In Q2 2025, Redmile Group held 42 positions worth $782.2M. They initiated 1 new position and exited 45. Their largest holding was KRYS ($91.2M). Portfolio value shrank -11.4% versus the prior quarter.
Frequently asked questions
What stocks did Redmile Group own in Q2 2025?
Redmile Group held 42 biotech stocks in their 13F portfolio in Q2 2025. Their top positions include KRYS, ZYME, STOK, IMNM, REPL. The full holdings table is available on BiotechEdge with position sizes, quarter-over-quarter changes, and AI analysis.
How much was Redmile Group's portfolio worth in Q2 2025?
Redmile Group's tracked biotech portfolio was worth $782.2M across 42 positions, with total assets under management of approximately $6B. Portfolio values are based on 13F filings with the SEC.
What did Redmile Group buy in Q2 2025?
Redmile Group initiated 1 new position in Q2 2025, including HNGE. They also increased 0 existing positions.
What did Redmile Group sell in Q2 2025?
Redmile Group fully exited 45 positions in Q2 2025, including SPY, GRFS, PODD, IQV, MASI and 40 more. They also trimmed 27 existing positions.
Is Redmile Group a biotech fund?
Healthcare crossover fund investing from late-stage private rounds through public equity. Redmile manages a diversified book across biotech, medtech, and healthcare services, with a reputation for backing management teams through multiple rounds of financing.
Want AI analysis, insider signals, and catalyst overlays for Redmile Group?
View latest Redmile Groupportfolio →