HCAT · Application · 42225T107
Health Catalyst
Q1 2020 · compared with Q4 2019
- Tracked value
- $418M
- Tracked filers
- 53
2 filings are from the same family as a larger report and are left out of the total.
Quarter history
Tracked value counts one filer from each family. Net bought is the share change from the previous quarter. History follows the CUSIP on the latest information table, and it starts when that filer’s CIK exists, so a renamed issuer or a new CIK is shorter than ten years.
- Q2 202639 filers · $2$52.3M−$5.0M
- Q1 202644 filers · $1$38.5M−$4.4M
- Q4 202550 filers · $2$71.6M−$8.3M
- Q3 202551 filers · $3$93.6M+$2.6M
- Q2 202560 filers · $4$121M−$8.6M
- Q1 202563 filers · $5$155M+$833K
- Q4 202461 filers · $7$236M+$2.7M
- Q3 202461 filers · $8$267M−$2.1M
- Q2 202464 filers · $6$212M+$8.9M
- Q1 202464 filers · $8$240M−$11.6M
- Q4 202363 filers · $9$307M+$3.8M
- Q3 202364 filers · $10$332M+$27.8M
- Q2 202364 filers · $13$382M−$3.5M
- Q1 202363 filers · $12$361M+$5.0M
- Q4 202265 filers · $11$323M+$2.5M
- Q3 202267 filers · $10$292M−$58.9M
- Q2 202263 filers · $14$496M+$19.3M
- Q1 202269 filers · $26$874M−$73.3M
- Q4 202168 filers · $40$1.4B+$64.4M
- Q3 202173 filers · $50$1.7B+$195M
- Q2 202171 filers · $56$1.7B+$192M
- Q1 202168 filers · $47$1.2B+$133M
- Q4 202068 filers · $44$1.0B+$7.6M
- Q3 202061 filers · $37$846M+$140M
- Q2 202057 filers · $29$535M+$61.6M
- Q1 202053 filers · $26$418M+$72.8M
- Q4 201943 filers · $35$477M+$15.7M
- Q3 201941 filers · $32$412M+$417M
Who owns it
- Sc US (ttgp)Generalist · 77.5% of their software3,089,191 shares$80.8M−$107M
- AlliancebernsteinGeneralist · 0.2% of their software1,160,941 shares$30.4M+$15.0M
- Wells FargoGeneralist · 0.2% of their software1,111,437 shares$29.1M+$32.2M
- FidelityGeneralist · 0.0% of their software1,088,834 shares$28.5M+$2.7M
- BlackRockPassive · 0.0% of their software1,081,773 shares$28.3M+$16.4M
- Victory Capital ManagementGeneralist · 0.6% of their software1,061,939 shares$27.8M+$6.9M
- Marshall WaceGeneralist · 7.1% of their software1,020,358 shares$26.7MNew · +$35.4M
- Clearbridge InvestmentsGeneralist · 0.3% of their software1,011,568 shares$26.5M+$19.2M
- Point72 Asset ManagementGeneralist · 3.7% of their software798,466 shares$20.9MNew · +$27.7M
- American Century CompaniesGeneralist · 0.3% of their software774,369 shares$20.3M−$886K
- Capital International InvestorsGeneralist · 0.1% of their software692,700 shares · Not in the total$18.1M+$10.2M
- William Blair Investment ManagementGeneralist · 0.8% of their software493,033 shares$12.9MNew · +$17.1M
- Alyeska Investment GroupGeneralist · 1.5% of their software365,857 shares$9.6M+$1.9M
- State StreetPassive · 0.0% of their software343,261 shares$9.0M+$5.7M
- Wellington Management GroupGeneralist · 0.0% of their software342,984 shares$9.0M+$11.5M
- Ensign Peak AdvisorsGeneralist · 0.2% of their software250,159 shares$6.5M+$1.3M
- Allianz Asset Management GmbHGeneralist · 0.1% of their software224,937 shares$5.9M+$2.5M
- Conestoga Capital AdvisorsGeneralist · 1.0% of their software217,342 shares$5.7M+$3.5M
- JPMorgan ChaseGeneralist · 0.0% of their software214,570 shares$5.6M+$6.9M
- Northern TrustPassive · 0.0% of their software211,910 shares$5.5M+$3.3M
- GeodePassive · 0.0% of their software201,201 shares$5.3M+$3.4M
- Capital Research Global InvestorsGeneralist · 0.0% of their software196,200 shares · Not in the total$5.1MFlat
- Bank of New York MellonPassive · 0.0% of their software154,450 shares$4.0M+$4.1M
- Sands Capital ManagementGeneralist · 0.0% of their software110,955 shares$3.0M−$27.0M
- Charles Schwab Investment ManagementPassive · 0.0% of their software71,219 shares$1.9M+$826K
- Schroder Investment Management GroupGeneralist · 0.0% of their software58,720 shares$1.6M+$693K
- Bank of AmericaGeneralist · 0.0% of their software58,362 shares$1.5M+$1.3M
- Tiger Global ManagementCrossover · 0.0% of their software50,000 shares$1.3MFlat
- Morgan StanleyGeneralist · 0.0% of their software46,132 shares$1.2MFlat
- Millennium ManagementGeneralist · 0.1% of their software33,008 shares$863KNew · +$1.1M
- AmeripriseGeneralist · 0.0% of their software32,029 shares$837KFlat
- California State Teachers Retirement SystemGeneralist · 0.0% of their software28,826 shares$754K+$561K
- Goldman SachsGeneralist · 0.0% of their software27,586 shares$721KNew · +$957K
- InvescoPassive · 0.0% of their software24,966 shares$653K−$13.0M
- Tudor InvestmentGeneralist · 0.8% of their software23,463 shares$614KFlat
- Aberdeen GroupGeneralist · 0.0% of their software23,060 shares$603KNew · +$800K
- Rhumbline AdvisersGeneralist · 0.0% of their software23,025 shares$602K+$535K
- UBS GroupGeneralist · 0.0% of their software18,175 shares$476KFlat
- Swiss National BankGeneralist · 0.0% of their software17,500 shares$458KFlat
- Susquehanna International GroupGeneralist · 0.0% of their software12,591 shares$329KNew
- First Light Asset ManagementGeneralist · 6.3% of their software11,100 shares$290KFlat
- Manufacturers Life Insurance Company, TheGeneralist · 0.0% of their software10,868 shares$284KNew
- LPl FinancialGeneralist · 0.0% of their software9,870 shares$258KNew
- Two Sigma InvestmentsGeneralist · 0.0% of their software9,441 shares$247KNew
- Voya Investment ManagementGeneralist · 0.0% of their software9,027 shares$236KNew
- Citadel AdvisorsGeneralist · 0.0% of their software8,823 shares$230KNew
- California Public Employees Retirement SystemGeneralist · 0.0% of their software8,500 shares$222KFlat
- New York State Common Retirement FundGeneralist · 0.0% of their software7,000 shares$183KFlat
- Deutsche BankGeneralist · 0.0% of their software6,606 shares$173KFlat
- CitigroupGeneralist · 0.0% of their software5,897 shares$154KFlat
- Legal & GeneralPassive · 0.0% of their software3,650 shares$96KFlat
- Baillie Gifford & COGeneralist · 0.0% of their software3,352 shares$88KFlat
- Zurcher Kantonalbank (Zurich Cantonalbank)Generalist · 0.0% of their software1,415 shares$37KNew
- Pnc Financial Services GroupGeneralist · 0.0% of their software134 shares$4KFlat
- Royal Bank of CanadaGeneralist · 0.0% of their software90 shares$2K−$557K
