Oxford Asset Management Llp

Source: SEC Form 13F · as of Mar 2026

Oxford Asset Management Llp holds 50 biotech & pharma companies tracked by BioSniper, totaling $22.3M in value as of Mar 2026 (SEC Form 13F).

Companies held

50

Total value held

$22.3M

CompanySharesValue
DAWNDay One Biopharmaceuticals, Inc.99,747$2.1M
TERNTerns Pharmaceuticals, Inc.39,090$2.1M
VRTXVERTEX PHARMACEUTICALS INC / MA2,499$1.1M
ADMAADMA BIOLOGICS, INC.121,741$1.1M
MCKMcKesson Corporation1,158$1.0M
RVMDREVOLUTION MEDICINES, INC.9,233$898K
GMOptec International, Inc.11,474$855K
BMRNBIOMARIN PHARMACEUTICAL INC14,777$835K
FOLDAMICUS THERAPEUTICS, INC.49,811$720K
ANABANAPTYSBIO, INC12,676$703K
ZYMEZymeworks Inc.27,812$696K
ABTABBOTT LABORATORIES6,595$677K
GILDGILEAD SCIENCES, INC.4,744$661K
CORCencora Inc.1,710$537K
CRNXCrinetics Pharmaceuticals, Inc.14,670$533K
SLNOSOLENO THERAPEUTICS INC15,664$524K
EBSEmergent BioSolutions Inc.57,638$478K
PMPhilip Morris International Inc2,691$445K
XENEXenon Pharmaceuticals Inc.6,884$400K
PGNYProgyny Inc.22,662$385K
VTRSViatris Inc23,928$323K
CAHCardinal Health Inc.1,518$321K
IMVTImmunovant, Inc.12,456$309K
IOVAIOVANCE BIOTHERAPEUTICS, INC.80,776$284K
ERASErasca, Inc.16,752$271K
VKTXViking Therapeutics, Inc.8,191$267K
BHVNBiohaven Ltd.30,545$258K
LQDALiquidia Corp6,842$258K
GHGuardant Health Inc.2,720$251K
WSTWest Pharmaceutical Services Inc.991$248K
BMYBRISTOL MYERS SQUIBB CO3,707$225K
RLAYRelay Therapeutics, Inc.22,521$224K
RXRXRECURSION PHARMACEUTICALS, INC.71,753$220K
AMGNAMGEN INC621$218K
ADPTAdaptive Biotechnologies Corp14,395$200K
OSCROscar Health Inc.16,423$188K
BCRXBIOCRYST PHARMACEUTICALS INC19,271$183K
NVAXNOVAVAX INC19,783$161K
JANXJanux Therapeutics, Inc.11,359$158K
SLSSELLAS Life Sciences Group, Inc.35,501$150K
KROSKeros Therapeutics, Inc.11,153$123K
MYGNMYRIAD GENETICS INC25,309$114K
HELPCYBIN INC.22,277$107K
BHCBausch Health Companies Inc.16,753$90K
ORGOOrganogenesis Holdings Inc.37,842$90K
ARDXARDELYX, INC.13,760$82K
ESPREsperion Therapeutics, Inc.27,330$75K
BDTXBlack Diamond Therapeutics, Inc.23,083$49K
MDXGMiMedx Group Inc10,677$42K
SNDLSNDL Inc.13,568$18K

13F holdings reflect long positions in U.S.-listed securities as reported to the SEC. Values are point-in-time for the most recent reported quarter.

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