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Tarsus Pharmaceuticals, Inc.

TARS
Exchange
Nasdaq
Industry
Biological Products, (No Diagnostic Substances)
SEC CIK
0001819790

In the last 90 days, Tarsus Pharmaceuticals, Inc. insiders filed 0 open-market purchases and 6 sales; 256 institutions reported holding it in 13F filings for Q2 2026, worth $2.98B in total; no superinvestor holds it.

13F holders, Q3 2024

Institutional positions in Tarsus Pharmaceuticals, 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
162
+15 vs. Q2 2024
Shares held
43.4M
+6.59M (+17.9%) vs. Q2 2024
Total value
$1.43B
+$426.7M (+42.7%) vs. Q2 2024
New holders
40
57 more added
Sold out
25
42 more reduced

1 institution 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 TARS 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: 162 institutions
Q1 2021: 41 institutionsQ2 2021: 44 institutionsQ3 2021: 44 institutionsQ4 2021: 43 institutionsQ1 2022: 51 institutionsQ2 2022: 73 institutionsQ3 2022: 75 institutionsQ4 2022: 69 institutionsQ1 2023: 74 institutionsQ2 2023: 92 institutionsQ3 2023: 105 institutionsQ4 2023: 116 institutionsQ1 2024: 157 institutionsQ2 2024: 148 institutionsQ3 2024: 162 institutionsQ4 2024: 195 institutionsQ1 2025: 195 institutionsQ2 2025: 205 institutionsQ3 2025: 220 institutionsQ4 2025: 246 institutionsQ1 2026: 253 institutionsQ2 2026: 256 institutions
Value heldQ3 2024: $1.43B
Q1 2021: $410.4MQ2 2021: $378.5MQ3 2021: $277.4MQ4 2021: $294.2MQ1 2022: $222.2MQ2 2022: $291.7MQ3 2022: $350.8MQ4 2022: $301.0MQ1 2023: $252.1MQ2 2023: $387.3MQ3 2023: $529.4MQ4 2023: $652.0MQ1 2024: $1.43BQ2 2024: $1.09BQ3 2024: $1.43BQ4 2024: $2.23BQ1 2025: $2.26BQ2 2025: $1.87BQ3 2025: $2.67BQ4 2025: $3.61BQ1 2026: $3.17BQ2 2026: $2.98B
Institutions holding TARS and their total value by quarter
QuarterHoldersValue
Q2 2026256$2.98B
Q1 2026253$3.17B
Q4 2025246$3.61B
Q3 2025220$2.67B
Q2 2025205$1.87B
Q1 2025195$2.26B
Q4 2024195$2.23B
Q3 2024162$1.43B
Q2 2024148$1.09B
Q1 2024157$1.43B
Q4 2023116$652.0M
Q3 2023105$529.4M
Q2 202392$387.3M
Q1 202374$252.1M
Q4 202269$301.0M
Q3 202275$350.8M
Q2 202273$291.7M
Q1 202251$222.2M
Q4 202143$294.2M
Q3 202144$277.4M
Q2 202144$378.5M
Q1 202141$410.4M

Institutions, Q3 2024

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

Institutions holding TARS in Q3 2024
InstitutionSharesValue% of portfolioChange in sharesAction
Woodline Partners LP71,569$2.35M0.02%+71,569New
Jump Financial, LLC74,957$2.47M0.05%+74,957New
Deutsche Bank AG79,166$2.60M0.00%+63,176+395.1%Added
Barclays PLC98,663$3.25M0.00%+76,538+345.9%Added
Bank of New York Mellon Corp101,430$3.34M0.00%−21,204−17.3%Reduced
Standard Life Aberdeen plc102,555$3.37M0.01%00.0%Unchanged
Prudential Financial Inc103,495$3.40M0.00%+23,980+30.2%Added
Essex Investment Management Co LLC109,156$3.59M0.63%+109,156New
Emerald Mutual Fund Advisers Trust109,692$3.61M0.19%+109,692New
Mutual of America Capital Management LLC130,454$4.29M0.05%+130,454New
Nuveen Asset Management, LLC140,725$4.63M0.00%−244,360−63.5%Reduced
Wellington Management Group LLP145,347$4.78M0.00%+18,019+14.2%Added
Emerald Advisers, LLC146,298$4.81M0.19%+146,298New
Baird Financial Group, Inc.146,436$4.82M0.01%+22,658+18.3%Added
Sands Capital Ventures, LLC170,000$5.59M1.57%00.0%Unchanged
D. E. Shaw & Co., Inc.182,095$5.99M0.01%−87,698−32.5%Reduced
Schonfeld Strategic Advisors LLC187,513$6.17M0.05%+159,376+566.4%Added
Clearbridge Investments, LLC191,374$6.29M0.00%+191,374New
AIGH Capital Management LLC204,413$6.72M3.15%+204,413New
Allspring Global Investments Holdings, LLC210,531$6.92M0.01%+29,465+16.3%Added
Millennium Management LLC222,515$7.32M0.01%−126,071−36.2%Reduced
Vestal Point Capital, LP230,000$7.56M0.60%+230,000New
TCG Crossover Management, LLC231,820$7.62M0.65%−324,497−58.3%Reduced
Bank of America Corp233,468$7.68M0.00%−9,644−4.0%Reduced
Price T Rowe Associates Inc239,315$7.87M0.00%−51,960−17.8%Reduced
Two Sigma Advisers, LP256,400$8.43M0.02%−51,200−16.6%Reduced
Goldman Sachs Group Inc268,775$8.84M0.00%+63,224+30.8%Added
Boothbay Fund Management, LLC275,563$9.06M0.29%+75,469+37.7%Added
Charles Schwab Investment Management Inc290,009$9.54M0.00%+28,130+10.7%Added
Two Sigma Investments, LP296,003$9.74M0.02%−138,339−31.9%Reduced
Northern Trust Corp317,555$10.4M0.00%+64,539+25.5%Added
Ally Bridge Group (NY) LLC321,898$10.6M5.67%+321,898New
Healthcare of Ontario Pension Plan Trust Fund338,400$11.1M0.03%−51,200−13.1%Reduced
Ghost Tree Capital, LLC350,000$11.5M3.93%+115,000+48.9%Added
Integral Health Asset Management, LLC375,000$12.3M1.45%−215,000−36.4%Reduced
Citadel Advisors LLC384,467$12.6M0.01%+176,978+85.3%Added
Dimensional Fund Advisors LP403,963$13.3M0.00%−2,936−0.7%Reduced
Jefferies Financial Group Inc.420,758$13.8M0.23%00.0%Unchanged
JPMorgan Chase & Co440,167$14.5M0.00%+420,057+2,088.8%Added
Cormorant Asset Management, LP500,000$16.4M0.87%00.0%Unchanged
J. Goldman & Co LP557,500$18.3M0.80%+170,339+44.0%Added
Ensign Peak Advisors, Inc587,030$19.3M0.03%−7,295−1.2%Reduced
Lord, Abbett & Co. LLC594,876$19.6M0.06%+131,636+28.4%Added
Macquarie Group Ltd594,878$19.6M0.02%+139,887+30.7%Added
Polygon Management Ltd.614,117$20.2M6.44%+114,117+22.8%Added
Invesco Ltd.682,097$22.4M0.00%+290,534+74.2%Added
Artisan Partners Limited Partnership709,018$23.3M0.03%+81,440+13.0%Added
Geode Capital Management, LLC835,790$27.5M0.00%+62,555+8.1%Added
ExodusPoint Capital Management, LP883,043$29.0M0.30%+212,584+31.7%Added
State Street Corp899,379$29.6M0.00%−26,260−2.8%Reduced
Ikarian Capital, LLC1,030,277$33.9M10.52%+230,000+28.7%Added
Assenagon Asset Management S.A.1,141,247$37.5M0.08%+77,825+7.3%Added
Perceptive Advisors LLC1,296,416$42.6M0.91%00.0%Unchanged
Frazier Life Sciences Management, L.P.1,587,527$52.2M2.09%00.0%Unchanged
Vanguard Group Inc2,097,323$69.0M0.00%+107,630+5.4%Added
Jennison Associates LLC2,178,580$71.7M0.04%+698,712+47.2%Added
Cowen and Company, LLC2,197,385$72.3M2.49%00.0%Unchanged
Morgan Stanley2,208,588$72.6M0.01%+323,903+17.2%Added
Tang Capital Management LLC2,254,797$74.2M5.30%00.0%Unchanged
Paradigm Biocapital Advisors LP2,440,445$80.3M2.81%+5,029+0.2%Added
RTW Investments, LP3,412,486$112.2M1.62%00.0%Unchanged
BlackRock, Inc.3,755,504$123.5M0.00%+3,755,504New
Vivo Capital, LLC0$00.00%−565,550−100.0%Sold out
Driehaus Capital Management LLC0$00.00%−364,463−100.0%Sold out
Boone Capital Management LLC0$00.00%−216,047−100.0%Sold out
Hudson Bay Capital Management LP0$00.00%−85,000−100.0%Sold out
Walleye Capital LLC0$00.00%−75,588−100.0%Sold out
Twinbeech Capital LP0$00.00%−54,152−100.0%Sold out
Graham Capital Management, L.P.0$00.00%−38,301−100.0%Sold out
Trexquant Investment LP0$00.00%−34,903−100.0%Sold out
Jackson Creek Investment Advisors LLC0$00.00%−29,524−100.0%Sold out
Voloridge Investment Management, LLC0$00.00%−27,827−100.0%Sold out
Federated Hermes, Inc.0$00.00%−26,483−100.0%Sold out
Alpha DNA Investment Management LLC0$00.00%−15,174−100.0%Sold out
Aigen Investment Management, LP0$00.00%−13,761−100.0%Sold out
Dynamic Technology Lab Private Ltd0$00.00%−12,295−100.0%Sold out
Engineers Gate Manager LP0$00.00%−11,347−100.0%Sold out
Quantbot Technologies LP0$00.00%−10,685−100.0%Sold out
Scientech Research LLC0$00.00%−10,619−100.0%Sold out
Deerfield Management Company, L.P. (Series C)0$00.00%−10,034−100.0%Sold out
Dark Forest Capital Management LP0$00.00%−7,429−100.0%Sold out
Calamos Advisors LLC0$00.00%−7,404−100.0%Sold out
Aquatic Capital Management LLC0$00.00%−4,700−100.0%Sold out
Macroview Investment Management LLC0$00.00%−283−100.0%Sold out
Innealta Capital, LLC0$00.00%−41−100.0%Sold out
Allworth Financial LP0$00.00%−21−100.0%Sold out
Riggs Asset Managment Co. Inc.0$00.00%−10−100.0%Sold out
BlackRock Inc.––––Not filed