NASDAQ : TXG

10x Genomics, Inc.

$43.22 USD

-$0.52 (-1.19%)

Volume
2.36M
Average Volume
3.2M
Market Capitalization
$5.49B
P/E Ratio
-254.24
Dividend Yield
0.00%
Price Target
$37.00
Year High
$46.32
Year Low
$11.16
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$5.90
Institutional Ownership Summary
Institutional Ownership %

0.68%

Investors Holding

31

change: -307 | last: 338
Increased Positions

16

change: -157 | last: 173
Reduced Positions

8

change: -95 | last: 103
New Positions

10

change: -46 | last: 56
Sold Positions

310

change: 261 | last: 49
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -6.2937 | last: 0.0629
Total Invested

33.95M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-29 Vanguard Capital Management 6.17M 5.24%
2026-04-28 Vanguard Portfolio Management 6.98M 5.93%
2026-03-25 The Vanguard Group - 0.00%
2026-03-24 The Vanguard Group - 0.00%
2026-03-06 FMR LLC 18.54M 15.60%
2026-01-08 FMR LLC 12.7M 10.80%
2025-11-13 Amova Asset Management Americas, Inc. 5.38M 4.70%
2025-11-05 FMR LLC 9.28M 8.10%
2025-11-04 ARK Investment Management LLC 11.89M 10.39%
2025-10-30 The Vanguard Group 13.27M 11.60%
2025-10-27 Sumitomo Mitsui Trust Group, Inc. 5.38M 4.70%
2025-08-13 Nikko Asset Management Americas, Inc. 6.01M 5.40%
2025-08-12 Millennium Management LLC 3.06M 2.70%
2025-08-07 FMR LLC 11.53M 10.30%
2025-08-06 FMR LLC 9.84M 8.80%
2025-07-31 Sumitomo Mitsui Trust Group, Inc. 6.01M 5.40%
2025-07-16 BlackRock, Inc. 8.5M 7.60%
2025-05-14 ARK Investment Management LLC 12.85M 11.87%
2025-05-12 Nikko Asset Management Americas, Inc. 5.36M 5.00%
2025-05-07 FMR LLC 14.68M 13.00%
2025-05-07 FMR LLC 5.65M 5.20%
2025-04-25 Sumitomo Mitsui Trust Group, Inc. 5.36M 5.00%
2025-04-04 Millennium Management LLC 5.53M 5.10%
2024-11-08 Nikko Asset Management Americas, Inc. 6.37M 5.98%
2024-11-08 Nikko Asset Management Americas, Inc. 6.37M 5.98%
2024-11-05 Sumitomo Mitsui Trust Group, Inc.  (“SMTG”) 6.37M 5.98%
2024-11-05 Nikko Asset Management Co., Ltd. (“NAM”) 6.37M 5.98%
2024-11-05 Sumitomo Mitsui Trust Group, Inc.  (“SMTG”) 6.37M 5.98%
2024-11-05 Nikko Asset Management Co., Ltd. (“NAM”) 6.37M 5.98%
2024-08-12 ARK Investment Management LLC 11.36M 10.75%
2024-08-12 ARK Investment Management LLC 11.36M 10.75%
2023-02-08 Morgan Stanley 9.89M 10.40%
2023-02-08 Morgan Stanley Investment Management Inc. 9.21M 9.60%
2022-09-12 Morgan Stanley 10.34M 10.90%
2022-09-12 Morgan Stanley Investment Management Inc. 9.74M 10.20%
2022-08-09 (1) BlackRock, Inc. 4.99M 5.30%
2022-05-09 (1) BlackRock, Inc. 10.23M 10.90%
2022-02-14 Venrock Partners VI, L.P. 4.83M 5.10%
2022-02-14 Venrock Partners VI, L.P. 4.83M 5.10%
2022-02-14 Venrock Management VI, LLC 4.83M 5.10%
2022-02-14 Venrock Partners Management VI, LLC 4.83M 5.10%
2022-02-14 Venrock Associates VI, L.P. 4.83M 5.10%
2022-02-14 Venrock Partners Management VI, LLC 4.83M 5.10%
2022-02-14 Venrock Associates VI, L.P. 4.83M 5.10%
2022-02-14 Venrock Management VI, LLC 4.83M 5.10%
2022-02-09 The Vanguard Group - 23-1945930 7.55M 8.25%
2022-02-09 Morgan Stanley 4.61M 5.00%
2022-02-09 Morgan Stanley Investment Management Inc. 3.82M 4.20%
2022-02-09 The Vanguard Group - 23-1945930 7.55M 8.25%
2022-02-03 (1) BlackRock, Inc. 8.02M 8.80%
2022-01-18 Baillie Gifford & Co (Scottish partnership) 6.88M 11.00%
2022-01-18 Baillie Gifford & Co (Scottish partnership) 6.88M 11.00%
2021-02-16 Meritech Capital Affiliates V L.P. (“MC AFF V”) 73042.0 0.10%
2021-02-16 Meritech Capital Partners V L.P. (“MCP V”) 2.1M 2.60%
2021-02-16 Venrock Partners Management VI, LLC 7.83M 9.10%
2021-02-16 Venrock Management VI, LLC 7.83M 9.10%
2021-02-16 Meritech Capital Associates V L.L.C. 2.58M 3.20%
2021-02-16 10 - 0.00%
2021-02-16 S         Foresite Capital Fund I, L.P. (“FCF I”) 1.25M 1.60%
2021-02-16 S         Foresite Capital Fund II, L.P. (“FCF II”) 2.5M 3.10%
2021-02-16 Venrock Associates VI, L.P. 7.83M 9.10%
2021-02-16 S         Foresite Capital Fund I, L.P. (“FCF I”) 1.25M 1.60%
2021-02-16 Venrock Partners VI, L.P. 7.83M 9.10%
2021-02-16 S         James Tananbaum (“Tananbaum”) 3.75M 4.70%
2021-02-16 S         Foresite Capital Management I, LLC (“FCM I”) 1.25M 1.60%
2021-02-16 10 - 0.00%
2021-02-16 Meritech Capital Associates V L.L.C. 2.58M 3.20%
2021-02-16 Meritech Capital Partners V Sidecar L.P. (“MC Sidecar V”) 403.6K 0.50%
2021-02-16 Meritech Capital Affiliates V L.P. (“MC AFF V”) 73042.0 0.10%
2021-02-16 S         Foresite Capital Management I, LLC (“FCM I”) 1.25M 1.60%
2021-02-16 S         James Tananbaum (“Tananbaum”) 3.75M 4.70%
2021-02-16 Meritech Capital Partners V Sidecar L.P. (“MC Sidecar V”) 403.6K 0.50%
2021-02-16 Venrock Partners VI, L.P. 7.83M 9.10%
2021-02-16 Venrock Partners Management VI, LLC 7.83M 9.10%
2021-02-16 Venrock Management VI, LLC 7.83M 9.10%
2021-02-16 S         Foresite Capital Fund II, L.P. (“FCF II”) 2.5M 3.10%
2021-02-16 S         Foresite Capital Management II, LLC (“FCM II”) 2.5M 3.10%
2021-02-16 S         Foresite Capital Management II, LLC (“FCM II”) 2.5M 3.10%
2021-02-16 Meritech Capital Partners V L.P. (“MCP V”) 2.1M 2.60%
2021-02-16 Venrock Associates VI, L.P. 7.83M 9.10%
2021-02-10 The Vanguard Group - 23-1945930 6.19M 7.72%
2021-02-10 The Vanguard Group - 23-1945930 6.19M 7.72%
2021-02-10 Morgan Stanley 5.92M 7.40%
2021-02-10 Morgan Stanley Investment Management Inc. 5.92M 7.40%
2021-02-02 (1) BlackRock, Inc. 5.16M 6.40%
2020-05-08 Morgan Stanley 6.79M 12.10%
2020-05-08 Morgan Stanley Investment Management Inc. 6.79M 12.10%
2020-04-09 Morgan Stanley Investment Management Inc. 5.02M 23.60%
2020-04-09 Morgan Stanley 5.02M 23.60%
2020-02-18 Paladin Homeland Security Corporation III, Ltd. 1.26M 5.70%
2020-02-18 Paladin Holdings III, L.P. 6.91M 24.90%
2020-02-18 Paladin Holdings III (Cayman Islands), L.P. 1.26M 5.70%
2020-02-18 Paladin Cyber Holdings, L.P. 499.77K 2.30%
2020-02-18 Paladin Capital Group III, LLC 6.91M 24.90%
2020-02-18 Paladin III (Cayman Islands), LP 1.26M 5.70%
2020-02-18 Paladin III (CA), LP 626.6K 2.90%
2020-02-18 Co-Investment, 1.65M 7.30%
2020-02-18 Paladin International, LLC 499.77K 2.30%
2020-02-18 Paladin III (HR), LP 626.6K 2.90%
2020-02-18 Paladin Capital Management, LLC 6.53M 23.80%
2020-02-18 Paladin Capital Management, LLC 6.53M 23.80%
2020-02-18 Paladin Capital Cyber Group, LLC 499.77K 2.30%
2020-02-18 Paladin III, LP 2.18M 9.40%
2020-02-18 Paladin III (NY City), LP 1.84M 8.10%
2020-02-18 Michael Robert Steed 8.68M 29.30%
2020-02-14 Meritech Capital Associates V L.L.C. 3.66M 14.90%
2020-02-14 Meritech Capital Associates V L.L.C. 3.66M 14.90%
2020-02-14 Meritech Capital Partners V Sidecar L.P. (“MC Sidecar V”) 572.49K 2.70%
2020-02-14 Venrock Healthcare Capital Partners II, L.P. 2.09M 9.20%
2020-02-14 VHCP Co-Investment Holdings II, LLC 2.09M 9.20%
2020-02-14 VHCP Management II, LLC 2.09M 9.20%
2020-02-14 Koh, Bong 2.09M 9.20%
2020-02-14 Shah, Nimish 2.09M 9.20%
2020-02-14 VHCP Management II, LLC 2.09M 9.20%
2020-02-14 Venrock Healthcare Capital Partners III, L.P. 2.09M 9.20%
2020-02-14 VHCP Co-Investment Holdings III, LLC 2.09M 9.20%
2020-02-14 VHCP Management III, LLC 2.09M 9.20%
2020-02-14 Koh, Bong 2.09M 9.20%
2020-02-14 Meritech Capital Affiliates V L.P. (“MC AFF V”) 103.6K 0.50%
2020-02-14 Meritech Capital Partners V Sidecar L.P. (“MC Sidecar V”) 572.49K 2.70%
2020-02-14 Meritech Capital Affiliates V L.P. (“MC AFF V”) 103.6K 0.50%
2020-02-14 Meritech Capital Partners V L.P. (“MCP V”) 2.98M 12.50%
2020-02-14 Venrock Management VI, LLC 11.09M 34.70%
2020-02-14 Venrock Healthcare Capital Partners II, L.P. 2.09M 9.20%
2020-02-14 VHCP Co-Investment Holdings II, LLC 2.09M 9.20%
2020-02-14 Venrock Partners VI, L.P. 11.09M 34.70%
2020-02-14 Venrock Associates VI, L.P. 11.09M 34.70%
2020-02-14 Venrock Associates VI, L.P. 11.09M 34.70%
2020-02-14 Venrock Healthcare Capital Partners III, L.P. 2.09M 9.20%
2020-02-14 Venrock Partners Management VI, LLC 11.09M 34.70%
2020-02-14 Venrock Management VI, LLC 11.09M 34.70%
2020-02-14 VHCP Management III, LLC 2.09M 9.20%
2020-02-14 VHCP Co-Investment Holdings III, LLC 2.09M 9.20%
2020-02-14 Venrock Partners VI, L.P. 11.09M 34.70%
2020-02-14 Page 3 of 9 Pages 3.84M 15.50%
2020-02-14 Page 2 of 9 Pages 3.84M 15.50%
2020-02-14 Meritech Capital Partners V L.P. (“MCP V”) 2.98M 12.50%
2020-02-14 Shah, Nimish 2.09M 9.20%
2020-02-14 Page 3 of 9 Pages 3.84M 15.50%
2020-02-14 Page 2 of 9 Pages 3.84M 15.50%
2020-02-14 Venrock Partners Management VI, LLC 11.09M 34.70%
2020-02-14 Foresite Capital Management I, LLC (“FCM I”) 7.24M 25.90%
2020-02-14 Foresite Capital Management II, LLC (“FCM II”) 6.84M 24.60%
2020-02-14 Foresite Capital Management II, LLC (“FCM II”) 6.84M 24.60%
2020-02-14 Foresite Capital Fund II, L.P. (“FCF II”) 7.24M 25.90%
2020-02-14 Foresite Capital Fund II, L.P. (“FCF II”) 7.24M 25.90%
2020-02-14 James Tananbaum (“Tananbaum”) 6.84M 24.60%
2020-02-14 James Tananbaum (“Tananbaum”) 6.84M 24.60%
2020-02-14 Foresite Capital Management I, LLC (“FCM I”) 7.24M 25.90%
2020-02-12 Morgan Stanley 1.07M 5.10%
2020-02-12 Morgan Stanley Investment Management Inc. 1.07M 5.10%
2019-10-10 FMR LLC 11.33M 40.22%
2019-10-10 FMR LLC 11.33M 40.22%
TXG Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $16.31 124.75M $2.03B $473.97M $157.74M $1.72B
2024-12-31 $14.36 120.45M $1.73B $344.07M $82.61M $1.47B
2023-12-31 $55.96 117.17M $6.56B $359.28M $95.37M $6.29B
2022-12-31 $36.44 113.86M $4.15B $219.75M $95.18M $4.02B
2021-12-31 $148.96 110.35M $16.44B $587.45M $81.98M $15.93B
2020-12-31 $141.60 101.15M $14.32B $663.6M $62.98M $13.72B
2019-12-31 $76.25 39.06M $2.98B $424.17M $29.72M $2.58B
2018-12-31 $52.75 13.39M $706.44M $65.08M $29.68M $671.04M
2017-12-31 $52.75 11.59M $611.25M $47.86M $10.56M $573.96M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $21.23 128.29M $2.72B $490.28M $81.39M $2.31B
2025-12-31 $16.31 127.08M $2.07B $473.97M $157.74M $1.76B
2025-09-30 $11.69 125.5M $1.47B $432.51M $163.43M $1.2B
2025-06-30 $11.58 123.76M $1.43B $397.71M $86.74M $1.12B
2025-03-31 $8.73 122.61M $1.07B $377.06M $80.07M $773.36M
2024-12-31 $14.36 121.6M $1.75B $344.07M $82.61M $1.48B
2024-09-30 $22.58 120.73M $2.73B $398.16M $85.88M $2.41B
2024-06-30 $18.59 120.07M $2.23B $379.82M $89.48M $1.94B
2024-03-31 $37.05 119.39M $4.42B $355.78M $92.18M $4.16B
2023-12-31 $55.96 118.57M $6.63B $359.28M $95.37M $6.37B
2023-09-30 $41.25 117.73M $4.86B $311.26M $98.47M $4.64B
2023-06-30 $55.84 116.71M $6.52B $325.88M $99.62M $6.29B