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Stock Style
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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.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
3
3
11
0
1
1
9
12
22
EVENTIDE ASSET MANAGEMENT LLC

Time Period2018-09-30

Total Holdings145

Total Value ($x1000)2,722,974
Activities
New13

Increased35

Unchanged77

Decreased20

Sold Out12

Top 10 Stock Holdingstotal 27.21%
ASND4.02

SRPT3.68

XPO3.3

SEND2.66

SAGE2.56

 
LOW2.38

VRTX2.22

W2.17

ZGNX2.16

MYOV2.06

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
ASND
4.02%
SPONSORED ADR
SRPT
3.68%
COM
XPO
3.3%
COM
SEND
2.66%
COM
SAGE
2.56%
COM
LOW
2.38%
COM
VRTX
2.22%
COM
W
2.17%
CL A
ZGNX
2.16%
COM NEW
MYOV
2.06%
COM
SPLK
2.01%
COM
TTD
2%
CL A
VRNS
1.96%
COM
HUBS
1.94%
COM
AIMT
1.74%
COM
MIC
1.74%
MEMBERSHIP INT
PANW
1.72%
COM
AVRO
1.7%
COM
ALTR
1.6%
CL A
WCN
1.51%
COM
BLUE
1.49%
COM
LOXO
1.44%
COM
FIVN
1.43%
COM
NEP
1.42%
COM UNIT PART IN
KAR
1.34%
COM
LRCX
1.26%
COM
STLD
1.25%
COM
CCI
1.25%
COM
COLL
1.2%
COM
ASML
1.19%
N Y REGISTRY SHS
MGA
1.18%
COM
STKL
1.16%
COM
WBC
1.11%
COM
INST
1.05%
COM
LEA
0.98%
COM NEW
MGTA
0.96%
COM
ANAB
0.96%
COM
LII
0.95%
COM
ROP
0.95%
COM
ARGX
0.93%
SPONSORED ADR
ECYT
0.86%
COM
APTV
0.83%
SHS
BPMC
0.81%
COM
PEGI
0.78%
CL A
IPHI
0.77%
COM
QURE
0.76%
SHS
VCYT
0.75%
COM
KALV
0.73%
COM
MYOK
0.72%
COM
NBIX
0.7%
COM
GTT
0.7%
COM
MNTA
0.7%
COM
SLDB
0.69%
COM
STRO
0.67%
COM
STML
0.66%
COM
AY
0.65%
SHS
MTD
0.65%
COM
ANET
0.64%
COM
SNA
0.62%
COM
PFPT
0.62%
COM
HASI
0.59%
COM
PAYC
0.55%
COM
IMMU
0.53%
COM
CRUS
0.52%
COM
VKTX
0.51%
COM
VYGR
0.49%
COM
BMRN
0.47%
COM
VMC
0.45%
COM
SGEN
0.43%
COM
PTCT
0.42%
COM
BHVN
0.41%
COM
GWPH
0.4%
ADS
DOOR
0.4%
COM
BOLD
0.4%
COM
CELG
0.39%
COM
EXAS
0.38%
COM
RCKT
0.36%
COM
IFRX
0.35%
COM
REGN
0.34%
COM
XNCR
0.33%
COM
GBT
0.32%
COM
WVE
0.31%
SHS
FOLD
0.31%
COM
ETTX
0.3%
COM
KNSA
0.3%
CL A
BCRX
0.29%
COM
INCY
0.29%
COM
XLRN
0.27%
COM
UROV
0.26%
SHS
MDGL
0.26%
COM
RARX
0.26%
COM
CERN
0.26%
COM
EXR
0.25%
COM
RARE
0.25%
COM
SUPN
0.24%
COM
RGEN
0.22%
COM
FENC
0.22%
COM
AGIO
0.21%
COM
ALNY
0.2%
COM
SNSS
0.17%
COM PAR
GLPG
0.17%
SPON ADR
VBIV
0.16%
COM NEW
XENE
0.15%
COM
DERM
0.13%
COM
IRWD
0.13%
COM CL A
CRNX
0.13%
COM
MGNX
0.12%
COM
IOVA
0.12%
COM
BEP
0.11%
PARTNERSHIP UNIT
ABB
0.11%
SPONSORED ADR
CBIO
0.1%
COM NEW
TSM
0.1%
SPONSORED ADR
FHB
0.09%
COM
HMC
0.09%
AMERN SHS
JCI
0.08%
SHS
ETN
0.08%
SHS
TERP
0.08%
CL A
BG
0.07%
COM
BDN
0.07%
SH BEN INT NEW
SYRS
0.07%
COM
MLHR
0.06%
COM
SEP
0.06%
COM
GPMT
0.06%
COM
DLPH
0.06%
SHS
ALLK
0.06%
COM
EPIX
0.05%
COM NEW
CCI/PA
0.05%
6.875% CON PFD A
(NOTE)
0.05%
PRN
APU
0.05%
UNIT L P INT
CVA
0.05%
COM
ARE
0.05%
COM
CWEN
0.04%
CL C
VTR
0.04%
COM
ERIC
0.04%
ADR B SEK 10
HCN
0.04%
COM
PLD
0.04%
COM
CIG
0.03%
SP ADR N-V PFD
IR
0.03%
SHS
LXP
0.02%
COM
LRY
0.02%
SH BEN INT
(NOTE)
0.02%
PRN
PSA
0.01%
COM
ABBV
0.01%
COM
(NOTE)
0.01%
PRN
HERCULES...
0.01%
PRN
IDTI
1.09%
COM
ELLI
1.04%
COM
ARW
0.92%
COM
JELD
0.83%
COM
EIDX
0.14%
COM
DBVT
0.14%
SPONSORED ADR
ACAD
0.07%
COM
TSRO
0.05%
COM
NYLD
0.04%
CL C
AYI
0.03%
COM
EIGR
0.02%
COM
VICL
0.01%
COM NEW