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TCRR

TCR2 Therapeutics Inc. Common Stock

Delisted

TCRR was delisted on the 31st of May, 2023.

Name Holding Trade Value Shares
Change
Change in
Stake
MAM
1
MPM Asset Management
Massachusetts
$11.7M
TCM
2
Tang Capital Management
California
$10.6M +$1.58M +641,606 +21%
MB
3
MPM BioImpact
Massachusetts
$9.78M
Vanguard Group
4
Vanguard Group
Pennsylvania
$3.87M +$749K +303,462 +29%
RG
5
Redmile Group
California
$3.17M
KPF
6
K2 Principal Fund
Ontario, Canada
$3.13M +$2.66M +1,078,070 New
BlackRock
7
BlackRock
New York
$3.01M -$3.69M -1,495,222 -59%
BBA
8
Baker Bros. Advisors
New York
$2.18M
Renaissance Technologies
9
Renaissance Technologies
New York
$2.18M -$1.71M -691,300 -48%
AG
10
Artal Group
Luxembourg
$2.17M
JP Morgan Chase
11
JP Morgan Chase
New York
$2.03M -$33.9K -13,723 -2%
NM
12
Newtyn Management
New York
$2.01M +$1.71M +692,799 New
D.E. Shaw & Co
13
D.E. Shaw & Co
New York
$1.68M -$552K -223,620 -28%
Acadian Asset Management
14
Acadian Asset Management
Massachusetts
$1.57M +$154K +62,357 +13%
Two Sigma Advisers
15
Two Sigma Advisers
New York
$1.32M -$637K -258,400 -36%
Citadel Advisors
16
Citadel Advisors
Florida
$1.04M +$97.3K +39,438 +12%
Two Sigma Investments
17
Two Sigma Investments
New York
$956K -$1.01M -410,122 -55%
Millennium Management
18
Millennium Management
New York
$923K +$540K +218,947 +220%
Geode Capital Management
19
Geode Capital Management
Massachusetts
$903K -$561K -227,546 -42%
ACH
20
ArrowMark Colorado Holdings
Colorado
$753K
OMC
21
Oasis Management Company
Cayman Islands
$580K +$493K +200,000 New
Charles Schwab
22
Charles Schwab
California
$514K -$124K -50,448 -22%
Morgan Stanley
23
Morgan Stanley
New York
$434K -$340K -137,819 -48%
E
24
Ergoteles
New York
$427K +$364K +147,400 New
Bank of America
25
Bank of America
North Carolina
$400K -$192K -77,982 -36%