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TCON

TRACON Pharmaceuticals, Inc. Common Stock

Delisted

TCON was delisted on the 27th of June, 2024.

Name Holding Trade Value Shares
Change
Change in
Stake
IC
1
Ikarian Capital
Texas
$11.2M +$5.79M +108,127 New
OM
2
Opaleye Management
Massachusetts
$10.4M +$5.39M +100,672 New
NMC
3
NEA Management Company
Maryland
$1.79M
LA
4
Linden Advisors
New York
$1.47M
BFM
5
Boothbay Fund Management
New York
$1.22M +$633K +11,815 New
JJIJ
6
Johnson & Johnson Innovation - JJDC
New Jersey
$434K
GCP
7
GSA Capital Partners
United Kingdom
$422K +$219K +4,084 New
Renaissance Technologies
8
Renaissance Technologies
New York
$421K -$525K -9,795 -71%
6CM
9
683 Capital Management
New York
$388K
Millennium Management
10
Millennium Management
New York
$358K -$7.01K -131 -4%
VF
11
Virtu Financial
New York
$316K +$60.3K +1,126 +58%
TI
12
Telemetry Investments
New York
$283K -$189K -3,534 -56%
Jane Street
13
Jane Street
New York
$200K +$104K +1,937 New
DY
14
Dowling & Yahnke
California
$157K +$26.8K +500 +49%
SFI
15
Susquehanna Fundamental Investments
Pennsylvania
$133K +$68.9K +1,286 New
Goldman Sachs
16
Goldman Sachs
New York
$99K +$51K +953 New
VWM
17
Vigilare Wealth Management
Arizona
$88K +$45.5K +850 New
MOS
18
MGO One Seven
Ohio
$83K +$42.8K +800 New
Vanguard Group
19
Vanguard Group
Pennsylvania
$75K
H
20
HoyleCohen
California
$62K +$32.1K +600 New
LC
21
Lindbrook Capital
California
$52K +$26.8K +500 New
BlackRock
22
BlackRock
New York
$28K
UBS Group
23
UBS Group
Switzerland
$23K -$21.5K -401 -63%
Wells Fargo
24
Wells Fargo
California
$14K +$2.57K +48 +53%
TRCT
25
Tower Research Capital (TRC)
New York
$12K +$5.94K +111 New