Instuitional Investor - Fairmount Funds Management Llc

Fund Profile
Filing Period:
Fund Name: Fairmount Funds Management Llc
Portfolio Value $1,313,784,318
Filing Period:
No. Security Ticker Shares Value % Port
1. COGT 9,003,418 $319,801,407 24.34%
2. APGE 2,048,647 $154,631,876 11.77%
3. SYRE 4,018,101 $131,632,989 10.02%
4.
Viridian Therapeutics Inc.
3,914,458 $121,817,933 9.27%
5. ORKA 3,705,262 $112,306,491 8.55%