ICON plc (ICLR)

Sector:Health Care
Super Investor Stats:
Ownership count:5
Ownership rank:140
% of all portfolios:0.144%
Hold Price * :$159.49
History Portfolio Manager Activity Share change % change to portfolio
Q1  2026
Greenhaven Associates Add 11412.08% 1,985,017 3.62
Q4  2025
Bill Nygren - Oakmark Funds Add 7.15% 167,607 0.04
First Pacific Advisors Add 0.66% 6,479 0.02
Q3  2025
Bill Nygren - Oakmark Funds Add 43.01% 704,500 0.20
First Pacific Advisors Add 1.06% 10,205 0.03
Q2  2025
First Pacific Advisors Add 76.27% 417,173 0.88
Ruane Cunniff LP Add 36.18% 453,833 1.13
William Von Mueffling - Cantillon Capital Management Buy 465,197 0.39
Bill Nygren - Oakmark Funds Buy 1,638,059 0.39
Greenhaven Associates Buy 17,633 0.04
Q1  2025
Lee Ainslie - Maverick Capital Add 119.66% 2,343 0.01
Glenn Greenberg - Brave Warrior Advisors Add 66.67% 2,000 0.01
First Pacific Advisors Add 21.07% 95,190 0.27
Seth Klarman - Baupost Group Buy 405,000 2.04
Q4  2024
First Pacific Advisors Add 27.74% 98,101 0.30
Ruane Cunniff LP Buy 1,265,540 4.51
Glenn Greenberg - Brave Warrior Advisors Buy 3,000 0.02
Sarah Ketterer - Causeway Capital Management Buy 1,250 0.01
Lee Ainslie - Maverick Capital Buy 1,958 0.01
Q2  2024
First Pacific Advisors Add 1.73% 6,051 0.03
Q2  2023
Glenn Greenberg - Brave Warrior Advisors Buy 950 0.01
Q3  2022
Polen Capital Management Add 18.38% 258,249 0.13
Q3  2021
Polen Capital Management Add 112.11% 877,316 0.42
Q2  2021
Polen Capital Management Add 1.95% 14,984 0.01
Q1  2021
Polen Capital Management Add 23.06% 143,853 0.06
Lee Ainslie - Maverick Capital Buy 29 0.00
Q4  2020
Polen Capital Management Add 14.55% 79,206 0.04
Q3  2020
Polen Capital Management Add 41.65% 160,086 0.08
Q2  2020
Polen Capital Management Add 21.18% 67,186 0.03
Q1  2020
Polen Capital Management Add 21.95% 57,091 0.03
Q4  2019
Polen Capital Management Add 16.25% 36,370 0.03
Q3  2019
Polen Capital Management Add 50.12% 74,704 0.05
Q2  2019
Polen Capital Management Add 29.59% 34,037 0.03

* "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.