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Latest CM Management, LLC Stock Portfolio

$124Million

Equity Portfolio Value
Last Reported on: 12 Feb, 2024

About CM Management, LLC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, CM Management, LLC reported an equity portfolio of $124.4 Millions as of 31 Dec, 2023.

The top stock holdings of CM Management, LLC are IMGN, FOLD, ALCO. The fund has invested 11.9% of it's portfolio in IMMUNOGEN INC and 5.1% of portfolio in AMICUS THERAPEUTICS INC.

The fund managers got completely rid off SOUTHWESTERN ENERGY CO (SWN), DURECT CORP (DRRX) and BRISTOW GROUP INC (VTOL) stocks. They significantly reduced their stock positions in TALOS ENERGY INC (TALO), NATIONAL HEALTHCARE CORP (NHC) and FIDELITY NATIONAL FINANCIAL FNF GROUP (FNF). CM Management, LLC opened new stock positions in ROYALTY PHARMA PLC SHS (RPRX), INTEST CORP (INTT) and NEWELL BRANDS INC (NWL). The fund showed a lot of confidence in some stocks as they added substantially to ORGANON & CO COMMON (OGN), FEMASYS INC (FEMY) and ASSERTIO HOLDINGS INC (ASRT).

New Buys

Ticker$ Bought
ROYALTY PHARMA PLC SHS3,511,250
INTEST CORP1,632,000
NEWELL BRANDS INC1,519,000
PFIZER INC1,439,500
XOMA CORP DEL1,017,500
ACADIA PHARMACEUTICALS INC939,300
APA CORPORATION897,000
CENTERRA GOLD INC894,000

New stocks bought by CM Management, LLC

Additions to existing portfolio by CM Management, LLC

Reductions

Ticker% Reduced
TALOS ENERGY INC-65.00
NATIONAL HEALTHCARE CORP-60.00
FIDELITY NATIONAL FINANCIAL FNF GROUP-50.00
UNIVERSAL STAINLESS & ALLOY-43.33
ELEDON PHARMACEUTICALS INC-40.38
FIDELITY NATL INFORMATION SV-36.36
BARRICK GOLD CORP-33.33
BRIGHT HEALTH GROUP INC-30.00

CM Management, LLC reduced stake in above stock

Sold off

Ticker$ Sold
DURECT CORP-1,307,250
ATRECA INC CL A-91,350
SOUTHWESTERN ENERGY CO-2,096,250
EDESA BIOTECH INC-263,924
BRISTOW GROUP INC-985,950
WORLD FUEL SVCS CORP-672,900

CM Management, LLC got rid off the above stocks

Current Stock Holdings of CM Management, LLC

Last Reported on: 12 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ACADACADIA PHARMACEUTICALS INC0.7630,000939,300NEW
ALCOALICO INC5.03215,0006,252,200UNCHANGED0.00
AMSCAMERICAN SUPERCONDUCTOR CORP1.75195,0002,172,300REDUCED-2.5
APAAPA CORPORATION0.7225,000897,000NEW
ARKOARKO CORP1.75610,0002,172,500ADDED3.39
ARKRARK RESTAURANTS CORP2.09184,6072,597,420UNCHANGED0.00
ASRTASSERTIO HOLDINGS INC0.30345,000369,150ADDED105
AVIRATEA PHARMACEUTICALS INC0.66270,000823,500REDUCED-1.82
BATLBATTALION OIL CORP0.84108,3001,040,760REDUCED-19.78
BCDABIOCARDIA INC0.37700,000464,940ADDED16.67
BCELATRECA INC CL A0.000.000.00SOLD OFF-100
BHGBRIGHT HEALTH GROUP INC0.1118,000137,340REDUCED-30.00
BRKLBROOKLINE BANCORP INC DEL1.58180,0001,963,800UNCHANGED0.00
CGAUCENTERRA GOLD INC0.72150,000894,000NEW
CHRSCOHERUS BIOSCIENCES INC2.20824,0002,743,920ADDED50.36
CLPTCLEARPOINT NEURO INC1.09200,0001,358,000UNCHANGED0.00
CMPXCOMPASS THERAPEUTICS INC0.16125,000195,000NEW
CRISCURIS INC0.2625,000318,750REDUCED-9.09
CTSOCYTOSORBENTS CORP0.37415,000460,650REDUCED-7.78
DITAMCON DISTRG CO1.258,0001,560,000ADDED10.5
DRRXDURECT CORP0.000.000.00SOLD OFF-100
EDSAEDESA BIOTECH INC0.2362,000283,340NEW
EDSAEDESA BIOTECH INC0.000.000.00SOLD OFF-100
ELDNELEDON PHARMACEUTICALS INC0.20140,000252,000REDUCED-40.38
EOLSEVOLUS INC1.27150,0001,579,500UNCHANGED0.00
FCXFREEPORT-MCMORAN INC1.7150,0002,128,500ADDED38.89
FEMYFEMASYS INC0.35450,000438,750ADDED260
FHNFIRST HORIZON NATL CORP0.5750,000708,000NEW
FISFIDELITY NATL INFORMATION SV0.8417,5001,051,220REDUCED-36.36
FNFFIDELITY NATIONAL FINANCIAL FNF GROUP1.0225,0001,275,500REDUCED-50.00
FOLDAMICUS THERAPEUTICS INC5.13450,0006,385,500UNCHANGED0.00
GANXGAIN THERAPEUTICS INC0.2490,000293,850UNCHANGED0.00
GOLDBARRICK GOLD CORP0.7350,000904,500REDUCED-33.33
HRTXHERON THERAPEUTICS INC0.44325,000552,500REDUCED-27.78
IMGNIMMUNOGEN INC11.91500,00014,825,000UNCHANGED0.00
INTTINTEST CORP1.31120,0001,632,000NEW
IOVAIOVANCE BIOTHERAPEUTICS INC1.63250,0002,032,500ADDED25.00
KDKYNDRYL HLDGS INC COMMON2.34140,0002,909,200ADDED40.00
KRONKRONOS BIO INC0.25250,000312,500UNCHANGED0.00
LPILAREDO PETROLEUM INC0.5515,000682,350NEW
LTRNLANTERN PHARMA INC0.2880,000342,400ADDED6.67
NHCNATIONAL HEALTHCARE CORP2.2330,0002,772,600REDUCED-60.00
NKTRNEKTAR THERAPEUTICS0.43939,847531,013ADDED17.48
NMRKNEWMARK GROUP INC3.52400,0004,384,000ADDED14.29
NWLNEWELL BRANDS INC1.22175,0001,519,000NEW
OGNORGANON & CO COMMON1.45125,0001,802,500ADDED733
PAASPAN AMERN SILVER CORP1.31100,0001,633,000ADDED33.33
PDPAGERDUTY INC2.23120,0002,778,000ADDED100
PFEPFIZER INC1.1650,0001,439,500NEW
PIRSPIERIS PHARMACEUTICALS INC0.11750,000136,500ADDED15.49
PKPARK HOTELS RESORTS INC0.7460,000918,000UNCHANGED0.00
PLPCPREFORMED LINE PRODS CO1.8817,5002,342,550UNCHANGED0.00
RBCAAREPUBLIC BANCORP KY1.2227,5001,516,900UNCHANGED0.00
RIGLRIGEL PHARMACEUTICALS INC1.981,700,0002,465,000ADDED13.33
RLGTRADIANT LOGISTICS INC3.68690,0004,581,600ADDED11.29
RPRXROYALTY PHARMA PLC SHS2.82125,0003,511,250NEW
RVNCREVANCE THERAPEUTICS INC0.5375,000659,250NEW
SABRSABRE CORP1.06300,0001,320,000UNCHANGED0.00
SELBSELECTA BIOSCIENCES INC0.39700,000482,580UNCHANGED0.00
SFESAFEGUARD SCIENTIFICS INC0.42671,671526,925UNCHANGED0.00
SMSISMITH MICRO SOFTWARE INC0.40600,000495,600ADDED100
SVCSERVICE PPTYS TR1.72250,0002,135,000ADDED66.67
SWNSOUTHWESTERN ENERGY CO0.000.000.00SOLD OFF-100
TALOTALOS ENERGY INC0.8070,000996,100REDUCED-65.00
TASTCARROLS RESTAURANT GROUP INC2.22350,0002,758,000UNCHANGED0.00
TGBTASEKO MINES LTD2.812,500,0003,500,000UNCHANGED0.00
TRCTEJON RANCH CO0.5540,000688,000UNCHANGED0.00
USAPUNIVERSAL STAINLESS & ALLOY0.5534,000682,720REDUCED-43.33
VTOLBRISTOW GROUP INC0.000.000.00SOLD OFF-100
VTRSVIATRIS INC1.74200,0002,166,000ADDED60.00
WBAWALGREENS BOOTS ALLIANCE INC1.3665,0001,697,150ADDED62.5
WBDWARNER BROS DISCOVERY INC1.14125,0001,422,500ADDED56.25
XOMAXOMA CORP DEL0.8255,0001,017,500NEW
BGC GROUP INC3.34575,0004,151,500REDUCED-11.54
COYA THERAPEUTICS INC COMMON0.60100,000741,000UNCHANGED0.00
ELICIO THERAPEUTICS INC0.3450,000417,000REDUCED-23.08
CADENCE BANK0.2410,000295,900UNCHANGED0.00
WORLD FUEL SVCS CORP0.000.000.00SOLD OFF-100