CareDx, Inc. (NASDAQ:CDNA) has 228 institutional investors that have filed 13F reports for the period ending June 2026.
| # | Institution | CIK | Shares Held | % of Outstanding | Change (QoQ) | Change (%) | Value (USD) |
|---|---|---|---|---|---|---|---|
| 1 | BlackRock, Inc. | 0002012383 | 4,814,709 | 9.35% | ▲292,613 | +6.47% | $137.22Mn |
| 2 | State Street Corp | 0000093751 | 2,468,858 | 4.80% | ▼291,527 | -10.56% | $70.36Mn |
| 3 | VANGUARD CAPITAL MANAGEMENT LLC | 0002100119 | 2,197,475 | 4.27% | ▲37,018 | +1.71% | $62.63Mn |
| 4 | DEERFIELD MANAGEMENT COMPANY, L.P. | 0001009258 | 1,997,618 | 3.88% | ▼193,382 | -8.83% | $56.93Mn |
| 5 | ARK Investment Management LLC | 0001697748 | 1,953,531 | 3.80% | ▼274,025 | -12.30% | $55.68Mn |
| 6 | Boston Partners | 0001386060 | 1,937,601 | 3.76% | ▲54,067 | +2.87% | $55.22Mn |
| 7 | BAMCO INC /NY/ | 0001017918 | 1,937,326 | 3.76% | ▼1,399,083 | -41.93% | $55.21Mn |
| 8 | GAGNON SECURITIES LLC | 0001125725 | 1,770,735 | 3.44% | ▲8,861 | +0.50% | $50.47Mn |
| 9 | Chevy Chase Trust Holdings, LLC | 0001462020 | 1,437,416 | 2.79% | ▼66,659 | -4.43% | $40.97Mn |
| 10 | GEODE CAPITAL MANAGEMENT, LLC | 0001214717 | 1,328,037 | 2.58% | ▲73,923 | +5.89% | $37.86Mn |
| 11 | Ophir Asset Management Pty Ltd | 0001844640 | 1,264,809 | 2.46% | ▲276,758 | +28.01% | $36.05Mn |
| 12 | RENAISSANCE TECHNOLOGIES LLC | 0001037389 | 1,242,959 | 2.41% | ▲58,561 | +4.94% | $35.42Mn |
| 13 | BRAIDWELL LP | 0001920938 | 1,220,602 | 2.37% | ▼952,544 | -43.83% | $34.79Mn |
| 14 | Sumitomo Mitsui Trust Group, Inc. | 0001475365 | 1,191,630 | 2.32% | ▼283,496 | -19.22% | $33.96Mn |
| 15 | Blue Water Life Science Advisors, LP | 0001789778 | 1,190,000 | 2.31% | ▲255,000 | +27.27% | $33.92Mn |
| 16 | Amova Asset Management Americas, Inc. | 0001480751 | 1,188,075 | 2.31% | ▼287,051 | -19.46% | $33.85Mn |
| 17 | DIMENSIONAL FUND ADVISORS LP | 0000354204 | 1,181,077 | 2.29% | ▼280,837 | -19.21% | $33.66Mn |
| 18 | D. E. Shaw & Co., Inc. | 0001009207 | 1,137,660 | 2.21% | ▲262,752 | +30.03% | $32.42Mn |
| 19 | JACOBS LEVY EQUITY MANAGEMENT, INC | 0000884414 | 995,669 | 1.93% | ▲131,201 | +15.18% | $28.38Mn |
| 20 | VANGUARD PORTFOLIO MANAGEMENT LLC | 0002100121 | 989,529 | 1.92% | ▲138,096 | +16.22% | $28.20Mn |