Stock ownership
NAVIENT CORPORATION
- Ticker
- NAVI
- CUSIP
- 63938C108
- Held by
- 2 funds
- Combined value
- $8,621,859
+% bought more, −% sold down — each fund's last-quarter move (change in share count).
| Fund | Quarter | Last quarter | Value | % of fund |
|---|---|---|---|---|
| Tudor Investment Corp position history | Q1 2026 | −9% | $4,429,216 | 0.02% |
| Arbiter Partners Capital Management position history | Q1 2026 | +231% | $4,192,643 | 2.84% |