VYX NCR Voyix Corporation

NYSE
$6.94

NCR Voyix Corporation (VYX) Hedge Fund Activity

This view isolates hedge funds from the broader institutional ownership shown on the Institutional tab. A pension fund tracking an index may have no view on a stock; when a hedge fund builds or exits a position, that decision can carry information. This page measures those changes. Positions as of June 30, 2026.

Based on quarterly 13F long-equity filings. Changes compare reported quarter-end positions; filings can be reported up to 45 days later and do not represent a fund's complete exposure.

Hedge fund breadth
-16.67
10 buyers / 14 sellers
SELLING
Funds compared
24
funds with comparable VYX positions
15 current holders · 18 prior-quarter holders
Net share change
-2.14M
+1.54M added, -3.68M cut
Position activity
6 new 4 increased 5 reduced 9 exited

Most significant moves

Ranked by conviction, not size — how much of the fund's own book the position represents, how far it moved, and what kind of fund made it.

Fund Action Shares changed Change Est. value Portfolio wt. Score
CITADEL ADVISORS LLC Quant Sold Out -73.1K -100.0% $597.3K 0.0% 58
Qube Research & Technologies Ltd Quant Sold Out -572.7K -100.0% $4.7M 0.0% 57
North Reef Capital Management Long/Short Sold Out -810.7K -100.0% $6.6M 0.0% 57
TWO SIGMA INVESTMENTS, LP Quant New +23.4K $191.4K 0.0% 57
Squarepoint Ops LLC Quant Sold Out -116.8K -100.0% $954.3K 0.0% 54
Wolverine Asset Management Event Quant New +40.7K $332.6K 0.0% 54
D. E. Shaw & Co., Inc. Quant Increased +290.8K +104.2% $2.4M 0.0% 54
Caxton Associates Macro New +73.8K $603.2K 0.0% 53
Trexquant Investment Quant New +480.0K $3.9M 0.0% 53
Walleye Capital Long/Short Quant New +25.8K $211.0K 0.2% 52

Most significant buyers

By move score, not size.

  • TWO SIGMA INVESTMENTS, LP New · +23.4K
  • Wolverine Asset Management New · +40.7K
  • D. E. Shaw & Co., Inc. Increased · +290.8K
  • Caxton Associates New · +73.8K
  • Trexquant Investment New · +480.0K

Most significant sellers

By move score, not size.

  • CITADEL ADVISORS LLC Sold Out · -73.1K
  • Qube Research & Technologies Ltd Sold Out · -572.7K
  • North Reef Capital Management Sold Out · -810.7K
  • Squarepoint Ops LLC Sold Out · -116.8K
  • Edgestream Partners Sold Out · -402.8K

Hedge fund positions

Fund Tier Shares Previous Change Change % Portfolio wt. Action Score
CITADEL ADVISORS LLC 1 0 73.1K -73.1K -100.0% 0.0% Sold Out 58
Qube Research & Technologies Ltd 2 0 572.7K -572.7K -100.0% 0.0% Sold Out 57
North Reef Capital Management 2 0 810.7K -810.7K -100.0% 0.0% Sold Out 57
TWO SIGMA INVESTMENTS, LP 2 23.4K 0 +23.4K 0.0% New 57
Squarepoint Ops LLC 2 0 116.8K -116.8K -100.0% 0.0% Sold Out 54
Wolverine Asset Management 2 40.7K 0 +40.7K 0.0% New 54
D. E. Shaw & Co., Inc. 1 569.8K 279.1K +290.8K +104.2% 0.0% Increased 54
Caxton Associates 3 73.8K 0 +73.8K 0.0% New 53
Trexquant Investment 3 480.0K 0 +480.0K 0.0% New 53
Walleye Capital 3 25.8K 0 +25.8K 0.2% New 52
Edgestream Partners 4 0 402.8K -402.8K -100.0% 0.0% Sold Out 51
Schonfeld Strategic Advisors 3 0 12.2K -12.2K -100.0% 0.0% Sold Out 51
Winton Group 4 0 317.9K -317.9K -100.0% 0.0% Sold Out 51
Graham Capital Management 3 14.8K 0 +14.8K 0.0% New 49
Engineers Gate 4 0 23.0K -23.0K -100.0% 0.0% Sold Out 48
ExodusPoint Capital Management 3 17.4K 382.1K -364.6K -95.4% 0.0% Reduced 47
Capital Fund Management 3 418.0K 220.6K +197.5K +89.5% 0.0% Increased 46
Quantbot Technologies 4 0 45.3K -45.3K -100.0% 0.0% Sold Out 45
MARSHALL WACE, LLP 2 403.9K 1.3M -848.3K -67.7% 0.0% Reduced 44
MILLENNIUM MANAGEMENT LLC 2 1.1M 758.6K +331.7K +43.7% 0.0% Increased 39
Gotham Asset Management, LLC 2 57.5K 130.6K -73.2K -56.0% 0.0% Reduced 37
AQR Capital Management 3 201.0K 141.3K +59.7K +42.3% 0.0% Increased 30
Balyasny Asset Management L.P. 2 296.0K 311.1K -15.1K -4.9% 0.0% Reduced 27
Brevan Howard Capital Management 3 52.3K 57.3K -5.0K -8.6% 0.0% Reduced 21

Every fund above opens. Subscribers can see any manager's whole portfolio — every position, its weight, and what they bought, trimmed and exited last quarter.

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Hedge funds are identified from their 13F filings, which are due 45 days after quarter end and cover long U.S.-listed equity positions only. A fund's short book never appears, so a reduced position can mean a changed view or a changed hedge — the filing doesn't say which.