UNITEDHEALTH GROUP INC - Common Stock (UNH)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
UNH on NYSE
Shares outstanding
910,743,651
Price per share
$330.11
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
732,148,702
Total reported value
$252,828,639,961
% of total 13F portfolios
0.19%
Share change
-39,056,884
Value change
-$12,710,737,207
Avg buy value change
+0.05%
Avg sell value change
-0.06%
Number of holders
3,112
Price from insider filings
$356.05
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of UNITEDHEALTH GROUP INC - Common Stock (UNH) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10% $55,033,120,431 91,802,960 The Vanguard Group 30 Apr 2025
As of 30 Sep 2025, UNITEDHEALTH GROUP INC - Common Stock (UNH) has 3,112 institutional shareholders filing 13F forms. They hold 732,148,702 shares. of 910,743,651 outstanding shares (80%) .

Top 25 institutional shareholders own 51% of the company.

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
VANGUARD GROUP INC 9.9% 90,605,050 -0.35% 0.47% $31,285,923,765
BlackRock, Inc. 8.2% 74,291,898 -1.4% 0.45% $25,652,992,574
STATE STREET CORP 4.8% 44,112,336 -1.8% 0.53% $15,231,989,621
GEODE CAPITAL MANAGEMENT, LLC 2.4% 21,786,025 +2.2% 0.48% $7,500,549,047
Capital World Investors 2.4% 21,766,922 +19% 1% $7,516,106,943
JPMORGAN CHASE & CO 2% 18,554,646 -7.2% 0.41% $6,406,954,752
PRICE T ROWE ASSOCIATES INC /MD/ 2% 18,148,977 -17% 0.67% $6,266,842,000
Capital International Investors 1.9% 17,499,949 +11% 0.98% $6,042,709,526
WELLINGTON MANAGEMENT GROUP LLP 1.8% 16,515,927 -32% 1% $5,702,949,594
MORGAN STANLEY 1.7% 15,236,682 +0.89% 0.32% $5,261,227,791
FMR LLC 1.5% 13,690,987 -19% 0.25% $4,727,497,787
Capital Research Global Investors 1.4% 13,042,049 +127% 0.84% $4,503,419,017
BANK OF AMERICA CORP /DE/ 1.1% 10,457,548 +1% 0.27% $3,610,991,235
Dodge & Cox 1% 9,505,636 +8.6% 1.8% $3,282,296,111
NORTHERN TRUST CORP 1% 9,109,692 +1.6% 0.4% $3,145,576,649
ROYAL BANK OF CANADA 0.9% 8,189,332 +3.3% 0.5% $2,827,776,000
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.89% 8,061,899 +7.5% 0.44% $2,783,766,443
Bank of New York Mellon Corp 0.85% 7,749,822 -1.6% 0.48% $2,676,013,699
UBS AM, A DISTINCT BUSINESS UNIT OF UBS ASSET MANAGEMENT AMERICAS LLC 0.76% 6,877,752 -20% 0.52% $2,374,887,767
ALLIANCEBERNSTEIN L.P. 0.71% 6,426,295 -7.5% 0.7% $2,218,999,664
Legal & General Group Plc 0.69% 6,261,750 +4.1% 0.49% $2,162,182,282
Sanders Capital, LLC 0.66% 6,030,588 +1.4% 2.6% $2,082,362,036
FRANKLIN RESOURCES INC 0.64% 5,836,477 +20% 0.5% $2,015,335,509
Amundi 0.64% 5,811,991 -6.1% 0.67% $2,085,168,011
EAGLE CAPITAL MANAGEMENT LLC 0.59% 5,414,512 +0.8% 5.9% $1,869,631,142

Institutional Holders of UNITEDHEALTH GROUP INC - Common Stock (UNH) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 4,469,307 $1,480,925,648 -$276,869,691 33,011.01% 138
2025 Q3 732,148,702 $252,828,639,961 -$12,710,737,207 34,530% 3,112
2025 Q2 771,542,028 $240,595,782,361 -$10,571,955,417 31,197% 3,131
2025 Q1 796,557,216 $417,017,818,115 -$5,460,492,497 52,375% 3,552
2024 Q4 806,031,828 $407,983,235,939 +$3,112,433,704 50,586% 3,605
2024 Q3 795,895,141 $465,441,249,149 -$6,831,332,889 58,468% 3,424
2024 Q2 808,446,949 $411,509,898,503 +$10,006,212,030 50,926% 3,333
2024 Q1 793,437,609 $392,467,576,052 -$11,342,773,976 49,470% 3,334
2023 Q4 6,905,632 $3,635,272,314 +$484,324,370 52,647% 60
2023 Q3 790,053,267 $398,495,193,613 -$29,373,832 50,419% 3,073
2023 Q2 793,464,092 $381,295,034,306 -$9,008,610,185 48,064% 3,071
2023 Q1 804,541,960 $380,338,800,591 -$4,330,736,473 47,259% 3,050
2022 Q4 815,192,976 $431,999,536,450 +$1,363,274,606 53,018% 3,088
2022 Q3 766,545,002 $387,373,217,029 -$512,071,192 50,504.02% 2,941
2022 Q2 818,589,881 $420,256,428,529 +$3,555,894,906 51,363% 2,907
2022 Q1 816,565,565 $416,553,735,657 -$2,678,292,452 50,997.01% 2,905
2021 Q4 819,568,634 $411,424,259,869 +$243,080,435 50,213.99% 2,851
2021 Q3 818,973,280 $320,162,427,183 -$595,999,102 39,074% 2,532
2021 Q2 821,487,738 $328,851,996,497 -$337,623,565 40,043.98% 2,555
2021 Q1 822,450,919 $305,997,086,250 -$956,104,260 37,206.99% 2,475
2020 Q4 825,414,611 $289,368,508,811 -$376,237,814 35,067.98% 2,428
2020 Q3 827,795,098 $257,902,493,544 -$1,400,843,335 31,176.98% 2,204
2020 Q2 830,714,708 $244,976,020,327 +$1,091,163,266 29,495% 2,175
2020 Q1 827,117,782 $206,333,039,234 -$505,733,599 24,938% 2,091
2019 Q4 829,752,592 $243,897,737,821 +$4,121,878,625 29,397.98% 2,120
2019 Q3 813,047,399 $176,711,209,932 -$868,875,206 21,732% 1,901
2019 Q2 815,166,714 $198,938,739,954 +$4,535,130,444 24,401% 1,942
2019 Q1 822,164,901 $203,190,953,282 -$1,736,232,972 24,725.94% 1,923
2018 Q4 828,722,398 $206,369,873,779 -$155,164,005 24,911.98% 1,900
2018 Q3 829,077,924 $220,510,527,681 -$340,913,695 26,604% 1,768
2018 Q2 830,317,456 $203,617,767,126 +$3,327,230,175 24,534% 1,738
2018 Q1 825,052,722 $176,588,943,287 -$2,957,535,641 21,400% 1,678
2017 Q4 839,624,891 $185,061,233,201 -$935,306,693 22,046% 1,660
2017 Q3 842,463,726 $164,995,701,217 +$446,808,087 19,585% 1,503
2017 Q2 835,156,557 $154,887,693,479 +$1,415,281,861 18,542% 1,474
2017 Q1 837,229,134 $137,373,985,565 +$12,324,630,643 16,401% 1,436
2016 Q4 829,491,022 $132,787,045,395 -$191,344,386 16,004% 1,402
2016 Q3 823,517,463 $115,252,283,518 +$365,710,240 14,000% 1,261
2016 Q2 820,182,361 $115,820,643,079 -$1,249,567,497 14,120% 1,251
2016 Q1 828,895,415 $106,844,304,079 -$462,580,294 12,890% 1,203
2015 Q4 837,296,770 $98,517,033,253 -$430,951,867 11,764% 1,211
2015 Q3 840,435,676 $97,497,757,016 +$1,405,404,149 11,601% 1,186
2015 Q2 819,139,664 $99,935,890,223 -$304,776,891 12,200% 1,189
2015 Q1 833,074,167 $98,492,112,244 -$1,327,019,794 11,829% 1,148
2014 Q4 847,137,264 $85,677,986,888 -$976,409,213 10,109% 1,092
2014 Q3 853,069,810 $73,583,618,448 -$1,178,836,393 8,625% 960
2014 Q2 865,956,250 $70,799,753,364 -$564,495,319 8,175% 954
2014 Q1 873,412,529 $71,600,486,969 +$578,901,295 8,199% 941