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MRTX

Mirati Therapeutics, Inc. Common Stock

Delisted

MRTX was delisted on the 22nd of January, 2024.

Name Holding Trade Value Shares
Change
Change in
Stake
Marshall Wace
26
Marshall Wace
United Kingdom
$21.1M +$1.31M +31,709 +6%
CS
27
Credit Suisse
Switzerland
$19.5M +$663K +16,083 +3%
Millennium Management
28
Millennium Management
New York
$18.3M +$20M +486,275 +2,555%
Citadel Advisors
29
Citadel Advisors
Florida
$17.4M +$16.1M +391,174 +432%
Dimensional Fund Advisors
30
Dimensional Fund Advisors
Texas
$17.1M +$6.92M +167,874 +55%
Charles Schwab
31
Charles Schwab
California
$15.8M +$229K +5,554 +1%
Norges Bank
32
Norges Bank
Norway
$15.6M -$9.28M -225,295 -34%
Voloridge Investment Management
33
Voloridge Investment Management
Florida
$14.7M -$11.2M -272,623 -40%
WP
34
Woodline Partners
California
$13.5M +$4.42M +107,232 +40%
Bank of America
35
Bank of America
North Carolina
$11.8M -$2.41M -58,494 -15%
UBS AM
36
UBS AM
Illinois
$11.3M
D.E. Shaw & Co
37
D.E. Shaw & Co
New York
$9.5M +$715K +17,352 +7%
IBT
38
International Biotechnology Trust
United Kingdom
$9.39M +$659K +16,000 +7%
B
39
Braidwell
Connecticut
$8.69M -$8.71M -211,375 -47%
Deutsche Bank
40
Deutsche Bank
Germany
$8.51M -$137K -3,326 -1%
New York State Common Retirement Fund
41
New York State Common Retirement Fund
New York
$8.41M +$26.5K +643 +0.3%
Nuveen
42
Nuveen
North Carolina
$8.38M -$1.18M -28,524 -11%
Jane Street
43
Jane Street
New York
$8.31M +$3.33M +80,755 +54%
Susquehanna International Group
44
Susquehanna International Group
Pennsylvania
$8.13M -$5.67M -137,511 -38%
Allspring Global Investments
45
Allspring Global Investments
North Carolina
$8.05M -$424K -10,302 -4%
Rafferty Asset Management
46
Rafferty Asset Management
New York
$7.9M +$1.86M +45,123 +26%
Northern Trust
47
Northern Trust
Illinois
$7.76M +$459K +11,151 +5%
GTC
48
Ghost Tree Capital
New York
$7.23M +$2.47M +60,000 +43%
Jacobs Levy Equity Management
49
Jacobs Levy Equity Management
New Jersey
$7.06M +$437K +10,604 +6%
5VM
50
5AM Venture Management
California
$6.96M +$7.93M +192,500 New