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40 /100
MEDIUM RISK
Score updated Aug 28, 2026

TWLV — Twelve Seas Investment Company III Dilution Risk Tracker

Track TWLV dilution risk with DilutionWatch's stock tracker. DilutionScore™ measures dilution risk across 5 factors — lower scores indicate higher risk of share dilution.

⚠️ Not financial advice. Do your own research before making any investment decisions.

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As of August 28, 2026, Twelve Seas Investment Company III (TWLV) has a DilutionWatch DilutionScore of 40/100, rated MEDIUM dilution risk. Twelve Seas Investment Company III has a market capitalization of $233.91M, 17.75M shares outstanding, 12 institutional holders tracked.

This page includes automatically generated factual summaries from DilutionWatch data. It is not financial advice, not investment research, and not a recommendation. Do your own research. Read the full disclaimer and terms of service.

Score Breakdown

📋 Offering Ability
46
💰 Cash Runway
25
📊 Float Risk
7
⚠️ Warrant Exposure
40
🔄 Convertible Debt
40

Dilution Forecast

☀️
Clear
No significant dilution signals
model est. 0%
No significant dilution signals detected for TWLV.
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Market Data

Market Cap$233.91M
Shares Outstanding17.75M
Float16.09M
Cash$495.5K
DebtN/A
Short InterestN/A

Institutional Holdings

QoQ: ↓ 82.8% shares (2026Q1 vs prior)
12 institutional holders · 2.96M shares
#1 HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND 800.0K shares
#2 LMR Partners LLP 450.0K shares
#3 MILLENNIUM MANAGEMENT LLC 400.0K shares
+ 9 more holders Sign up free to view →

Institutional holder totals are aggregated from ownership filings and may use a different share basis or reporting date than public float. They are not a reconciliation against tradeable float.

Short Interest

Short Interest1.2K
Days to Cover1.0
% of Float0.0%
FINRA data as of Jul 31, 2026

Recent SEC Activity

No recent SEC insights

Recent News

No recent news
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