CRHC Cohn Robbins

Cohn Robbins Holdings Corp. is a blank check company founded for the purpose of effecting a merger, share exchange, asset acquisition, share purchase, reorganization or similar business combination with one or more businesses or entities. The company intends to capitalize on the approximately 70 years of combined experience of its founders in investing and managing capital across markets and industries, structuring transactions, and building businesses. While the company may pursue an acquisition in any business industry or sector, there are attractive trends in several industries where its founders have particular expertise, including consumer and, within the technology sector, software and fintech. The company intends to target large, private equity and venture capital-owned assets, founder-led businesses and corporate carve-outs.

CRHC stock data



16 Aug 21
27 Oct 21
31 Dec 21
Quarter (USD)
Jun 21 Mar 21 Dec 20 Sep 20
Cost of revenue
Operating income
Operating margin
Net income
Net profit margin
Cash on hand
Change in cash
Diluted EPS
Annual (USD)
Dec 20
Cost of revenue
Operating income
Operating margin
Net income
Net profit margin
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Diluted EPS

Financial data from company earnings reports.

Cash burn rate (estimated) Burn method: Change in cash Burn method: Operating income/loss Burn method: FCF (opex + capex)
Last Q Avg 4Q Last Q Avg 4Q Last Q Avg 4Q
Cash on hand (at last report) 125.58K 125.58K 125.58K 125.58K 125.58K 125.58K
Cash burn (monthly) 89.67K 98.67K 216.98K 199.82K (positive/no burn) (positive/no burn)
Cash used (since last report) 352.28K 387.63K 852.41K 785.02K n/a n/a
Cash remaining -226.71K -262.05K -726.83K -659.44K n/a n/a
Runway (months of cash) -2.5 -2.7 -3.3 -3.3 n/a n/a

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Data for the last complete 13F reporting period. To see the most recent changes to ownership, click the ownership history button above.

39.9% owned by funds/institutions
13F holders
Current Prev Q Change
Total holders 34 127 -73.2%
Opened positions 15 86 -82.6%
Closed positions 108 28 +285.7%
Increased positions 4 24 -83.3%
Reduced positions 13 13
13F shares
Current Prev Q Change
Total value 342.8M 2.5B -86.3%
Total shares 33.06M 98.11M -66.3%
Total puts 0 0
Total calls 0 1.89M EXIT
Total put/call ratio
Largest owners
Shares Value Change
Cohn Robbins Sponsor 20.54M $213.82M 0.0%
Integrated Core Strategies 6.29M $65.5M 0.0%
Magnetar Financial 2.29M $23.4M NEW
Levin Capital Strategies 707.62K $7.22M +208.2%
Levin Easterly Partners 707.62K $7.22M +961.5%
GS Goldman Sachs 655.48K $6.69M -63.7%
TIG Advisors 364.89K $3.72M -33.6%
Wealthspring Capital 323.37K $3.3M NEW
Longfellow Investment Management 152.06K $1.55M NEW
Silver Rock Financial 125K $1.27M NEW
Largest transactions
Shares Bought/sold Change
Linden Advisors 0 -5.81M EXIT
Millennium Management 0 -3.92M EXIT
Ubs Oconnor 0 -3.28M EXIT
BX Blackstone 0 -3.2M EXIT
Park West Asset Management 0 -2.92M EXIT
Third Point 0 -2.73M EXIT
Glazer Capital 14K -2.69M -99.5%
Adage Capital Partners GP, L.L.C. 0 -2.67M EXIT
Aristeia Capital 0 -2.33M EXIT
Magnetar Financial 2.29M +2.29M NEW

Financial report summary

Management Discussion
  • We have neither engaged in any operations nor generated any operating revenues to date. Our only activities through June 30, 2021 were organizational activities, those necessary to prepare for the Initial Public Offering, and identifying a target company for a Business Combination. We will not generate any operating revenues until after the completion of our Business Combination, at the earliest. We generate non-operating income in the form of interest income on marketable securities held in the Trust Account. We incur expenses as a result of being a public company (for legal, financial reporting, accounting and auditing compliance), as well as for due diligence expenses.
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