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Grayscale Bitcoin Mini Trust ETF
Latest close $343 of 27 marquee funds currently hold1 CUSIP mapped
Current holders
3
27 funds tracked
Ever held
3
Current + past
New this quarter
0
Exited this quarter
0

Marquee-fund ownership over time

Feb 13, 2025Feb 14, 2025May 15, 2025Nov 14, 2025
Now
3

Current holders

Sorted by tenure (longest first)
FundEntry priceLatest closeReturn on entry
Renaissance Technologies$43$34-20%
Citadel Advisors re-entered$43$34-21%
Millennium Management$43$34-21%

“Return on entry” is the price-only move from the fund's first disclosure to today — it ignores any adds, trims, or dividends. A fund that built its position over multiple quarters has a true cost basis somewhere between entry price and latest close; this figure is the upper bound.

Fundamentals

XBRL · Grayscale Bitcoin Mini Trust ETF

Annual figures sourced directly from Grayscale Bitcoin Mini Trust ETF's 10-K / 10-Q filings via SEC EDGAR XBRL. Latest fiscal year and the year-over-year change, with up to ten years of history.

Net income
-$437.22M
FY2025-145% YoY
Free cash flow(?)
-$1.12B
FY2025-37% YoY

Recent SEC filings

10-K · 10-Q · 8-K · 13D/G · proxy

The most recent material filings for Grayscale Bitcoin Mini Trust ETF — earnings, material events, ownership disclosures, proxy statements. Form 4 insider activity is shown in the panel above.

Trade history

Every open→close lifecycle across tracked funds
FundOpen dateClose dateOpen priceClose price / currentReturn
Citadel AdvisorsQ4 2025open$42$34-19%
Citadel AdvisorsQ1 2025Q2 2025$43$46+6%
Millennium ManagementQ1 2025open$43$34-21%
Renaissance TechnologiesQ1 2025open$43$34-20%
Caveats
  • Covers only the 27 marquee funds tracked here, not the full institutional universe. A “0 holders” reading does not mean unowned.
  • Heavy funds (Renaissance Technologies, Citadel Advisors, Soros Fund Management, Two Sigma Investments, D.E. Shaw, AQR Capital Management, Millennium Management, Point72 Asset Management) use 8-quarter snapshots, so their pre-2024 history is missing.
  • “Current” reflects each fund's most recent 13F — filings lag the actual trade by up to 45 days; positions shown may have changed since.
  • Cost = price at the entry filing date. Re-entered positions show the most recent open lot.
  • Options, ADRs, and unmapped CUSIPs are excluded from the follower-backtest pipeline that produces these snapshots, so certain holding types won't appear here.