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TWO SIGMA INVESTMENTS, LP

Position in HUM — Humana Inc

CIK 1179392 NEW YORK, NY

Position in HUM

as of Mar 31, 2026 · filed May 15, 2026
Position Value
$10,177,993
+$6,616,762 QoQ
Shares Held
58,700
+322.2% QoQ
Ownership
0.049%
of shares outstanding
% of Portfolio
0.01%
of 13F equity value
Holder Rank
not a current holder
Holding Since
Mar 2020
20 quarters on record
Voting authority Sole 98.63713798977854.ToString("F0")% Shared 0.ToString("F0")% None 1.362862010221465.ToString("F0")%

Common Shares in HUM Over Time

Shares Held

Position Value (USD)

Derivatives in HUM

reported options exposure · as of Dec 31, 2025
CallValue
$0
CallShares
0
PutValue
$256,130
PutShares
1,000

Notional value of option positions as reported on Form 13F. Calls and puts are disclosed separately and do not net against the common-share stake above.

Position in Healthcare Plans

Healthcare · as of Mar 31, 2026

TWO SIGMA INVESTMENTS, LP holds $1,078,105,452 across 9 Healthcare Plans names. HUM ranks #6 (0.9% of the industry book) .

# Ticker Company Shares Value (USD) Open
6 HUM
Humana Inc
This page
58,700 $10,177,993

All Filings in HUM

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31 filing rows on record
Report Date Value (USD) Shares
2026-03-31 $10,177,993 58,700
2025-12-31 $256,130 1,000
2025-12-31 $3,561,231 13,904
2025-09-30 $148,975,683 572,609
2025-06-30 $201,257,647 823,207
2025-03-31 $226,702,929 856,776
2024-12-31 $148,941,216 587,053
2024-09-30 $237,842,283 750,907
2024-06-30 $103,985,300 278,296
2024-03-31 $238,584,619 688,119
2023-12-31 $206,443,467 450,937
2023-09-30 $7,118,274 14,631
2022-12-31 $43,066,471 84,083
2021-12-31 $6,725,970 14,500
2021-12-31 $4,267,512 9,200
2021-09-30 $20,075,081 51,587
2021-09-30 $11,557,755 29,700
2021-09-30 $10,740,540 27,600
2021-06-30 $13,255,036 29,940
2021-06-30 $4,028,752 9,100
2021-06-30 $2,744,864 6,200
2021-03-31 $30,571,290 72,919
2020-12-31 $40,515,803 98,754
2020-12-31 $1,969,296 4,800
2020-12-31 $1,230,810 3,000
2020-09-30 $68,118,016 164,580
2020-06-30 $55,802,265 143,913
2020-06-30 $814,275 2,100
2020-03-31 $596,638 1,900
2020-03-31 $565,236 1,800
2020-03-31 $12,993,205 41,377