HoldingsChannel.com
Eventide Asset Management LLC Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
ASCENDIS PHARMA A S 1,698,648 UNCH $236,316
     ASND1,698,648UNCH$236,316
ZOGENIX INC 2,841,300 UNCH $148,117
     ZGNX2,841,300UNCH$148,117
SAREPTA THERAPEUTICS INC      $129,465
     SRPT996,000-223,000$128,524
     DBCV 1483,000+483,000$941
THE TRADE DESK INC 425,000 UNCH $110,407
     TTD425,000UNCH$110,407
AIMMUNE THERAPEUTICS INC 3,084,000 UNCH $103,221
     AIMT3,084,000UNCH$103,221
BIOHAVEN PHARMACTL HLDG CO L 1,634,000 UNCH $88,955
     BHVN1,634,000UNCH$88,955
FIVE9 INC 1,250,000 UNCH $81,975
     FIVN1,250,000UNCH$81,975
TWILIO INC 827,000 UNCH $81,278
     TWLO827,000UNCH$81,278
ROPER TECHNOLOGIES INC 214,000 UNCH $75,805
     ROP214,000UNCH$75,805
WASTE CONNECTIONS INC 804,000 UNCH $72,995
     WCN804,000UNCH$72,995
LOWES COS INC 590,400 +8,600 $70,706
     LOW590,400+8,600$70,706
PALO ALTO NETWORKS INC      $68,458
     PANW287,000UNCH$66,369
     NOTE 01,890,000+290,000$2,089
SPLUNK INC 428,000 UNCH $64,102
     SPLK428,000UNCH$64,102
MYOVANT SCIENCES LTD 4,126,131 -568,786 $64,038
     MYOV4,126,131-568,786$64,038
XYLEM INC 789,800 +2,700 $62,228
     XYL789,800+2,700$62,228
LAM RESEARCH CORP 201,000 -26,000 $58,772
     LRCX201,000-26,000$58,772
METTLER TOLEDO INTERNATIONAL 72,610 UNCH $57,600
     MTD72,610UNCH$57,600
SAGE THERAPEUTICS INC 790,000 UNCH $57,030
     SAGE790,000UNCH$57,030
NEXTERA ENERGY PARTNERS LP 1,065,922 +2,000 $56,121
     NEP1,065,922+2,000$56,121
HUBSPOT INC 350,000 UNCH $55,475
     HUBS350,000UNCH$55,475
ASML HOLDING N V 180,900 +2,500 $53,536
     ASML180,900+2,500$53,536
WAYFAIR INC 573,000 UNCH $51,782
     W573,000UNCH$51,782
MAGENTA THERAPEUTICS INC 3,393,894 +438,462 $51,451
     MGTA3,393,894+438,462$51,451
COLLEGIUM PHARMACEUTICAL INC 2,427,976 UNCH $49,968
     COLL2,427,976UNCH$49,968
LENNOX INTL INC 200,000 UNCH $48,794
     LII200,000UNCH$48,794
ARGENX SE 297,300 +67,300 $47,723
     ARGX297,300+67,300$47,723
CROWN CASTLE INTL CORP NEW      $46,339
     CCI323,100+4,500$45,929
     CCI.PRA320UNCH$410
VULCAN MATLS CO 318,900 +1,600 $45,918
     VMC318,900+1,600$45,918
EXACT SCIENCES CORP 495,000 UNCH $45,778
     EXAS495,000UNCH$45,778
GW PHARMACEUTICALS PLC 436,000 +261,000 $45,588
     GWPH436,000+261,000$45,588
MYOKARDIA INC 621,000 UNCH $45,262
     MYOK621,000UNCH$45,262
STEMLINE THERAPEUTICS INC 4,160,608 UNCH $44,227
     STML4,160,608UNCH$44,227
SMARTSHEET INC 975,000 UNCH $43,797
     SMAR975,000UNCH$43,797
BROOKFIELD RENEWABLE PARTNER 912,200 +828,300 $42,536
     BEP912,200+828,300$42,536
GLOBAL BLOOD THERAPEUTICS IN 535,000 UNCH $42,527
     GBT535,000UNCH$42,527
NEUROCRINE BIOSCIENCES INC      $39,941
     NBIX353,000UNCH$37,944
     NOTE 21,300,000+300,000$1,997
POOL CORPORATION 185,000 UNCH $39,290
     POOL185,000UNCH$39,290
MIRATI THERAPEUTICS INC 301,000 UNCH $38,787
     MRTX301,000UNCH$38,787
BLUEPRINT MEDICINES CORP 462,000 UNCH $37,011
     BPMC462,000UNCH$37,011
UNIQURE NV 500,000 UNCH $35,830
     QURE500,000UNCH$35,830
INPHI CORP 450,000 -105,000 $33,309
     IPHI450,000-105,000$33,309
VARONIS SYS INC 420,000 UNCH $32,638
     VRNS420,000UNCH$32,638
ROCKET PHARMACEUTICALS INC 1,415,000 UNCH $32,205
     RCKT1,415,000UNCH$32,205
MAGNA INTL INC 587,000 UNCH $32,191
     MGA587,000UNCH$32,191
KALVISTA PHARMACEUTICALS INC 1,680,000 UNCH $29,921
     KALV1,680,000UNCH$29,921
CINTAS CORP 111,000 UNCH $29,868
     CTAS111,000UNCH$29,868
IAA INC 610,000 UNCH $28,707
     IAA610,000UNCH$28,707
TREX CO INC 299,000 +299,000 $26,874
     TREX299,000+299,000$26,874
IDEXX LABS INC 102,900 UNCH $26,870
     IDXX102,900UNCH$26,870
OLD DOMINION FREIGHT LINE IN 140,400 +5,400 $26,645
     ODFL140,400+5,400$26,645

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 12/31/2019: $3,548,958
At 09/30/2019: $3,026,469

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

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