Top Funds / PERCEPTIVE ADVISORS LLC


Joseph Edelman

2020Q3 Portfolio

SEC 13F Filing

Position #Shares $Value % # vs. 2020Q2 $ vs. 2020Q2
Dicerna Pharmaceuticals Inc 800,000 $14,392,000 0.21% No Change -$5,928,000
Solid Biosciences Inc. 6,749,803 $13,702,000 0.20% No Change -$6,075,000
AMERICAN WELL CORP CL A 455,000 $13,486,000 0.20% New +$13,486,000
Morphic Holding, Inc. 487,000 $13,314,000 0.19% -163,000 -$4,269,000
ESTABLISHMENT LABS HOLDINGS INC. 678,633 $12,575,000 0.18% New +$12,575,000
Market Vectors ETF Trust PHARMACEUTICAL PUT 200,000 $12,434,000 0.18% New +$12,434,000
DBV Technologies S.A. SPONSORED ADR 6,806,975 $11,776,000 0.17% -510,834 -$20,349,000
ACCOLADE INC 293,138 $11,394,000 0.17% New +$11,394,000
HOLOGIC INC 170,000 $11,300,000 0.16% -60,000 -$1,810,000
Health Catalyst, Inc. 291,084 $10,654,000 0.16% -44,698 +$859,000
SC Health Corp UNIT 99/99/9999 1,000,000 $10,600,000 0.15% No Change +$490,000
TAYSHA GENE THERAPIES INC 470,440 $10,538,000 0.15% New +$10,538,000
PROTARA THERAPEUTICS INC STK 608,544 $10,242,000 0.15% New +$10,242,000
INSULET CORP 37,733 $8,927,000 0.13% -15,000 -$1,317,000
AtriCure, Inc. 216,449 $8,636,000 0.13% -312,327 -$15,132,000
ViewRay, Inc. 2,451,748 $8,581,000 0.13% No Change +$3,089,000
AMYRIS, INC. 3,333,332 $8,568,000 0.13% +1,488,720 +$2,119,000
Twist Bioscience Corp 112,756 $8,566,000 0.13% -160,000 -$3,790,000
Aquestive Therapeutics, Inc. 1,750,000 $8,496,000 0.12% No Change -$9,000
TCR2 THERAPEUTICS INC. 400,000 $8,128,000 0.12% New +$8,128,000
DYNE THERAPEUTICS INC 400,000 $8,076,000 0.12% New +$8,076,000
1Life Healthcare Inc 279,844 $7,936,000 0.12% +61,000 -$12,000
Revolution Medicines, Inc. 224,224 $7,803,000 0.11% -125,776 -$3,247,000
LONGVIEW ACQUISITION CORP UNIT 99/99/9999 700,000 $7,105,000 0.10% No Change +$35,000
POSEIDA THERAPEUTICS INC 787,745 $6,987,000 0.10% New +$6,987,000