CG Oncology, Inc. CGON
CIK 0001991792 · CUSIP 156944100
Quarter-end disclosures, not live holdings.
Top 20 institutions
Weight means this stock's share of the manager's own portfolio.
| # | Manager | Value | Manager weight | Change vs prior | Source | |
|---|---|---|---|---|---|---|
| 01 | VANGUARD GROUP INC CIK 102909 · View history | $271.52M 6,539,482 shares | 0.00% | -37.80K(-0.6%)Reduced | SEC filing ↗ Jan 29, 2026 | ▾ |
| 02 | Decheng Capital LLC CIK 2010850 · View history | $264.55M 6,371,669 shares | 35.59% | 0(0.0%)Unchanged | SEC filing ↗ Feb 12, 2026 | ▾ |
| 03 | WELLINGTON MANAGEMENT GROUP LLP CIK 902219 · View history | $249.11M 5,999,790 shares | 0.04% | +487.01K(+8.8%)Added | SEC filing ↗ Feb 17, 2026 | ▾ |
| 04 | BlackRock, Inc. CIK 2012383 · View history | $201.09M 4,843,242 shares | 0.00% | +256.73K(+5.6%)Added | SEC filing ↗ Feb 12, 2026 | ▾ |
| 05 | FMR LLC CIK 315066 · View history | $178.46M 4,298,173 shares | 0.01% | +432.37K(+11.2%)Added | SEC filing ↗ Feb 17, 2026 | ▾ |
| 06 | TCG Crossover Management, LLC CIK 1839948 · View history | $152.39M 3,670,206 shares | 5.04% | 0(0.0%)Unchanged | SEC filing ↗ Feb 17, 2026 | ▾ |
| 07 | PRICE T ROWE ASSOCIATES INC /MD/ CIK 80255 · View history | $142.96M 3,443,144 shares | 0.02% | +1.85M(+116.7%)Added | SEC filing ↗ Feb 17, 2026 | ▾ |
| 08 | STATE STREET CORP CIK 93751 · View history | $124.42M 2,996,695 shares | 0.00% | +950.03K(+46.4%)Added | SEC filing ↗ Feb 13, 2026 | ▾ |
| 09 | Foresite Capital Management VI LLC CIK 2013341 · View history | $92.24M 2,221,474 shares | 27.88% | 0(0.0%)Unchanged | SEC filing ↗ Feb 17, 2026 | ▾ |
| 10 | RTW INVESTMENTS, LP CIK 1493215 · View history | $83.54M 2,012,127 shares | 0.84% | +310.91K(+18.3%)Added | SEC filing ↗ Feb 17, 2026 | ▾ |
| 11 | UBS Group AG CIK 1610520 · View history | $79.87M 1,923,746 shares | 0.02% | -202.52K(-9.5%)Reduced | SEC filing ↗ Jan 29, 2026 | ▾ |
| 12 | BRAIDWELL LP CIK 1920938 · View history | $77.67M 1,870,571 shares | 2.48% | -1.41M(-43.0%)Reduced | SEC filing ↗ Feb 17, 2026 | ▾ |
| 13 | ALLIANCEBERNSTEIN L.P. CIK 1109448 · View history | $66.99M 1,613,425 shares | 0.02% | -524.69K(-24.5%)Reduced | SEC filing ↗ Feb 17, 2026 | ▾ |
| 14 | FRANKLIN RESOURCES INC CIK 38777 · View history | $64.84M 1,561,574 shares | 0.02% | +92.27K(+6.3%)Added | SEC filing ↗ Feb 11, 2026 | ▾ |
| 15 | ORBIMED ADVISORS LLC CIK 1055951 · View history | $62.97M 1,516,550 shares | 1.29% | -210.30K(-12.2%)Reduced | SEC filing ↗ Feb 17, 2026 | ▾ |
| 16 | Seven Fleet Capital Management LP CIK 2092021 · Amended · View history | $62.91M 1,515,151 shares | 42.57% | — | SEC filing ↗ Apr 2, 2026 | ▾ |
| 17 | GEODE CAPITAL MANAGEMENT, LLC CIK 1214717 · View history | $62.77M 1,511,533 shares | 0.00% | +38.36K(+2.6%)Added | SEC filing ↗ Feb 9, 2026 | ▾ |
| 18 | Avidity Partners Management LP CIK 1791827 · View history | $61.15M 1,472,699 shares | 17.64% | -128.20K(-8.0%)Reduced | SEC filing ↗ Feb 13, 2026 | ▾ |
| 19 | DV Trading LLC CIK 1721757 · View history | $59.76M 1,439,393 shares | 5.18% | — | SEC filing ↗ Feb 17, 2026 | ▾ |
| 20 | Pictet Asset Management Holding SA CIK 1993888 · View history | $56.03M 1,349,527 shares | 0.05% | +30.96K(+2.3%)Added | SEC filing ↗ Jan 29, 2026 | ▾ |
Showing 20 / 196 institutions. The complete set is available through the API.
Coverage & totals by quarter
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