
ADAGE CAPITAL PARTNERS GP, L.L.C.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | IAG | 400K | $5.17M |
![]() | COMP | 400K | $3.21M |
![]() | EVTL | 400K | $2.08M |
![]() | UDR | 400K | $14.89M |
![]() | TGT | 399K | $35.76M |
![]() | PCAR | 398K | $39.13M |
![]() | XRAY | 398K | $5.05M |
![]() | DRUG | 396K | $24.01M |
![]() | THC | 396K | $80.31M |
![]() | CL | 395K | $31.59M |
![]() | APO | 393K | $52.43M |
![]() | PSX | 393K | $53.44M |
![]() | LIN | 390K | $185.46M |
![]() | COST | 390K | $361.25M |
![]() | FRT | 388K | $39.32M |
![]() | CSGP | 386K | $32.54M |
![]() | CRGY | 381K | $3.39M |
![]() | HIW | 377K | $11.98M |
![]() | BXP | 374K | $27.80M |
![]() | CARR | 372K | $22.21M |

IAMGOLD Corporation
IAG
Shares Held
400K
Value
$5.17M

Compass, Inc.
COMP
Shares Held
400K
Value
$3.21M

Vertical Aerospace Ltd.
EVTL
Shares Held
400K
Value
$2.08M

UDR, Inc.
UDR
Shares Held
400K
Value
$14.89M

Target Corporation
TGT
Shares Held
399K
Value
$35.76M

PACCAR Inc
PCAR
Shares Held
398K
Value
$39.13M

DENTSPLY SIRONA Inc.
XRAY
Shares Held
398K
Value
$5.05M

Bright Minds Biosciences Inc.
DRUG
Shares Held
396K
Value
$24.01M

Tenet Healthcare Corporation
THC
Shares Held
396K
Value
$80.31M

Colgate-Palmolive Company
CL
Shares Held
395K
Value
$31.59M

Apollo Global Management, Inc.
APO
Shares Held
393K
Value
$52.43M

Phillips 66
PSX
Shares Held
393K
Value
$53.44M

Linde plc
LIN
Shares Held
390K
Value
$185.46M

Costco Wholesale Corporation
COST
Shares Held
390K
Value
$361.25M

Federal Realty Investment Trust
FRT
Shares Held
388K
Value
$39.32M

CoStar Group, Inc.
CSGP
Shares Held
386K
Value
$32.54M

Crescent Energy Company
CRGY
Shares Held
381K
Value
$3.39M

Highwoods Properties, Inc.
HIW
Shares Held
377K
Value
$11.98M

BXP, Inc.
BXP
Shares Held
374K
Value
$27.80M

Carrier Global Corporation
CARR
Shares Held
372K
Value
$22.21M
