DYNAVAX TECHNOLOGIES CORP - Common Stock, $0.001 par value (DVAX)

Historical Holders from Q3 2014 to Q3 2025

Symbol
DVAX on Nasdaq
CUSIP
268158201
Type / Class
Equity / Common Stock, $0.001 par value
Shares outstanding
117M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
113M
Holdings value
$1.12B
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
260
Number of buys
110
Number of sells
-136
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of DYNAVAX TECHNOLOGIES CORP - Common Stock, $0.001 par value (DVAX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.2% $165M 17M BlackRock, Inc. Jun 30, 2025
Deep Track Capital, LP 13.41% -0.64% $162M -$21.2M 15.7M -11.6% Deep Track Biotechnology Master Fund, Ltd. Aug 22, 2025
Kynam Capital Management, LP 4.99% $85.1M 6.56M Kynam Capital Management, LP Dec 31, 2024

Institutional Holders of DYNAVAX TECHNOLOGIES CORP - Common Stock, $0.001 par value (DVAX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 113M $1.12B -$13.4M $9.93 260
2025 Q2 114M $1.14B -$152M $9.92 262
2025 Q1 128M $1.66B -$40.3M $12.97 278
2024 Q4 131M $1.67B +$15.9M $12.77 253
2024 Q3 130M $1.44B -$18M $11.14 248
2024 Q2 132M $1.48B -$12.7M $11.23 237
2024 Q1 133M $1.65B +$87.4M $12.41 243
2023 Q4 353K $4.94M +$98.00 $13.98 2
2023 Q3 126M $1.86B -$4.24M $14.77 223
2023 Q2 127M $1.64B +$3.89M $12.92 211
2023 Q1 127M $1.25B +$93.7M $9.81 208
2022 Q4 117M $1.25B +$29.7M $10.64 224
2022 Q3 113M $1.18B -$17.8M $10.44 218
2022 Q2 117M $1.47B +$207M $12.59 198
2022 Q1 100M $1.09B +$61M $10.84 197
2021 Q4 96.2M $1.35B -$24.9M $14.07 192
2021 Q3 96.8M $1.86B +$174M $19.21 181
2021 Q2 89.6M $883M +$52.7M $9.85 150
2021 Q1 83.7M $823M +$105M $9.83 152
2020 Q4 72.8M $324M -$63.9M $4.45 132
2020 Q3 87.9M $380M +$22.1M $4.32 152
2020 Q2 80.7M $716M +$142M $8.87 145
2020 Q1 65.5M $231M -$18.6M $3.53 105
2019 Q4 66.2M $379M -$7.32M $5.72 120
2019 Q3 67.4M $241M +$52.2M $3.58 111
2019 Q2 50.9M $203M -$12.9M $3.99 120
2019 Q1 52.8M $386M -$9.19M $7.31 130
2018 Q4 53.3M $487M +$42.8M $9.15 125
2018 Q3 47.8M $593M -$46.7M $12.40 144
2018 Q2 51.1M $780M +$20.1M $15.25 149
2018 Q1 48.5M $962M +$76.3M $19.85 137
2017 Q4 43.9M $821M +$17.7M $18.70 134
2017 Q3 42.8M $919M +$202M $21.50 118
2017 Q2 35.4M $342M +$57.8M $9.65 105
2017 Q1 26.1M $155M +$23.1M $5.95 97
2016 Q4 26.8M $106M -$52.1M $3.95 103
2016 Q3 31.1M $326M -$30M $10.49 118
2016 Q2 32.3M $470M -$25.2M $14.58 117
2016 Q1 33.5M $645M +$33.5M $19.24 124
2015 Q4 30.5M $737M -$55.9M $24.16 146
2015 Q3 32.6M $799M +$167M $24.54 141
2015 Q2 26.4M $618M +$55.6M $23.43 116
2015 Q1 23.5M $527M +$128M $22.43 94
2014 Q4 18M $303M +$117M $16.86 76
2014 Q3 10.7M $15.4M +$15.4M $1.43 4