Universe · entity

ADAGE CAPITAL PARTNERS GP, L.L.C.

Institutional manager (13F) · CIK 1165408
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $33.1B
#IssuerValueShares
1NVIDIA CORPORATION$3.9B22,098,810
2APPLE INC$3.3B13,046,454
3MICROSOFT CORP$2.4B6,575,643
4AMAZON COM INC$1.9B9,156,260
5ALPHABET INC$1.5B5,215,600
6BROADCOM INC$1.3B4,112,056
7META PLATFORMS INC$1.2B2,059,335
8ALPHABET INC$1.2B4,104,520
9TESLA INC$898M2,414,500
10ELI LILLY & CO$880M956,817
11BERKSHIRE HATHAWAY INC DEL$804M1,677,769
12CONOCOPHILLIPS$795M6,019,177
13JPMORGAN CHASE & CO$710M2,415,266
14JOHNSON & JOHNSON$602M2,463,008
15REVOLUTION MEDICINES INC$533M5,475,611
16CHEVRON CORPORATION$517M2,500,766
17WALMART INC$455M3,662,026
18VISA INC$450M1,489,040
19PROCTER & GAMBLE CO$407M2,816,973
20COSTCO WHOLESALE CORPORATION$396M397,677
21EXXON MOBIL CORP$376M2,218,922
22MICRON TECHNOLOGY INC$374M1,105,603
23ROYALTY PHARMA PLC$359M7,480,633
24MASTERCARD INCORPORATED$357M713,610
25CENTESSA PHARMACEUTICALS PLC$355M8,925,010
26ROIVANT SCIENCES LTD$354M12,794,097
27NETFLIX INC.$349M3,632,430
28MERCK & CO INC$323M2,687,439
29ABBVIE INC$320M1,470,271
30HOME DEPOT INC$314M953,856
31BANK AMERICA CORP$312M6,399,373
32CISCO SYS INC$301M3,884,521
33PALANTIR TECHNOLOGIES INC$299M2,046,400
34GE AEROSPACE$294M1,034,763
35OVINTIV INC$291M4,907,109
36CSX CORP$291M7,085,533
37BOSTON SCIENTIFIC CORP$291M4,633,237
38COCA COLA CO$289M3,802,182
39COTERRA ENERGY INC$289M8,219,512
40ORACLE CORP$282M1,919,116
41CATERPILLAR INC$274M386,804
42RTX CORPORATION$272M1,412,457
43ADVANCED MICRO DEVICES INC$270M1,325,594
44THERMO FISHER SCIENTIFIC INC$268M545,832
45TANGO THERAPEUTICS INC$268M12,809,485
46PRAXIS PRECISION MEDICINES I$263M815,739
47UNITEDHEALTH GROUP INC$259M956,506
48LAM RESEARCH CORP$247M1,158,120
49NORFOLK SOUTHN CORP$245M854,036
50VIPER ENERGY INC$235M5,004,690
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.