
Entity | Amount | Change
03/31/2022 to 06/30/2022 |
Position Size ($ in 1000's) |
---|---|---|---|
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35,925 | +3,225 | $18,452 |
UNH | 35,925 | +3,225 | $18,452 |
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240,600 | +600 | $14,770 |
HQY | 240,600 | +600 | $14,770 |
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603,994 | +75,500 | $12,660 |
RCM | 603,994 | +75,500 | $12,660 |
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183,760 | +22,700 | $12,494 |
NARI | 183,760 | +22,700 | $12,494 |
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67,850 | -4,900 | $12,044 |
JNJ | 67,850 | -4,900 | $12,044 |
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141,730 | +36,600 | $11,745 |
BMRN | 141,730 | +36,600 | $11,745 |
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372,142 | -20,000 | $11,428 |
EVH | 372,142 | -20,000 | $11,428 |
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266,992 | +100,861 | $11,238 |
ARVN | 266,992 | +100,861 | $11,238 |
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152,706 | -23,600 | $10,946 |
SYNH | 152,706 | -23,600 | $10,946 |
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515,542 | -12,800 | $10,166 |
INSM | 515,542 | -12,800 | $10,166 |
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239,908 | -24,483 | $9,611 |
PTCT | 239,908 | -24,483 | $9,611 |
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51,650 | UNCH | $9,435 |
INSP | 51,650 | UNCH | $9,435 |
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228,532 | +10,368 | $9,338 |
ATRC | 228,532 | +10,368 | $9,338 |
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63,150 | -42,700 | $9,202 |
BHVN | 63,150 | -42,700 | $9,202 |
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443,247 | -36,400 | $9,091 |
AGTI | 443,247 | -36,400 | $9,091 |
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297,200 | -64,350 | $8,654 |
PRVA | 297,200 | -64,350 | $8,654 |
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226,764 | +17,764 | $8,252 |
SILK | 226,764 | +17,764 | $8,252 |
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75,000 | +46,200 | $8,102 |
IRTC | 75,000 | +46,200 | $8,102 |
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383,025 | +19,185 | $7,975 |
EXEL | 383,025 | +19,185 | $7,975 |
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311,782 | -26,698 | $7,901 |
RCUS | 311,782 | -26,698 | $7,901 |
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35,940 | +33,740 | $7,788 |
ICLR | 35,940 | +33,740 | $7,788 |
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153,250 | +83,750 | $6,930 |
APLS | 153,250 | +83,750 | $6,930 |
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129,400 | -55,500 | $6,784 |
PFE | 129,400 | -55,500 | $6,784 |
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90,000 | -190,850 | $6,773 |
TPTX | 90,000 | -190,850 | $6,773 |
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118,650 | +69,150 | $6,724 |
AXNX | 118,650 | +69,150 | $6,724 |
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14,225 | +2,700 | $6,658 |
HUM | 14,225 | +2,700 | $6,658 |
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105,763 | +26,175 | $6,260 |
TNDM | 105,763 | +26,175 | $6,260 |
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40,300 | -20,000 | $6,172 |
ABBV | 40,300 | -20,000 | $6,172 |
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56,748 | -2,750 | $6,166 |
ABT | 56,748 | -2,750 | $6,166 |
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560,882 | -62,900 | $6,024 |
FOLD | 560,882 | -62,900 | $6,024 |
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18,415 | -10,050 | $5,971 |
LLY | 18,415 | -10,050 | $5,971 |
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202,100 | -5,000 | $5,948 |
DNLI | 202,100 | -5,000 | $5,948 |
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31,000 | -4,000 | $5,926 |
SWAV | 31,000 | -4,000 | $5,926 |
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88,687 | +88,687 | $5,856 |
LNTH | 88,687 | +88,687 | $5,856 |
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32,530 | -8,600 | $5,756 |
SGEN | 32,530 | -8,600 | $5,756 |
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130,400 | +4,400 | $5,738 |
HALO | 130,400 | +4,400 | $5,738 |
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189,650 | +189,650 | $5,650 |
ALKS | 189,650 | +189,650 | $5,650 |
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232,000 | +232,000 | $5,621 |
TVTX | 232,000 | +232,000 | $5,621 |
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376,678 | +165,654 | $5,402 |
TMCI | 376,678 | +165,654 | $5,402 |
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101,500 | -41,500 | $5,335 |
THC | 101,500 | -41,500 | $5,335 |
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57,750 | UNCH | $5,265 |
MRK | 57,750 | UNCH | $5,265 |
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90,800 | +90,800 | $5,183 |
ITCI | 90,800 | +90,800 | $5,183 |
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172,505 | +172,505 | $4,870 |
RXDX | 172,505 | +172,505 | $4,870 |
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126,976 | +24,250 | $4,732 |
BSX | 126,976 | +24,250 | $4,732 |
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501,413 | -289,224 | $4,633 |
BLU | 501,413 | -289,224 | $4,633 |
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68,613 | +8,776 | $4,606 |
MRTX | 68,613 | +8,776 | $4,606 |
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183,000 | -10,160 | $4,535 |
FATE | 183,000 | -10,160 | $4,535 |
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62,500 | UNCH | $4,433 |
STAA | 62,500 | UNCH | $4,433 |
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940,244 | +61,400 | $4,231 |
IMGN | 940,244 | +61,400 | $4,231 |
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400,000 | -67,793 | $4,160 |
CNVY | 400,000 | -67,793 | $4,160 |
See Full List: All Stocks Held By Sectoral Asset Management Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Sectoral Asset Management Inc.
![]() At 06/30/2022: $496,292 At 03/31/2022: $563,339 Sectoral Asset Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Sectoral Asset Management Inc. 13F filings. Link to 13F filings: SEC filings |