We are live on ! Find out more
COGT icon

Cogent Biosciences

Name Holding Trade Value Shares
Change
Change in
Stake
EAM
1
Eventide Asset Management
Massachusetts
$30.2M +$30.6M +3,514,909 New
PA
2
Perceptive Advisors
New York
$27.4M
TCM
3
TCG Crossover Management
California
$23.6M +$23.9M +2,750,037 New
BlackRock
4
BlackRock
New York
$23.2M -$292K -33,581 -1%
Janus Henderson Group
5
Janus Henderson Group
$21.6M +$185K +21,293 +0.9%
CC
6
Commodore Capital
New York
$19.6M +$3.21M +368,804 +19%
VC
7
Vivo Capital
California
$16.5M +$4.35M +500,000 +35%
CS
8
Candriam SCA
Luxembourg
$16M -$534K -61,477 -3%
FM
9
Frazier Management
Washington
$15.2M +$15.4M +1,774,891 New
GTC
10
Ghost Tree Capital
New York
$14.6M +$1.74M +200,000 +13%
Vanguard Group
11
Vanguard Group
Pennsylvania
$14.2M +$484K +55,617 +3%
DM
12
Deerfield Management
New York
$13.7M
FFM
13
Fairmount Funds Management
Pennsylvania
$13.4M
BI
14
BVF Inc
California
$13.1M
ABG
15
Ally Bridge Group
New York
$12.9M -$1.05M -121,000 -7%
VA
16
VR Adviser
New York
$9.34M
PIM
17
Platinum Investment Management
Australia
$9.02M +$595K +68,401 +7%
RCM
18
RA Capital Management
Massachusetts
$8.8M
Marshall Wace
19
Marshall Wace
United Kingdom
$8.6M +$8.71M +1,002,250 New
AVAI
20
Atlas Venture Associates IX
Massachusetts
$7.87M
Point72 Asset Management
21
Point72 Asset Management
Connecticut
$7.44M -$1.2M -138,403 -14%
SCM
22
Silverarc Capital Management
Massachusetts
$7.3M +$1.5M +173,035 +26%
FCM
23
Farallon Capital Management
California
$5.15M
State Street
24
State Street
Massachusetts
$5.13M +$130K +14,993 +3%
Axa
25
Axa
France
$5.12M +$62K +7,130 +1%