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VYGRVoyager Therapeutics, Inc.
$3.72$225M
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HomeStocksVYGRInstitutional Holders

VYGR logoVoyager Therapeutics, Inc. (VYGR) Institutional Ownership

Q1 2026 13F Data|Updated 2026-06-13

✨

Institutional ownership increased this quarter (+0.95 pp), though top 10 holders maintain a highly concentrated 70.9% of institutional value.

Institutional Ownership
Can exceed 100% due to securities lending, short interest, and reporting timing differences.
59.0%$125M total value · ▲ +0.95 pp vs prior quarter
Smart Money Score
Based on ownership concentration, fund quality, buying/selling activity, conviction signals, and institutional trend.
76 / 100
Bullish
Institutions & Flow130 holders+10 net flow (+28 / -18)

AI Insights & Key Takeaways

  • Positive Institutional Flow (+10)
  • Marquee funds including Millennium Management Llc and Two Sigma Investments, Lp maintain significant positions
  • Top 10 holders control 70.9% of institutional value
  • No Insider Signal

Top Institutional Holders of VYGR

Ranked by reported Q1 2026 13F market value

Top 10 Holders
70.9%
Top 25 Holders
89.8%

Share of total reported institutional value in VYGR held by the largest 10 / 25 filers.

#InstitutionShares HeldMarket ValueQoQ ChangeOwnership %% of Fund
1BlackRock, Inc.5.6M$21.5M-0.9%9.216%0.00%
2ARMISTICE CAPITAL, LLC3.5M$13.5M-12.5%5.793%0.40%
3MILLENNIUM MANAGEMENT LLC3.4M$13.2M—5.674%0.01%
4Vestal Point Capital, LP3.0M$11.6M+103.6%4.970%0.32%
5VANGUARD CAPITAL MANAGEMENT LLC2.3M$8.8M—3.779%0.00%
6Opaleye Management Inc.1.1M$4.4M-3.9%1.903%0.58%
7Erste Asset Management GmbH1.1M$4.2M-8.4%1.812%0.04%
8GEODE CAPITAL MANAGEMENT, LLC1.0M$4.1M-7.5%1.738%0.00%
9STATE STREET CORP948K$3.7M+1.3%1.569%0.00%
10DIMENSIONAL FUND ADVISORS LP876K$3.4M-19.3%1.449%0.00%
11VANGUARD PORTFOLIO MANAGEMENT LLC726K$2.8M—1.201%0.00%
12MORGAN STANLEY682K$2.6M+25.3%1.128%0.00%
13TWO SIGMA INVESTMENTS, LP616K$2.4M+176.4%1.019%0.00%
14RENAISSANCE TECHNOLOGIES LLC578K$2.2M+95.0%0.957%0.00%
15SPHERA FUNDS MANAGEMENT LTD.470K$1.8M+38.3%0.777%0.30%
16GOLDMAN SACHS GROUP INC428K$1.7M+41.1%0.708%0.00%
17CITADEL ADVISORS LLC403K$1.6M-30.9%0.667%0.00%
18NORTHERN TRUST CORP385K$1.5M+4.4%0.637%0.00%
19FIDUCIARY TRUST CO334K$1.3M0.0%0.553%0.02%
20VANGUARD FIDUCIARY TRUST CO298K$1.2M—0.494%0.00%
21Altshuler Shaham Ltd274K$1.1M+34.4%0.453%0.02%
22Point72 Asset Management, L.P.268K$1.0M+181.3%0.444%0.00%
23AQR CAPITAL MANAGEMENT LLC233K$898K+45.4%0.385%0.00%
24Patriot Financial Group Insurance Agency, LLC206K$794K+100.3%0.341%0.04%
25Woodline Partners LP194K$749K—0.321%0.00%

denotes a marquee investor (Buffett, Burry, ARK, Tiger Global, Pershing Square, Baupost and other widely-followed managers). “% of Fund” shows how much of that investor’s total 13F portfolio is invested in VYGR — a direct measure of their conviction.

Quarterly Institutional Activity

Filings activity in VYGR during Q1 2026, grouped by how each filer changed its position.

OverviewNew Buyers28Added To37Trimmed61Exited18

New Buyers

28

Institutions that opened a new VYGR position in Q1 2026

  • MILLENNIUM MANAGEMENT LLC$13.2M
  • VANGUARD CAPITAL MANAGEMENT LLC$8.8M
  • VANGUARD PORTFOLIO MANAGEMENT LLC$2.8M
  • VANGUARD FIDUCIARY TRUST CO$1.2M
  • Woodline Partners LP$749K
  • Hudson Bay Capital Management LP$603K
  • Seven Fleet Capital Management LP$445K
  • D. E. Shaw & Co., Inc.$381K
  • Susquehanna Portfolio Strategies, LLC$346K
  • HSBC HOLDINGS PLC$129K
  • SEI INVESTMENTS CO$112K
  • JustInvest LLC$71K

Exited Positions

18

Institutions that fully closed their VYGR position in Q1 2026

  • EcoR1 Capital, LLC$15.7M
  • VANGUARD GROUP INC$12.8M
  • JPMORGAN CHASE & CO$1.3M
  • OMERS ADMINISTRATION Corp$326K
  • TWO SIGMA ADVISERS, LP$246K
  • Walleye Capital LLC$219K
  • TD ASSET MANAGEMENT INC$174K
  • Quadrature Capital Ltd$120K
  • Assenagon Asset Management S.A.$64K

VYGR Institutional Ownership by Quarter

8 quarters of 13F filings · Δ columns show change vs prior quarter

QuarterInst. HoldersΔ HoldersOwnership %Δ OwnershipTotal 13F ValueΔ Value
Q1 2026130+8.3%58.96%+0.95 pp$125M+1.6%
Q4 2025120+5.3%58.01%6.64 pp$123M10%
Q3 2025114+2.7%64.65%+17.71 pp$137M+38%
Q2 20251113.5%46.94%6.78 pp$99M13%
Q1 202511512%53.72%35.06 pp$114M39%
Q4 2024131+2.3%88.78%7.34 pp$188M7.6%
Q3 2024128+0.8%96.12%37.58 pp$203M28%
Q2 2024127—133.70%—$283M—

Source: SEC 13F institutional filings. Ownership % requires market cap data and will show once linked. Δ columns compare to the immediately prior filed quarter.

VYGR — Frequently Asked Questions

Quick answers to the most common questions about buying VYGR stock.

What percentage of VYGR is owned by institutions?

Based on Q1 2026 13F filings, institutional ownership of Voyager Therapeutics, Inc. stands at 59.0%, held across 130 reporting institutions.

Who is the largest institutional holder of VYGR?

BlackRock, Inc. is the largest reported institutional holder of VYGR, with approximately 5,568,381 shares worth $0.02B as of Q1 2026.

Is VYGR a hedge fund favorite?

Yes — 5 widely-followed marquee investors appear among the top 25 institutional holders of VYGR, including MILLENNIUM MANAGEMENT LLC, TWO SIGMA INVESTMENTS, LP, RENAISSANCE TECHNOLOGIES LLC, CITADEL ADVISORS LLC, Point72 Asset Management, L.P..

What is VYGR's Smart Money Score?

Our composite Smart Money Score for VYGR is 76 out of 100 (Bullish). It combines net institutional buying activity, ownership shift, marquee investor presence, and holder-count growth.

How many institutions bought VYGR this quarter?

28 institutions opened new positions in VYGR during Q1 2026, while 18 fully exited. 37 added to existing positions and 61 trimmed.

How is institutional ownership of VYGR changing?

VYGR institutional ownership rose by 0.95 percentage points quarter-over-quarter, with a net change of +10 holders.

How concentrated is VYGR ownership among the top holders?

The top 10 institutions account for 70.9% of all reported 13F value in VYGR, and the top 25 account for 89.8%.

Where does this VYGR institutional ownership data come from?

All data is sourced from SEC Form 13F filings, which institutional investment managers with at least $100M in assets are required to file each quarter. We process every 13F filing from EDGAR and recompute the aggregates after each cycle. Insider transactions are sourced from Form 4 filings.

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