Find Hedge Fund Portfolio
Hedge Fund Manager
Time Period
Activity
Security Type
Top Percentile
?
Use this filter to see holdings within a selected percentile portfolio.

For example, click 10 to show only holdings in the top 10 percentile.

100908070605040302010%
Sectors
?
Use the pull down list to add one or more sectors to the space below and click Apply to filter out the holdings that belong to your selected sector(s).
 
Stock Style
?
Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
5
3
11
0
0
1
10
7
20
Kris JennerHM-KEY
ROCK SPRINGS CAPITAL MANAGEMENT LP
Time Period2018-06-30

Total Holdings147

Total Value ($x1000)2,598,744

Investment StyleGrowth

Activities
New11

Increased60

Unchanged52

Decreased24

Sold Out13

Top 10 Stock Holdingstotal 27.01%
UNH5.36

MDGL3.68

ISRG2.61

NBIX2.38

GWPH2.36

 
ALXN2.35

ABBV2.14

WCG2.11

MOH2.05

ACHC1.97

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
UNH
5.36%
COM
MDGL
3.68%
COM
ISRG
2.61%
COM NEW
NBIX
2.38%
COM
GWPH
2.36%
ADS
ALXN
2.35%
COM
ABBV
2.14%
COM
WCG
2.11%
COM
MOH
2.05%
COM
ACHC
1.97%
COM
LOXO
1.94%
COM
ONCE
1.73%
COM
HCA
1.7%
COM
COLL
1.51%
COM
SRPT
1.51%
COM
IRTC
1.5%
COM
PCRX
1.48%
COM
RDUS
1.28%
COM NEW
BGNE
1.27%
SPONSORED ADR
PEN
1.26%
COM
VRTX
1.25%
COM
EHC
1.17%
COM
SYK
1.16%
COM
CELG
1.1%
COM
DVA
1.09%
COM
PBYI
1.08%
COM
TSRO
1.07%
COM
AXGN
1.05%
COM
PRAH
1.04%
COM
WMGI
1%
ORD SHS 0.03 PAR
GILD
0.99%
COM
MDCO
0.97%
COM
TFX
0.95%
COM
ALDR
0.95%
COM
EW
0.92%
COM
EXAS
0.87%
COM
ALGN
0.87%
COM
INGN
0.85%
COM
BAX
0.84%
COM
HRTX
0.78%
COM
TMO
0.77%
COM
INCY
0.76%
COM
INSM
0.75%
COM PAR $.01
NUVA
0.75%
COM
FGEN
0.74%
COM
ABC
0.72%
COM
ZMH
0.69%
COM
MRSN
0.69%
COM
ASMB
0.68%
COM
ACRS
0.66%
COM
ALNY
0.66%
COM
GLPG
0.66%
SPON ADR
OBSV
0.65%
COM
JAZZ
0.65%
SHS USD
EPZM
0.65%
COM
BOLD
0.65%
COM
ARNA
0.63%
COM NEW
ASND
0.62%
SPONSORED ADR
HOLX
0.61%
COM
WST
0.61%
COM
BHVN
0.6%
COM
IDXX
0.6%
COM
FOLD
0.6%
COM
BIIB
0.59%
COM
RARE
0.59%
COM
XENT
0.59%
COM
TBPH
0.57%
COM
GTHX
0.5%
COM
EXEL
0.49%
COM
TBIO
0.49%
COM
BPMC
0.49%
COM
AMRN
0.48%
SPONS ADR NEW
PTLA
0.47%
COM
IMMU
0.46%
COM
MRTX
0.46%
COM
BMRN
0.45%
COM
CLVS
0.45%
COM
RIGL
0.43%
COM NEW
RTRX
0.42%
COM
ARGX
0.41%
SPONSORED ADR
ANAB
0.41%
COM
CLSD
0.4%
COM
NVTA
0.4%
COM
A
0.39%
COM
ZGNX
0.38%
COM NEW
CHRS
0.37%
COM
FIXX
0.37%
COM
FPRX
0.36%
COM
ARDX
0.36%
COM
ECYT
0.36%
COM
MNTA
0.36%
COM
RTIX
0.35%
COM
ADAP
0.34%
SPONDS ADR
ODT
0.34%
COM
CO
0.32%
SHS
APTX
0.32%
COM
CBAY
0.3%
COM
SPRO
0.3%
COM
SAGE
0.3%
COM
RARX
0.29%
COM
KURA
0.28%
COM
BLUE
0.27%
COM
ZLAB
0.27%
ADR
AGLE
0.26%
COM
GBT
0.26%
COM
MYOV
0.26%
COM
RYTM
0.26%
COM
ACHN
0.26%
COM
LJPC
0.25%
COM PAR $.0001 2
CRVS
0.24%
COM
MGNX
0.22%
COM
BSX
0.22%
COM
(NOTE)
0.21%
PRN
DERM
0.21%
COM
GTXI
0.21%
COM NEW
(NOTE)
0.2%
PRN
(NOTE)
0.19%
PRN
EVHC
0.19%
COM
ADVM
0.18%
COM
PRTK
0.18%
COM
CMTA
0.17%
COM
CORV
0.17%
COM
NVAX
0.17%
COM
DVAX
0.16%
COM NEW
(NOTE)
0.14%
PRN
CGEN
0.14%
ORD
SLDB
0.13%
COM
ITCI
0.13%
COM
AGN
0.11%
SHS
(NOTE)
0.11%
PRN
MNLO
0.1%
COM
TORC
0.1%
COM
NBRV
0.09%
SHS
MCRB
0.07%
COM
KNSA
0.06%
CL A
CDTX
0.06%
COM
(NOTE)
0.06%
PRN
(NOTE)
0.06%
PRN
BCRX
0.06%
COM
(NOTE)
0.05%
PRN
SCYX
0.05%
COM
PTI
0.05%
COM
PRTA
0.05%
CALL
(NOTE)
0.04%
PRN
(NOTE)
0.03%
PRN
CHMA
0.03%
COM
MCK
0.03%
COM
BMY
1.75%
COM
AET
1.72%
COM
AVXS
1%
COM
PRTA
0.5%
SHS
ZTS
0.36%
CL A
TXMD
0.24%
COM
SHPG
0.24%
SPONSORED ADR
AIMT
0.22%
COM
MRUS
0.14%
COM
CRME
0.12%
COM NO PAR
DBVT
0.07%
SPONSORED ADR
(NOTE)
0.04%
PRN
INFI
0.02%
COM