Fund Universe

Eversept Partners, LP

CIK 0001697013 · holdings for 2026Q2 (change vs 2026Q1) · in signal universe
Quality Q
0.242
AUM ($M)
1,834
Positions
115
Turnover
0.31
Top-10 wt
47%
Herfindahl
0.031
History (qtrs)
6
Excess Return

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Quarter
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Security type

Holdings · 136 positions · portfolio value $1,834M

TickerNameActivitySecurity Type WeightΔ Weight Value ($M)SharesΔ Shares Qtrs HeldExcess Return
UTHR funds › UNITED THERAPEUTICS CORP DEL ADD 8.5% -1.8% 155.9 287,668 +23,397 5
ABVX funds › ABIVAX SA TRIM 6.6% -0.2% 121.8 913,880 -20,543 4
EHC funds › ENCOMPASS HEALTH CORP ADD 5.7% +4.4% 103.8 1,026,919 +832,815 3
ENSG funds › ENSIGN GROUP INC ADD 5.3% +5.1% 96.5 602,079 +587,318 2
VERA funds › VERA THERAPEUTICS INC ADD 5.2% -0.6% 94.9 2,212,770 +39,484 5
CLDX funds › CELLDEX THERAPEUTICS INC NEW TRIM 3.6% -0.1% 66.5 1,785,941 -2,075 5
SNDX funds › SYNDAX PHARMACEUTICALS INC TRIM 3.3% -1.1% 61.2 2,798,210 -87,412 5
BKD funds › BROOKDALE SR LIVING INC TRIM 3.0% -0.2% 54.6 3,396,470 -172,085 3
IONS funds › IONIS PHARMACEUTICALS INC ADD 2.9% -0.3% 52.7 664,684 +32,584 5
NTRA funds › NATERA INC TRIM 2.6% -2.5% 47.7 175,807 -208,906 5
TVTX funds › TRAVERE THERAPEUTICS INC ADD 2.5% +1.4% 45.4 798,973 +256,363 5
CTRE funds › CARETRUST REIT INC NEW 2.4% +2.4% 43.3 1,072,015 +1,072,015 1
HCA funds › HCA HEALTHCARE INC ADD 2.1% -0.4% 38.3 98,252 +19,023 5
PCVX funds › VAXCYTE INC TRIM 2.0% -1.5% 36.6 629,952 -294,241 5
LQDA funds › LIQUIDIA CORPORATION TRIM 1.9% +0.2% 34.2 428,652 -248,740 5
CYH funds › COMMUNITY HEALTH SYS INC NEW TRIM 1.4% -0.2% 26.3 7,864,575 -812,706 5
GSK funds › GSK PLC TRIM 1.4% -5.1% 25.3 481,833 -1,303,342 5
CHE funds › CHEMED CORP NEW ADD 1.3% +0.6% 24.5 52,523 +21,466 2
LLY funds › ELI LILLY & CO ADD 1.3% +0.2% 24.1 20,116 +1,116 3
GERN funds › GERON CORP TRIM 1.3% -0.5% 24.0 18,717,422 -117,461 5
VKTX funds › VIKING THERAPEUTICS INC ADD 1.3% +0.8% 23.5 602,922 +363,812 2
OHI funds › OMEGA HEALTHCARE INVS INC TRIM 1.3% -0.4% 23.1 483,547 -102,133 2
PODD funds › INSULET CORP ADD 1.2% -0.7% 22.7 148,816 +5,270 4
THC funds › TENET HEALTHCARE CORP ADD 1.2% +0.8% 21.4 114,199 +84,687 2
UNH funds › UNITEDHEALTH GROUP INC NEW 1.2% +1.2% 21.3 51,145 +51,145 1
WELL funds › WELLTOWER INC TRIM 1.1% -1.3% 19.8 87,312 -93,641 2
BBNX funds › BETA BIONICS INC TRIM 1.1% +0.1% 19.6 1,249,441 -165,397 3
COGT funds › COGENT BIOSCIENCES INC NEW 1.0% +1.0% 19.0 490,235 +490,235 1
BCRX funds › BIOCRYST PHARMACEUTICALS INC TRIM 1.0% -0.9% 18.7 1,865,653 -1,174,167 5
MOH funds › MOLINA HEALTHCARE INC ADD 1.0% +0.7% 18.4 80,594 +47,783 5
PNTG funds › PENNANT GROUP INC ADD 0.9% +0.3% 17.0 460,272 +148,094 5
LTC funds › LTC PPTYS INC ADD 0.9% +0.1% 16.2 420,640 +99,594 2
INSM funds › INSMED INC NEW 0.9% +0.9% 15.9 149,209 +149,209 1
VRDN funds › VIRIDIAN THERAPEUTICS INC ADD 0.8% -0.1% 15.3 831,142 +117,873 5
BMRN funds › BIOMARIN PHARMACEUTICAL INC ADD 0.8% +0.0% 14.3 249,607 +41,839 4
AMN funds › AMN HEALTHCARE SVCS INC NEW Common Stock 0.8% +0.8% 13.9 428,531 +428,531 1
CELC funds › CELCUITY INC NEW 0.7% +0.7% 13.4 127,931 +127,931 1
PHVS funds › PHARVARIS N V TRIM 0.7% -0.0% 13.4 386,383 -20,577 3
CTMX funds › CYTOMX THERAPEUTICS INC. ADD 0.7% -0.3% 13.3 3,558,497 +369,983 3
HUM funds › HUMANA INC NEW 0.7% +0.7% 12.4 31,171 +31,171 1
XENE funds › XENON PHARMACEUTICALS INC ADD 0.6% +0.2% 11.9 196,532 +66,958 3
CRVS funds › CORVUS PHARMACEUTICALS INC NEW 0.6% +0.6% 11.2 747,994 +747,994 1
ASND funds › ASCENDIS PHARMA A/S NEW 0.6% +0.6% 11.1 41,621 +41,621 1
BRKR funds › BRUKER CORP ADD 0.6% +0.3% 11.0 182,894 +65,881 5
MRNA funds › MODERNA INC TRIM 0.6% +0.0% 10.7 152,122 -7,586 3
GPCR funds › STRUCTURE THERAPEUTICS INC ADD 0.6% +0.1% 10.5 196,302 +58,266 5
DFTX funds › DEFINIUM THERAPEUTICS INC ADD 0.6% +0.4% 10.2 217,185 +56,462 2
CMPS funds › COMPASS PATHWAYS PLC TRIM 0.5% +0.3% 9.5 672,825 -5,099 2
NAMS funds › NEWAMSTERDAM PHARMA COMPANY TRIM 0.5% -0.1% 9.3 275,471 -10,293 5
RVTY funds › REVVITY INC TRIM 0.5% +0.0% 9.3 83,624 -1,230 5
PALI funds › PALISADE BIO INC TRIM 0.5% -0.1% 8.7 4,182,785 -804,714 3
ARDX funds › ARDELYX INC TRIM 0.5% -0.4% 8.6 1,678,345 -551,101 4
MLYS funds › MINERALYS THERAPEUTICS INC NEW 0.5% +0.5% 8.4 309,689 +309,689 1
RLAY funds › RELAY THERAPEUTICS INC ADD 0.4% +0.3% 8.1 434,314 +163,609 5
NVO funds › NOVO-NORDISK A S NEW 0.4% +0.4% 8.1 169,227 +169,227 1
BHVN funds › BIOHAVEN LTD NEW 0.4% +0.4% 7.7 515,804 +515,804 1
PTGX funds › PROTAGONIST THERAPEUTICS INC NEW 0.4% +0.4% 7.2 58,504 +58,504 1
ELVN funds › ENLIVEN THERAPEUTICS INC NEW 0.4% +0.4% 6.9 136,631 +136,631 1
REPL funds › REPLIMUNE GROUP INC ADD 0.4% +0.2% 6.5 590,252 +255,391 2
LBRX funds › LB PHARMACEUTICALS INC ADD 0.3% +0.2% 6.0 183,663 +83,465 2
BEAM funds › BEAM THERAPEUTICS INC NEW 0.3% +0.3% 5.7 166,289 +166,289 1
NHI funds › NATIONAL HEALTH INVS INC NEW 0.3% +0.3% 5.4 70,673 +70,673 1
RARE funds › ULTRAGENYX PHARMACEUTICAL IN ADD 0.3% +0.2% 5.1 154,130 +91,555 3
PACS funds › PACS GROUP INC NEW 0.3% +0.3% 5.0 117,441 +117,441 1
EQ funds › EQUILLIUM INC ADD 0.3% +0.1% 4.9 1,520,824 +21,831 2
ANAB funds › ANAPTYSBIO INC ADD 0.3% +0.2% 4.7 69,983 +42,894 3
NHC funds › NATIONAL HEALTHCARE CORP NEW 0.3% +0.3% 4.7 22,116 +22,116 1
EYPT funds › EYEPOINT INC NEW 0.2% +0.2% 4.3 297,735 +297,735 1
SNDA funds › SONIDA SENIOR LIVING INC ADD 0.2% +0.2% 4.2 102,624 +74,187 2
GKOS funds › GLAUKOS CORP TRIM 0.2% -0.2% 4.1 29,343 -30,871 3
AGL funds › AGILON HEALTH INC TRIM 0.2% +0.1% 4.1 37,792 -138,796 2
ARQT funds › ARCUTIS BIOTHERAPEUTICS INC TRIM 0.2% -0.7% 3.5 135,355 -441,225 4
TARS funds › TARSUS PHARMACEUTICALS INC NEW 0.2% +0.2% 3.5 55,710 +55,710 1
ANRO funds › ALTO NEUROSCIENCE INC ADD 0.2% -0.0% 3.4 128,286 +3,118 2
SPRY funds › ARS PHARMACEUTICALS INC ADD 0.2% +0.1% 3.0 377,007 +240,772 4
IFRX funds › INFLARX NV TRIM 0.2% +0.1% 2.9 1,304,069 -454,504 5
ISRG funds › INTUITIVE SURGICAL INC TRIM 0.2% -0.2% 2.9 7,241 -3,878 4
ALEC funds › ALECTOR INC ADD 0.2% -0.0% 2.9 1,423,873 +72,767 5
VOR funds › VOR BIOPHARMA INC NEW 0.2% +0.2% 2.8 149,681 +149,681 1
DSGN funds › DESIGN THERAPEUTICS INC NEW 0.1% +0.1% 2.7 190,000 +190,000 1
KPTI funds › KARYOPHARM THERAPEUTICS INC HOLD 0.1% +0.0% 2.7 276,174 +0 2
PMVP funds › PMV PHARMACEUTICALS INC TRIM 0.1% -0.1% 2.5 1,890,904 -457,456 2
CTNM funds › CONTINEUM THERAPEUTICS INC ADD 0.1% +0.0% 2.4 148,017 +1,606 4
EVMN funds › EVOMMUNE INC ADD 0.1% +0.0% 2.3 174,460 +119,780 2
AMRN funds › AMARIN CORP PLC TRIM 0.1% -0.0% 2.3 145,296 -2,419 5
SPRB funds › SPRUCE BIOSCIENCES INC NEW 0.1% +0.1% 2.2 40,000 +40,000 1
RGEN funds › REPLIGEN CORP TRIM 0.1% -0.8% 2.0 14,401 -106,384 2
IVVD funds › INVIVYD INC TRIM 0.1% -0.1% 2.0 2,237,015 -39,334 4
PRQR funds › PROQR THRAPEUTICS N V NEW 0.1% +0.1% 1.9 1,022,265 +1,022,265 1
GRCE funds › GRACE THERAPEUTICS INC ADD 0.1% -0.1% 1.8 772,900 +16,300 2
AVR funds › ANTERIS TECHNOLOGIES GLOBAL TRIM 0.1% -0.1% 1.6 166,229 -234,958 4
VIR funds › VIR BIOTECHNOLOGY INC TRIM 0.1% -0.1% 1.6 156,636 -93,364 2
EDIT funds › EDITAS MEDICINE INC ADD 0.1% +0.0% 1.5 458,809 +167,890 3
WHWK funds › WHITEHAWK THERAPEUTICS INC TRIM Common Stock 0.1% +0.0% 1.4 303,306 -3,494 3
TECH funds › BIO-TECHNE CORP TRIM 0.1% -0.4% 1.4 19,308 -106,588 5
RVMD funds › REVOLUTION MEDICINES INC NEW 0.1% +0.1% 1.3 6,943 +6,943 1
SVRA funds › SAVARA INC TRIM 0.1% -0.1% 1.3 204,428 -179,836 3
SRZN funds › SURROZEN INC TRIM 0.1% -0.0% 1.2 47,777 -10,847 4
INO funds › INOVIO PHARMACEUTICALS INC HOLD 0.1% -0.1% 1.1 1,035,360 +0 2
PLRX funds › PLIANT THERAPEUTICS INC HOLD 0.1% -0.0% 1.0 891,425 +0 4
HELP funds › CYBIN INC NEW 0.1% +0.1% 1.0 146,403 +146,403 1
ODTX funds › ODYSSEY THERAPEUTICS INC NEW 0.1% +0.1% 0.9 49,658 +49,658 1
ENGN funds › ENGENE THERAPEUTICS INC NEW 0.0% +0.0% 0.8 469,584 +469,584 1
BCYC funds › BICYCLE THERAPEUTICS PLC HOLD 0.0% -0.0% 0.8 190,715 +0 5
CUSIP:53630X203 funds › LIPOCINE INC NEW HOLD 0.0% -0.1% 0.8 294,989 +0 2
RLMD funds › RELMADA THERAPEUTICS INC TRIM 0.0% -0.1% 0.6 93,192 -184,707 2
EHTH funds › EHEALTH INC ADD 0.0% +0.0% 0.6 404,854 +183,939 5
ATAI funds › ATAIBECKLEY INC NEW 0.0% +0.0% 0.5 102,430 +102,430 1
AKBA funds › AKEBIA THREAPEUTICS INC NEW 0.0% +0.0% 0.5 427,095 +427,095 1
SSII funds › SS INNOVATIONS INTERNATIONAL HOLD 0.0% -0.0% 0.5 110,157 +0 3
ASMB funds › ASSEMBLY BIOSCIENCES INC TRIM 0.0% -0.1% 0.5 16,510 -24,379 3
RVP funds › RETRACTABLE TECHNOLOGIES INC HOLD 0.0% -0.0% 0.4 580,919 +0 4
SLQT funds › SELECTQUOTE INC TRIM 0.0% -0.0% 0.3 319,788 -37,873 3
GHRS funds › GH RESEARCH PLC NEW 0.0% +0.0% 0.2 8,672 +8,672 1
AVTX funds › AVALO THERAPEUTICS INC NEW 0.0% +0.0% 0.2 10,000 +10,000 1
AGIO funds › AGIOS PHARMACEUTICALS INC EXIT 0.0% -0.4% 0.0 0 -200,000 0
AVTR funds › AVANTOR INC EXIT 0.0% -1.5% 0.0 0 -2,974,287 0
DHC funds › DIVERSIFIED HEALTHCARE TR EXIT 0.0% -0.1% 0.0 0 -151,283 0
CUSIP:23954D109 funds › DAY ONE BIOPHARMACEUTICALS I EXIT 0.0% -0.3% 0.0 0 -183,902 0
CUSIP:29664W105 funds › ESPERION THERAPEUTICS INC NE EXIT 0.0% -0.3% 0.0 0 -1,735,963 0
CUSIP:29332G102 funds › ENHABIT INC EXIT 0.0% -0.2% 0.0 0 -227,451 0
CUSIP:29286M105 funds › ENGENE HOLDINGS INC EXIT 0.0% -0.2% 0.0 0 -510,543 0
TYRA funds › TYRA BIOSCIENCES INC EXIT 0.0% -0.1% 0.0 0 -27,055 0
QGEN funds › QIAGEN NV EXIT 0.0% -1.4% 0.0 0 -545,330 0
BVS funds › BIOVENTUS INC EXIT 0.0% -0.1% 0.0 0 -159,110 0
PASG funds › PASSAGE BIO INC EXIT 0.0% -0.1% 0.0 0 -131,581 0
STRO funds › SUTRO BIOPHARMA INC EXIT 0.0% -0.1% 0.0 0 -73,161 0
ICLR funds › ICON PLC EXIT 0.0% -0.5% 0.0 0 -68,688 0
DOC funds › HEALTHPEAK PROPERTIES INC EXIT 0.0% -2.1% 0.0 0 -1,981,070 0
AIRS funds › AIRSCULPT TECHNOLOGIES INC EXIT 0.0% -0.0% 0.0 0 -74,139 0
MDGL funds › MADRIGAL PHARMACEUTICALS INC EXIT 0.0% -0.3% 0.0 0 -10,000 0
NVCR funds › NOVOCURE LTD EXIT 0.0% -0.1% 0.0 0 -134,917 0
HQY funds › HEALTHEQUITY INC EXIT 0.0% -0.3% 0.0 0 -51,614 0
IMCR funds › IMMUNOCORE HLDGS PLC EXIT 0.0% -0.1% 0.0 0 -39,238 0
INMD funds › INMODE LTD EXIT 0.0% -0.1% 0.0 0 -67,744 0
CNC funds › CENTENE CORP DEL EXIT 0.0% -0.2% 0.0 0 -111,652 0

Point-in-time history

Each row is this fund as of that period, not as of today — what the scoring for that quarter actually saw.
PeriodAUM ($M)Positions TurnoverTop-10 wtHerfindahl Quality Q Skill Universe
2026Q2 1,834 115 0.31 47% 0.031 0.240 in
2026Q1 1,517 104 0.33 53% 0.038 0.248 in
2025Q4 1,783 103 0.27 47% 0.033 0.278 in
2025Q3 1,306 83 0.31 50% 0.035 0.199 in
2025Q2 992 67 0.24 53% 0.046 0.351 entered
2025Q1 884 55 0.00 59% 0.055 0.000 out
Long US-equity 13F disclosures only · up to 45-day reporting lag · sells = reduce/avoid, not short. JSON: /api/signals · /api/funds · /api/status