We are live on ! Find out more
APGE

Apogee Therapeutics
APGE

Delisted

APGE was delisted on the 2nd of September, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
Jennison Associates
26
Jennison Associates
New York
$49.2M +$464K +6,389 +1%
RCP
27
Remedium Capital Partners
Florida
$49.1M
FLAM
28
First Light Asset Management
Minnesota
$48.5M +$21.2M +291,693 +102%
EAM
29
Eventide Asset Management
Massachusetts
$46.9M +$8.82M +121,408 +28%
PCH
30
Polar Capital Holdings
United Kingdom
$45.4M +$2.59M +35,638 +7%
FTM
31
First Turn Management
California
$43.2M +$2.83M +38,931 +8%
B
32
Braidwell
Connecticut
$40.3M -$7M -96,400 -17%
NHAS
33
Novo Holdings A/S
Denmark
$37.9M -$8.71M -120,000 -21%
Federated Hermes
34
Federated Hermes
Pennsylvania
$37.3M +$22.9M +314,807 +246%
Balyasny Asset Management
35
Balyasny Asset Management
Illinois
$36.9M +$31.9M +438,654 New
Charles Schwab
36
Charles Schwab
California
$35.4M +$2.86M +39,322 +10%
Franklin Resources
37
Franklin Resources
California
$34.1M -$3.3M -45,464 -10%
Vanguard Portfolio Management
38
Vanguard Portfolio Management
Pennsylvania
$33.4M +$28.8M +396,330 New
Northern Trust
39
Northern Trust
Illinois
$32.9M +$4.61M +63,503 +19%
OM
40
Opaleye Management
Massachusetts
$32.8M +$127K +1,743 +0.4%
GPP
41
Great Point Partners
Connecticut
$31.5M
Vanguard Fiduciary Trust
42
Vanguard Fiduciary Trust
Pennsylvania
$31.1M +$26.8M +368,961 New
Loomis, Sayles & Company
43
Loomis, Sayles & Company
Massachusetts
$30.5M +$7.8M +107,342 +42%
Capital World Investors
44
Capital World Investors
California
$29.3M +$16.1M +221,056 +173%
FFM
45
Fairmount Funds Management
Pennsylvania
$25.1M -$127M -1,750,000 -85%
DTC
46
Deep Track Capital
Connecticut
$24M +$20.7M +285,000 New
Two Sigma Investments
47
Two Sigma Investments
New York
$23.7M +$12.8M +176,145 +167%
WP
48
Woodline Partners
California
$22M +$3.68M +50,654 +24%
Pictet Asset Management
49
Pictet Asset Management
Switzerland
$22M -$3.76M -51,833 -17%
Adage Capital Partners
50
Adage Capital Partners
Massachusetts
$21M +$726K +10,000 +4%