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SCPL — SCIPLAY CORPORATION

Reported value held$186.58M
Funds holding (latest)32
Sector—

SCPL (SCIPLAY CORPORATION) is tracked on HoldingsHub across five years of quarterly 13F filings. 32 funds have reported positions historically, with the sum of their latest reported stakes valued at $186.58M. No fund in our coverage reported a position in the latest filing period, which typically means the stock has fallen out of the tracked funds' portfolios rather than that it cannot be bought.

All figures on this page are computed from SEC Form 13F quarterly filings. 13F filers disclose long positions of $100,000 or more within 45 days of quarter end; short positions, options overlays and intra-quarter trades are not included, so treat the numbers as a quarterly snapshot of institutional ownership rather than real-time positioning.

FundQuarterSharesValuePortfolio WeightChange
Vanguard Group history Q3 2023 1.89M $42.95M 0.00% Reduce
Bank of America Corp history Q3 2023 1.24M $28.24M 0.00% Add
Manulife Financial history Q1 2023 1.15M $19.54M 0.02% Hold
Fidelity International (FIL) history Q3 2023 848.75K $19.33M 0.02% New
UBS Group AG history Q3 2023 779.92K $17.76M 0.01% Add
D. E. Shaw & Co history Q3 2023 587.39K $13.37M 0.01% Reduce
Citadel Advisors history Q3 2023 331.24K $7.54M 0.00% Reduce
Geode Capital Management history Q3 2023 268.29K $6.11M 0.00% Reduce
Two Sigma Investments history Q3 2023 249.63K $5.68M 0.02% Reduce
Goldman Sachs Group history Q3 2023 235.44K $5.36M 0.00% Add
JPMorgan Chase & Co history Q3 2023 202.19K $4.60M 0.00% Add
Deutsche Bank AG history Q2 2023 151.51K $2.98M 0.00% Hold
Davidson Kempner Capital Management history Q4 2021 212.12K $2.92M 0.06% New
Northern Trust Corp history Q3 2023 99.62K $2.27M 0.00% Reduce
Marshall Wace history Q3 2023 82.15K $1.87M 0.00% Reduce
Citigroup Inc history Q3 2023 48.45K $1.10M 0.00% Reduce
Moore Capital Management history Q2 2023 50.00K $984.00K 0.02% New
BNY Mellon history Q3 2023 36.12K $822.52K 0.00% Add
Morgan Stanley history Q3 2023 32.24K $734.17K 0.00% Reduce
Millennium Management history Q3 2023 28.23K $642.80K 0.00% Reduce

View all 32 fund holders →

New Positions (latest)

No fund opened a new position this quarter.

Fully Exited (vs previous quarter)

No tracked fund fully exited this quarter.

Fund Position History — shares by quarter (top 20 funds)

FundQ1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023
Vanguard Group 1.91M 1.97M 1.99M 2.00M 1.97M 2.02M 1.99M 1.95M 1.92M 1.90M 1.89M
Bank of America Corp — — 632.09K 1.21M 1.55M 788.85K 924.88K 584.53K 604.71K 532.37K 1.24M
Fidelity International (FIL) — — — — — — — — — — 848.75K
UBS Group AG — — 185.56K 172.40K 172.59K 375.36K 449.43K 373.46K 302.54K 557.53K 779.92K
D. E. Shaw & Co — — — 34.74K 117.34K 138.26K 158.87K 150.48K 173.84K 781.49K 587.39K
Citadel Advisors — — 118.39K 54.90K 607.02K 513.68K 478.40K 634.23K 847.16K 606.55K 331.24K
Geode Capital Management — — 254.70K 264.27K 272.99K 302.74K 304.63K 288.86K 283.32K 275.16K 268.29K
Two Sigma Investments — — 256.05K 176.19K 38.00K 167.17K 12.50K 94.41K 284.62K 340.59K 249.63K
Goldman Sachs Group — — 220.78K 210.32K 665.53K 782.07K 770.58K 655.11K 139.69K 135.10K 235.44K
JPMorgan Chase & Co — — — 3.24K 30.52K 112.04K 85.34K 116.60K 154.98K 44.91K 202.19K
Northern Trust Corp — — 113.43K 105.79K 103.38K 103.56K 106.47K 100.40K 102.23K 101.30K 99.62K
Marshall Wace — — 116.08K 163.70K 50.35K 101.58K — — — 103.90K 82.15K
Citigroup Inc — — 55.14K 25.09K 1.16M 1.51M 1.87M 3.07M 3.69M 82.44K 48.45K
BNY Mellon — — 37.66K 32.98K 35.08K 33.27K 39.92K 32.50K 37.23K 34.63K 36.12K
Morgan Stanley — — 75.46K 243.47K 899.95K 419.31K 689.25K 692.23K 651.99K 519.26K 32.24K
Millennium Management — — 677.41K 575.06K 648.80K 177.62K 42.70K 355.42K 618.62K 456.95K 28.23K
Janus Henderson Group — — — — 11.22K 12.27K 11.11K — 12.13K 19.18K 19.92K
Charles Schwab Investment Management — — — — — 10.41K 10.41K 10.41K — 10.25K 10.19K
Fidelity Management & Research (FMR) — — — — — — — 15 1.49K 1.51K 2.06K
Renaissance Technologies — — 484.40K 784.50K 580.80K 643.70K 640.60K 611.90K 671.90K 899.90K 1.05M

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