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  Name: PARTNER FUND MANAGEMENT, L.P.
  City: SAN FRANCISCO
  State: CA
  Zip: 94105
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $1,610,975,000
  Total Value Change : $-427,657,000
  Securities Held Change : -8
   
All Securities Held : 59
  New Positions : 6
  Closed Positions : 15
  Increased Positions : 16
  Unchanged Positions : 10
  Decreased Positions : 27

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Holdings Found : 10     View All Holdings Currently Viewing:  Unchanged Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (LLY)1 Year Chart         LLY Eli Lilly & Co 1 - $733.51 $174,085,000 298,643 10.81% 13,675,000 0 0.031    Drug Manufacturers - ...
   (MRK)1 Year Chart         MRK Merck & Co Inc 3 - $131.20 $65,004,000 596,261 4.04% 3,619,000 0 0.024    Drug Manufacturers - ...
   (MCK)1 Year Chart         MCK McKesson Corp 9 - $543.30 $45,140,000 97,498 2.8% 2,743,000 0 0.06    Drugs Wholesale
   (LEGN)1 Year Chart         LEGN Churchill Cap Corp Iii 13 - $45.30 $40,860,000 679,076 2.54% -4,754,000 0 0.525    N/A
   (VEEV)1 Year Chart         VEEV Veeva Systems Inc 26 - $200.91 $22,892,000 118,905 1.42% -1,299,000 0 0.088    Healthcare Informatio...
   (IMVT)1 Year Chart         IMVT Immunovant Inc 30 - $0.00 $19,908,000 472,540 1.24% 1,767,000 0 0.543    N/A
   (ROIV)1 Year Chart         ROIV Roivant Sciences Ltd. 38 - $11.03 $13,645,000 1,215,033 0.85% -547,000 0 0.176    N/A
   (ADAP)1 Year Chart         ADAP Adaptimmune Therapeutics PLC 43 - $1.08 $8,266,000 10,423,135 0.51% 136,000 0 6.739    N/A
   (SGMT)1 Year Chart         SGMT Sagimet Biosciences Inc. 52 - $4.06 $3,666,000 676,453 0.23% -2,287,000 0 3.167    N/A
   (OSCR)1 Year Chart         OSCR Oscar Health, Inc. 53 - $0.00 $3,076,000 336,166 0.19% 1,204,000 0 0.2    N/A

      10 Records Found
  1    
Page 1 of 1
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