Which funds own TXG
10X Genomics Inc in the Q2 2026 filings. At least 1 of the 91 current managers on file reported a position, worth $384m between them. It is among the largest positions of fewer than a fifth of the current managers on file. The quarter went the other way: 3 managers trimmed or sold out against 0 buying.
- Managers holding
- 1
- at least, of 91 current
- Combined value
- $384m
- as reported
- Opened
- 0
- new this quarter
- Added to
- 0
- already held
- Trimmed or sold out
- 3
- 2 sold out entirely
Only each manager’s largest 200 positions are listed here, so a smaller holder may be missing.
Managers reporting a position
Largest first. Weight is the share of that manager’s whole reported book, which is the number worth quoting: $400m is a rounding error in one book and a defining bet in another.
| Manager | Value | Weight | Shares | Change on the quarter | Action |
|---|---|---|---|---|---|
| ARK Investment Management LLC Long-only · $15.4bn book | $384m | 2.5% | 10,003,057 | +$135m-1,714,260 | Trimmed |
Sold out of this quarter
Valued at what the position was worth in the previous filing, because by this one it is gone.
- Balyasny Asset Management LLC · Multi-strategy$21m held before
- Man Group PLC · Quantitative$5.7m held before
Ownership through time
At least 5 of the 95 managers whose filings are on file listed TXG in Q2 2026, against 3 in Q3 2019. 3 managers more than in Q1 2026: 2 started positions; 2 listed it again; 1 no longer listed it among the positions read, which can mean a holding below the listed range or a filing not yet made.
Each manager’s largest 500 positions a quarter are read, so a small holding in a very large book can be missing, and a manager is counted as leaving only where its own filing shows it.
- Q3 2019: 3
- Q4 2019: 2
- Q1 2020: 5
- Q2 2020: 7
- Q3 2020: 17
- Q4 2020: 14
- Q1 2021: 10
- Q2 2021: 8
- Q3 2021: 7
- Q4 2021: 7
- Q1 2022: 5
- Q2 2022: 5
- Q3 2022: 5
- Q4 2022: 6
- Q1 2023: 10
- Q2 2023: 11
- Q3 2023: 12
- Q4 2023: 9
- Q1 2024: 10
- Q2 2024: 6
- Q3 2024: 7
- Q4 2024: 6
- Q1 2025: 7
- Q2 2025: 8
- Q3 2025: 6
- Q4 2025: 5
- Q1 2026: 2
- Q2 2026: 5
- Q3 2019: $12m
- Q4 2019: $86m
- Q1 2020: $118m
- Q2 2020: $931m
- Q3 2020: $1.8bn
- Q4 2020: $1.9bn
- Q1 2021: $3.0bn
- Q2 2021: $3.7bn
- Q3 2021: $2.6bn
- Q4 2021: $2.9bn
- Q1 2022: $849m
- Q2 2022: $642m
- Q3 2022: $425m
- Q4 2022: $546m
- Q1 2023: $995m
- Q2 2023: $1.4bn
- Q3 2023: $1.3bn
- Q4 2023: $1.7bn
- Q1 2024: $1.2bn
- Q2 2024: $289m
- Q3 2024: $337m
- Q4 2024: $247m
- Q1 2025: $165m
- Q2 2025: $231m
- Q3 2025: $187m
- Q4 2025: $272m
- Q1 2026: $259m
- Q2 2026: $1.2bn
Between the quarter ends of Q1 2026 and Q2 2026. Each change in shares is valued at the Q2 2026 price, so the price’s own move is left out; a 13F shows the two quarter ends, not when in between anything was bought or sold.
Started in Q2 2026
Largest increases, by shares
- Point72 Asset Management LPnew: 1,852,776 shares+$71m
- Quantbot Technologies LPnew: 38,125 shares+$1.5m
Largest decreases, by shares
- ARK Investment Management LLC11,717,317 to 10,003,057 shares-$66m
Left it
No manager on file is shown leaving it.
| Manager | Value over time | First listed | Largest | Q2 2026 |
|---|---|---|---|---|
| Fidelity (FMR LLC) | Q2 2020 | $1.8bn | $676m | |
| ARK Investment Management LLC | Q2 2020 | $842m | $384m | |
| Point72 Asset Management LP | Q1 2020 | $90m | $71m | |
| Capital World Investors | Q3 2019 | $159m | $57m | |
| Quantbot Technologies LP | Q1 2020 | $2.9m | $1.5m | |
| Baillie Gifford & Co | Q1 2020 | $1.0bn | last listed Q3 2024 | |
| D1 Capital Partners LP | Q4 2020 | $239m | last listed Q4 2021 | |
| Invesco Ltd | Q3 2020 | $237m | last listed Q2 2021 | |
| T. Rowe Price Associates Inc | Q1 2023 | $174m | last listed Q1 2024 | |
| AllianceBernstein LP | Q4 2019 | $153m | last listed Q4 2021 | |
| Millennium Management LLC | Q4 2020 | $48m | last listed Q4 2020 | |
| Marshall Wace LLP | Q1 2020 | $43m | last listed Q3 2021 | |
| Balyasny Asset Management LLC | Q4 2020 | $38m | last listed Q1 2023 | |
| Renaissance Technologies LLC | Q3 2020 | $37m | last listed Q3 2020 | |
| Voloridge Investment Management LLC | Q3 2020 | $35m | last listed Q1 2026 |
What TXG is worth
Knowing who owns it is half the question. The other half is what it is worth against the companies it trades beside, which is the one an interviewer will follow up with.
Build the comp set around TXG →How much of the picture this is
A Form 13F reports US-listed long equity and nothing else: no shorts, no bonds, no cash and no non-US listings. It arrives forty-five days after the quarter ends, so a manager who sold in July still shows the position in a filing published in August. This page reads the managers on file here rather than every filer in the market, and each manager’s largest positions rather than the whole table, so a small position in a very large book may not appear. Say “their last filing showed” rather than “they own”, and the distinction will do you credit.
What to do with a name the funds are buying
Knowing who owns something is the start of a pitch, not the pitch. The next questions are what it is worth and why they were buying.
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The holdings, every quarter, and the week between
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