Blueprint Medicines Corp
- Stock Issuer and Owners
Blueprint Medicines Corp |
Ticker | BPMC |
CIK # | 0001597264 |
CUSIP | 09627Y109 |
Sector | Life Sciences - Pharmaceutical Preparations |
Address | 215 First Street, Cambridge, MA 02142 |
Source |
[EDGAR]
|
Form 13F Holdings |
Firm |
Period |
DFND |
Voting |
Shares |
FMR LLC |
[2023-03-31]
|
DFND |
8,773,035.0 |
8,822,122.0 |
BlackRock Inc. |
[2023-03-31]
|
SOLE |
6,458,007.0 |
6,622,140.0 |
Vanguard Group Inc |
[2023-03-31]
|
SOLE |
0.0 |
5,712,989.0 |
Wellington Management Group LLP |
[2023-03-31]
|
DFND |
0.0 |
5,137,703.0 |
Price T Rowe Associates Inc /MD/ |
[2023-03-31]
|
SOLE |
890,911.0 |
4,877,401.0 |
State Street Corp |
[2023-03-31]
|
DFND |
2,615,405.0 |
2,755,279.0 |
T. Rowe Price Investment Management, Inc. |
[2023-03-31]
|
SOLE |
913,585.0 |
2,486,950.0 |
Rock Springs Capital Management LP |
[2023-03-31]
|
SOLE |
2,033,048.0 |
2,033,048.0 |
AllianceBernstein LP |
[2023-03-31]
|
DFND |
1,612,411.0 |
1,741,804.0 |
JPMorgan Chase & Co |
[2023-03-31]
|
DFND |
1,322,338.0 |
1,551,256.0 |
Macquarie Group Ltd |
[2023-03-31]
|
SOLE |
1,477,328.0 |
1,497,386.0 |
Geode Capital Management LLC |
[2023-03-31]
|
DFND |
1,162,640.0 |
1,162,640.0 |
William Blair Investment Management LLC |
[2023-03-31]
|
SOLE |
936,452.0 |
1,082,449.0 |
Fisher Asset Management LLC |
[2023-03-31]
|
DFND |
384,590.0 |
810,847.0 |
Casdin Capital LLC |
[2023-03-31]
|
SOLE |
670,000.0 |
670,000.0 |
Brown Advisory Inc |
[2023-03-31]
|
DFND |
543,230.0 |
633,408.0 |
Hudson Bay Capital Management LP |
[2023-03-31]
|
SOLE |
626,018.0 |
626,018.0 |
Aquilo Capital Management LLC |
[2023-03-31]
|
SOLE |
622,829.0 |
622,829.0 |
American Century Companies Inc |
[2023-03-31]
|
DFND |
410,620.0 |
614,721.0 |
Northern Trust Corp |
[2023-03-31]
|
DFND |
45,052.0 |
576,821.0 |
Pictet Asset Management Sa |
[2023-03-31]
|
DFND |
1.0 |
573,644.0 |
Morgan Stanley |
[2023-03-31]
|
DFND |
451,558.0 |
532,327.0 |
Charles Schwab Investment Management Inc |
[2023-03-31]
|
SOLE |
472,890.0 |
472,890.0 |
Susquehanna International Group LLP |
[2023-03-31]
|
DFND |
159,432.0 |
472,032.0 |
Candriam SCA |
[2023-03-31]
|
SOLE |
453,996.0 |
453,996.0 |
Novo Holdings A/S |
[2023-03-31]
|
SOLE |
448,804.0 |
448,804.0 |
Eventide Asset Management LLC |
[2023-03-31]
|
SOLE |
438,500.0 |
438,500.0 |
Emerald Advisers LLC |
[2023-03-31]
|
SOLE |
319,240.0 |
438,249.0 |
Bank of America Corp /DE/ |
[2023-03-31]
|
DFND |
68,177.0 |
413,023.0 |
Emerald Mutual Fund Advisers Trust |
[2023-03-31]
|
SOLE |
358,820.0 |
358,820.0 |
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