SECTORAL ASSET MANAGEMENT INC

13F Portfolio Filings

  • Most recent 13F
    Q4 2024
  • Location
    montreal, A8
  • CIK
    0001274413
  • All SEC filings
Q4 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

86

$149.82M
LENZ, CTNM, LLY, UNH
13F-HR
Feb 14, 2025
000110465925013709

90

$169.30M
LENZ, CTNM, LLY, UNH
13F-HR
Nov 14, 2024
000110465924118494

97

$246.06M
LLY, LENZ, CTNM, UNH
13F-HR
Aug 13, 2024
000110465924088729

92

$254.38M
LENZ, LLY, BOLD, UNH
13F-HR
May 14, 2024
000110465924061089

104

$232.22M
LLY, UNH, MRK, JNJ
13F-HR
Feb 14, 2024
000110465924022582

123

$513.53M
BMRN, LLY, OPCH, CNMD
13F-HR
Nov 14, 2023
000110465923117467

121

$599.78M
RCM, EVH, PRVA, APLS
13F-HR
Aug 11, 2023
000110465923090436

118

$520.30M
EVH, RCM, SWAV, UNH
13F-HR
May 12, 2023
000110465923059619

120

$516.78M
EVH, HQY, RCM, BMRN
13F-HR
Feb 10, 2023
000110465923018063

109

$507.58M
UNH, HQY, BMRN, EVH
13F-HR
Nov 10, 2022
000110465922116875

112

$496.29M
UNH, HQY, RCM, NARI
13F-HR
Aug 15, 2022
000110465922090800

106

$563.34M
UNH, HQY, NARI, ATRC
13F-HR
May 10, 2022
000110465922058211

108

$664.45M
ARNA, EFTR, ORTHO CLINICAL DIAGNOSTICS H, SYNH
13F-HR
Feb 11, 2022
000110465922019952

127

$1.20B
EFTR, EVH, SYNH, RCUS
13F-HR
Nov 15, 2021
000110465921138704

127

$1.24B
TFX, EVH, ATRC, ORTHO CLINICAL DIAGNOSTICS H
13F-HR
Aug 16, 2021
000110465921105743

113

$1.32B
AVIR, EVH, NVV1, ORTHO CLINICAL DIAGNOSTICS H
13F-HR
May 14, 2021
000110465921066370

97

$1.42B
AVIR, ARVN, TNDM, TDOC
13F-HR
Feb 12, 2021
000110465921021495

88

$1.16B
IMMU, PPD, 9980328D, PTCT
13F-HR
Nov 13, 2020
000110465920125051

191

$1.09B
APREA THERAPEUTICS INC, HRC, PTCT, FOLD
13F-HR
Aug 13, 2020
000110465920094408

65

$520.94M
APREA THERAPEUTICS INC, TDOC, BMRN, BSX
13F-HR
May 13, 2020
000110465920060525

65

$670.20M
APREA THERAPEUTICS INC, TDOC, BSX, TNDM
13F-HR
Feb 12, 2020
000110465920018421

63

$579.65M
TDOC, FOLD, TNDM, APLS
13F-HR
Nov 14, 2019
000110465919063907

92

$836.30M
SWAV, FOLD, APLS, 1832555D
13F-HR
Aug 14, 2019
000110465919045891

106

$831.39M
FOLD, AERIE PHARMACEUTICALS INC, ALNY, APLS
13F-HR
May 14, 2019
000110465919029204

104

$735.64M
FOLD, AERIE PHARMACEUTICALS INC, ALNY, TDOC
13F-HR
Feb 12, 2019
000110465919007490

168

$941.93M
FOLD, AERIE PHARMACEUTICALS INC, APLS, ALNY
13F-HR
Nov 14, 2018
000110465918068465

67

$894.44M
FOLD, AERIE PHARMACEUTICALS INC, APLS, LJPC
13F-HR
Aug 13, 2018
000110465918051494

68

$912.06M
FOLD, APLS, LJPC, BMRN
13F-HR
May 15, 2018
000110465918033268

67

$800.30M
FOLD, APLS, ACAD, NVSN
13F-HR
Feb 13, 2018
000110465918009094

62

$776.31M
FOLD, PFE, NVSN, ACAD
13F-HR
Nov 14, 2017
000110465917068399

61

$914.42M
PFE, JNJ, MRK, NVSN
13F-HR
Aug 14, 2017
000110465917051739

65

$856.30M
MRK, JNJ, PFE, NBIX
13F-HR
May 15, 2017
000110465917032751

55

$902.67M
MRK, PFE, LLY, CELG
13F-HR
Feb 10, 2017
000110465917008034

56

$1.02B
MRK, PFE, CELG, LLY
13F-HR
Nov 10, 2016
000110465916156249

64

$968.42M
NBIX, MRK, PFE, LLY
13F-HR
Aug 12, 2016
000110465916139204

81

$2.07B
CELG, GILD, BMRN, AMGN
13F-HR
May 13, 2016
000110465916120779

75

$2.35B
GILD, ALXN, BMRN, CELG
13F-HR
Feb 12, 2016
000110465916096363

77

$2.18B
BIIB, GILD, CELG, REGN
13F-HR
Nov 13, 2015
000110465915078664

91

$2.40B
BIIB, GILD, CELG, BMRN
13F-HR
Aug 13, 2015
000110465915059367

77

$2.63B
BIIB, BMRN, CELG, GILD
13F-HR
May 14, 2015
000110465915038098

64

$2.23B
BIIB, AMGN, CELG, BMRN
13F-HR
Feb 13, 2015
000110465915010210

66

$2.38B
BIIB, AMGN, GILD, CELG
13F-HR
Nov 13, 2014
000110465914080151

64

$2.36B
BIIB, AMGN, GILD, CELG
13F-HR
Aug 14, 2014
000110465914061102

64

$2.43B
AMGN, BIIB, GILD, THERMO FISHER SCIENTIFIC INC
13F-HR
May 14, 2014
000110465914038454

59

$2.32B
BIIB, GILD, AMGN, CELG
13F-HR
Feb 12, 2014
000110465914008562