Filer Name: ORACLE INVESTMENT MANAGEMENT INC
CIK: 1012622
Period: 2024-12-31
Filed At: 2025-02-14
Number of Holdings: 19
Portfolio Value: $0.15B

Oracle Investment Management Inc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
WGS US GENEDX HOLDINGS CORP 1,023,468 $79M 42.83% -2.1% -
BHVN US BIOHAVEN LTD 851,770 $32M 17.32% 20.8% -
81369Y959 - SELECT SECTOR SPDR TR 115,000 $16M 8.61% 100.0% Put
ARDX US ARDELYX INC 2,089,431 $11M 5.77% 52.6% -
SWTX US SPRINGWORKS THERAPEUTICS INC 254,773 $9M 5.01% 645.0% -
G1110E907 - BIOHAVEN LTD 200,000 $7M 4.07% -33.9% Call
QDEL US QUIDELORTHO CORP 118,291 $5M 2.87% - -
BCRX US BIOCRYST PHARMACEUTICALS INC 535,558 $4M 2.19% - -
670002901 - NOVAVAX INC 466,000 $4M 2.04% -12.8% Call
039697907 - ARDELYX INC 584,700 $3M 1.61% 35.9% Call
FORA US FORIAN INC 1,366,107 $3M 1.53% 0.7% -
87918A905 - TELADOC HEALTH INC 297,700 $3M 1.47% 100.0% Call
PLTR US PALANTIR TECHNOLOGIES INC-A 28,500 $2M 1.17% 3.6% -
CAVA US CAVA GROUP INC 18,600 $2M 1.14% - -
85205L907 - SPRINGWORKS THERAPEUTICS INC 55,800 $2M 1.10% 100.0% Call
PHAT US PHATHOM PHARMACEUTICALS INC 145,064 $1M 0.64% -80.6% -
PACB US PACIFIC BIOSCIENCES OF CALIF 279,638 $1M 0.28% -61.6% -
BIIB US BIOGEN INC 2,412 $0M 0.20% - -
EYPT US EYEPOINT PHARMACEUTICALS INC 32,500 $0M 0.13% - -
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