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ADAGE CAPITAL PARTNERS GP, L.L.C.

Position in UNH — Unitedhealth Group Inc

CIK 1165408 Boston, MA

Position in UNH

as of Jun 30, 2026 · filed Aug 14, 2026
Position Value
$461,418,710
+$202,597,752 QoQ
Shares Held
1,110,167
+16.1% QoQ
Ownership
0.124%
of shares outstanding
% of Portfolio
0.65%
of 13F equity value
Holder Rank
#89
of 3,349 holders
Holding Since
Mar 2020
26 quarters on record
Voting authority Sole 100% Shared 0% None 0%

Common Shares in UNH Over Time

Shares Held

Position Value (USD)

Derivatives in UNH

reported options exposure · as of Mar 31, 2026
CallValue
$0
CallShares
0
PutValue
$32,470,800
PutShares
120,000

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 Jun 30, 2026

ADAGE CAPITAL PARTNERS GP, L.L.C. holds $793,831,385 across 6 Healthcare Plans names. UNH ranks #1 (58.1% of the industry book) .

# Ticker Company Shares Value (USD) Open
1 UNH
Unitedhealth Group Inc
This page
1,110,167 $461,418,710

All Filings in UNH

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28 filing rows on record
Report Date Value (USD) Shares
2026-06-30 $461,418,710 1,110,167
2026-03-31 $258,820,958 956,506
2026-03-31 $32,470,800 120,000
2025-12-31 $285,331,238 864,352
2025-09-30 $249,047,970 721,251
2025-06-30 $240,220,643 770,012
2025-03-31 $478,734,211 914,051
2024-12-31 $461,153,104 911,622
2024-09-30 $531,750,088 909,472
2024-06-30 $488,415,988 959,070
2024-03-31 $3,017,670 6,100
2024-03-31 $411,091,742 830,992
2023-12-31 $438,293,645 832,514
2023-09-30 $466,812,378 925,866
2023-06-30 $404,531,136 841,651
2023-03-31 $441,969,003 935,206
2022-12-31 $503,833,235 950,306
2022-09-30 $481,306,150 953,006
2022-06-30 $501,511,413 976,406
2022-03-31 $501,558,554 983,506
2021-12-31 $503,950,716 1,003,606
2021-09-30 $395,743,816 1,012,806
2021-06-30 $410,052,962 1,024,006
2021-03-31 $389,633,936 1,047,206
2020-12-31 $370,495,524 1,056,506
2020-09-30 $333,533,416 1,069,806
2020-06-30 $322,352,624 1,092,906
2020-03-31 $270,977,804 1,086,606