Skip to main content

Stryve Foods, Inc.

SNAXDelisted Jul 10, 2025
Industry
Food and Kindred Products
SEC CIK
0001691936

Stryve Foods, Inc. was delisted on Jul 10, 2025; its insiders filed their last Form 4 on Nov 6, 2025; no institution reported holding it in 13F filings for Q2 2025; no superinvestor held it.

Q4 2021 vs. Q3 2021

How the institutions holding Stryve Foods, Inc. changed between Q3 2021 and Q4 2021.

All holders in Q4 2021All holders in Q3 2021

13F holders of SNAX: Q3 2021 compared with Q4 2021
MeasureQ3 2021Q4 2021Change
Holders2523−2
Shares4.19M2.96M−1.23M (−29.3%)
Value$22.4M$11.7M−$10.7M (−47.8%)

New holders (12)

Institutions that held Stryve Foods, Inc. at the end of Q4 2021 but not at the end of Q3 2021.

Institutions new to SNAX in Q4 2021
InstitutionSharesValue% of portfolio
Alpine Global Management, LLC786,662$3.11M0.46%
Invenomic Capital Management LP241,036$953.0K0.22%
National Asset Management, Inc.101,900$403.0K0.01%
Walleye Capital LLC26,571$105.0K0.00%
Geode Capital Management, LLC25,897$102.0K0.00%
Vanguard Group Inc16,690$66.0K0.00%
State Street Corp14,600$58.0K0.00%
Jane Street Group, LLC14,616$58.0K0.00%
Renaissance Technologies LLC14,100$56.0K0.00%
Northern Trust Corp10,567$42.0K0.00%
UBS Group AG1,849$7.00K0.00%
Bank of America Corp15$00.00%

Sold out (14)

Institutions that held Stryve Foods, Inc. at the end of Q3 2021 and filed for Q4 2021 without it.

Institutions that sold out of SNAX in Q4 2021
InstitutionShares, Q3 2021Value, Q3 2021
Ophir Asset Management Pty Ltd520,000$2.78M
CVI Holdings, LLC456,646$2.44M
Cooper Creek Partners Management LLC374,614$2.00M
Granite Point Capital Management, L.P.350,000$1.87M
Greenlight Capital Inc150,000$803.0K
Millrace Asset Group, Inc.83,795$448.0K
Millennium Management LLC64,269$344.0K
K2 Principal Fund, L.P.51,795$277.0K
Amtrust Financial Services, Inc.50,000$268.0K
CNH Partners LLC41,780$224.0K
Kepos Capital LP29,500$158.0K
Mak Capital One LLC25,458$136.0K
Tower Research Capital LLC (TRC)3,093$17.0K
Advisor Group Holdings, Inc.485$3.00K