Dodge & Cox
Medtronic PLC · NASDAQ
7,875,898 sh · $616.1M
BlackRock
13F filer
$8.92B
114,020,787 sh
First Eagle Investment Management
13F filer
$1.08B
13,783,983 sh
Dodge & Cox
13F filer
$616.1M
7,875,898 sh
Two Sigma Investments
13F filer
$253.5M
3,240,847 sh
Renaissance Technologies
13F filer
$247.8M
3,167,741 sh
Bridgewater Associates
13F filer
$37.7M
482,525 sh
Polen Capital Management
13F filer
$5.3M
60,661 sh
Dodge & Cox
Medtronic PLC · NASDAQ
7,875,898 sh · $616.1M
Two Sigma Investments
Medtronic PLC · NASDAQ
3,240,847 sh · $253.5M
First Eagle Investment Management
Medtronic PLC · NASDAQ
13,783,983 sh · $1.08B
Renaissance Technologies
Medtronic PLC · NASDAQ
3,167,741 sh · $247.8M
BlackRock
Medtronic PLC · NASDAQ
114,020,787 sh · $8.92B
Bridgewater Associates
Medtronic PLC · NASDAQ
482,525 sh · $37.7M
BlackRock
Medtronic PLC · NASDAQ
113,182,567 sh · $9.81B
Two Sigma Investments
Medtronic PLC · NASDAQ
641,868 sh · $55.6M
First Eagle Investment Management
Medtronic PLC · NASDAQ
10,044,695 sh · $870.4M
Bridgewater Associates
Medtronic PLC · NASDAQ
255,240 sh · $22.1M