Hedge Fund - Arjuna Capital

Unitedhealth Group Inc (UNH) 

Holding History Records
No. Filing Period Value % of Portfolio Number of Shares Avg. Quarterly Share Price
1 2025 - Q3 (2025-09-30) $0 0% 0 $302.44
2 2025 - Q2 (2025-06-30) $2,465,811 0.65% 7,904 $382.19
3 2025 - Q1 (2025-03-31) $4,334,555 1.2% 8,276 $511.20
4 2024 - Q4 (2024-12-31) $4,673,135 1.24% 9,238 $568.18
5 2024 - Q3 (2024-09-30) $5,480,791 1.41% 9,374 $565.61
6 2024 - Q2 (2024-06-30) $4,866,489 1.3% 9,556 $490.13
7 2024 - Q1 (2024-03-31) $8,085,872 2.29% 16,345 $508.38
8 2023 - Q4 (2023-12-31) $6,970,990 2.18% 13,241 $533.34
9 2023 - Q3 (2023-09-30) $6,298,342 2.25% 12,492 $492.14
10 2023 - Q2 (2023-06-30) $5,952,727 2.1% 12,385 $488.98
11 2023 - Q1 (2023-03-31) $5,778,831 2.26% 12,228 $482.57
12 2022 - Q4 (2022-12-31) $8,629,210 3.97% 16,276 $529.71
13 2022 - Q3 (2022-09-30) $8,193,000 4.02% 16,223 $525.83
14 2022 - Q2 (2022-06-30) $8,525,000 4.12% 16,598 $502.19
15 2022 - Q1 (2022-03-31) $8,206,000 3.42% 16,091 $482.30
16 2021 - Q4 (2021-12-31) $8,245,000 3.01% 16,419 $452.67
17 2021 - Q3 (2021-09-30) $6,500,000 2.64% 16,634 $414.19
18 2021 - Q2 (2021-06-30) $6,327,000 2.73% 15,801 $398.74
19 2021 - Q1 (2021-03-31) $5,802,000 2.85% 15,594 $346.50
20 2020 - Q4 (2020-12-31) $5,285,000 2.92% 15,071 $335.20
21 2020 - Q3 (2020-09-30) $4,555,000 2.82% 14,611 $307.17
22 2020 - Q2 (2020-06-30) $4,227,000 2.91% 14,332 $286.54
23 2020 - Q1 (2020-03-31) $2,380,000 1.98% 9,545 $275.18
24 2019 - Q4 (2019-12-31) $2,844,000 2.05% 9,673 $261.62
25 2019 - Q3 (2019-09-30) $2,086,000 1.77% 9,601 $241.29
26 2019 - Q2 (2019-06-30) $2,896,000 2.08% 11,867 $240.52
27 2019 - Q1 (2019-03-31) $3,883,000 3% 15,706 $255.02
28 2018 - Q4 (2018-12-31) $4,127,000 3.75% 16,568 $264.16
29 2018 - Q3 (2018-09-30) $4,443,000 3.34% 16,700 $260.10
30 2018 - Q2 (2018-06-30) $3,646,000 2.97% 14,859 $240.12
31 2018 - Q1 (2018-03-31) $3,164,000 2.66% 14,785 $228.40
32 2017 - Q4 (2017-12-31) $3,155,000 2.95% 14,312 $211.93

The displayed share prices are average quarterly stock market prices.