Skip to main content

CG Oncology, Inc.

CGON
Exchange
Nasdaq
Industry
Biological Products, (No Diagnostic Substances)
SEC CIK
0001991792

In the last 90 days, CG Oncology, Inc. insiders filed 0 open-market purchases and 4 sales; 227 institutions reported holding it in 13F filings for Q2 2026, worth $6.66B in total; no superinvestor holds it.

13F holders, Q4 2024

Institutional positions in CG Oncology, Inc. as of Dec 31, 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
140
+20 vs. Q3 2024
Shares held
66.2M
+14.3M (+27.5%) vs. Q3 2024
Total value
$1.90B
−$57.7M (−3.0%) vs. Q3 2024
New holders
37
59 more added
Sold out
17
27 more reduced

1 institution that held it in Q3 2024 haven't filed for Q4 2024 yet. Not filing isn't selling, so they aren't counted as sold out or in the changes above.

Compare with Q3 2024: new holders, sold out and not filed yet

Holders and value by quarter

Institutions reporting CGON 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 holdersQ4 2024: 140 institutions
Q1 2021: 0 institutionsQ2 2021: 0 institutionsQ3 2021: 0 institutionsQ4 2021: 0 institutionsQ1 2022: 0 institutionsQ2 2022: 0 institutionsQ3 2022: 0 institutionsQ4 2022: 0 institutionsQ1 2023: 0 institutionsQ2 2023: 0 institutionsQ3 2023: 0 institutionsQ4 2023: 0 institutionsQ1 2024: 96 institutionsQ2 2024: 111 institutionsQ3 2024: 121 institutionsQ4 2024: 140 institutionsQ1 2025: 142 institutionsQ2 2025: 163 institutionsQ3 2025: 176 institutionsQ4 2025: 195 institutionsQ1 2026: 233 institutionsQ2 2026: 227 institutions
Value heldQ4 2024: $1.90B
Q1 2021: $0Q2 2021: $0Q3 2021: $0Q4 2021: $0Q1 2022: $0Q2 2022: $0Q3 2022: $0Q4 2022: $0Q1 2023: $0Q2 2023: $0Q3 2023: $0Q4 2023: $0Q1 2024: $1.70BQ2 2024: $1.37BQ3 2024: $1.96BQ4 2024: $1.90BQ1 2025: $1.74BQ2 2025: $1.97BQ3 2025: $3.13BQ4 2025: $3.43BQ1 2026: $6.03BQ2 2026: $6.66B
Institutions holding CGON and their total value by quarter
QuarterHoldersValue
Q2 2026227$6.66B
Q1 2026233$6.03B
Q4 2025195$3.43B
Q3 2025176$3.13B
Q2 2025163$1.97B
Q1 2025142$1.74B
Q4 2024140$1.90B
Q3 2024121$1.96B
Q2 2024111$1.37B
Q1 202496$1.70B
Q4 20230$0
Q3 20230$0
Q2 20230$0
Q1 20230$0
Q4 20220$0
Q3 20220$0
Q2 20220$0
Q1 20220$0
Q4 20210$0
Q3 20210$0
Q2 20210$0
Q1 20210$0

Institutions, Q4 2024

Shares, value and share of portfolio for each institution holding CG Oncology, Inc.; share changes are against Q3 2024.

Institutions holding CGON in Q4 2024
InstitutionSharesValue% of portfolioChange in sharesAction
Decheng Capital LLC6,371,669$182.7M39.20%+892,859+16.3%Added
Vanguard Group Inc5,861,082$168.1M0.00%+779,730+15.3%Added
BlackRock, Inc.4,061,130$116.5M0.00%+490,203+13.7%Added
TCG Crossover Management, LLC3,670,206$105.3M10.29%00.0%Unchanged
Braidwell LP3,283,317$94.2M2.79%+112,442+3.5%Added
Kynam Capital Management, LP2,519,705$72.3M4.77%+748,900+42.3%Added
FMR LLC2,433,593$69.8M0.00%+2,287,987+1,571.4%Added
Foresite Capital Management VI LLC2,221,474$63.7M28.39%+2,221,474New
State Street Corp1,923,584$55.2M0.00%+222,931+13.1%Added
Wellington Management Group LLP1,910,470$54.8M0.01%+1,400,251+274.4%Added
Alliancebernstein L.P.1,817,887$52.1M0.02%+692,982+61.6%Added
RTW Investments, LP1,701,216$48.8M0.74%+357,142+26.6%Added
Janus Henderson Group PLC1,485,843$42.6M0.02%−40,691−2.7%Reduced
Marshall Wace, LLP1,458,072$41.8M0.05%+1,450,372+18,836.0%Added
OrbiMed Advisors LLC1,431,114$41.0M0.85%+740,000+107.1%Added
Franklin Resources Inc1,275,891$36.6M0.01%+45,698+3.7%Added
Citadel Advisors LLC1,169,253$33.5M0.03%+847,890+263.8%Added
Geode Capital Management, LLC1,156,670$33.2M0.00%+78,143+7.2%Added
Acorn Capital Advisors, LLC1,131,501$32.5M17.46%+1,131,501New
Avidity Partners Management LP1,097,800$31.5M3.14%−558,200−33.7%Reduced
UBS Group AG1,013,891$29.1M0.01%+927,357+1,071.7%Added
Polar Capital Holdings Plc967,055$27.7M0.16%00.0%Unchanged
Price T Rowe Associates Inc945,194$27.1M0.00%+353,787+59.8%Added
Deerfield Management Company, L.P. (Series C)851,593$24.4M0.46%+898+0.1%Added
Goldman Sachs Group Inc818,667$23.5M0.00%+169,093+26.0%Added
Cormorant Asset Management, LP775,000$22.2M1.22%−200,000−20.5%Reduced
Frazier Life Sciences Management, L.P.770,000$22.1M0.92%00.0%Unchanged
Morgan Stanley725,227$20.8M0.00%+490,356+208.8%Added
Avoro Capital Advisors LLC700,000$20.1M0.28%00.0%Unchanged
Foresite Capital Management V, LLC692,550$19.9M16.53%00.0%Unchanged
Pictet Asset Management Holding SA674,607$19.3M0.02%+674,607New
Woodline Partners LP628,885$18.0M0.12%+22,987+3.8%Added
Saturn V Capital Management LLC593,262$17.0M6.66%+73,143+14.1%Added
TimesSquare Capital Management, LLC546,904$15.7M0.23%+109,835+25.1%Added
ABG-WTT Global Life Science Capital Partners GP Ltd495,526$14.2M32.51%00.0%Unchanged
Northern Trust Corp433,860$12.4M0.00%+52,419+13.7%Added
Charles Schwab Investment Management Inc427,760$12.3M0.00%+48,096+12.7%Added
Perceptive Advisors LLC419,450$12.0M0.34%−314,245−42.8%Reduced
Soleus Capital Management, L.P.328,585$9.42M0.71%−12,000−3.5%Reduced
Point72 Asset Management, L.P.308,259$8.84M0.02%−437,804−58.7%Reduced
Massachusetts Financial Services Co257,157$7.38M0.00%−22,788−8.1%Reduced
Millennium Management LLC249,001$7.14M0.01%+249,001New
CenterBook Partners LP236,108$6.77M0.40%−73,188−23.7%Reduced
ArrowMark Colorado Holdings LLC224,582$6.44M0.09%−5,808−2.5%Reduced
Walleye Capital LLC224,580$6.44M0.06%+224,580New
ADAR1 Capital Management, LLC215,750$6.19M1.28%+72,646+50.8%Added
Bank of America Corp209,518$6.01M0.00%+38,626+22.6%Added
Adage Capital Partners GP, L.L.C.200,000$5.74M0.01%−200,000−50.0%Reduced
Driehaus Capital Management LLC197,937$5.68M0.05%−2,046−1.0%Reduced
Pamalican Asset Management Ltd181,582$5.21M2.30%+181,582New
Ally Bridge Group (NY) LLC174,048$4.99M4.28%−89,218−33.9%Reduced
JPMorgan Chase & Co168,866$4.84M0.00%+137,795+443.5%Added
Maven Securities LTD140,000$4.02M0.65%+140,000New
Bank of New York Mellon Corp135,567$3.89M0.00%−9,359−6.5%Reduced
UBS Asset Management Americas Inc125,902$3.61M0.00%+104,780+496.1%Added
Nuveen Asset Management, LLC111,716$3.20M0.00%−41,918−27.3%Reduced
Barclays PLC101,257$2.90M0.00%+10,737+11.9%Added
Affinity Asset Advisors, LLC100,000$2.87M0.45%+100,000New
Crestline Management, LP95,439$2.74M0.10%+87,549+1,109.6%Added
Corebridge Financial, Inc.93,189$2.67M0.01%−42,440−31.3%Reduced
Canada Pension Plan Investment Board83,000$2.38M0.00%00.0%Unchanged
Swiss National Bank79,600$2.28M0.00%+47,000+144.2%Added
TD Asset Management Inc79,184$2.27M0.00%+8,348+11.8%Added
Rafferty Asset Management, LLC78,721$2.26M0.01%+126+0.2%Added
Manufacturers Life Insurance Company, The76,522$2.19M0.00%+3,373+4.6%Added
Citigroup Inc71,636$2.05M0.00%+36,430+103.5%Added
Rhumbline Advisers69,016$1.98M0.00%+1,458+2.2%Added
Jane Street Group, LLC61,362$1.76M0.00%−134,589−68.7%Reduced
Ensign Peak Advisors, Inc60,565$1.74M0.00%00.0%Unchanged
Alps Advisors Inc54,690$1.57M0.01%+831+1.5%Added
iA Global Asset Management Inc.45,890$1.32M0.02%+45,890New
Alyeska Investment Group, L.P.45,000$1.29M0.00%+45,000New
Fan Yu163,456$1.28M2.41%00.0%Unchanged
Deutsche Bank AG38,978$1.12M0.00%+13,589+53.5%Added
California State Teachers Retirement System38,768$1.11M0.00%+20,763+115.3%Added
Susquehanna International Group, LLP37,669$1.08M0.00%+24,676+189.9%Added
Monashee Investment Management LLC36,872$1.06M0.15%+36,872New
Los Angeles Capital Management LLC30,197$866.0K0.00%+8,145+36.9%Added
Mirae Asset Global ETFs Holdings Ltd.30,080$862.1K0.00%+1,026+3.5%Added
Legal & General Group Plc29,262$839.2K0.00%+4,865+19.9%Added
MetLife Investment Management29,026$832.5K0.00%+1,894+7.0%Added
Wells Fargo & Company28,234$809.8K0.00%+8,803+45.3%Added
Invesco Ltd.27,069$776.3K0.00%+11,662+75.7%Added
Sicart Associates LLC25,000$717.0K0.26%00.0%Unchanged
Cinctive Capital Management LP22,608$648.4K0.03%+22,608New
HighVista Strategies LLC22,305$639.7K0.24%+6,571+41.8%Added
Ameriprise Financial Inc21,946$629.4K0.00%+9,051+70.2%Added
XTX Topco Ltd19,996$573.5K0.05%+19,996New
M&T Bank Corp16,891$484.9K0.00%+133+0.8%Added
Intech Investment Management LLC16,787$481.5K0.00%+16,787New
ProShare Advisors LLC16,561$475.0K0.00%+7,599+84.8%Added
Profund Advisors LLC15,515$445.0K0.02%−342−2.2%Reduced
China Universal Asset Management Co., Ltd.14,340$411.3K0.04%+14,340New
Voya Investment Management LLC14,163$406.2K0.00%−840−5.6%Reduced
New York State Common Retirement Fund13,996$401.4K0.00%+2,000+16.7%Added
Handelsbanken Fonder AB13,300$381.0K0.00%+13,300New
UBS Oconnor LLC12,834$368.1K0.01%+1,810+16.4%Added
Teacher Retirement System of Texas11,927$342.0K0.00%+11,927New
Arizona State Retirement System11,853$339.9K0.00%+11,853New
Squarepoint Ops LLC10,907$312.8K0.00%+10,907New