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FHTX FOGHORN THERAPEUTICS INC

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COMMON STOCK (common), issuer CIK 1822462

87 managers (88 13F filers) reported a position in FHTX shares at 2025-09-30, 40,900,621 shares in all. 16 filers opened a position and 10 filers sold out during the quarter.

Managers
87
13F filers
88
New
16
Added
27
Reduced
23
Sold out
10
Shares held by filers
40,900,621

Shares held by filers adds up every 13F filer's report, so a share reported by a parent and by its subsidiary counts twice (H9). Managers counts each filer group once.

13D and 13G filers

Each filer's latest stake. The shares are the aggregate the reporting persons state, which can include entities that file no 13F.

Insider trades

No Form 4 transaction on this security in the data.

13F holders, Q3 2025

Filers in the available 13F reports with a share position at 2025-09-30, filer groups collapsed to one row (method), largest first. Options and principal amounts are left out. A group row states no % of portfolio, since each member reports its own portfolio: the members' percents are listed under it. A value about 1,000 times or 1/1,000 of the price other filers imply is shown as filed but neither ranks the row nor enters a sum.

HolderSharesValue% of portfolioChangeSource
Flagship Pioneering, LLCin group Flagship Pioneering, LLC12,674,120$62M21.18%013F-HRTimelineGroup
FMR LLCin group FMR LLC5,474,491$26.8M<0.01%-60,02513F-HRTimelineGroup
BVF INC/ILin group BVF INC/IL5,302,000$25.9M1.05%013F-HRTimelineGroup
DEERFIELD MANAGEMENT COMPANY, L.P.in group DEERFIELD MANAGEMENT COMPANY,…3,255,514$15.9M0.24%013F-HRTimelineGroup
RAYMOND JAMES FINANCIAL INCin group RAYMOND JAMES FINANCIAL INC2,462,488$12M<0.01%+95,19613F-HRTimelineGroup
BlackRock, Inc.in group BlackRock, Inc.2,259,948$11.1M<0.01%+30,81513F-HRTimelineGroup
VANGUARD GROUP INCin group VANGUARD GROUP INC1,899,457$9.29M<0.01%+14,78413F-HRTimelineGroup
Euclidean Capital LLC1,573,761$7.7M3.23%013F-HRTimeline
GEODE CAPITAL MANAGEMENT, LLCin group GEODE CAPITAL MANAGEMENT, LLC808,488$3.95M<0.01%+81413F-HRTimelineGroup
Siren, L.L.C.in group Siren, L.L.C.720,720$3.52M0.14%013F-HRTimelineGroup
STATE STREET CORPin group STATE STREET CORP637,148$3.12M<0.01%+93,50113F-HRTimelineGroup
Alphabet Inc.in group Alphabet Inc.500,901$2.45M0.1%013F-HRTimelineGroup
Point72 Asset Management, L.P.in group Point72 Asset Management, L.P.371,033$1.81M<0.01%-297,68613F-HRTimelineGroup
NORTHERN TRUST CORPin group NORTHERN TRUST CORP284,301$1.39M<0.01%-2,39913F-HRTimelineGroup
Birchview Capital, LP281,730$1.38M1.04%-29,20013F-HRTimeline
JACOBS LEVY EQUITY MANAGEMENT, INC184,063$900K<0.01%-8,60013F-HRTimeline
MILLENNIUM MANAGEMENT LLCin group MILLENNIUM MANAGEMENT LLC178,791$874K<0.01%+160,19713F-HRTimelineGroup
READYSTATE ASSET MANAGEMENT LP161,140$788K0.04%new13F-HRTimeline
DAFNA Capital Management LLC126,859$620K0.15%-173,59313F-HRTimeline
Sio Capital Management, LLC122,889$601K0.15%013F-HRTimeline
RENAISSANCE TECHNOLOGIES LLC118,236$578K<0.01%+55,60013F-HRTimeline
Woodline Partners LP108,596$531K<0.01%new13F-HRTimeline
SCS Capital Management LLC106,980$523K0.01%013F-HRTimeline
CHARLES SCHWAB INVESTMENT MANAGEMENT INCin group Charles Schwab Trust Co98,184$480K<0.01%+713F-HRTimelineGroup
Bank of New York Mellon Corpin group Bank of New York Mellon Corp80,477$394K<0.01%+8,04013F-HRTimelineGroup
BRIDGEWAY CAPITAL MANAGEMENT, LLC74,600$365K0.01%+10,50013F-HRTimeline
GOLDMAN SACHS GROUP INCin group GOLDMAN SACHS GROUP INC72,447$354K<0.01%+37,54613F-HRTimelineGroup
STATE OF WISCONSIN INVESTMENT BOARD71,644$350K<0.01%+10,10013F-HRTimeline
JANE STREET GROUP, LLCin group JANE STREET GROUP, LLC66,389$325K<0.01%+44,76713F-HRTimelineGroup
PANAGORA ASSET MANAGEMENT INC65,337$319K<0.01%013F-HRTimeline
MORGAN STANLEYin group MORGAN STANLEY63,676$311K<0.01%-15,87713F-HR/ATimelineGroup
BARCLAYS PLCin group BARCLAYS PLC58,486$286K<0.01%-12,32813F-HR/ATimelineGroup
Nuveen, LLCin group TIAA50,133$245K<0.01%013F-HRTimelineGroup
DIADEMA PARTNERS LP50,000$244K0.17%new13F-HRTimeline
Focus Partners Wealthin group Focus Partners Wealth1,549$240K<0.01%new13F-HRTimelineGroup
RHUMBLINE ADVISERS43,723$214K<0.01%-44213F-HRTimeline
Squarepoint Ops LLCin group Squarepoint Ops LLC36,612$179K<0.01%new13F-HRTimelineGroup
UBS Group AGin group UBS Group AG34,844$170K<0.01%-7,95613F-HRTimelineGroup
Walleye Capital LLCin group Walleye Capital LLC34,308$168K<0.01%013F-HRTimelineGroup
BANK OF AMERICA CORP /DE/in group BANK OF AMERICA CORP /DE/30,063$147K<0.01%-1,23413F-HR/ATimelineGroup
ALLIANCEBERNSTEIN L.P.26,660$130K<0.01%+1,61013F-HRTimeline
DEUTSCHE BANK AG\in group DEUTSCHE BANK AG\25,560$125K<0.01%+4,67013F-HRTimelineGroup
WELLS FARGO & COMPANY/MNin group WELLS FARGO & COMPANY/MN24,474$120K<0.01%+3,43113F-HRTimelineGroup
Trexquant Investment LP22,025$108K<0.01%new13F-HRTimeline
MetLife Investment Management, LLCin group MetLife Investment Management…21,282$104K<0.01%-32113F-HRTimelineGroup
AQR CAPITAL MANAGEMENT LLCin group AQR CAPITAL MANAGEMENT LLC17,778$86.9K<0.01%-8013F-HRTimelineGroup
Mirae Asset Global Investments Co., Ltd.group of 2 filers holding17,563$85.9K-2,498Timeline
PRICE T ROWE ASSOCIATES INC /MD/16,408$81K<0.01%+2,16113F-HRTimeline
JPMORGAN CHASE & COin group JPMORGAN CHASE & CO16,446$80.4K<0.01%-2,27713F-HR/ATimelineGroup
INTECH INVESTMENT MANAGEMENT LLC16,197$79.2K<0.01%-4,30513F-HRTimeline
ProShare Advisors LLC15,228$74.5K<0.01%new13F-HRTimeline
CITADEL ADVISORS LLCin group CITADEL ADVISORS LLC12,027$58.8K<0.01%new13F-HRTimelineGroup
OCCUDO QUANTITATIVE STRATEGIES LP11,873$58.1K0.01%new13F-HRTimeline
Persistent Asset Partners Ltd11,441$55.9K0.04%new13F-HR/ATimeline
Police & Firemen's Retirement System of…11,326$55.4K<0.01%+6,24813F-HRTimeline
Fiduciary Trust Coin group Fiduciary Trust Co10,879$53.2K<0.01%013F-HRTimelineGroup
Alta Wealth Advisors LLC10,032$49.1K0.02%new13F-HRTimeline
China Universal Asset Management Co., L…9,909$48.5K<0.01%-1,28613F-HRTimeline
BNP PARIBAS FINANCIAL MARKETSin group BNP PARIBAS FINANCIAL MARKETS7,103$34.7K<0.01%+2,30513F-HRTimelineGroup
Evelyn Partners Asset Management Ltdin group Evelyn Partners Group Ltd7,100$34.7K0.01%013F-HRTimelineGroup
Russell Investments Group, Ltd.in group Russell Investments Group, Lt…5,542$27.1K<0.01%+5,50213F-HRTimelineGroup
NISA INVESTMENT ADVISORS, LLC5,238$25.6K<0.01%013F-HRTimeline
STRS OHIO3,900$19.1K<0.01%new13F-HRTimeline
Legal & General Group Plcin group Legal & General Group Plc3,378$16.5K<0.01%-17013F-HRTimelineGroup
Ameritas Investment Partners, Inc.in group Ameritas Investment Partners,…3,343$16.3K<0.01%013F-HRTimelineGroup
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF O…3,169$15.5K<0.01%+2,30013F-HRTimeline
Tower Research Capital LLC (TRC)in group Tower Research Capital LLC (T…2,504$12.2K<0.01%-6,70913F-HRTimelineGroup
CITIGROUP INCin group CITIGROUP INC2,352$11.5K<0.01%-10,30913F-HRTimelineGroup
NEW YORK STATE COMMON RETIREMENT FUND1,871$9.15K<0.01%013F-HRTimeline
CALIFORNIA STATE TEACHERS RETIREMENT SY…1,832$8.96K<0.01%+213F-HRTimeline
ROYAL BANK OF CANADAin group ROYAL BANK OF CANADA1,736$8K<0.01%+67213F-HRTimelineGroup
CWM, LLCin group CWM, LLC1,678$8K<0.01%-35213F-HRTimelineGroup
GF FUND MANAGEMENT CO. LTD.1,192$5.83K<0.01%-23213F-HRTimeline
OSAIC HOLDINGS, INC.in group OSAIC HOLDINGS, INC.1,008$5.1K<0.01%+713F-HRTimelineGroup
Sunbelt Securities, Inc.1,001$4.89K<0.01%+113F-HRTimeline
Sterling Capital Management LLC755$3.69K<0.01%+54713F-HRTimeline
AMALGAMATED BANK681$3K<0.01%013F-HRTimeline
Arax Advisory Partners519$2.54K<0.01%new13F-HRTimeline
GROUP ONE TRADING LLC451$2.21K<0.01%new13F-HRTimeline
Optiver Holding B.V.in group Optiver Holding B.V.310$1.52K<0.01%new13F-HRTimelineGroup
GAMMA Investing LLC255$1.25K<0.01%new13F-HRTimeline
PNC Financial Services Group, Inc.in group PNC Financial Services Group,…155$758<0.01%-17813F-HRTimelineGroup
TFC Financial Management, Inc.123$602<0.01%013F-HRTimeline
SBI Securities Co., Ltd.100$489<0.01%013F-HRTimeline
EverSource Wealth Advisors, LLCin group EverSource Wealth Advisors, L…75$367<0.01%013F-HRTimelineGroup
True Wealth Design, LLC11$54<0.01%013F-HRTimeline
Essential Partners LLC5$24<0.01%013F-HRTimeline

Events

  • BIOTECHNOLOGY VALUE FUND L P and 9 other reporting persons reported 8,507,000 FHTX shares, 14.3% of the class, as of 2026-10-01, in a 13G/A filed 2026-10-05. 0000921895-26-002729

    Accepted , ingested