Companies / enGene Therapeutics Inc.

enGene Therapeutics Inc.

Nasdaq: ENGNCIK 1980845SAINT-LAURENT

Financials

Revenue
Net income$-117.30M
Total debt
Cash$29.83M
Diluted EPS$2.29
Shares outstanding67.0M

Ownership

67.0M shares outstanding · as of Jun 9, 2026
18.2%10%+ / strategic
Ownership
10%+ / strategic18.16%12,162,806
Institutions92.03%61,651,647
Public float0.00%0

Reported holdings exceed shares outstanding — public float shown as 0; some positions may overlap or lag.

% of common shares outstanding (exact, from the latest cover-page filing). Institutions are quarterly 13F snapshots; insiders reflect current officers & directors.

Insiders 13

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Insider% of sharesShares
Boyd Matthew RossChief Regulatory Officer
Buck JillChief Development Officer
Cheung Anthony TzeyewChief Scientific Officer
Connolly JoanChief Technology Officer
Cooper Ronald Harold WilfredCEOCEO & President · Director
Daws D. RyanChief Financial Officer
Giguere LeeChief Legal Ofc. and Corp Secy

Institutional holders 61

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HolderValue% of shares
Fcpm III Services B.V.$86.98M14.38%
VR Adviser, LLC$43.09M7.12%
Perceptive Advisors LLC$39.69M8.70%
Deep Track Capital, LP$39.53M6.53%
Cormorant Asset Management, LP$36.12M5.97%
Blue Owl Capital Holdings LP$30.35M5.02%
Siren, L.L.C.$30.13M4.98%
Braidwell LP$28.28M4.67%
Nextech Invest, Ltd.$19.19M3.17%
Janus Henderson Group PLC$17.11M2.84%

Activity

Jun 30, 2026View all →
InsidersInstitutions
Who's accumulating and trimming this stock (13F).
DateActorActionSecurityValueShares ΔPosition afterImpact
Q1 2026
as of
Janus Henderson Group PLC
13F manager
Exit$-17.11M-1.9M
-100.00%
medium
Q2 2026
as of
BML Capital Management, LLC
13F manager
NewCommon Stock$11.54M+6.7M
6,669,908
9.96% of shares
medium
Q1 2026
as of
Balyasny Asset Management L.P.
13F manager
New$7.82M+1.1M
1,148,997
1.72% of shares
medium
Q4 2025
as of
Bank of America Corp /De
13F manager
Exit$-4.42M-647K
-100.00%
low
Q1 2026
as of
Millennium Management LLC
13F manager
Trim$-3.68M-540K
-36.00%
959,681
1.43% of shares
low
Q2 2026
as of
Privium Fund Management B.V.
13F manager
Exit$-3.18M-352K
-100.00%
low
Q1 2026
as of
Marshall Wace, LLP
13F manager
Exit$-3.11M-344K
-100.00%
low
Q1 2026
as of
Marshall Wace, LLP
13F manager
NewCommon Stock$2.34M+344K
343,928
0.51% of shares
low

5%+ ownership events

Schedule 13D / 13G
FilerStance% of classSharesDate
Cormorant Asset Management, LPPassive13G4,000,000
Venrock Healthcare Capital Partners III, L.P.Passive13G/A
Kynam Capital Management, LPPassive13G/A1,492,898
Invus, L.P.Passive13G
BML Investment Partners, L.P.Passive13G/A6,669,908
BML Investment Partners, L.P.Passive13G5,225,000

Securities

via CUSIP / OpenFIGI
SymbolTypeMarketCUSIPFIGI
ENGNCommon StockEquity29286X101BBG01J1GCYW7
ENGN29286M105