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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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Market Cap
Large
Value
Mid
Blend
Small
Growth
3
4
12
0
0
1
9
12
27
EVENTIDE ASSET MANAGEMENT LLC

Time Period2018-06-30

Total Holdings144

Total Value ($x1000)2,409,605
Activities
New15

Increased41

Unchanged80

Decreased8

Sold Out15

Top 10 Stock Holdingstotal 24.58%
ASND3.83

XPO3.28

W3.09

SAGE2.4

LOW2.24

 
COLL2.19

SRPT2.06

SPLK1.86

HUBS1.82

BLUE1.81

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
ASND
3.83%
SPONSORED ADR
XPO
3.28%
COM
W
3.09%
CL A
SAGE
2.4%
COM
LOW
2.24%
COM
COLL
2.19%
COM
SRPT
2.06%
COM
SPLK
1.86%
COM
HUBS
1.82%
COM
BLUE
1.81%
COM
AIMT
1.81%
COM
MIC
1.81%
MEMBERSHIP INT
PANW
1.77%
COM
ABBV
1.72%
COM
VRTX
1.71%
COM
INST
1.66%
COM
LOXO
1.65%
COM
LRCX
1.63%
COM
WCN
1.62%
COM
VRNS
1.58%
COM
NEP
1.56%
COM UNIT PART IN
SGEN
1.53%
COM
MYOV
1.52%
COM
STKL
1.5%
COM
MGA
1.48%
COM
STLD
1.44%
COM
LEA
1.42%
COM NEW
ASML
1.41%
N Y REGISTRY SHS
TTD
1.4%
CL A
KAR
1.39%
COM
CCI
1.36%
COM
FIVN
1.28%
COM
WBC
1.24%
COM
MGTA
1.22%
COM
CELG
1.19%
COM
QURE
1.18%
SHS
IDTI
1.09%
COM
XLRN
1.07%
COM
AVRO
1.06%
COM
ELLI
1.04%
COM
ROP
1%
COM
APTV
0.99%
SHS
LII
0.98%
COM
ARW
0.92%
COM
ZGNX
0.88%
COM NEW
JELD
0.83%
COM
PEGI
0.83%
CL A
VCYT
0.83%
COM
GTT
0.82%
COM
PFPT
0.76%
COM
IPHI
0.75%
COM
STML
0.72%
COM
AY
0.72%
SHS
ANET
0.71%
COM
MTD
0.7%
COM
IMMU
0.69%
COM
NBIX
0.64%
COM
SNA
0.63%
COM
MYOK
0.62%
COM
AGIO
0.62%
COM
HASI
0.61%
COM
SLDB
0.59%
COM
VMC
0.59%
COM
CRUS
0.59%
COM
VYGR
0.57%
COM
MDGL
0.53%
COM
WVE
0.52%
SHS
DOOR
0.51%
COM
BOLD
0.44%
COM
BHVN
0.42%
COM
BPMC
0.4%
COM
PAYC
0.39%
COM
MNTA
0.38%
COM
IFRX
0.37%
COM
GWPH
0.37%
ADS
XNCR
0.35%
COM
ARGX
0.34%
SPONSORED ADR
EXR
0.33%
COM
REGN
0.33%
COM
EXAS
0.33%
COM
SUPN
0.32%
COM
RCKT
0.32%
COM
FENC
0.32%
COM
INCY
0.32%
COM
KALV
0.3%
COM
BMRN
0.29%
COM
RARE
0.28%
COM
CERN
0.27%
COM
ALNY
0.25%
COM
RGEN
0.21%
COM
KNSA
0.21%
CL A
ANAB
0.21%
COM
VBIV
0.21%
COM NEW
ECYT
0.2%
COM
SNSS
0.2%
COM PAR
RARX
0.16%
COM
GLPG
0.15%
SPON ADR
IRWD
0.15%
COM CL A
IOVA
0.15%
COM
EIDX
0.14%
COM
DBVT
0.14%
SPONSORED ADR
DERM
0.13%
COM
BEP
0.13%
PARTNERSHIP UNIT
MGNX
0.13%
COM
CBIO
0.12%
COM NEW
FHB
0.11%
COM
ABB
0.1%
SPONSORED ADR
DLPH
0.1%
SHS
PTCT
0.1%
COM
JCI
0.09%
SHS
HMC
0.09%
AMERN SHS
TSM
0.09%
SPONSORED ADR
SEP
0.09%
COM
BDN
0.08%
SH BEN INT NEW
BG
0.08%
COM
ETN
0.08%
SHS
EPIX
0.08%
COM NEW
ACAD
0.07%
COM
SYRS
0.06%
COM
GPMT
0.06%
COM
MLHR
0.06%
COM
TERP
0.06%
CL A
CCI/PA
0.06%
6.875% CON PFD A
APU
0.06%
UNIT L P INT
CVA
0.05%
COM
(NOTE)
0.05%
PRN
VTR
0.05%
COM
ARE
0.05%
COM
TSRO
0.05%
COM
HCN
0.05%
COM
NYLD
0.04%
CL C
PLD
0.04%
COM
ERIC
0.04%
ADR B SEK 10
CIG
0.03%
SP ADR N-V PFD
AYI
0.03%
COM
LRY
0.03%
SH BEN INT
LXP
0.03%
COM
IR
0.03%
SHS
PSA
0.02%
COM
EIGR
0.02%
COM
(NOTE)
0.02%
PRN
(NOTE)
0.02%
PRN
VICL
0.01%
COM NEW
HERCULES...
0.01%
PRN
AVXS
2.44%
COM
CAFD
0.88%
CL A RPT LTDPT
ONCE
0.84%
COM
TWLO
0.58%
CL A
TSLA
0.37%
COM
ATHN
0.25%
COM
AKCA
0.21%
COM
AQXP
0.12%
COM
ACRS
0.11%
COM
EPIX
0.09%
COM
FPRX
0.08%
COM
TNDM
0.06%
COM NEW
PRTA
0.06%
SHS
MNLO
0.04%
COM
WBK
0.04%
SPONSORED ADR