UN
UNITEDHEALTH GROUP INC
UNHOwnership as of Q2 2026
Funds owning
17
Combined value
4.0B
Avg portfolio %
1.4%
Buys / Sells this quarter
+8 buys−15 sells
Q2-2026
| Investor | Weight | Q/Q change | Value |
|---|---|---|---|
VV Vulcan Value Partnersas of Q1-2026 | Core 6.55% | ↘Reduced 15.75% | 912.7K shares · $270.59 $247.0M |
PC Patient Capital Managementas of Q1-2026 | Trial 4.41% | ↗Added 18.69% | 437.1K shares · $270.59 $118.3M |
RC Ruane Cunniff & Goldfarbas of Q1-2026 | Trial 3.27% | ↘Reduced 2.36% | 728.4K shares · $270.59 $197.1M |
M& Mairs & Poweras of Q1-2026 | Trial 2.05% | ↘Reduced 10.77% | 741.1K shares · $270.59 $200.5M |
DS Davis Selected Advisersas of Q1-2026 | Trial 1.55% | ↘Reduced 2.04% | 1.2M shares · $270.59 $337.6M |
D& Dodge & Coxas of Q1-2026 | Trial 1.41% | ↗Added 3.20% | 9.5M shares · $270.59 $2.6B |
HC Hillman Capital Management, Inc.as of Q1-2026 | Trial 1.39% | ↘Reduced 3.59% | 7.4K shares · $270.59 $2.0M |
OC Olstein Capital Management – Robert Olsteinas of Q1-2026 | Trial 1.36% | ↗Added 53.33% | 23.0K shares · $270.61 $6.2M |
HI H&H International Investmentas of Q1-2026 | Trial 0.81% | ↗Buy | 601.4K shares · $270.59 $162.7M |
YA Yacktman Asset Managementas of Q1-2026 | Trial 0.61% | ↗Added 0.54% | 168.5K shares · $270.59 $45.6M |
TG Tiger Global Management – Chase Colemanas of Q1-2026 | Trial 0.42% | ↘Reduced 16.60% | 350.4K shares · $270.59 $94.8M |
AM Appaloosa Management – David Tepperas of Q1-2026 | Trial 0.41% | ↘Reduced 55.00% | 90.0K shares · $270.59 $24.4M |
CC Causeway Capital Managementas of Q1-2026 | Trial 0.24% | ↗Added 11.24% | 71.9K shares · $270.59 $19.4M |
TB Tweedy Browne Coas of Q1-2026 | Trial 0.08% | ↗Added 49.13% | 3.7K shares · $270.59 $992,254 |
MG Markel Group – Tom Gayneras of Q1-2026 | Trial 0.04% | ↘Reduced 29.43% | 18.7K shares · $270.59 $5.1M |
FE First Eagle Investment Managementas of Q1-2026 | Trial 0.02% | ↗Added 4.44% | 40.8K shares · $270.59 $11.0M |
JI Jensen Investment Managementas of Q1-2026 | Trial 0.01% | ↘Reduced 62.17% | 1.5K shares · $270.59 $403,450 |
| 17 funds | $4.0B |