MeiraGTx Holdings PLC

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MeiraGTx Holdings PLC
TickerMGTX
CIK #0001735438
CUSIPG59665102
SectorLife Sciences - Biological Products, (No Disgnostic Substances)
Address450 East 29th Street 15th Floor, New York, NY 10016
Source [EDGAR]
CIK Filing 2011 - 2024
[0001735438] 10-K
[0001735438] 10-Q
[0001735438] 3
[0001735438] 4
[0001735438] 5
[0001735438] 8-K
[0001735438] SC 13D
[0001735438] SC 13G
Form 13D/13G Filer Form 13D/13G Subject Filed % Owned
ProSight Management LP MeiraGTx Holdings PLC [2023-05-15] 6.9
Adage Capital Partners GP LLC MeiraGTx Holdings PLC [2021-11-04] 5.7
Adena Estate Inc MeiraGTx Holdings PLC [2020-03-02] 5.7
OrbiMed Advisors LLC MeiraGTx Holdings PLC [2020-02-14] 0.43
Alexandria Real Estate Equities Inc MeiraGTx Holdings PLC [2020-02-14] 5.4
Johnson & Johnson MeiraGTx Holdings PLC [2019-03-04] 8.7
Kadmon Holdings Inc MeiraGTx Holdings PLC [2019-02-08] 12.9
Perceptive Advisors LLC MeiraGTx Holdings PLC [2018-06-22] 17.3
Form 3/4/5 Filer 2011 - 2024
Perceptive Life Sciences Master Fund Ltd
Edelman Joseph
Perceptive Advisors LLC
MeiraGTx Holdings plc
Yu Debra
Hukkelhoven Ellen
Indyk Martin
Seligman Nicole
Mendoza Neil
Harris Keith R.
Shenk Thomas E
Naylor Stuart
Giroux Richard
Forbes Alexandria
Zeldin Robert K
Wollin Robert J
Johnson & Johnson Innovation - JJDC, Inc.
Johnson & Johnson
Levine Arnold J
Marcus Joel S
Gottlieb Bruce
Breedis Katherine
Moss Gregory S.
Form 13F Holdings
Firm Period DFND Voting Shares
Perceptive Advisors LLC [2023-03-31] SOLE 6,963,277.0 6,963,277.0
Johnson & Johnson [2023-03-31] DFND 0.0 6,641,064.0
Adage Capital Partners GP LLC [2023-03-31] SOLE 3,105,800.0 3,105,800.0
BlackRock Inc. [2023-03-31] SOLE 2,082,690.0 2,125,052.0
683 Capital Management LLC [2023-03-31] DFND 1,675,000.0 1,675,000.0
ProSight Management LP [2023-03-31] SOLE 1,488,917.0 1,488,917.0
Royce & Associates LP [2023-03-31] SOLE 678,915.0 678,915.0
Rhenman & Partners Asset Management AB [2023-03-31] SOLE 0.0 538,986.0
State Street Corp [2023-03-31] DFND 461,964.0 495,984.0
Dimensional Fund Advisors LP [2023-03-31] SOLE 319,178.0 377,620.0
Geode Capital Management LLC [2023-03-31] DFND 335,287.0 335,287.0
Alyeska Investment Group LP [2023-03-31] SOLE 330,182.0 330,182.0
Price T Rowe Associates Inc /MD/ [2023-03-31] SOLE 111,014.0 314,309.0
JPMorgan Chase & Co [2023-03-31] DFND 216,338.0 249,671.0
Northern Trust Corp [2023-03-31] DFND 2,868.0 241,898.0
Vanguard Group Inc [2023-03-31] SOLE 0.0 240,021.0
Goldman Sachs Group Inc [2023-03-31] DFND 221,234.0 221,264.0
UBS Asset Management Americas Inc [2023-03-31] DFND 155,096.0 173,191.0
Bank of New York Mellon Corp [2023-03-31] DFND 139,833.0 158,950.0
Blair William & Co/IL [2023-03-31] SOLE 132,133.0 132,133.0
Morgan Stanley [2023-03-31] DFND 99,563.0 111,930.0
Fort Sheridan Advisors LLC [2023-03-31] SOLE 0.0 102,102.0
Russell Investments Group, Ltd. [2023-03-31] DFND 90,145.0 90,145.0
Creativeone Wealth LLC [2023-03-31] SOLE 0.0 86,089.0
Citadel Advisors LLC [2023-03-31] DFND 82,512.0 82,512.0
Jacobs Levy Equity Management Inc [2023-03-31] SOLE 77,396.0 77,396.0
Nuveen Asset Management LLC [2023-03-31] DFND 74,445.0 74,445.0
Charles Schwab Investment Management Inc [2023-03-31] SOLE 74,217.0 74,217.0
Qube Research & Technologies Ltd [2023-03-31] SOLE 0.0 73,478.0
UBS Asset Management Americas Inc [2023-03-31] SOLE 68,579.0 68,579.0
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