Filer Name: EXOME ASSET MANAGEMENT LLC
CIK: 2011932
Period: 2024-12-31
Filed At: 2025-02-14
Number of Holdings: 59
Portfolio Value: $0.13B

Exome Asset Management Llc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
BBIO US BRIDGEBIO PHARMA INC 246,700 $7M 5.09% 16.9% -
LLY US ELI LILLY & CO 8,247 $6M 4.78% -21.1% -
GERN US GERON CORP 1,561,152 $6M 4.22% 72.5% -
HUM US HUMANA INC 18,066 $5M 3.44% 100.0% -
GH US GUARDANT HEALTH INC 147,800 $5M 3.39% 64.6% -
RLAY US RELAY THERAPEUTICS INC 1,083,487 $4M 3.35% 161.3% -
IRON US DISC MEDICINE INC 69,072 $4M 3.29% 7.1% -
SNDX US SYNDAX PHARMACEUTICALS INC 318,900 $4M 3.17% 100.0% -
ARVN US ARVINAS INC 218,700 $4M 3.15% 100.0% -
GPCR US STRUCTURE THERAPEUTICS INC 151,965 $4M 3.10% 26.5% -
ISRG US INTUITIVE SURGICAL INC 7,427 $4M 2.91% - -
APLS US APELLIS PHARMACEUTICALS INC 119,467 $4M 2.86% 19.0% -
BMY US BRISTOL-MYERS SQUIBB CO 65,200 $4M 2.77% -16.4% -
BSX US BOSTON SCIENTIFIC CORP 40,500 $4M 2.72% 100.0% -
NTRA US NATERA INC 22,450 $4M 2.67% - -
SLNO US SOLENO THERAPEUTICS INC 77,285 $3M 2.61% 100.0% -
SRRK US SCHOLAR ROCK HOLDING CORP 77,439 $3M 2.51% -41.8% -
NUVL US NUVALENT INC-A 40,580 $3M 2.39% 103.5% -
CYTK US CYTOKINETICS INC 65,883 $3M 2.33% 12.5% -
BPMC US BLUEPRINT MEDICINES CORP 31,800 $3M 2.08% -13.4% -
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