AMICUS THERAPEUTICS INC

Ticker: FOLD CUSIP: 03152W109 Class: Com

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

New Positions (85)

Increased Positions (103)

Soleus Capital Management, L.P.
Value ($000) $74,152 (+100.6%) Shares 5,207,284 (+11.0%)
Neo Ivy Capital Management
Value ($000) $5,985 (+1441.7%) Shares 420,275 (+753.1%)
RICE HALL JAMES & ASSOCIATES, LLC
Value ($000) $49,976 (+84.6%) Shares 3,509,571 (+2.2%)
Tetragon Partners GP Ltd
Value ($000) $3,713 (+288.8%) Shares 260,771 (+115.1%)
BALYASNY ASSET MANAGEMENT L.P.
Value ($000) $72,972 (+572.5%) Shares 5,124,427 (+272.1%)
Quarry LP
Value ($000) $517 (+3191.2%) Shares 36,280 (+1721.3%)
CAPSTONE INVESTMENT ADVISORS, LLC
Value ($000) $26,344 (+7509.5%) Shares 1,850,000 (+4110.9%)
Qube Research & Technologies Ltd
Value ($000) $63,150 (+358.0%) Shares 4,434,679 (+153.5%)
PROFUND ADVISORS LLC
Value ($000) $2,614 (+298.5%) Shares 183,552 (+120.5%)
FNY Investment Advisers, LLC
Value ($000) $1 (+1081.4%) Shares 35,700 (+553.8%)
Verition Fund Management LLC
Value ($000) $9,250 (+682.3%) Shares 649,562 (+332.9%)
Stephens Investment Management Group LLC
Value ($000) $19,250 (+93.8%) Shares 1,351,814 (+7.2%)
AlphaQuest LLC
Value ($000) $2,029 (+136.5%) Shares 142,501 (+30.9%)
TUDOR INVESTMENT CORP ET AL
Value ($000) $12,816 (+862.5%) Shares 900,000 (+432.6%)
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND
Value ($000) $11,392 (+2275.5%) Shares 800,000 (+1214.6%)
Allianz Asset Management GmbH
Value ($000) $21,175 (+590.6%) Shares 1,486,996 (+282.2%)
UBS Group AG
Value ($000) $83,920 (+515.3%) Shares 5,893,288 (+240.5%)
ALLIANCEBERNSTEIN L.P.
Value ($000) $38,611 (+1252.0%) Shares 2,711,443 (+648.1%)
CITIGROUP INC
Value ($000) $23,475 (+2553.8%) Shares 1,648,547 (+1368.5%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $20,980 (+173.1%) Shares 1,473,341 (+51.1%)

Decreased Positions (84)

Sovereign's Capital Management, LLC
Value ($000) $11,178 (+70.0%) Shares 784,942 (-5.9%)
CM Management, LLC
Value ($000) $5,269 (+48.6%) Shares 370,000 (-17.8%)
Prosight Management, LP
Value ($000) $16,376 (+21.6%) Shares 1,150,000 (-32.7%)
Palo Alto Investors LP
Value ($000) $74,130 (+75.3%) Shares 5,205,767 (-3.0%)
SPHERA FUNDS MANAGEMENT LTD.
Value ($000) $9,375 (+20.0%) Shares 658,377 (-33.6%)
Parkman Healthcare Partners LLC
Value ($000) $21,179 (+59.3%) Shares 1,487,283 (-11.9%)
SECTORAL ASSET MANAGEMENT INC
Value ($000) $617 (-34.3%) Shares 43,300 (-63.6%)
WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC
Value ($000) $151,339 (+21.9%) Shares 10,627,717 (-32.5%)
ORBIMED ADVISORS LLC
Value ($000) $10,394 (-19.8%) Shares 729,900 (-55.6%)
Point72 Asset Management, L.P.
Value ($000) $29,455 (-47.8%) Shares 2,068,454 (-71.1%)
WELLINGTON MANAGEMENT GROUP LLP
Value ($000) $19,564 (-91.3%) Shares 1,373,867 (-95.2%)
Pictet Asset Management Holding SA
Value ($000) $28,426 (-47.0%) Shares 1,994,855 (-70.6%)
Schonfeld Strategic Advisors LLC
Value ($000) $3,718 (-65.4%) Shares 261,085 (-80.9%)
MILLENNIUM MANAGEMENT LLC
Value ($000) $42,650 (-54.2%) Shares 2,995,089 (-74.6%)
Hudson Bay Capital Management LP
Value ($000) $8,864 (-45.8%) Shares 622,500 (-70.0%)
PDT Partners, LLC
Value ($000) $6,408 (+60.7%) Shares 449,999 (-11.1%)
Jump Financial, LLC
Value ($000) $8,686 (+12.5%) Shares 609,941 (-37.7%)
R Squared Ltd
Value ($000) $196 (-3.5%) Shares 13,788 (-46.6%)
683 Capital Management, LLC
Value ($000) $11,392 (+73.1%) Shares 800,000 (-4.2%)
Connor, Clark & Lunn Investment Management Ltd.
Value ($000) $17,344 (+9.0%) Shares 1,218,000 (-39.7%)

Exited Positions (43)