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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.
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4
CORMORANT ASSET MANAGEMENT LLC (Bihua ChenHM-KEY)

Time Period2017-09-30

Total Holdings51

Total Value ($x1000)566,356
Activities
New5

Increased6

Unchanged26

Decreased14

Sold Out25

Top 10 Stock Holdingstotal 52.21%
MYOK8.11

RXDX7.63

OMER6.49

ANAB6.17

TBPH5.74

 
PTLA4.77

GTHX3.94

BLUE3.33

QTNT3.03

CLSD3

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
MYOK
8.11%
COM
RXDX
7.63%
COM
OMER
6.49%
COM
ANAB
6.17%
COM
TBPH
5.74%
COM
PTLA
4.77%
COM
GTHX
3.94%
COM
BLUE
3.33%
COM
QTNT
3.03%
SHS
CLSD
3%
COM
JUNO
2.97%
COM
OMER
2.86%
CALL
NBIX
2.71%
COM
ACRS
2.51%
COM
RETA
2.13%
CL A
EGRX
2.11%
COM
MRTX
2.07%
COM
ARRY
1.95%
COM
ALDR
1.95%
COM
HRTX
1.63%
COM
NVRO
1.6%
COM
BOLD
1.6%
COM
ZLAB
1.59%
ADR
PTGX
1.56%
COM
PTI
1.41%
COM
GEMP
1.33%
COM
NTEC
1.28%
SHS
ABEO
1.2%
COM
SGMO
1.06%
COM
JNCE
0.99%
COM
AGRX
0.98%
COM
BPMC
0.92%
COM
MRSN
0.9%
COM
AAAP
0.9%
SPONSORED ADS
NERV
0.82%
COM
WVE
0.78%
SHS
SYRS
0.77%
COM
CBAY
0.71%
COM
CFRX
0.7%
COM
ARDX
0.57%
COM
COLL
0.56%
COM
TRIL
0.55%
COM NEW
IMDZ
0.51%
COM
XLRN
0.49%
COM
OVID
0.34%
COM
CTMX
0.32%
COM
CRIS
0.3%
COM
ONS
0.14%
COM
ONSIW
0.01%
*W EXP 02/18/201
ONSIZ
< 0.01%
*W EXP 05/18/201
CLRBW
< 0.01%
*W EXP 08/20/201
GLPG
3.8%
SPON ADR
ALNY
1.65%
COM
CHRS
1.48%
COM
SGYP
0.89%
COM NEW
DXCM
0.85%
COM
IVTY
0.84%
COM NEW
DERM
0.82%
COM
FLGT
0.79%
COM
AGEN
0.78%
COM NEW
RIGL
0.7%
COM NEW
SRNE
0.56%
COM NEW
LPCN
0.49%
COM
RGNX
0.39%
COM
REPH
0.39%
COM
PFNX
0.38%
COM
ZYME
0.32%
COM
XNCR
0.26%
COM
APTO
0.2%
COM NEW
MYOV
0.19%
COM
PORTOLA ...
0.19%
CALL
ABBV
0.16%
CALL
HTGM
0.09%
COM
NEOS
0.06%
COM
THLD
0.06%
COM NEW
CLRB
0.01%
COM