
Entity | Amount | Change
03/31/2023 to 06/30/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
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2,448,829 | -2,692,289 | $96,337 |
ISEE | 2,448,829 | -2,692,289 | $96,337 |
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23,589,779 | +5,824,566 | $75,723 |
GERN | 23,589,779 | +5,824,566 | $75,723 |
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5,631,042 | +2,000,000 | $66,672 |
COGT | 5,631,042 | +2,000,000 | $66,672 |
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3,113,600 | UNCH | $52,931 |
VECT | 3,113,600 | UNCH | $52,931 |
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2,201,274 | +1,120,000 | $37,752 |
AVTE | 2,201,274 | +1,120,000 | $37,752 |
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3,703,704 | +3,703,704 | $36,778 |
ICVX | 3,703,704 | +3,703,704 | $36,778 |
![]() |
149,917 | UNCH | $34,631 |
MDGL | 149,917 | UNCH | $34,631 |
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1,989,103 | UNCH | $33,874 |
TYRA | 1,989,103 | UNCH | $33,874 |
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3,395,495 | UNCH | $30,559 |
KALV | 3,395,495 | UNCH | $30,559 |
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815,724 | UNCH | $26,756 |
VTYX | 815,724 | UNCH | $26,756 |
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1,650,150 | UNCH | $18,564 |
DYN | 1,650,150 | UNCH | $18,564 |
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1,423,642 | UNCH | $15,062 |
KURA | 1,423,642 | UNCH | $15,062 |
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350,000 | UNCH | $14,550 |
GPCR | 350,000 | UNCH | $14,550 |
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654,853 | UNCH | $12,423 |
IMVT | 654,853 | UNCH | $12,423 |
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2,104,875 | UNCH | $11,577 |
SLN | 2,104,875 | UNCH | $11,577 |
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1,289,320 | +1,289,320 | $10,959 |
ANTX | 1,289,320 | +1,289,320 | $10,959 |
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584,955 | UNCH | $8,856 |
TRDA | 584,955 | UNCH | $8,856 |
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300,000 | UNCH | $7,899 |
MRUS | 300,000 | UNCH | $7,899 |
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486,795 | UNCH | $6,285 |
CABA | 486,795 | UNCH | $6,285 |
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529,839 | UNCH | $5,494 |
ACRS | 529,839 | UNCH | $5,494 |
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1,276,574 | +26,574 | $3,511 |
CCCC | 1,276,574 | +26,574 | $3,511 |
See Full List: All Stocks Held By TCG Crossover Management LLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By TCG Crossover Management LLC
![]() At 06/30/2023: $609,795 At 03/31/2023: $513,029 TCG Crossover Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from TCG Crossover Management LLC 13F filings. Link to 13F filings: SEC filings |