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OSCR - Oscar Health, Inc. Stock Price, Fair Value and News
18.01
USD
-0.08
(-0.44%)
Market Closed
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Funds-Owners-Holders
Which funds bought or sold OSCR recently?
CSV
Date
sorted ascending
Fund Name
Type
% Portfolio
% Chg
$ Change
$ Held
# Shares
2024-05-02
State of New Jersey Common Pension Fund D
NEW
Premium
Premium
Premium
Premium
166,455
2024-05-02
Formation8 GP, LLC
SOLD OFF
Premium
Premium
Premium
Premium
-
2024-05-02
NISA INVESTMENT ADVISORS, LLC
ADDED
Premium
Premium
Premium
Premium
1,420
2024-05-01
BAILLIE GIFFORD & CO
UNCHANGED
Premium
Premium
Premium
Premium
822,088
2024-05-01
Mirae Asset Global Investments Co., Ltd.
REDUCED
Premium
Premium
Premium
Premium
71,519
2024-05-01
Blue Trust, Inc.
REDUCED
Premium
Premium
Premium
Premium
413
2024-05-01
CONCOURSE FINANCIAL GROUP SECURITIES, INC.
SOLD OFF
Premium
Premium
Premium
Premium
-
2024-05-01
CONCOURSE FINANCIAL GROUP SECURITIES, INC.
SOLD OFF
Premium
Premium
Premium
Premium
-
2024-04-30
Avior Wealth Management, LLC
NEW
Premium
Premium
Premium
Premium
192
2024-04-29
PRINCIPAL FINANCIAL GROUP INC
REDUCED
Premium
Premium
Premium
Premium
18,650
2024-04-29
Cornerstone Investment Partners, LLC
NEW
Premium
Premium
Premium
Premium
11,955
2024-04-29
Allspring Global Investments Holdings, LLC
NEW
Premium
Premium
Premium
Premium
276,873
2024-04-25
Zurcher Kantonalbank (Zurich Cantonalbank)
REDUCED
Premium
Premium
Premium
Premium
19,072
2024-04-25
Bank of New York Mellon Corp
REDUCED
Premium
Premium
Premium
Premium
532,822
2024-04-25
SIMPLEX TRADING, LLC
REDUCED
Premium
Premium
Premium
Premium
47,913
2024-04-25
Allworth Financial LP
UNCHANGED
Premium
Premium
Premium
Premium
413
2024-04-25
Lindbrook Capital, LLC
ADDED
Premium
Premium
Premium
Premium
1,126
2024-04-25
nVerses Capital, LLC
NEW
Premium
Premium
Premium
Premium
1,700
2024-04-24
BROWN ADVISORY INC
ADDED
Premium
Premium
Premium
Premium
38,753
2024-04-24
Assenagon Asset Management S.A.
ADDED
Premium
Premium
Premium
Premium
1,539,040
2024-04-24
Activest Wealth Management
SOLD OFF
Premium
Premium
Premium
Premium
-
2024-04-23
Summit Trail Advisors, LLC
ADDED
Premium
Premium
Premium
Premium
19,755
2024-04-23
AMALGAMATED BANK
REDUCED
Premium
Premium
Premium
Premium
5,269
2024-04-22
Raymond James Financial Services Advisors, Inc.
ADDED
Premium
Premium
Premium
Premium
14,986
2024-04-22
MetLife Investment Management, LLC
UNCHANGED
Premium
Premium
Premium
Premium
82,216
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1–25 of 233
Which funds are the top buyers of OSCR?
Fund Name
# Shares
$ Value
% Port.
BlackRock Inc.
14,351,600
131,317,000
-
VANGUARD GROUP INC
14,244,900
130,341,000
-
Dragoneer Investment Group, LLC
12,726,000
116,443,000
2.53%
DEERFIELD MANAGEMENT COMPANY, L.P. (SERIES C)
11,246,800
102,908,000
1.90%
VK Services, LLC
6,848,780
62,666,400
9.50%
SOUTHEASTERN ASSET MANAGEMENT INC/TN/
5,718,270
52,322,200
2.01%
Thrive Capital Management, LLC
4,755,220
43,510,300
8.98%
MILLENNIUM MANAGEMENT LLC
3,867,880
35,391,100
0.01%
Ancient Art, L.P.
3,729,900
34,128,600
5.69%
STATE STREET CORP
3,474,180
31,788,800
-
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10
1–10 of 91
Which funds have put a big percent of portfolio in OSCR?
Fund Name
$ Value
% Port.
Lakestar Growth I (G.P.) Ltd
11,496,000
100.00%
Lakestar II (G.P.) Ltd
4,130,000
34.09%
VK Services, LLC
62,666,400
9.50%
Thrive Capital Management, LLC
43,510,300
8.98%
DUMAC, INC.
2,542,170
7.84%
Alpha Square Group S LLC
5,427,530
6.38%
Ancient Art, L.P.
34,128,600
5.69%
GLYNN CAPITAL MANAGEMENT LLC
17,528,800
3.28%
Dragoneer Investment Group, LLC
116,443,000
2.53%
Iron Triangle Partners LP
18,780,800
2.43%
Rows per page:
10
1–10 of 97
Trend of No. of funds that hold OSCR
Changes in Positions
Investor Breakout
Investor Churn (# Increased Holdings)
New Buys
Fund Name
$ Bought
DEERFIELD MANAGEMENT COMPANY, L.P. (SERIES C)
102,908,000
Iron Triangle Partners LP
18,780,800
ARDSLEY ADVISORY PARTNERS LP
12,195,100
First Light Asset Management, LLC
8,853,860
Rock Springs Capital Management LP
6,725,250
Park West Asset Management LLC
6,167,710
Allspring Global Investments Holdings, LLC
4,117,100
FIRST TRUST ADVISORS LP
3,979,130
Additions
Fund Name
% Increased
NISA INVESTMENT ADVISORS, LLC
2,481
Tower Research Capital LLC (TRC)
748
CITIGROUP INC
738
BARCLAYS PLC
226
Parallel Advisors, LLC
185
SG Americas Securities, LLC
162
BROWN ADVISORY INC
158
Qube Research & Technologies Ltd
115
Reductions
Fund Name
% Reduced
Balyasny Asset Management L.P.
-92.32
Atom Investors LP
-88.78
Alphabet Inc.
-88.75
PRINCIPAL FINANCIAL GROUP INC
-86.86
JACOBS LEVY EQUITY MANAGEMENT, INC
-84.35
Aigen Investment Management, LP
-79.57
CTF Capital Management, LP
-76.48
DUMAC, INC.
-73.41
Sold off
Fund Name
$ Sold
Formation8 GP, LLC
-47,479,600
CONCOURSE FINANCIAL GROUP SECURITIES, INC.
-
CONCOURSE FINANCIAL GROUP SECURITIES, INC.
-
Activest Wealth Management
-
BANK OF MONTREAL /CAN/
-3,803,410
SCHRODER INVESTMENT MANAGEMENT GROUP
-2,243,530
Trexquant Investment LP
-1,742,690
G2 Investment Partners Management LLC
-1,515,040