InvestInfoAI
← Tracker

Cross-fund · 5 holders

RCKT

ROCKET PHARMACEUTICALS INC

CUSIP 77313F106

5
Tracked holders
$73.3M
Aggregate value
20,641,668
Shares
5
Active funds

Funds holding RCKT

FundStrategyPeriodValue% of bookΔ sharesStatus
VanguardInstitutionalQ4 2025$30.0M+1,652,219+24.0%
BlackRockInstitutionalQ1 2026$28.0M-71,276-0.9%
MillenniumMulti-StrategyQ1 2026$11.2M+1,333,203+74.7%
Point72FEATMulti-StrategyQ1 2026$3.6M+504,217+99.3%
CitadelMulti-StrategyQ1 2026$473,276-1,196,391-90.0%

Aggregated from the latest 13F-HR per tracked fund (longs only). QoQ deltas compare against each fund's prior quarterly filing.