HoldingsChannel.com
Eventide Asset Management LLC Top Holdings
As of  06/30/2023, below is a summary of the Eventide Asset Management LLC top holdings by largest position size, as per the latest 13f filing made by Eventide Asset Management LLC. In the Eventide Asset Management LLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Eventide Asset Management LLC in that top holding, then the share count change between reporting periods, and finally the Eventide Asset Management LLC top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
ZENTALIS PHARMACEUTICALS INC 6,877,803 +3,650,803 $194,023
     ZNTL6,877,803+3,650,803$194,023
PALO ALTO NETWORKS INC 710,621 -148,711 $181,571
     PANW710,621-148,711$181,571
EXACT SCIENCES CORP 1,867,714 +178 $175,378
     EXAS1,867,714+178$175,378
OLD DOMINION FREIGHT LINE IN 444,864 +401 $164,488
     ODFL444,864+401$164,488
METTLER TOLEDO INTERNATIONAL 119,895 -11,945 $157,259
     MTD119,895-11,945$157,259
TRANE TECHNOLOGIES PLC 789,256 +587 $150,953
     TT789,256+587$150,953
GUARDANT HEALTH INC 4,008,602 +2,133,582 $143,508
     GH4,008,602+2,133,582$143,508
DOXIMITY INC 3,893,633 -1,350,910 $132,461
     DOCS3,893,633-1,350,910$132,461
ARGENX SE 329,076 +160 $128,251
     ARGX329,076+160$128,251
FLYWIRE CORPORATION 4,068,726 +43,438 $126,293
     FLYW4,068,726+43,438$126,293
IDEXX LABS INC 240,615 -17,382 $120,844
     IDXX240,615-17,382$120,844
WASTE CONNECTIONS INC 809,420 +144 $115,690
     WCN809,420+144$115,690
ROPER TECHNOLOGIES INC 236,822 -69,859 $113,864
     ROP236,822-69,859$113,864
POOL CORP 281,822 +13,685 $105,582
     POOL281,822+13,685$105,582
LOWES COS INC 448,483 +404 $101,223
     LOW448,483+404$101,223
GLOBAL E ONLINE LTD 2,463,339 -329,465 $100,849
     GLBE2,463,339-329,465$100,849
HUBSPOT INC 178,409 +28 $94,930
     HUBS178,409+28$94,930
MIRUM PHARMACEUTICALS INC 3,459,201 +1,400,000 $89,490
     MIRM3,459,201+1,400,000$89,490
D R HORTON INC 688,265 +130 $83,755
     DHI688,265+130$83,755
APTIV PLC 808,343 +9,987 $82,524
     APTV808,343+88,487$82,524
NEXTERA ENERGY PARTNERS LP 1,377,138 -73,705 $80,755
     NEP1,377,138-73,705$80,755
EVOLENT HEALTH INC 2,638,144 +735,389 $79,936
     EVH2,638,144+735,389$79,936
THE TRADE DESK INC 1,006,638 +2,280 $77,733
     TTD1,006,638+2,280$77,733
LAM RESEARCH CORP 117,368 +397 $75,451
     LRCX117,368+397$75,451
LITHIA MTRS INC 244,280 +118,781 $74,288
     LAD244,280+118,781$74,288
CHINOOK THERAPEUTICS INC 1,927,000 +487,436 $74,035
     KDNY1,927,000+487,436$74,035
KARUNA THERAPEUTICS INC 339,968 +70 $73,722
     KRTX339,968+70$73,722
DOUBLEVERIFY HLDGS INC 1,884,837 +16,596 $73,358
     DV1,884,837+16,596$73,358
CROWDSTRIKE HLDGS INC 497,334 +1,247 $73,043
     CRWD497,334+1,247$73,043
HORIZON THERAPEUTICS PUB L 689,708 -110,743 $70,936
     HZNP689,708-110,743$70,936
DLOCAL LTD 5,699,607 +1,238,463 $69,564
     DLO5,699,607+1,242,363$69,564
SHOCKWAVE MED INC 242,457 +582 $69,200
     SWAV242,457+582$69,200
XOMETRY INC      $69,168
     XMTR3,190,690+287,761$67,579
     NOTE 12,100,000+2,100,000$1,589
SHOALS TECHNOLOGIES GROUP IN 2,456,462 +281,373 $62,787
     SHLS2,456,462+281,373$62,787
TREX CO INC 882,499 +265 $57,857
     TREX882,499+265$57,857
FIVE9 INC 693,408 -372,042 $57,171
     FIVN693,408-372,042$57,171
COLLEGIUM PHARMACEUTICAL INC 2,631,257 +1,120 $56,546
     COLL2,631,257+1,120$56,546
ENTEGRIS INC 507,676 -95,007 $56,261
     ENTG507,676-95,007$56,261
MONOLITHIC PWR SYS INC 97,351 +20 $52,592
     MPWR97,351+20$52,592
ASCENDIS PHARMA A S 575,432 -207,408 $51,357
     ASND575,432-207,408$51,357
ASML HOLDING N V 69,288 +66 $50,216
     ASML69,288+66$50,216
DATADOG INC 495,873 +641 $48,784
     DDOG495,873+641$48,784
CELLDEX THERAPEUTICS INC NEW 1,377,740 UNCH $46,747
     CLDX1,377,740UNCH$46,747
SPROUT SOCIAL INC 1,002,754 +127,488 $46,287
     SPT1,002,754+127,488$46,287
CHENIERE ENERGY INC 301,193 +117 $45,890
     LNG301,193+117$45,890
COURSERA INC 3,402,095 -927 $44,295
     COUR3,402,095-927$44,295
NVENT ELECTRIC PLC 802,503 UNCH $41,465
     NVT802,503UNCH$41,465
LATTICE SEMICONDUCTOR CORP 427,941 -84,908 $41,112
     LSCC427,941-84,908$41,112
COGENT BIOSCIENCES INC 3,440,796 +851,018 $40,739
     COGT3,440,796+851,018$40,739
BROOKFIELD RENEWABLE PARTNER 1,236,000 UNCH $36,450
     BEP1,236,000UNCH$36,450

See Full List: All Stocks Held By Eventide Asset Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Eventide Asset Management LLC

Size ($ in 1000's)
At 06/30/2023: $5,916,861
At 03/31/2023: $5,450,453

Eventide Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Eventide Asset Management LLC 13F filings. Link to 13F filings: SEC filings

Eventide Asset Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

Copyright © 2013 - 2023, All Rights Reserved Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and videos powered by Market News Video. Quote data delayed at least 20 minutes; data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.