management ✦ | 22.43K | -70.3% | $107,240 | 0.0% | ▼ Trim | 5 | SEC ↗ |
| 31 | AQR Capital Management ✦ | 22.43K | -70.3% | $107,240 | 0.0% | ▼ Trim | 5 | SEC ↗ |
| 32 | Fidelity (FMR) ✦ | 12.35K | — | $59,023 | 0.0% | n/c | 1 | SEC ↗ |
“Their weight” = the position's share of that manager's reported 13F equity value — the conviction measure. ✦ = curated manager.
New buyers
| Point72 Asset Management | $17.82M | 0.0% |
Exited
| D. E. Shaw & Co. | $2.06M | was 0.0% |
| Wellington Management | $64,377 | was 0.0% |
Full-market context: across ALL 13F filers (SEC structured data, Q1 2026): 365 holders, 308.52M shares, $3.87B reported. This is a different, older period than the tracked-universe figures above and the two are never mixed.
What else this security's tracked holders most often hold — shared-ownership counts, not fundamental relationships.