AMICUS THERAPEUTICS INC

Ticker: FOLD CUSIP: 03152W109 Class: Com

TWO SIGMA INVESTMENTS, LP's Holding History (CIK: 0001179392)

Note: Option positions (PUT/CALL) are excluded.

Q4 2025
Shares 1,473,341 Value ($000) $20,980 Avg Close $9.82 Range $7.68 - $14.36
Q3 2025
Shares 974,875 Value ($000) $7,682 Avg Close $7.12 Range $5.66 - $8.68
Q2 2025
Shares 732,735 Value ($000) $4,199 Avg Close $6.45 Range $5.51 - $8.24
Q1 2025
Shares 1,392,769 Value ($000) $11,365 Avg Close $9.25 Range $7.97 - $10.00
Q4 2024
Shares 297,443 Value ($000) $2,802 Avg Close $10.39 Range $9.28 - $12.65
Q3 2024
Shares 125,963 Value ($000) $1,345 Avg Close $10.89 Range $9.36 - $12.19
Q2 2024
Shares 135,497 Value ($000) $1,344 Avg Close $10.26 Range $9.02 - $11.82
Q1 2024
Shares 120,536 Value ($000) $1,420 Avg Close $12.79 Range $11.32 - $14.53
Q4 2023
Shares 45,353 Value ($000) $644 Avg Close $11.35 Range $9.70 - $14.57
Q3 2023
Shares 42,558 Value ($000) $518 Avg Close $12.90 Range $11.41 - $14.10
Q2 2023
Shares 48,336 Value ($000) $607 Avg Close $11.87 Range $10.55 - $13.53
Q1 2023
Shares 54,333 Value ($000) $603 Avg Close $12.33 Range $10.80 - $13.84
Q4 2022
Shares 32,383 Value ($000) $395 Avg Close $11.26 Range $9.10 - $12.72
Q3 2022
Shares 474,904 Value ($000) $4,958 Avg Close $11.14 Range $9.65 - $12.96
Q2 2022
Shares 362,283 Value ($000) $3,891 Avg Close $8.23 Range $5.91 - $11.13
Q1 2022
Shares 443,083 Value ($000) $4,196 Avg Close $9.38 Range $7.60 - $12.63
Q4 2021
Shares 1,629,190 Value ($000) $18,817 Avg Close $11.14 Range $9.41 - $12.53
Q3 2021
Shares 1,109,969 Value ($000) $10,600 Avg Close $10.23 Range $8.60 - $12.11
Q2 2021
Shares 629,581 Value ($000) $6,069 Avg Close $9.76 Range $8.68 - $10.84
Q1 2021
Shares 2,354,088 Value ($000) $23,258 Avg Close $15.48 Range $8.83 - $24.84
Q4 2020
Shares 1,400,793 Value ($000) $32,344 Avg Close $20.45 Range $13.47 - $25.39
Q3 2020
Shares 732,513 Value ($000) $10,343 Avg Close $14.57 Range $12.78 - $16.13
Q2 2020
Shares 525,318 Value ($000) $7,922 Avg Close $12.19 Range $8.63 - $15.91
Q1 2020
Shares 86,607 Value ($000) $800 Avg Close $9.51 Range $6.25 - $11.29
Q4 2019
Shares 638,432 Value ($000) $6,218 Avg Close $9.15 Range $7.11 - $10.84
Q3 2019
Shares 498,747 Value ($000) $4,000 Avg Close $10.85 Range $7.88 - $13.39
Q2 2019
Shares 133,416 Value ($000) $1,665 Avg Close $12.69 Range $10.26 - $14.62
Q1 2019
Shares 71,330 Value ($000) $970 Avg Close $12.22 Range $9.30 - $14.49
Q3 2018
Shares 26,845 Value ($000) $325 Avg Close $13.98 Range $11.57 - $16.82
Q1 2018
Shares 11,508 Value ($000) $173 Avg Close $15.22 Range $13.09 - $17.40
Q4 2017
Shares 336,940 Value ($000) $4,849 Avg Close $13.74 Range $12.20 - $16.60
Q3 2017
Shares 259,891 Value ($000) $3,919 Avg Close $13.23 Range $9.80 - $16.06
Q4 2014
Shares 427,502 Value ($000) $3,557 Avg Close $6.86 Range $5.13 - $8.79
Q3 2014
Shares 484,065 Value ($000) $2,880 Avg Close $5.24 Range $3.50 - $7.63
Q2 2014
Shares 74,382 Value ($000) $248 Avg Close $2.35 Range $1.77 - $4.06
Q1 2014
Shares 51,345 Value ($000) $106 Avg Close $2.50 Range $2.00 - $3.10
Q4 2013
Shares 18,758 Value ($000) $44 Avg Close $2.19 Range $1.90 - $2.54