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APLS

Apellis Pharmaceuticals

Delisted

APLS was delisted on the 13th of May, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
IA
1
IFP Advisors
Florida
$10.2K -$9.12K -223 -47%
BlackRock
2
BlackRock
New York
– -$545M -13,536,964 Closed
ACA
3
Avoro Capital Advisors
New York
– -$492M -12,222,222 Closed
Morgan Stanley
4
Morgan Stanley
New York
– -$404M -10,042,399 Closed
State Street
5
State Street
Massachusetts
– -$275M -6,844,990 Closed
UBS Group
6
UBS Group
Switzerland
– -$250M -6,206,681 Closed
Vanguard Portfolio Management
7
Vanguard Portfolio Management
Pennsylvania
– -$217M -5,404,559 Closed
PCM
8
Pentwater Capital Management
Florida
– -$211M -5,250,000 Closed
Vanguard Capital Management
9
Vanguard Capital Management
Pennsylvania
– -$192M -4,768,944 Closed
DTC
10
Deep Track Capital
Connecticut
– -$182M -4,532,374 Closed
Point72 Asset Management
11
Point72 Asset Management
Connecticut
– -$168M -4,183,918 Closed
RI
12
RTW Investments
New York
– -$148M -3,685,045 Closed
HI
13
HBK Investments
Texas
– -$143M -3,550,000 Closed
SCM
14
Suvretta Capital Management
New York
– -$142M -3,518,471 Closed
Millennium Management
15
Millennium Management
New York
– -$90.8M -2,256,802 Closed
Geode Capital Management
16
Geode Capital Management
Massachusetts
– -$83.5M -2,075,075 Closed
JP Morgan Chase
17
JP Morgan Chase
New York
– -$35M -2,047,927 Closed
Goldman Sachs
18
Goldman Sachs
New York
– -$79.7M -1,980,144 Closed
Balyasny Asset Management
19
Balyasny Asset Management
Illinois
– -$77.1M -1,917,501 Closed
Dimensional Fund Advisors
20
Dimensional Fund Advisors
Texas
– -$53.7M -1,338,995 Closed
GCL
21
Glazer Capital LLC
New York
– -$52.1M -1,294,196 Closed
TAL
22
TIG Advisors LLC
New York
– -$50.4M -1,252,986 Closed
Toronto Dominion Bank
23
Toronto Dominion Bank
Ontario, Canada
– -$49.7M -1,236,436 Closed
Healthcare of Ontario Pension Plan (HOOPP) Trust Fund
24
Healthcare of Ontario Pension Plan (HOOPP) Trust Fund
Ontario, Canada
– -$48.4M -1,202,100 Closed
Bank of America
25
Bank of America
North Carolina
– -$47.9M -1,190,864 Closed