With 23.4% Distance From Low, Is Colombier Acquisition Corp. II (NYSE:CLBR) Poised For More Gains?

In last trading session, Colombier Acquisition Corp. II (NYSE:CLBR) saw 0.68 million shares changing hands with its beta currently measuring -0.16. Company’s recent per share price level of $13.25 trading at $0.1 or 0.76% at ring of the bell on the day assigns it a market valuation of $281.57M. That closing price of CLBR’s stock is at a discount of -4.0% from its 52-week high price of $13.78 and is indicating a premium of 23.4% from its 52-week low price of $10.15. Taking a look at company’s average trading volume for last 10-days demonstrates a volume of 0.78 million shares which gives us an average trading volume of 642.24K if we extend that period to 3-months.

Colombier Acquisition Corp. II (NYSE:CLBR) trade information

Upright in the green during last session for gaining 0.76%, in the last five days CLBR remained trading in the green while hitting it’s week-highest on Wednesday, 05/14/25 when the stock touched $13.25 price level, adding 3.85% to its value on the day. Colombier Acquisition Corp. II’s shares saw a change of 12.77% in year-to-date performance and have moved 1.84% in past 5-day. Colombier Acquisition Corp. II (NYSE:CLBR) showed a performance of 23.26% in past 30-days.

Colombier Acquisition Corp. II (NYSE:CLBR)’s Major holders

SCULPTOR CAPITAL LP is the top institutional holder at CLBR for having 1.46 million shares of worth $14.96 million. And as of 2024-06-30, it was holding 6.8512 of the company’s outstanding shares.

The second largest institutional holder is AQR ARBITRAGE LLC, which was holding about 1.29 million shares on 2024-06-30. The number of shares represents firm’s hold over 6.0565 of outstanding shares, having a total worth of $13.22 million.

On the other hand, INVESTMENT MANAGERS SERIES TRUST II-First Trust Merger Arbitrage Fund and RIVERNORTH OPPORTUNITIES FUND INC. are the top two Mutual Funds which own company’s shares. As of Dec 31, 2024 , the former fund manager was holding 535.42 shares of worth $7.09 million or 3.15% of the total outstanding shares. The later fund manager was in possession of 52.13 shares on Dec 31, 2024 , making its stake of worth around $0.69 million in the company or a holder of 0.31% of company’s stock.

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