Cryoport, Inc.
Hedge Funds Holdings

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Cryoport, Inc.‘s stocks are currently a part of 195 hedge funds’ portfolios, which represents 91.96% of the total amount of its stocks outstanding. This makes up a total of 42.23M shares of Cryoport, Inc.. Compared to the previous quarter, the number fell by -2.01% or -864.52K shares fewer. As for the holding position changes, 38.97% (76) of current hedge fund investors increased the number of shares held, 33.33% (65) of current holders sold a part of the shares held, and 26.67% (52) closed the holdings completely. 30 hedge funds are new holders of Cryoport, Inc. stock in Q1 2022, it is 15.38% of total holders.

Hedge funds holding Cryoport (Q2 2017 – Q1 2022)

Number of hedge funds
Q2 2017 24
Q3 2017 40
Q4 2017 52
Q1 2018 66
Q2 2018 80
Q3 2018 84
Q4 2018 79
Q1 2019 84
Q2 2019 100
Q3 2019 105
Q4 2019 100
Q1 2020 107
Q2 2020 140
Q3 2020 168
Q4 2020 197
Q1 2021 204
Q2 2021 204
Q3 2021 204
Q4 2021 221
Q1 2022 195

Hedge funds changes in Cryoport positions (Q2 2017 – Q1 2022)

Changes in positions
Q2 2017 106332
Q3 2017 1911622
Q4 2017 2015128-3
Q1 2018 21181872
Q2 2018 31241417-6
Q3 2018 152927112
Q4 2018 9322613-1
Q1 2019 123519711
Q2 2019 28362691
Q3 2019 20433414-6
Q4 2019 16492621-12
Q1 2020 193245101
Q2 2020 43444490
Q3 2020 45506118-6
Q4 2020 49706120-3
Q1 2021 43766732-14
Q2 2021 29757827-5
Q3 2021 247474248
Q4 2021 4372712510
Q1 2022 30766552-28

Hedge funds changes in Cryoport stock options (Q2 2017 – Q1 2022)

Changes in stock options
Q2 2017 0 0
Q3 2017 327,000 139,000
Q4 2017 91,000 477,000
Q1 2018 443,000 229,000
Q2 2018 1,077,000 112,000
Q3 2018 225,000 660,000
Q4 2018 12,000 63,000
Q1 2019 409,000 757,000
Q2 2019 5,096,000 3,503,000
Q3 2019 9,932,000 2,627,000
Q4 2019 3,047,000 69,000
Q1 2020 2,431,000 1,698,000
Q2 2020 10,501,000 5,839,000
Q3 2020 76,548,000 54,357,000
Q4 2020 65,054,002,000 59,279,000
Q1 2021 41,793,000 30,838,000
Q2 2021 66,390,000 15,486,000
Q3 2021 74,388,000 18,205,000
Q4 2021 145,880,000 23,753,000
Q1 2022 53,987,000 16,389,000

Top 50 hedge fund holders of Cryoport, Inc. (NASDAQ:CYRX)

Hedge fund Value Shares owned Portfolio share
BROWN CAPITAL MANAGEMENT LLC 143.85M 5.90M 2.017%
VANGUARD GROUP INC 85.37M 3.50M 0.003%
FRED ALGER MANAGEMENT, LLC 74.52M 3.05M 0.378%
BLACKROCK INC. Larry Fink 71.03M 2.91M 0.002%
IMPAX ASSET MANAGEMENT GROUP PLC 40.98M 1.69M 0.211%
CHEVY CHASE TRUST HOLDINGS, LLC 40.89M 1.67M 0.175%
INVESCO LTD. 37.75M 1.55M 0.012%
MACQUARIE GROUP LTD 33.79M 1.38M 0.042%
CLEARBRIDGE INVESTMENTS, LLC 29.62M 1.21M 0.030%
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 24.72M 1.01M 0.009%
GRANITE INVESTMENT PARTNERS, LLC 23.76M 975.72K 1.032%
VICTORY CAPITAL MANAGEMENT INC 23.16M 950.88K 0.027%
GW&K INVESTMENT MANAGEMENT, LLC 22.22M 912.20K 0.245%
AMERICAN CENTURY COMPANIES INC 22.03M 904.66K 0.019%
STATE STREET CORP 21.67M 889.69K 0.001%
GEODE CAPITAL MANAGEMENT, LLC 20.73M 850.98K 0.003%
NORTHERN TRUST CORP 20.19M 829.13K 0.005%
ABRDN PLC 19.99M 820.96K 0.059%
NEW YORK STATE COMMON RETIREMENT FUND 19.26M 791.01K 0.028%
BNP PARIBAS ASSET MANAGEMENT HOLDING S.A. 17.24M 708.02K 0.068%
JANUS HENDERSON GROUP PLC 15.97M 655.86K 0.012%
FEDERATED HERMES, INC. 13.86M 569.07K 0.041%
REDWOOD INVESTMENTS, LLC 12.73M 522.94K 1.712%
GRANAHAN INVESTMENT MANAGEMENT, LLC 11.69M 479.90K 0.382%
BLACKSTONE INC. 11.04M 453.39K 0.041%
MORGAN STANLEY 9.53M 391.45K 0.001%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 8.30M 340.78K 0.003%
WILLIAMS JONES WEALTH MANAGEMENT, LLC. 8.05M 330.61K 0.140%
WCM INVESTMENT MANAGEMENT, LLC 6.56M 272.24K 0.024%
BANK OF NEW YORK MELLON CORP 6.04M 248.29K 0.002%
DIMENSIONAL FUND ADVISORS LP 5.39M 221.51K 0.002%
CITADEL ADVISORS LLC Ken Griffin 5.33M 218.88K 0.001%
BESSEMER GROUP INC 5.32M 218.66K 0.014%
JACKSON SQUARE PARTNERS, LLC 4.68M 192.31K 0.123%
FRANKLIN RESOURCES INC 4.56M 187.44K 0.003%
GOLDMAN SACHS GROUP INC 4.54M 186.66K 0.001%
DF DENT & CO INC 4.27M 175.52K 0.066%
NUVEEN ASSET MANAGEMENT, LLC 4.19M 172.28K 0.002%
INTRINSIC EDGE CAPITAL MANAGEMENT LLC 3.95M 162.14K 0.431%
CITADEL ADVISORS LLC Ken Griffin 3.93M 161.7K 0.001%
BANK OF AMERICA CORP /DE/ 3.77M 155.02K 0.001%
FORAGER FUNDS MANAGEMENT PTY LTD 3.67M 151.04K 6.004%
ROUBAIX CAPITAL, LLC 3.39M 139.17K 3.019%
UBS GROUP AG 3.27M 134.55K 0.001%
BULLSEYE ASSET MANAGEMENT LLC 3.07M 126.01K 1.784%
NEXT CENTURY GROWTH INVESTORS LLC 2.87M 117.84K 0.350%
SWISS NATIONAL BANK 2.85M 117.1K 0.002%
MOODY ALDRICH PARTNERS LLC 2.67M 109.86K 0.551%
CUBIST SYSTEMATIC STRATEGIES, LLC 2.61M 107.16K 0.015%
CONNORS INVESTOR SERVICES INC 2.59M 106.64K 0.340%