Fund shareholders of Borr Drilling Ltd.
ISIN BMG1466R1732 · Bermuda · LEI 213800J2JPCTXLHQ5R78
- Fund shareholders
- 127
- Of which ETFs
- 19 108 other funds
- Value held
- ≈ 336M $ 190.4M $ · 123.9M €
- Sold short
- 2.3 % by 1 fund, as of Aug 20, 2026
| Fund | Shares | Value | Weight in fund | |
|---|---|---|---|---|
| Harbor AlphaEdge Small Cap Earners ETF Harbor ETF Trust | 3,883 | 23.4K $ | 0.21 % | as of Apr 30, 2026 ↗ |
| Nuveen Life Stock Index Fund TIAA-CREF Life Funds | 3,755 | 21.7K $ | 0.00 % | as of Mar 31, 2026 ↗ |
| ULTRA SMALL CAP PROFUND ProFunds | 3,219 | 19.4K $ | 0.03 % | as of Apr 30, 2026 ↗ |
| BlackRock Advantage SMID Cap V.I. Fund BlackRock Variable Series Funds, Inc. | 2,577 | 14.9K $ | 0.01 % | as of Mar 31, 2026 ↗ |
| Wilshire 5000 Index Fund Wilshire Mutual Funds Inc | 1,875 | 10.8K $ | 0.00 % | as of Mar 31, 2026 ↗ |
| Gotham Enhanced Return Fund FundVantage Trust | 1,536 | 8.9K $ | 0.00 % | as of Mar 31, 2026 ↗ |
| VANGUARD EUROPEAN STOCK INDEX FUND VANGUARD INTERNATIONAL EQUITY INDEX FUNDS | 1,519 | 9.2K $ | as of Apr 30, 2026 ↗ | |
| Russell 2000 2x Strategy Fund Rydex Dynamic Funds | 1,322 | 7.6K $ | 0.01 % | as of Mar 31, 2026 ↗ |
| Knights of Columbus U.S. ALL CAP INDEX FUND ADVISORS' INNER CIRCLE III | 1,287 | 7.8K $ | 0.00 % | as of Apr 30, 2026 ↗ |
| PROFUND VP ULTRA SMALL CAP ProFunds | 954 | 5.5K $ | 0.04 % | as of Mar 31, 2026 ↗ |
| PROFUND VP SMALL CAP ProFunds | 721 | 4.2K $ | 0.04 % | as of Mar 31, 2026 ↗ |
| Russell 2000 Fund Rydex Series Funds | 608 | 3.5K $ | 0.03 % | as of Mar 31, 2026 ↗ |
| SMALL-CAP PROFUND ProFunds | 521 | 3.1K $ | 0.04 % | as of Apr 30, 2026 ↗ |
| Russell 2000 1.5x Strategy Fund Rydex Series Funds | 364 | 2.1K $ | 0.04 % | as of Mar 31, 2026 ↗ |
| ProShares Hedge Replication ETF ProShares Trust | 273 | 1.7K $ | 0.01 % | as of Feb 28, 2026 ↗ |
| ProShares Russell 2000 Dynamic Buffer ETF ProShares Trust | 83 | 508.8 $ | 0.05 % | as of Feb 28, 2026 ↗ |
| Russell 2000(R) 1.5x Strategy Fund Rydex Variable Trust | 70 | 403.9 $ | 0.01 % | as of Mar 31, 2026 ↗ |
| AZVALOR INTERNACIONAL, FI AZVALOR ASSET MANAGEMENT, SGIIC, S.A. | 79.8M € | 3.21 % | as of Dec 31, 2025 ↗ | |
| COBAS SELECCION, FI COBAS ASSET MANAGEMENT, SGIIC, S.A. | 21.4M € | 1.82 % | as of Dec 31, 2025 ↗ | |
| COBAS INTERNACIONAL, FI COBAS ASSET MANAGEMENT, SGIIC, S.A. | 19.9M € | 2.14 % | as of Dec 31, 2025 ↗ | |
| AZVALOR VALUE SELECTION, SICAV, S.A. AZVALOR ASSET MANAGEMENT, SGIIC, S.A. | 1.1M € | 4.37 % | as of Dec 31, 2025 ↗ | |
| CINVEST MULTIGESTION FI CINVEST MULTIGESTION/ GARP GESALCALA, S.A., S.G.I.I.C. | 514.4K € | 6.56 % | as of Dec 31, 2025 ↗ | |
| FINTECH INCOME,SICAV,S.A. GESALCALA, S.A., S.G.I.I.C. | 391K € | 6.62 % | as of Dec 31, 2025 ↗ | |
| COBAS VALUE, SICAV SA COBAS ASSET MANAGEMENT, SGIIC, S.A. | 330.1K € | 1.82 % | as of Dec 31, 2025 ↗ | |
| UVE EQUITY FUND, F.I. SOLVENTIS S.G.I.I.C., S.A. | 263.3K € | 5.99 % | as of Dec 31, 2025 ↗ | |
| DEEP VALUE INTERNATIONAL, FI GESIURIS ASSET MANAGEMENT, SGIIC, S.A. | 180.1K € | 0.24 % | as of Dec 31, 2025 ↗ | |
| AGAVE, FI DUX INVERSORES, SGIIC, S.A. | 106.4K € | 0.20 % | as of Dec 31, 2025 ↗ |
The funds most exposed to it
The weight is the share of a fund's net assets. The holders table ranks funds by number of shares. This one ranks them by the weight of the company in each fund.
| Fund | Weight in fund | |
|---|---|---|
| FINTECH INCOME,SICAV,S.A. GESALCALA, S.A., S.G.I.I.C. | 6.62 % | as of Dec 31, 2025 ↗ |
| CINVEST MULTIGESTION FI CINVEST MULTIGESTION/ GARP GESALCALA, S.A., S.G.I.I.C. | 6.56 % | as of Dec 31, 2025 ↗ |
| UVE EQUITY FUND, F.I. SOLVENTIS S.G.I.I.C., S.A. | 5.99 % | as of Dec 31, 2025 ↗ |
| AZVALOR VALUE SELECTION, SICAV, S.A. AZVALOR ASSET MANAGEMENT, SGIIC, S.A. | 4.37 % | as of Dec 31, 2025 ↗ |
| AZVALOR INTERNACIONAL, FI AZVALOR ASSET MANAGEMENT, SGIIC, S.A. | 3.21 % | as of Dec 31, 2025 ↗ |
| Energy Services Fund Rydex Variable Trust | 2.74 % | as of Mar 31, 2026 ↗ |
| Energy Services Fund Rydex Series Funds | 2.68 % | as of Mar 31, 2026 ↗ |
| Invesco Oil & Gas Services ETF Invesco Exchange-Traded Fund Trust | 2.46 % | as of Apr 30, 2026 ↗ |
| COBAS INTERNACIONAL, FI COBAS ASSET MANAGEMENT, SGIIC, S.A. | 2.14 % | as of Dec 31, 2025 ↗ |
| COBAS SELECCION, FI COBAS ASSET MANAGEMENT, SGIIC, S.A. | 1.82 % | as of Dec 31, 2025 ↗ |
Quarter after quarter
Each row is one quarter of SEC filings, newest first. The change compares each quarter with the one before.
| Quarter | Shareholders | Change | Shares | Change |
|---|---|---|---|---|
| 2026Q2 | 117 | +12 | 32,137,382 | +13.1 % |
| 2026Q1 | 105 | +13 | 28,406,434 | +9.7 % |
| 2025Q4 | 92 | +5 | 25,905,116 | -1.0 % |
| 2025Q3 | 87 | -6 | 26,170,496 | -39.4 % |
| 2025Q2 | 93 | -16 | 43,200,381 | -7.7 % |
| 2025Q1 | 109 | -26 | 46,781,984 | -18.0 % |
| 2024Q4 | 135 | 0 | 57,024,089 | +7.1 % |
| 2024Q3 | 135 | +3 | 53,254,583 | +3.0 % |
| 2024Q2 | 132 | +5 | 51,695,030 | +22.2 % |
| 2024Q1 | 127 | -8 | 42,287,947 | +5.6 % |
| 2023Q4 | 135 | 40,041,490 |
Short sellers of Borr Drilling Ltd.
Regulators publish the open short positions in this company. Titelia read them from quivad on Aug 20, 2026: today's figure
| Seller | Position | Disclosed on |
|---|---|---|
| AQR Capital Management, LLC | 2.3 % | Aug 18, 2026 |
Funds holding the debt of Borr Drilling Ltd.
4 funds declare 4 bond lines of this company. The amount is the one the fund files. It is not a share of the debt, because no regulator publishes the amount outstanding in open access.
| Fund | Bond lines | Value | |
|---|---|---|---|
| American Beacon SiM High Yield Opportunities Fund | 1 | 23.2M $ | as of Feb 28, 2026 |
| Lord Abbett Convertible Fund | 1 | 20M $ | as of Feb 28, 2026 |
| Lord Abbett High Yield Fund | 1 | 3.5M $ | as of Feb 28, 2026 |
| Payden High Income Fund | 1 | 1.3M $ | as of Apr 30, 2026 |
Cite this page
Titelia. "Fund shareholders of Borr Drilling Ltd.". https://titelia.com/en/stocks/borr-drilling-ltd-BMG1466R1732