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Ovid Therapeutics Inc.

OVID
Exchange
Nasdaq
Industry
Pharmaceutical Preparations
SEC CIK
0001636651

No open-market purchases or sales by Ovid Therapeutics Inc. insiders were filed in the last 90 days; 130 institutions reported holding it in 13F filings for Q2 2026, worth $395.5M in total; no superinvestor holds it.

13F holders, Q2 2024

Institutional positions in Ovid Therapeutics Inc. as of Jun 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
74
−7 vs. Q1 2024
Shares held
46.0M
−4.09M (−8.2%) vs. Q1 2024
Total value
$35.4M
−$117.4M (−76.8%) vs. Q1 2024
New holders
14
23 more added
Sold out
21
24 more reduced

Compare with Q1 2024: new holders, sold out and not filed yet

Holders and value by quarter

Institutions reporting OVID 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 holdersQ2 2024: 74 institutions
Q1 2021: 88 institutionsQ2 2021: 80 institutionsQ3 2021: 72 institutionsQ4 2021: 67 institutionsQ1 2022: 62 institutionsQ2 2022: 55 institutionsQ3 2022: 59 institutionsQ4 2022: 60 institutionsQ1 2023: 61 institutionsQ2 2023: 69 institutionsQ3 2023: 64 institutionsQ4 2023: 77 institutionsQ1 2024: 81 institutionsQ2 2024: 74 institutionsQ3 2024: 75 institutionsQ4 2024: 82 institutionsQ1 2025: 82 institutionsQ2 2025: 71 institutionsQ3 2025: 81 institutionsQ4 2025: 84 institutionsQ1 2026: 103 institutionsQ2 2026: 130 institutions
Value heldQ2 2024: $36.5M
Q1 2021: $145.7MQ2 2021: $130.5MQ3 2021: $112.9MQ4 2021: $110.1MQ1 2022: $110.3MQ2 2022: $74.5MQ3 2022: $65.5MQ4 2022: $71.7MQ1 2023: $100.0MQ2 2023: $134.5MQ3 2023: $162.6MQ4 2023: $172.0MQ1 2024: $158.7MQ2 2024: $36.5MQ3 2024: $56.4MQ4 2024: $44.4MQ1 2025: $14.5MQ2 2025: $11.9MQ3 2025: $47.1MQ4 2025: $100.5MQ1 2026: $233.2MQ2 2026: $395.5M
Institutions holding OVID and their total value by quarter
QuarterHoldersValue
Q2 2026130$395.5M
Q1 2026103$233.2M
Q4 202584$100.5M
Q3 202581$47.1M
Q2 202571$11.9M
Q1 202582$14.5M
Q4 202482$44.4M
Q3 202475$56.4M
Q2 202474$36.5M
Q1 202481$158.7M
Q4 202377$172.0M
Q3 202364$162.6M
Q2 202369$134.5M
Q1 202361$100.0M
Q4 202260$71.7M
Q3 202259$65.5M
Q2 202255$74.5M
Q1 202262$110.3M
Q4 202167$110.1M
Q3 202172$112.9M
Q2 202180$130.5M
Q1 202188$145.7M

Institutions, Q2 2024

Shares, value and share of portfolio for each institution holding Ovid Therapeutics Inc.; share changes are against Q1 2024.

Institutions holding OVID in Q2 2024
InstitutionSharesValue% of portfolioChange in sharesAction
Takeda Pharmaceutical Co Ltd7,531,996$5.79M2.49%00.0%Unchanged
Rubric Capital Management LP5,315,969$4.09M0.11%00.0%Unchanged
Madison Avenue Partners, LP4,082,100$3.14M0.40%+433,591+11.9%Added
BlackRock Inc.3,992,346$3.07M0.00%−202,943−4.8%Reduced
BVF Inc3,853,818$2.96M0.08%00.0%Unchanged
Vanguard Group Inc3,089,393$2.38M0.00%+113,085+3.8%Added
Artal Group S.A.2,500,000$1.92M0.05%00.0%Unchanged
Acadian Asset Management LLC1,664,552$1.28M0.00%+8,681+0.5%Added
Kennedy Capital Management, Inc.1,488,571$1.15M0.02%+1,488,571New
JPMorgan Chase & Co1,466,433$1.13M0.00%−111,628−7.1%Reduced
Driehaus Capital Management LLC1,400,191$1.08M0.01%+1,400,191New
State Street Corp1,354,371$1.04M0.00%+198,724+17.2%Added
Geode Capital Management, LLC1,302,514$1.00M0.00%+42,435+3.4%Added
TLS Advisors LLC1,125,296$866.0K2.17%−194,383−14.7%Reduced
Prosight Management, LP1,075,000$826.9K0.25%+91,800+9.3%Added
Wells Fargo & Company741,640$570.5K0.00%+307,768+70.9%Added
FFT Wealth Management LLC489,552$376.6K0.03%+75,530+18.2%Added
Northern Trust Corp465,532$358.1K0.00%−15,335−3.2%Reduced
Bridgeway Capital Management, LLC352,170$270.9K0.01%−5,700−1.6%Reduced
UBS Oconnor LLC288,290$221.7K0.01%+28,790+11.1%Added
Dimensional Fund Advisors LP274,982$211.4K0.00%−67,187−19.6%Reduced
Bank of New York Mellon Corp218,163$167.8K0.00%−11,390−5.0%Reduced
Charles Schwab Investment Management Inc161,808$124.5K0.00%00.0%Unchanged
Renaissance Technologies LLC141,200$108.6K0.00%−15,600−9.9%Reduced
Empowered Funds, LLC137,970$106.1K0.00%+9,900+7.7%Added
Goldman Sachs Group Inc126,826$97.6K0.00%+67,842+115.0%Added
Gsa Capital Partners LLP119,507$92.0K0.01%+119,507New
Nuveen Asset Management, LLC119,113$91.6K0.00%00.0%Unchanged
Wellington Management Group LLP115,832$89.1K0.00%−107,061−48.0%Reduced
Deutsche Bank AG105,177$81.0K0.00%+81,196+338.6%Added
Jane Street Group, LLC98,590$75.8K0.00%+45,010+84.0%Added
Millennium Management LLC78,024$60.0K0.00%−67,941−46.5%Reduced
Rhumbline Advisers69,733$53.6K0.00%−12,851−15.6%Reduced
Morgan Stanley68,950$53.0K0.00%−31,003−31.0%Reduced
Tejara Capital Ltd68,517$52.7K0.02%−4,636−6.3%Reduced
Alliancebernstein L.P.47,880$36.8K0.00%+47,880New
DCF Advisers, LLC41,750$32.1K0.02%+22,020+111.6%Added
Corebridge Financial, Inc.31,683$24.4K0.00%+31,683New
Blair William & Co31,039$23.9K0.00%+7,100+29.7%Added
Mirae Asset Global ETFs Holdings Ltd.30,913$23.8K0.00%+30,913New
Bank of America Corp29,534$22.7K0.00%+10,946+58.9%Added
Invesco Ltd.28,850$22.2K0.00%−704−2.4%Reduced
XTX Topco Ltd26,154$20.1K0.00%+26,154New
First Manhattan Co26,000$20.0K0.00%00.0%Unchanged
UBS Group AG21,192$16.3K0.00%−52,230−71.1%Reduced
Barclays PLC20,473$15.7K0.00%−21,663−51.4%Reduced
Knott David M Jr20,000$15.0K0.01%+20,000New
ADAR1 Capital Management, LLC19,190$14.8K0.00%+2,744+16.7%Added
New York State Common Retirement Fund18,986$14.6K0.00%+311+1.7%Added
Price T Rowe Associates Inc17,396$14.0K0.00%00.0%Unchanged
Citigroup Inc14,316$11.0K0.00%+2,864+25.0%Added
Tower Research Capital LLC (TRC)14,177$10.9K0.00%−9,958−41.3%Reduced
Two Sigma Investments, LP12,628$9.71K0.00%−28,041−68.9%Reduced
BBR Partners, LLC12,495$9.61K0.00%+12,495New
ProShare Advisors LLC12,365$9.51K0.00%−3,301−21.1%Reduced
Baader Bank INC13,282$8.32K0.00%+13,282New
China Universal Asset Management Co., Ltd.8,335$6.41K0.00%−5,244−38.6%Reduced
Legal & General Group Plc6,579$5.06K0.00%+1,378+26.5%Added
BNP Paribas Arbitrage, SA5,212$4.01K0.00%−26,950−83.8%Reduced
Royal Bank of Canada5,539$4.00K0.00%+3,283+145.5%Added
Ameritas Investment Partners, Inc.4,924$3.79K0.00%00.0%Unchanged
California State Teachers Retirement System4,267$3.28K0.00%−1,728−28.8%Reduced
Amalgamated Bank2,011$2.00K0.00%00.0%Unchanged
FMR LLC2,502$1.93K0.00%−83,705−97.1%Reduced
Federated Hermes, Inc.2,250$1.73K0.00%+2,250New
Sandy Spring Bank2,000$1.54K0.00%00.0%Unchanged
Mirae Asset Global Investments Co., Ltd.2,118$1.54K0.00%+2,118New
Russell Investments Group, Ltd.1,598$1.23K0.00%+1,598New
Simplex Trading, LLC2,383$1.00K0.00%+1,150+93.3%Added
Advisor Group Holdings, Inc.430$3310.00%−16−3.6%Reduced
Nisa Investment Advisors, LLC143$1100.00%+143New
Frazier Financial Advisors, LLC10$80.00%00.0%Unchanged
Sound Income Strategies, LLC6$50.00%00.0%Unchanged
CWM, LLC376$00.00%+371+7,420.0%Added
MetLife Investment Management0$00.00%−16,796−100.0%Sold out
EcoR1 Capital, LLC0$00.00%−6,117,400−100.0%Sold out
Blue Owl Capital Holdings LP0$00.00%−864,822−100.0%Sold out
Citadel Advisors LLC0$00.00%−147,339−100.0%Sold out
Assenagon Asset Management S.A.0$00.00%−114,265−100.0%Sold out
Connor, Clark & Lunn Investment Management Ltd.0$00.00%−84,233−100.0%Sold out
D. E. Shaw & Co., Inc.0$00.00%−71,264−100.0%Sold out
Squarepoint Ops LLC0$00.00%−68,343−100.0%Sold out
Jacobs Levy Equity Management, Inc0$00.00%−62,341−100.0%Sold out
Bank of Nova Scotia0$00.00%−44,152−100.0%Sold out
SG Americas Securities, LLC0$00.00%−35,938−100.0%Sold out
American International Group, Inc.0$00.00%−29,386−100.0%Sold out
Manufacturers Life Insurance Company, The0$00.00%−25,980−100.0%Sold out
Prelude Capital Management, LLC0$00.00%−25,555−100.0%Sold out
Voya Investment Management LLC0$00.00%−22,819−100.0%Sold out
Occudo Quantitative Strategies LP0$00.00%−14,086−100.0%Sold out
Bailard, Inc.0$00.00%−12,600−100.0%Sold out
Metropolitan Life Insurance Co0$00.00%−977−100.0%Sold out
ICA Group Wealth Management, LLC0$00.00%−55−100.0%Sold out
Qube Research & Technologies Ltd0$00.00%−54−100.0%Sold out
Nelson, Van Denburg & Campbell Wealth Management Group, LLC0$00.00%−10−100.0%Sold out