13F

Stock

Evommune, Inc.

EVMN · held by 59 managers

Reported value

$452.3M

Holders

59

+4 new · −0 exited

Holders’ est. mark

—

Need a prior quarter

Largest holder

$84.4M

EQT Fund Management S.a r.l.

Notable conviction

Share of each notable manager’s 13F book.

Holder count by quarter

Who holds it

Notable only
InvestorSharesValueEst. markChange
EQT Fund Management S.a r.l.4.93M$84.4M—Held
RA CAPITAL MANAGEMENT, L.P.3.46M$59.2M—Held
Pivotal bioVenture Partners Investment Advisor LLC1.93M$33M—Held
ANDERA PARTNERS1.9M$32.5M—Held
Nan Fung Group Holdings Ltd1.44M$24.7M—Held
JPMORGAN CHASE & CO1.31M$22.4M—Held
RTW INVESTMENTS, LP1.28M$22M—Held
SymBiosis Capital Partners, LLC1.28M$21.9M—Held
MARSHALL WACE, LLP988.2K$16.9M—Held
EVENTIDE ASSET MANAGEMENT, LLC961.5K$16.5M—Held
SECTORAL ASSET MANAGEMENT INC589K$10.1M—Held
Verition Fund Management LLC565.2K$9.68M—Held
Aberdeen Group plc525.4K$8.99M—Held
Velan Capital Investment Management LP506.8K$8.68M—Held
Vanguard502.6K$8.6M—Held
Octagon Capital Advisors LP500K$8.56M—Held
AMERICAN CENTURY COMPANIES INC417.5K$7.15M—Held
FEDERATED HERMES, INC.325K$5.56M—Held
GREAT POINT PARTNERS LLC325K$5.56M—Held
NEXTBio Capital Management LP228.3K$3.91M—Held
Defilade Capital Management, L.P.215.4K$3.69M—Held
Kynam Capital Management, LP185.5K$3.18M—Held
ADAR1 Capital Management, LLC184.1K$3.15M—Held
Monashee Investment Management LLC183.2K$3.14M—Held
SPHERA FUNDS MANAGEMENT LTD.166.1K$2.84M—Held
Sofinnova Investments, Inc.153.3K$2.62M—Held
BlackRock, Inc.142.4K$2.44M—Held
Integral Health Asset Management, LLC125K$2.14M—Held
MPM BIOIMPACT LLC113K$1.93M—Held
GEODE CAPITAL MANAGEMENT, LLC109.8K$1.88M—Held
AMERIPRISE FINANCIAL INC104.6K$1.79M—Held
SEVEN GRAND MANAGERS, LLC75K$1.28M—Held
STEMPOINT CAPITAL LP68.2K$1.17M—Held
Balyasny Asset Management L.P.65K$1.11M—Held
CHARLES SCHWAB INVESTMENT MANAGEMENT INC62.7K$1.07M—Held
GOLDMAN SACHS GROUP INC61.7K$1.06M—Held
Capricorn Fund Managers Ltd60K$1.03M—Held
Citadel50.6K$865.6K—Held
BURKEHILL GLOBAL MANAGEMENT, LP50K$856K—Held
TD Asset Management Inc44.6K$764.1K—Held
Point72 Asset Management, L.P.34.4K$588.7K—Held
TUDOR INVESTMENT CORP ET AL32K$547K—New
State Street31.5K$539.3K—Held
Qube Research & Technologies Ltd24.1K$411.9K—Held
NORTHERN TRUST CORP22.6K$387.5K—Held
TWO SIGMA INVESTMENTS, LP21.3K$365.1K—Held
OXFORD ASSET MANAGEMENT LLP19.6K$335K—New
XTX Topco Ltd18.8K$321.5K—Held
MANUFACTURERS LIFE INSURANCE COMPANY, THE10.2K$179.1K—Held
MORGAN STANLEY8.35K$142.9K—New
UBS Group AG3.41K$58.4K—Held
BANK OF AMERICA CORP /DE/2.94K$50.3K—New
Tower Research Capital LLC (TRC)2.75K$47K—Held
NATIONAL BANK OF CANADA /FI/2.2K$37.5K—Held
China Universal Asset Management Co., Ltd.2K$34.2K—Held
PRICE T ROWE ASSOCIATES INC /MD/782.1K$13.4K—Held
ROYAL BANK OF CANADA585$10K—Held
Legal & General Group Plc400$6.85K—Held
COMERICA BANK20$330—Held

Positions as of Q4 2025. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.