
Entity | Amount | Change
03/31/2023 to 06/30/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
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6,877,803 | +3,650,803 | $194,023 |
ZNTL | 6,877,803 | +3,650,803 | $194,023 |
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710,621 | -148,711 | $181,571 |
PANW | 710,621 | -148,711 | $181,571 |
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1,867,714 | +178 | $175,378 |
EXAS | 1,867,714 | +178 | $175,378 |
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444,864 | +401 | $164,488 |
ODFL | 444,864 | +401 | $164,488 |
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119,895 | -11,945 | $157,259 |
MTD | 119,895 | -11,945 | $157,259 |
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789,256 | +587 | $150,953 |
TT | 789,256 | +587 | $150,953 |
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4,008,602 | +2,133,582 | $143,508 |
GH | 4,008,602 | +2,133,582 | $143,508 |
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3,893,633 | -1,350,910 | $132,461 |
DOCS | 3,893,633 | -1,350,910 | $132,461 |
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329,076 | +160 | $128,251 |
ARGX | 329,076 | +160 | $128,251 |
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4,068,726 | +43,438 | $126,293 |
FLYW | 4,068,726 | +43,438 | $126,293 |
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240,615 | -17,382 | $120,844 |
IDXX | 240,615 | -17,382 | $120,844 |
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809,420 | +144 | $115,690 |
WCN | 809,420 | +144 | $115,690 |
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236,822 | -69,859 | $113,864 |
ROP | 236,822 | -69,859 | $113,864 |
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281,822 | +13,685 | $105,582 |
POOL | 281,822 | +13,685 | $105,582 |
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448,483 | +404 | $101,223 |
LOW | 448,483 | +404 | $101,223 |
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2,463,339 | -329,465 | $100,849 |
GLBE | 2,463,339 | -329,465 | $100,849 |
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178,409 | +28 | $94,930 |
HUBS | 178,409 | +28 | $94,930 |
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3,459,201 | +1,400,000 | $89,490 |
MIRM | 3,459,201 | +1,400,000 | $89,490 |
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688,265 | +130 | $83,755 |
DHI | 688,265 | +130 | $83,755 |
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808,343 | +9,987 | $82,524 |
APTV | 808,343 | +88,487 | $82,524 |
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1,377,138 | -73,705 | $80,755 |
NEP | 1,377,138 | -73,705 | $80,755 |
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2,638,144 | +735,389 | $79,936 |
EVH | 2,638,144 | +735,389 | $79,936 |
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1,006,638 | +2,280 | $77,733 |
TTD | 1,006,638 | +2,280 | $77,733 |
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117,368 | +397 | $75,451 |
LRCX | 117,368 | +397 | $75,451 |
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244,280 | +118,781 | $74,288 |
LAD | 244,280 | +118,781 | $74,288 |
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1,927,000 | +487,436 | $74,035 |
KDNY | 1,927,000 | +487,436 | $74,035 |
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339,968 | +70 | $73,722 |
KRTX | 339,968 | +70 | $73,722 |
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1,884,837 | +16,596 | $73,358 |
DV | 1,884,837 | +16,596 | $73,358 |
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497,334 | +1,247 | $73,043 |
CRWD | 497,334 | +1,247 | $73,043 |
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689,708 | -110,743 | $70,936 |
HZNP | 689,708 | -110,743 | $70,936 |
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5,699,607 | +1,238,463 | $69,564 |
DLO | 5,699,607 | +1,242,363 | $69,564 |
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242,457 | +582 | $69,200 |
SWAV | 242,457 | +582 | $69,200 |
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$69,168 | ||
XMTR | 3,190,690 | +287,761 | $67,579 |
NOTE 1 | 2,100,000 | +2,100,000 | $1,589 |
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2,456,462 | +281,373 | $62,787 |
SHLS | 2,456,462 | +281,373 | $62,787 |
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882,499 | +265 | $57,857 |
TREX | 882,499 | +265 | $57,857 |
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693,408 | -372,042 | $57,171 |
FIVN | 693,408 | -372,042 | $57,171 |
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2,631,257 | +1,120 | $56,546 |
COLL | 2,631,257 | +1,120 | $56,546 |
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507,676 | -95,007 | $56,261 |
ENTG | 507,676 | -95,007 | $56,261 |
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97,351 | +20 | $52,592 |
MPWR | 97,351 | +20 | $52,592 |
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575,432 | -207,408 | $51,357 |
ASND | 575,432 | -207,408 | $51,357 |
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69,288 | +66 | $50,216 |
ASML | 69,288 | +66 | $50,216 |
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495,873 | +641 | $48,784 |
DDOG | 495,873 | +641 | $48,784 |
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1,377,740 | UNCH | $46,747 |
CLDX | 1,377,740 | UNCH | $46,747 |
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1,002,754 | +127,488 | $46,287 |
SPT | 1,002,754 | +127,488 | $46,287 |
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301,193 | +117 | $45,890 |
LNG | 301,193 | +117 | $45,890 |
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3,402,095 | -927 | $44,295 |
COUR | 3,402,095 | -927 | $44,295 |
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802,503 | UNCH | $41,465 |
NVT | 802,503 | UNCH | $41,465 |
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427,941 | -84,908 | $41,112 |
LSCC | 427,941 | -84,908 | $41,112 |
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3,440,796 | +851,018 | $40,739 |
COGT | 3,440,796 | +851,018 | $40,739 |
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1,236,000 | UNCH | $36,450 |
BEP | 1,236,000 | UNCH | $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
![]() 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 |