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Point72 Asset Management, L.P.

Position in SYK — Stryker Corp

CIK 1603466 STAMFORD, CT

Position in SYK

as of Jun 30, 2026 · filed Aug 14, 2026
Position Value
$135,410,794
+$127,117,183 QoQ
Shares Held
430,094
+1604.0% QoQ
Ownership
0.112%
of shares outstanding
% of Portfolio
0.22%
of 13F equity value
Holder Rank
#93
of 2,215 holders
Holding Since
Mar 2020
17 quarters on record
Voting authority Sole 0% Shared 100% None 0%

Common Shares in SYK Over Time

Shares Held

Position Value (USD)

Derivatives in SYK

reported options exposure · as of Jun 30, 2026
CallValue
$976,004
CallShares
3,100
PutValue
$4,155,888
PutShares
13,200

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 Medical Devices

Healthcare · as of Jun 30, 2026

Point72 Asset Management, L.P. holds $823,632,025 across 47 Medical Devices names. SYK ranks #3 (16.4% of the industry book) .

# Ticker Company Shares Value (USD) Open
3 SYK
Stryker Corp
This page
430,094 $135,410,794

All Filings in SYK

Export CSV
33 filing rows on record
Report Date Value (USD) Shares
2026-06-30 $976,004 3,100
2026-06-30 $4,155,888 13,200
2026-06-30 $135,410,794 430,094
2026-03-31 $361,449 1,100
2026-03-31 $4,140,234 12,600
2026-03-31 $8,293,611 25,240
2025-12-31 $14,304,829 40,700
2025-12-31 $9,349,102 26,600
2025-09-30 $9,204,783 24,900
2025-09-30 $34,921,985 94,468
2025-09-30 $19,777,345 53,500
2025-06-30 $4,074,989 10,300
2025-06-30 $6,171,828 15,600
2025-03-31 $3,871,400 10,400
2025-03-31 $19,505,900 52,400
2024-12-31 $77,138,552 214,244
2024-12-31 $72,010 200
2024-12-31 $1,800,250 5,000
2024-09-30 $4,335,120 12,000
2024-09-30 $16,365,078 45,300
2024-06-30 $3,640,675 10,700
2024-06-30 $3,368,475 9,900
2024-03-31 $3,864,996 10,800
2024-03-31 $12,811,746 35,800
2023-09-30 $15,330,447 56,100
2023-06-30 $13,366,908 43,813
2023-03-31 $285,470 1,000
2023-03-31 $1,398,803 4,900
2022-09-30 $263,302 1,300
2022-06-30 $736,041 3,700
2022-06-30 $258,609 1,300
2022-03-31 $53,470 200
2020-03-31 $1,581,655 9,500