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BHSRX

BlackRock Health Sciences Opportunities Portfolio
1W: -2.6% 1M: -3.7% 3M: -8.6% YTD: -3.1% 1Y: +7.7% 3Y: +4.8% 5Y: -15.0%
$60.14
-0.05 (-0.08%)
 
Weekly Expected Move ±2.0%
$58 $59 $60 $61 $63
ETF NASDAQ · AUM $6.4B
Total Changes (90d)
156
New Holdings
124
Removed Holdings
17
156 changes · Page 1 of 4
Date Holding Name Ticker Change Type Old Value New Value
2026-09-25 TMO.TO TMO.TO New — 455530 shares
2026-09-25 TMO.NE TMO.NE Removed 455530 shares —
2026-09-21 MRNA MRNA shares 891317 444967
2026-09-21 KOD KOD Removed 128647 shares —
2026-09-21 HALO HALO shares 112468 246253
2026-09-21 ABT ABT shares 1474485 1509463
2026-09-21 PFE.BA PFE.BA shares 3851976 5365585
2026-09-21 CVS CVS shares 403961 262347
2026-09-21 EW EW shares 1710975 1594693
2026-09-21 MRK MRK shares 2543755 2400258
2026-09-21 VRTX VRTX shares 361907 390198
2026-09-21 NVS NVS shares 251660 207638
2026-09-21 ALMS ALMS Removed 154380 shares —
2026-09-21 IQV IQV shares 236996 262637
2026-09-21 UPB UPB Removed 341675 shares —
2026-09-21 COGT COGT shares 1132219 1030762
2026-09-21 GILD GILD shares 1841333 1783230
2026-09-21 UNH.TO UNH.TO shares 855427 708976
2026-09-21 ILMN ILMN shares 322603 284747
2026-09-21 BRVE BRVE New — 117028 shares
2026-09-21 THC THC New — 154007 shares
2026-09-21 HUM.ST HUM.ST New — 75328 shares
2026-09-21 ABCL ABCL New — 1257977 shares
2026-09-21 TEM TEM New — 414285 shares
2026-09-21 BNTX BNTX Removed 41921 shares —
2026-09-21 INSM INSM Removed 338463 shares —
2026-09-21 MBX MBX Removed 333350 shares —
2026-09-21 4568.T 4568.T Removed 673800 shares —
2026-09-21 ELAT ELAT Removed 483249 shares —
2026-09-21 PTCT PTCT Removed 48954 shares —
2026-09-21 GKOS GKOS Removed 87150 shares —
2026-09-21 AGIO AGIO Removed 31305 shares —
2026-09-21 MDLN MDLN Removed 369634 shares —
2026-09-21 AZN.L AZN.L Removed 248547 shares —
2026-09-21 SYK SYK Removed 322341 shares —
2026-09-21 HUM HUM Removed 75328 shares —
2026-09-21 HCA HCA shares 111627 137660
2026-09-15 UNH.TO UNH.TO New — 855427 shares
2026-09-15 UNH.NE UNH.NE Removed 855427 shares —
2026-09-01 BBOT BBOT New — 883053 shares
2026-09-01 COR COR New — 120395 shares
2026-09-01 ALMS ALMS New — 154380 shares
2026-09-01 SMMT SMMT New — 276987 shares
2026-09-01 KYMR KYMR New — 54173 shares
2026-09-01 MRK MRK New — 2543755 shares
2026-09-01 MPLT MPLT New — 50257 shares
2026-09-01 MRNA MRNA New — 891317 shares
2026-09-01 DGX DGX New — 85193 shares
2026-09-01 HUM HUM New — 75328 shares
2026-09-01 RGNX RGNX New — 214663 shares

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms