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Parkman Healthcare Partners LLC

Q1 2026 · Filed 2026-05-15
Market Value
$905M
-7.3%
Holdings
109
+6
New Purchases
15
Added To
42
Closed
27
Reduced
24
Top 10 Concentration
37.1%
Turnover
38.5%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
LLY 3.52% 0.00% +3.52% $32M
XENE 3.19% 0.71% +2.49% $29M
PTCT 3.25% 1.25% +2.00% $29M
NVST 2.00% 0.00% +2.00% $18M
SYK 5.62% 3.80% +1.82% $51M
ABBV 1.80% 0.00% +1.80% $16M
ILMN 1.50% 0.00% +1.50% $14M
ZBH 2.69% 1.39% +1.30% $24M
AGIO 1.51% 0.28% +1.23% $14M
ANIP 2.38% 1.17% +1.21% $22M
KALV 4.08% 2.93% +1.16% $37M
SNDX 2.33% 1.24% +1.09% $21M
BCRX 1.80% 0.72% +1.08% $16M
IDXX 0.93% 0.00% +0.93% $8M
GPCR 1.24% 0.39% +0.84% $11M

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
MASI 0.00% 2.67% -2.67% $0
TERN 0.00% 2.57% -2.57% $0
FOLD 0.00% 2.17% -2.17% $0
MCK 1.21% 3.06% -1.84% $11M
BSX 3.11% 4.89% -1.78% $28M
MTD 0.00% 1.57% -1.57% $0
UPB 0.78% 2.32% -1.54% $7M
A 0.00% 1.39% -1.39% $0
DHR 0.00% 1.38% -1.38% $0
VRDN 1.21% 2.51% -1.31% $11M
UNH 0.00% 1.08% -1.08% $0
ALNY 0.98% 1.94% -0.96% $9M
ACLX 0.00% 0.86% -0.86% $0
MAZE 0.11% 0.89% -0.78% $951K
WAT 0.87% 1.63% -0.76% $8M

Sector Allocation Over Time

Market Cap Concentration

TierHoldingsValueWeight
Mega Cap 3 $48M 5.3%
Large Cap 22 $318M 35.1%
Mid Cap 35 $240M 26.6%
Small Cap 38 $285M 31.5%
Micro Cap 11 $14M 1.5%

Portfolio Analytics

Avg Market Cap
$26.5B
Median Market Cap
$2.3B
Avg P/E
39.7
Median P/E
30.3
Avg Dividend Yield
0.00%
Avg Beta
0.99
# Stocks
109
# ETFs / Funds
0

Top Holdings (109 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 SYK 5.62% 154,771 $51M $328.59 $14M +49,299 +46.7%
2 DXCM 4.79% 689,822 $43M $62.80 $4M +102,347 +17.4%
3 KALV 4.08% 1,835,506 $37M $20.13 $8M +66,998 +3.8%
4 PODD 3.63% 156,561 $33M $209.84 -$7M +15,701 +11.2%
5 LLY 3.52% 34,616 $32M $919.77 +34,616 NEW
6 PTCT 3.25% 431,364 $29M $68.13 $17M +271,185 +169.3%
7 XENE 3.19% 497,035 $29M $58.15 $22M +342,851 +222.4%
8 BSX 3.11% 448,768 $28M $62.75 -$20M -51,761 -10.3%
9 CVS 3.07% 387,306 $28M $71.82 -$8M -62,906 -14.0%
10 RCUS 2.88% 1,207,274 $26M $21.60 $3M +238,672 +24.6%
11 LIVN 2.84% 403,965 $26M $63.56 $393K -6,947 -1.7%
12 ZBH 2.69% 269,557 $24M $90.42 $11M +118,508 +78.5%
13 MBX 2.64% 800,037 $24M $29.85 -$4M -85,602 -9.7%
14 ANIP 2.38% 280,575 $22M $76.90 $10M +135,575 +93.5%
15 SNDX 2.33% 901,511 $21M $23.36 $9M +327,488 +57.0%
16 NVST 2.00% 711,693 $18M $25.37 +711,693 NEW
17 EYPT 1.93% 1,354,800 $17M $12.89 -$2M +266,767 +24.5%
18 ABBV 1.80% 75,000 $16M $217.49 +75,000 NEW
19 BCRX 1.80% 1,708,099 $16M $9.52 $9M +808,042 +89.8%
20 IQV 1.63% 86,702 $15M $170.54 $7M +51,472 +146.1%
21 AGIO 1.51% 403,525 $14M $33.83 $11M +303,921 +305.1%
22 ILMN 1.50% 110,370 $14M $123.26 +110,370 NEW
23 EW 1.48% 167,155 $13M $80.08 $514K +16,170 +10.7%
24 NBIX 1.44% 99,069 $13M $131.74 -$3M -15,643 -13.6%
25 GPCR 1.24% 232,093 $11M $48.20 $7M +177,093 +322.0%
26 MCK 1.21% 12,676 $11M $865.36 -$19M -23,679 -65.1%
27 STOK 1.21% 336,519 $11M $32.56 -$3M -93,636 -21.8%
28 VRDN 1.21% 557,936 $11M $19.56 -$14M -230,140 -29.2%
29 WAY 1.18% 443,058 $11M $24.11 -$1M +74,035 +20.1%
30 MLYS 1.14% 380,137 $10M $27.09 -$5M -30,112 -7.3%
31 EWTX 1.12% 322,828 $10M $31.50 -$444K -104,862 -24.5%
32 XERS 1.10% 1,721,264 $10M $5.80 -$3M +29,679 +1.8%
33 THC 1.05% 50,123 $9M $188.71 -$3M -10,391 -17.2%
34 AORT 1.02% 252,014 $9M $36.62 -$745K +33,345 +15.2%
35 NUVL 1.00% 88,078 $9M $102.45 -$3M -30,634 -25.8%
36 ATEC 0.99% 823,763 $9M $10.88 $3M +546,582 +197.2%
37 ALNY 0.98% 26,916 $9M $330.87 -$10M -20,787 -43.6%
38 AXGN 0.98% 268,160 $9M $33.13 $691K +17,842 +7.1%
39 IMNM 0.98% 403,487 $9M $21.87 $3M +125,675 +45.2%
40 AMLX 0.95% 621,458 $9M $13.90 $4M +239,698 +62.8%
41 IDXX 0.93% 15,000 $8M $561.89 +15,000 NEW
42 WAT 0.87% 26,447 $8M $297.80 -$8M -15,452 -36.9%
43 ADPT 0.85% 551,815 $8M $13.88 $1M +150,085 +37.4%
44 UPB 0.78% 786,783 $7M $9.00 -$16M -47,776 -5.7%
45 ERAS 0.73% 406,702 $7M $16.18 +406,702 NEW
46 0I3I.L 0.71% 89,883 $6M $71.50 -$4M -35,452 -28.3%
47 ABSI 0.62% 1,864,806 $6M $3.00 $504K +406,154 +27.8%
48 TNGX 0.62% 266,127 $6M $20.92 +266,127 NEW
49 CDNA 0.56% 291,378 $5M $17.36 -$144K +15,224 +5.5%
50 URGN 0.55% 275,000 $5M $17.98 $992K +106,232 +63.0%
51 RARE 0.54% 235,000 $5M $20.95 $3M +172,970 +278.9%
52 FDMT 0.54% 522,577 $5M $9.31 $1M +19,146 +3.8%
53 IRTC 0.52% 40,125 $5M $118.02 +40,125 NEW
54 MMED 0.52% 317,324 $5M $14.92 +317,324 NEW
55 SIBN 0.52% 373,553 $5M $12.63 -$3M -829 -0.2%
56 CARL 0.52% 521,123 $5M $9.05 +521,123 NEW
57 OPRX 0.51% 729,369 $5M $6.28 -$2M +190,720 +35.4%
58 VIR 0.50% 500,000 $4M $8.96 +500,000 NEW
59 SUPN 0.49% 85,062 $4M $51.69 +85,062 NEW
60 CAI 0.45% 229,912 $4M $17.88 $738K +104,912 +83.9%
61 CVRX 0.45% 429,507 $4M $9.46 $1M +16,489 +4.0%
62 COGT 0.43% 100,126 $4M $38.49 +100,126 NEW
63 AMRX 0.41% 300,752 $4M $12.43 +300,752 NEW
64 ANNX 0.41% 674,013 $4M $5.54 $716K +72,811 +12.1%
65 ALGN 0.40% 21,233 $4M $171.43 -$308K -4,052 -16.0%
66 QURE 0.37% 206,842 $3M $16.35 -$3M -50,540 -19.6%
67 WGS 0.36% 50,778 $3M $64.22 -$2M +11,506 +29.3%
68 VCYT 0.36% 101,237 $3M $32.21 -$960K +968 +1.0%
69 CSTL 0.34% 126,150 $3M $24.55 -$3M -24,408 -16.2%
70 CMPS 0.34% 554,411 $3M $5.53 $2M +454,939 +457.4%
71 BFLY 0.24% 544,477 $2M $4.04 $2M +443,642 +440.0%
72 QDEL 0.18% 101,764 $2M $16.43 -$4M -82,727 -44.8%
73 RXST 0.17% 249,989 $2M $6.16 -$2M -101,666 -28.9%
74 QTRX 0.13% 341,453 $1M $3.52 -$890K +12,497 +3.8%
75 PLSE 0.12% 50,125 $1M $21.59 +50,125 NEW
76 LUNG 0.11% 755,636 $975K $1.29 -$634K +27,855 +3.8%
77 MAZE 0.11% 31,844 $951K $29.85 -$8M -177,422 -84.8%
78 ADMA 0.08% 82,443 $743K $9.01 -$3M -117,557 -58.8%
79 EDAP 0.06% 154,832 $576K $3.72 $67K
80 OVID 0.05% 208,205 $462K $2.22 $135K +7,169 +3.6%
81 ARAY 0.04% 884,578 $343K $0.39 -$359K +32,566 +3.8%
82 ENTX 0.04% 288,670 $320K $1.11 -$213K +13,597 +4.9%
83 CERT —% -$3M -348,750 -100.0% SOLD
84 TMDX —% -$5M -45,174 -100.0% SOLD
85 MASI —% -$26M -200,000 -100.0% SOLD
86 PGEN —% -$4M -1,002,826 -100.0% SOLD
87 CRNX —% -$1M -22,852 -100.0% SOLD
88 MDLN —% -$863K -20,558 -100.0% SOLD
89 MNKD —% -$4M -640,356 -100.0% SOLD
90 PTGX —% -$2M -25,973 -100.0% SOLD
91 BIIB —% -$6M -35,425 -100.0% SOLD
92 DHR —% -$13M -58,889 -100.0% SOLD
93 UNH —% -$11M -31,875 -100.0% SOLD
94 A —% -$14M -100,000 -100.0% SOLD
95 VERA —% -$5M -100,564 -100.0% SOLD
96 SYRE —% -$4M -124,485 -100.0% SOLD
97 TVTX —% -$3M -86,297 -100.0% SOLD
98 ACHC —% -$1M -100,000 -100.0% SOLD
99 DOCS —% -$7M -162,276 -100.0% SOLD
100 MTD —% -$15M -10,988 -100.0% SOLD

New Positions

SymbolValue% Port
LLY $32M 3.52%
NVST $18M 2.00%
ABBV $16M 1.80%
ILMN $14M 1.50%
IDXX $8M 0.93%
ERAS $7M 0.73%
TNGX $6M 0.62%
IRTC $5M 0.52%
MMED $5M 0.52%
CARL $5M 0.52%
VIR $4M 0.50%
SUPN $4M 0.49%
COGT $4M 0.43%
AMRX $4M 0.41%
PLSE $1M 0.12%

Sold Out Positions

SymbolValue% Port
INSP —%
DHR —%
A —%
DOCS —%
MTD —%
UNH —%
MASI —%
CERT —%
ACHC —%
MDLN —%
BIIB —%
MNKD —%
PGEN —%
TMDX —%
CRNX —%
View SEC EDGAR Filings for Parkman Healthcare Partners LLC →

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