Instuitional Investor - Foresite Capital Management Vi Llc

Fund Profile
Filing Period:
Fund Name: Foresite Capital Management Vi Llc
Portfolio Value $642,575,985
Filing Period:
No. Security Ticker Shares Value % Port
1. CGON 2,369,574 $168,358,233 26.2%
2. ALMS 4,247,670 $119,529,434 18.6%
3.
Seaport Therapeutics Inc.
1,779,521 $38,651,196 6.02%
4. DNLI 1,396,771 $35,924,950 5.59%
5. CLDX 879,713 $32,734,121 5.09%