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Biodesix Inc

BDSX
Exchange
Nasdaq
Industry
Services-Medical Laboratories
SEC CIK
0001439725

In the last 90 days, Biodesix Inc insiders filed 2 open-market purchases and 0 sales; 45 institutions reported holding it in 13F filings for Q2 2026, worth $98.5M in total; no superinvestor holds it.

13F holders, Q3 2024

Institutional positions in Biodesix Inc as of Sep 30, 2024. Investment managers with $100 million or more in US stocks report their long positions on Form 13F within 45 days after each quarter ends. How 13F works

Institutional holders
52
+8 vs. Q2 2024
Shares held
62.4M
+9.24M (+17.4%) vs. Q2 2024
Total value
$111.2M
+$29.9M (+36.7%) vs. Q2 2024
New holders
13
13 more added
Sold out
5
6 more reduced

2 institutions that held it in Q2 2024 haven't filed for Q3 2024 yet. Not filing isn't selling, so they aren't counted as sold out or in the changes above.

Compare with Q2 2024: new holders, sold out and not filed yet

Holders and value by quarter

Institutions reporting BDSX on Form 13F each quarter since Q1 2021, and the total value they reported. Values are as of each quarter end, so they also move with the share price.

Institutional holdersQ3 2024: 52 institutions
Q1 2021: 46 institutionsQ2 2021: 47 institutionsQ3 2021: 42 institutionsQ4 2021: 41 institutionsQ1 2022: 46 institutionsQ2 2022: 37 institutionsQ3 2022: 28 institutionsQ4 2022: 33 institutionsQ1 2023: 30 institutionsQ2 2023: 29 institutionsQ3 2023: 37 institutionsQ4 2023: 38 institutionsQ1 2024: 42 institutionsQ2 2024: 46 institutionsQ3 2024: 52 institutionsQ4 2024: 59 institutionsQ1 2025: 60 institutionsQ2 2025: 41 institutionsQ3 2025: 26 institutionsQ4 2025: 26 institutionsQ1 2026: 40 institutionsQ2 2026: 45 institutions
Value heldQ3 2024: $111.2M
Q1 2021: $85.6MQ2 2021: $67.6MQ3 2021: $34.9MQ4 2021: $21.4MQ1 2022: $7.06MQ2 2022: $5.99MQ3 2022: $6.04MQ4 2022: $36.9MQ1 2023: $31.0MQ2 2023: $20.7MQ3 2023: $27.7MQ4 2023: $30.4MQ1 2024: $23.1MQ2 2024: $82.0MQ3 2024: $111.2MQ4 2024: $89.9MQ1 2025: $33.4MQ2 2025: $10.0MQ3 2025: $10.8MQ4 2025: $11.1MQ1 2026: $56.6MQ2 2026: $98.5M
Institutions holding BDSX and their total value by quarter
QuarterHoldersValue
Q2 202645$98.5M
Q1 202640$56.6M
Q4 202526$11.1M
Q3 202526$10.8M
Q2 202541$10.0M
Q1 202560$33.4M
Q4 202459$89.9M
Q3 202452$111.2M
Q2 202446$82.0M
Q1 202442$23.1M
Q4 202338$30.4M
Q3 202337$27.7M
Q2 202329$20.7M
Q1 202330$31.0M
Q4 202233$36.9M
Q3 202228$6.04M
Q2 202237$5.99M
Q1 202246$7.06M
Q4 202141$21.4M
Q3 202142$34.9M
Q2 202147$67.6M
Q1 202146$85.6M

Institutions, Q3 2024

Shares, value and share of portfolio for each institution holding Biodesix Inc; share changes are against Q2 2024.

Institutions holding BDSX in Q3 2024
InstitutionSharesValue% of portfolioChange in sharesAction
UBS Group AG250$4450.00%−1,834−88.0%Reduced
Bank of America Corp594$1.06K0.00%+82+16.0%Added
Tower Research Capital LLC (TRC)2,952$5.25K0.00%+2,952New
Morgan Stanley7,435$13.2K0.00%00.0%Unchanged
Ferguson Shapiro LLC10,000$17.8K0.01%00.0%Unchanged
Point72 Asia (Singapore) Pte. Ltd.10,278$18.3K0.00%+10,278New
Cubist Systematic Strategies, LLC10,500$18.7K0.00%+10,500New
Bank of New York Mellon Corp14,002$24.9K0.00%00.0%Unchanged
Citadel Advisors LLC14,009$24.9K0.00%+8,335+146.9%Added
Charles Schwab Investment Management Inc20,622$36.7K0.00%00.0%Unchanged
Barclays PLC23,036$41.0K0.00%+21,179+1,140.5%Added
Oracle Investment Management Inc28,916$51.5K0.04%00.0%Unchanged
CIBC Private Wealth Group, LLC29,337$52.2K0.00%00.0%Unchanged
Prudential Financial Inc29,800$53.0K0.00%00.0%Unchanged
Citigroup Inc40,689$72.4K0.00%+40,689New
Renaissance Technologies LLC41,157$73.3K0.00%+30,057+270.8%Added
Northern Trust Corp43,764$77.9K0.00%00.0%Unchanged
AJOVista, LLC45,124$80.3K0.34%+45,124New
Jefferies Financial Group Inc.55,400$98.6K0.00%+55,400New
CI Private Wealth, LLC58,975$105.0K0.00%00.0%Unchanged
Qube Research & Technologies Ltd72,433$128.9K0.00%+69,365+2,260.9%Added
Cetera Investment Advisers78,000$138.8K0.00%00.0%Unchanged
GTS Securities LLC80,330$143.0K0.00%+80,330New
Blair William & Co83,400$148.5K0.00%00.0%Unchanged
Allworth Financial LP99,331$176.8K0.00%00.0%Unchanged
Susquehanna International Group, LLP128,273$228.3K0.00%+128,273New
HighTower Advisors, LLC131,434$234.0K0.00%00.0%Unchanged
Landscape Capital Management, L.L.C.146,941$261.6K0.03%+146,941New
Millennium Management LLC165,342$294.3K0.00%+165,342New
Spears Abacus Advisors LLC205,605$366.0K0.01%00.0%Unchanged
Bridgeway Capital Management, LLC284,511$506.4K0.01%+99,448+53.7%Added
State Street Corp288,550$513.6K0.00%00.0%Unchanged
Heights Capital Management, Inc318,767$567.4K0.42%+318,767New
Legato Capital Management LLC334,310$595.1K0.07%00.0%Unchanged
BlackRock, Inc.568,577$1.01M0.00%+568,577New
AMH Equity Ltd696,073$1.24M1.63%00.0%Unchanged
Perkins Capital Management Inc724,782$1.29M1.21%+310,000+74.7%Added
Geode Capital Management, LLC804,576$1.43M0.00%+270,724+50.7%Added
Wells Fargo & Company924,233$1.65M0.00%−6,948−0.7%Reduced
Essex Investment Management Co LLC971,197$1.73M0.30%+2,580+0.3%Added
Perceptive Advisors LLC2,173,880$3.87M0.08%00.0%Unchanged
Vanguard Group Inc2,962,690$5.27M0.00%+56,186+1.9%Added
Monashee Investment Management LLC3,500,879$6.23M0.67%+240,000+7.4%Added
Silverarc Capital Management, LLC3,561,094$6.34M1.43%+1,752,135+96.9%Added
Opaleye Management Inc.3,815,000$6.97M1.16%−205,000−5.1%Reduced
Soleus Capital Management, L.P.4,038,065$7.19M0.60%−2,073,899−33.9%Reduced
Sio Capital Management, LLC4,338,514$7.72M3.46%−9,341−0.2%Reduced
Farallon Capital Management, L.L.C.4,636,791$8.25M0.05%+2,758,616+146.9%Added
AIGH Capital Management LLC5,679,812$10.1M4.73%−100,000−1.7%Reduced
Birchview Capital, LP5,696,113$10.1M8.76%00.0%Unchanged
Bryn Mawr Trust Co6,095,034$10.8M0.19%+6,095,034New
Telemark Asset Management, LLC8,282,490$14.7M1.49%00.0%Unchanged
LMR Partners LLP0$00.00%−1,600,000−100.0%Sold out
ExodusPoint Capital Management, LP0$00.00%−41,446−100.0%Sold out
Two Sigma Securities, LLC0$00.00%−11,063−100.0%Sold out
Simplex Trading, LLC0$00.00%−860−100.0%Sold out
Royal Bank of Canada0$00.00%−152−100.0%Sold out
BlackRock Inc.––––Not filed
CVI Holdings, LLC––––Not filed