market
riddle
Activity
Companies
Insiders
Institutions
Pricing
EN
Sign in
Sign up
Institutions
/
ADAGE CAPITAL PARTNERS GP, L.L.C.
/ Move history
‹
Back to ADAGE CAPITAL PARTNERS GP, L.L.C.
AG
Adage Capital Partners Gp, L.L.C.
Quarter-over-quarter position changes
1,038 changes
All actions
All impact
Action
Company
Quarter
↓
Δ shares
Δ %
Held after
Flow
Impact
Added
Revolution Medicines, Inc.
Mar 31, 2026
+3,270,056
+148%
5,475,611
$318.01M
high
Added
Coterra Energy Inc.
Mar 31, 2026
+7,122,100
+649%
8,219,512
$250.27M
high
Trimmed
G7709Q104
Mar 31, 2026
-4,259,961
-36%
7,480,633
$204.35M
high
Exited
Avidity Biosciences, Inc.
Mar 31, 2026
-2,630,966
-100%
0
$189.77M
high
Trimmed
Devon Energy Corp
Mar 31, 2026
-3,615,098
-81%
841,194
$181.91M
high
Trimmed
Terns Pharmaceuticals, Inc.
Mar 31, 2026
-3,425,183
-62%
2,124,817
$180.58M
high
Trimmed
DOVER Corp
Mar 31, 2026
-834,452
-54%
721,646
$173.94M
high
Added
RB Global Inc
Mar 31, 2026
+1,726,524
+324%
2,260,145
$165.49M
high
Added
BOSTON SCIENTIFIC CORP
Mar 31, 2026
+2,550,877
+122%
4,633,237
$160.07M
high
Added
CHEVRON CORP
Mar 31, 2026
+720,600
+40%
2,500,766
$149.09M
high
Trimmed
The Boeing Company
Mar 31, 2026
-735,553
-48%
799,391
$146.40M
high
Trimmed
ConocoPhillips
Mar 31, 2026
-1,018,100
-14%
6,019,177
$134.39M
high
Trimmed
HUBBELL INC
Mar 31, 2026
-272,330
-56%
216,567
$133.64M
high
Added
CSX CORP
Mar 31, 2026
+3,252,825
+85%
7,085,533
$133.53M
high
Trimmed
WASTE MANAGEMENT INC
Mar 31, 2026
-560,261
-61%
358,449
$128.74M
high
Exited
DOMINION ENERGY, INC
Mar 31, 2026
-2,141,911
-100%
0
$125.49M
high
Trimmed
Aon plc
Mar 31, 2026
-384,400
-63%
222,169
$124.08M
high
New
TAKEDA PHARMACEUTICAL CO LTD
TAK
Mar 31, 2026
+6,424,984
New
6,424,984
$118.99M
high
Trimmed
Edwards Lifesciences Corp
Mar 31, 2026
-1,452,765
-74%
501,866
$116.34M
high
New
SOUTHERN CO
Mar 31, 2026
+1,186,900
New
1,186,900
$114.56M
high
Added
ELI LILLY & Co
Mar 31, 2026
+124,525
+15%
956,817
$114.53M
high
Added
STANLEY BLACK & DECKER, INC.
Mar 31, 2026
+1,534,586
+200%
2,300,421
$109.05M
high
Exited
Exact Sciences Corp.
Mar 31, 2026
-1,067,342
-100%
0
$108.40M
high
New
Voya Financial, Inc.
Mar 31, 2026
+1,500,000
New
1,500,000
$102.48M
high
Added
INSMED INC
Mar 31, 2026
+600,000
+200%
900,000
$98.11M
high
New
AMERICAN ELECTRIC POWER CO INC
Mar 31, 2026
+729,506
New
729,506
$95.62M
high
Added
Palo Alto Networks Inc
Mar 31, 2026
+590,124
+237%
838,900
$94.61M
high
Trimmed
152309100
Mar 31, 2026
-2,356,731
-21%
8,925,010
$93.61M
high
Exited
Jazz Pharmaceuticals PLC
Mar 31, 2026
-548,000
-100%
0
$93.16M
high
Trimmed
ROSS STORES, INC.
Mar 31, 2026
-422,800
-59%
289,786
$91.59M
high
Added
AMPHENOL CORP /DE
Mar 31, 2026
+692,268
+63%
1,784,888
$87.47M
high
Added
MADRIGAL PHARMACEUTICALS, INC.
Mar 31, 2026
+162,105
+698%
185,331
$84.86M
high
New
ITT INC.
Mar 31, 2026
+438,948
New
438,948
$83.63M
high
Added
Motorola Solutions, Inc.
Mar 31, 2026
+191,756
+127%
342,320
$83.22M
high
Exited
RYAN SPECIALTY HOLDINGS, INC.
Mar 31, 2026
-1,610,000
-100%
0
$83.12M
high
Added
LOWES COMPANIES INC
Mar 31, 2026
+339,600
+72%
812,505
$80.24M
high
Trimmed
VAXCYTE, INC.
Mar 31, 2026
-1,375,000
-80%
350,000
$79.90M
high
Exited
Acuity Inc
Mar 31, 2026
-217,335
-100%
0
$78.25M
high
Trimmed
Dyne Therapeutics, Inc.
Mar 31, 2026
-4,172,000
-81%
1,000,000
$75.64M
high
Added
Chubb Ltd
Mar 31, 2026
+231,000
+63%
595,883
$75.29M
high
Trimmed
EXXON MOBIL CORP
Mar 31, 2026
-442,800
-17%
2,218,922
$75.13M
high
Trimmed
NEXTERA ENERGY INC
Mar 31, 2026
-799,416
-62%
484,713
$74.25M
high
New
Vertiv Holdings Co
Mar 31, 2026
+292,700
New
292,700
$73.34M
high
Exited
PUBLIC SERVICE ENTERPRISE GROUP INC
Mar 31, 2026
-907,750
-100%
0
$72.89M
high
Added
SHERWIN WILLIAMS CO
Mar 31, 2026
+218,200
+198%
328,506
$69.94M
high
Exited
M2682V108
Mar 31, 2026
-156,078
-100%
0
$69.62M
high
New
Veradermics, Inc
Mar 31, 2026
+1,100,000
New
1,100,000
$69.47M
high
Added
Warner Bros. Discovery, Inc.
Mar 31, 2026
+2,493,104
+64%
6,416,487
$68.46M
high
Added
XCEL ENERGY INC
Mar 31, 2026
+839,751
+114%
1,573,942
$66.71M
high
New
04016X101
Mar 31, 2026
+90,000
New
90,000
$65.72M
high
← Prev
Page 1 of 21
Next →