GE HealthCare Technologies Inc. (GEHC)

Sector:Health Care
Super Investor Stats:
Ownership count:7
Ownership rank:82
% of all portfolios:0.091%
Hold Price * :$71.18
History Portfolio Manager Activity Share change % change to portfolio
Q1  2026
Harry Burn - Sound Shore Add 17.18% 174,853 0.42
First Eagle Investment Management Add 7.84% 4 0.00
Dodge & Cox Funds Add 0.32% 100,835 0.00
Q4  2025
Bill Nygren - Oakmark Funds Add 43.85% 4,833,318 0.50
Leon Cooperman Add 11.67% 70,000 0.19
Dodge & Cox Funds Add 13.42% 3,693,918 0.16
Harry Burn - Sound Shore Add 3.79% 37,132 0.10
Nelson Peltz - Trian Fund Management Add 0.37% 15 0.00
First Eagle Investment Management Buy 51 0.00
Q3  2025
Leon Cooperman Add 50.00% 200,000 0.47
Harry Burn - Sound Shore Add 14.62% 125,062 0.31
Dodge & Cox Funds Add 16.76% 3,949,361 0.16
Bill Nygren - Oakmark Funds Add 13.95% 1,348,895 0.16
Q2  2025
Leon Cooperman Buy 400,000 1.04
Bill Nygren - Oakmark Funds Add 71.68% 4,038,491 0.48
Dodge & Cox Funds Add 42.10% 6,982,441 0.29
Harry Burn - Sound Shore Add 9.54% 74,497 0.19
Q1  2025
Bill Nygren - Oakmark Funds Add 32.65% 1,386,638 0.19
Harry Burn - Sound Shore Add 0.76% 5,856 0.02
Q4  2024
Bill Nygren - Oakmark Funds Add 130.05% 2,401,049 0.31
Harry Burn - Sound Shore Add 2.54% 19,208 0.05
Dodge & Cox Funds Add 0.07% 11,867 0.00
Q3  2024
Bill Nygren - Oakmark Funds Add 222.10% 1,273,055 0.19
Q2  2024
Harry Burn - Sound Shore Add 31.38% 230,906 0.60
Bill Nygren - Oakmark Funds Buy 573,200 0.08
Mason Hawkins - Southeastern Asset Management Add 18.76% 2,468 0.01
Q1  2024
John Armitage - Egerton Capital Add 149.02% 5,210,342 4.58
Q4  2023
John Armitage - Egerton Capital Buy 3,496,512 2.93
Nelson Peltz - Trian Fund Management Add 0.00% 3 0.00
Q3  2023
Harry Burn - Sound Shore Add 21.78% 216,249 0.56
Q2  2023
Lee Ainslie - Maverick Capital Buy 14,351 0.02
Q1  2023
Harry Burn - Sound Shore Buy 1,005,085 3.10
Nelson Peltz - Trian Fund Management Buy 1,342,830 2.94
Christopher Bloomstran - Semper Augustus Buy 5,936 0.12

* "Hold Price" is the last known price at which an investor still held a security. It is the closing price of the security as of the portfolio date (quarter end). This value is only provided when a security is owned by at least two investors. In the case of reporting dates being different, a weighted average price is calculated.