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IMDX — INSIGHT MOLECULAR DIA INC

Reported value held$8.26M
Funds holding (latest)19
SectorHealth Care
Funds holding (Q2 2026)10
Institutional value$3.87M · 655.66K sh
New / Add / Cut / Exit4 / 2 / 3 / 2
Top-5 / Top-10 concentration90.3% / 100.0%
Institutional holdings change Accumulating +5.4% (+33.80K sh)
Institutional value change Up +89.7%

As of Q2 2026, 10 SEC-registered investment managers reported holding IMDX (INSIGHT MOLECULAR DIA INC) in their latest 13F filings, with a combined reported value of $3.87M across 655.66K shares. That is +5.4% by share count (+33.80K shares) versus the previous quarter, while reported value moved +89.7%. Ownership is concentrated: the five largest holders account for 90.3% of reported value and the top ten for 100.0%.

Compared with the prior quarter, 4 opened new positions, 2 added to existing stakes, 3 trimmed, 2 exited entirely. 13F holdings are quarter-end snapshots, so these moves reflect positioning as of Q2 2026, not real-time trading.

IMDX is classified in the Health Care sector.

All figures on this page are computed from SEC Form 13F quarterly filings. 13F filers disclose long positions of $100,000 or more within 45 days of quarter end; short positions, options overlays and intra-quarter trades are not included, so treat the numbers as a quarterly snapshot of institutional ownership rather than real-time positioning.

FundQuarterSharesValuePortfolio WeightChange
Vanguard Group history Q4 2025 526.67K $3.95M 0.00% Add
Geode Capital Management history Q2 2026 256.90K $1.52M 0.00% Reduce
BlackRock Inc history Q2 2026 150.52K $888.07K 0.00% Add
Millennium Management history Q2 2026 82.50K $486.74K 0.00% Reduce
UBS Group AG history Q2 2026 53.28K $314.33K 0.00% Add
Northern Trust Corp history Q2 2026 49.09K $289.63K 0.00% Hold
Morgan Stanley history Q2 2026 35.52K $209.54K 0.00% Reduce
Goldman Sachs Group history Q4 2025 23.96K $179.74K 0.00% New
Citadel Advisors history Q4 2025 15.65K $117.35K 0.00% Add
Renaissance Technologies history Q4 2025 13.40K $100.50K 0.00% Reduce
Marshall Wace history Q2 2026 16.60K $97.92K 0.00% New
Two Sigma Investments history Q2 2026 11.10K $65.50K 0.00% New
Point72 Asset Management history Q1 2026 12.25K $40.18K 0.00% New
Citigroup Inc history Q1 2026 815 $2.67K 0.00% Add
Bank of America Corp history Q4 2025 335 $2.51K 0.00% Reduce
PNC Financial Services history Q2 2024 500 $1.48K 0.00% Hold
JPMorgan Chase & Co history Q2 2026 154 $835 0.00% New
Wells Fargo & Co history Q2 2026 7 $41 0.00% New
Fidelity Management & Research (FMR) history Q2 2025 5 $15 0.00% New

New Positions (Q2 2026)

Fully Exited (vs previous quarter)

Fund Position History — shares by quarter (top 19 funds)

FundQ3 2023Q4 2023Q1 2024Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
Geode Capital Management 61.48K 61.48K 62.43K 92.69K 103.98K 137.07K 158.91K 157.58K 198.45K 230.97K 262.05K 256.90K
BlackRock Inc — — — — 79.83K 79.96K 79.58K 86.50K 87.95K 131.36K 135.34K 150.52K
Millennium Management 14.75K — — — — — 13.40K 17.51K 73.29K 61.38K 103.47K 82.50K
UBS Group AG 1.02K 1.38K 864 835 835 2.71K 2.65K 15.37K 2.71K 2.94K 22.75K 53.28K
Northern Trust Corp — — — 17.35K 17.35K 17.33K 29.07K 32.89K 32.89K 48.86K 49.09K 49.09K
Morgan Stanley 139.54K 122.97K 123.21K 78.70K 72.29K 61.71K 61.71K 62.21K 62.21K 35.91K 36.09K 35.52K
Marshall Wace — — — — — — — — — — — 16.60K
Two Sigma Investments — — — — — — — — — — — 11.10K
JPMorgan Chase & Co 154 154 154 154 154 195 168 154 154 154 — 154
Wells Fargo & Co 58 60 61 — — — 3 3 3 — — 7
Citadel Advisors — — — — — — 48.78K 30.91K 11.79K 15.65K — —
Point72 Asset Management — — — — — — — — — — 12.25K —
Goldman Sachs Group — — — — — — — — — 23.96K — —
Renaissance Technologies 12.22K 12.72K 12.22K 10.42K — — — 26.10K 23.60K 13.40K — —
Bank of America Corp 210 216 210 416 412 436 441 570 446 335 — —
Citigroup Inc — — — — — — — — — 1 815 —
Vanguard Group 240.09K 247.87K 247.87K 244.49K 245.39K 242.21K 265.46K 483.77K 486.74K 526.67K — —
Fidelity Management & Research (FMR) — — 13 — — — — 5 — — — —
PNC Financial Services 500 500 500 500 — — — — — — — —

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