HoldingsChannel.com
Sectoral Asset Management Inc. Top Holdings
As of  06/30/2023, below is a summary of the Sectoral Asset Management Inc. top holdings by largest position size, as per the latest 13f filing made by Sectoral Asset Management Inc.. In the Sectoral Asset Management Inc.-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 Sectoral Asset Management Inc. in that top holding, then the share count change between reporting periods, and finally the Sectoral Asset Management Inc. top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
R1 RCM INC 809,194 -140,000 $14,930
     RCM809,194-140,000$14,930
EVOLENT HEALTH INC 488,142 -3,000 $14,791
     EVH488,142-3,000$14,791
PRIVIA HEALTH GROUP 506,622 +226,310 $13,228
     PRVA506,622+226,310$13,228
APELLIS PHARMACEUTIC 143,859 -28,631 $13,106
     APLS143,859-28,631$13,106
RADNET INC 398,634 +85,701 $13,003
     RDNT398,634+85,701$13,003
BIOMARIN PHARMAC INC 148,448 +24,018 $12,867
     BMRN148,448+24,018$12,867
OPTION CARE HEALTH 390,000 +91,500 $12,671
     OPCH390,000+91,500$12,671
ICON PLC 47,972 -2,566 $12,003
     ICLR47,972-2,566$12,003
ATRICURE INC 239,532 +80,000 $11,823
     ATRC239,532+80,000$11,823
HEALTHEQUITY INC 183,375 UNCH $11,578
     HQY183,375UNCH$11,578
LILLY ELI & CO 23,765 UNCH $11,145
     LLY23,765UNCH$11,145
UNITEDHEALTH GRP INC 22,925 -3,150 $11,019
     UNH22,925-3,150$11,019
INSMED INC 517,841 +1,749 $10,926
     INSM517,841+1,749$10,926
MINERALYS THERAPEUTI 614,713 +1,480 $10,481
     MLYS614,713+1,480$10,481
PROTHENA CORP PLC 151,848 +29,098 $10,368
     PRTA151,848+29,098$10,368
JOHNSON & JOHNSON 62,100 UNCH $10,279
     JNJ62,100UNCH$10,279
TREACE MED CONCEPT 379,443 +13,000 $9,706
     TMCI379,443+13,000$9,706
PTC THERAPEUTICS I 231,696 +5,130 $9,423
     PTCT231,696+5,130$9,423
MOONLAKE IMMUNOTHERA 184,590 +184,590 $9,414
     MLTX184,590+184,590$9,414
AMICUS THERAPEUTICS 729,924 +209,942 $9,168
     FOLD729,924+209,942$9,168
INARI MED INC 153,043 UNCH $8,898
     NARI153,043UNCH$8,898
BLUEPRINT MEDICINES 136,837 +14,937 $8,648
     BPMC136,837+14,937$8,648
ARS PHARMACEUTICALS 1,255,640 +1,255,640 $8,413
     SPRY1,255,640+1,255,640$8,413
AMYLYX PHARMACEUTIC 387,310 +144,910 $8,354
     AMLX387,310+144,910$8,354
LANTHEUS HLDGS INC 98,687 -19,000 $8,282
     LNTH98,687-19,000$8,282
IMMUNOGEN INC 436,447 -564,997 $8,236
     IMGN436,447-564,997$8,236
INSPIRE MED SYS INC 24,000 -3,500 $7,791
     INSP24,000-3,500$7,791
AGILITI INC 469,277 -40,945 $7,743
     AGTI469,277-40,945$7,743
INTRA CELLULAR THERA 119,852 +5,652 $7,589
     ITCI119,852+5,652$7,589
ALKERMES PLC 242,173 +11,073 $7,580
     ALKS242,173+11,073$7,580
TENET HEALTHCARE 91,500 -10,000 $7,446
     THC91,500-10,000$7,446
DENALI THERAPEUTICS 245,291 +441 $7,239
     DNLI245,291+441$7,239
ARCUS BIOSCIENCES 354,490 +60,844 $7,200
     RCUS354,490+60,844$7,200
TRAVERE THERAPEUTICS 435,313 +76,700 $6,686
     TVTX435,313+76,700$6,686
ZENTALIS PHARMACEU 234,000 UNCH $6,601
     ZNTL234,000UNCH$6,601
AXONICS INC 127,950 +18,000 $6,458
     AXNX127,950+18,000$6,458
MERIT MEDICAL SYS 76,000 +76,000 $6,357
     MMSI76,000+76,000$6,357
MERCK & CO INC 55,000 UNCH $6,346
     MRK55,000UNCH$6,346
AMGEN INC 28,269 +6,349 $6,276
     AMGN28,269+6,349$6,276
GALERA THERAPEUTIC 2,005,054 -93,511 $6,256
     GRTX2,005,054-93,511$6,256
CONMED CORP 45,500 +45,500 $6,183
     CNMD45,500+45,500$6,183
SAREPTA THERAPEUTICS 52,449 +27,739 $6,006
     SRPT52,449+27,739$6,006
OLEMA PHARMACEUTICAL 648,353 -347,556 $5,855
     OLMA648,353-347,556$5,855
PFIZER INC 157,400 UNCH $5,773
     PFE157,400UNCH$5,773
ALNYLAM PHARMACUETCL 29,826 +3,256 $5,665
     ALNY29,826+3,256$5,665
VERA THERAPEUTICS 351,646 -248,654 $5,644
     VERA351,646-248,654$5,644
KARUNA THERAPEUTICS 25,732 -1,148 $5,580
     KRTX25,732-1,148$5,580
REPLIMUNE GROUP INC 238,541 -23,659 $5,539
     REPL238,541-23,659$5,539
ABBOTT LABS 50,248 +15,000 $5,478
     ABT50,248+15,000$5,478
VAXCYTE INC 108,977 +48,977 $5,442
     PCVX108,977+48,977$5,442

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.

Size ($ in 1000's)
At 06/30/2023: $599,778
At 03/31/2023: $520,301

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

Sectoral Asset Management Inc Top Holdings 13F Filings | www.HoldingsChannel.com

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