Universe · entity

EVENTIDE ASSET MANAGEMENT, LLC

Institutional manager (13F) · CIK 1442891
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.7B
#IssuerValueShares
1GUARDANT HEALTH INC$218M2,362,379
2TRANE TECHNOLOGIES PLC$169M406,555
3LAM RESEARCH CORP$147M688,402
4MIRUM PHARMACEUTICALS INC$130M1,408,871
5TARGA RES CORP$126M502,287
6XOMETRY INC$121M2,960,239
7GE VERNOVA INC$116M133,200
8OLD DOMINION FREIGHT LINE IN$115M591,691
9SCHOLAR ROCK HLDG CORP$108M2,197,385
10ARGENX SE$92M125,657
11ASML HLDG NV$90M68,110
12IRHYTHM HOLDINGS INC$90M760,825
13INSMED INC$89M546,310
14AXSOME THERAPEUTICS INC.$88M519,558
15VAXCYTE INC$80M1,374,292
16ENTERGY CORP NEW$77M682,847
17VISTRA CORP$74M492,711
18UNITED RENTALS INC$71M97,795
19LIBERTY ENERGY INC$69M2,403,098
20TOAST INC$66M2,488,669
21METTLER TOLEDO INTERNATIONAL$64M50,751
22MONOLITHIC PWR SYS INC$63M58,154
23ROYALTY PHARMA PLC$63M1,312,534
24NVENT ELEC PLC$62M523,557
25WILLIAMS COS INC$61M832,248
26NASDAQ INC$60M711,839
27GENERAC HLDGS INC$60M306,838
28BETA BIONICS INC$60M5,945,488
29D R HORTON INC$59M430,871
30KLA CORP$58M39,639
31BELITE BIO INC$57M357,650
32LATTICE SEMICONDUCTOR CORP$57M611,138
33PROLOGIS INC.$56M427,133
34TRANSMEDICS GROUP INC$55M548,824
35DT MIDSTREAM INC$54M401,951
36NISOURCE INC$53M1,143,590
37KYMERA THERAPEUTICS INC$52M626,925
38RB GLOBAL INC$51M528,143
39WASTE CONNECTIONS INC$50M309,927
40OREILLY AUTOMOTIVE INC$50M539,880
41QUANTA SVCS INC$49M89,386
42COLLEGIUM PHARMACEUTICAL INC$47M1,424,282
43APOGEE THERAPEUTICS INC$47M557,423
44VULCAN MATLS CO$46M169,572
45NVIDIA CORPORATION$45M259,419
46EASTGROUP PPTYS INC$44M235,730
47IONIS PHARMACEUTICALS INC$43M575,000
48STERIS PLC$43M194,635
49PALO ALTO NETWORKS INC$40M252,151
50LOWES COS INC$40M170,635
All filings on EDGAR ↗

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