WhaleCreep

Which hedge funds own SRCLEUR? STERICYCLE INC, Q2 2026 13F holders

0 tracked hedge funds disclosed a position in SRCLEUR (STERICYCLE INC) in their Q2 2026 13F filings, worth $0 in total.

0
Holders
0
New this quarter
0
Exited this quarter
$0
Combined value
–
Share of managers holding

Holders, Q2 2026

0 rows

Ownership over time

By quarter
QuarterHoldersManagers filingShare holdingCombined value
Q4 20240740.0%$0
Q3 20245736.8%$431m
Q2 20246738.2%$316m
Q1 20245736.8%$43.5m
Q4 20234735.5%$34.9m
Q3 20232732.7%$20.0m
Q2 20234735.5%$30.4m
Q1 20233734.1%$1.8m
Q4 20222732.7%$3.3m
Q3 20223744.1%$3.4m
Q2 20224745.4%$7.6m
Q1 20224745.4%$9.7m
Q4 20213744.1%$7.6m
Q3 20213714.2%$8.5m
Q2 20213714.2%$24.4m
Q1 20213704.3%$26.8m
Q4 20202712.8%$17.1m
Q2 20200680.0%$0
Q1 20202682.9%$1.1m
Q4 20192673.0%$5.9m
Q3 20191601.7%$3.3m
Q2 20191601.7%$1.5m
Q1 20192603.3%$11.5m
Q4 20182603.3%$6.0m
Q3 20182593.4%$1.1m
Q2 20182593.4%$12.1m
Q1 20183595.1%$21.9m
Q4 20173595.1%$22.0m
Q3 20174567.1%$46.7m
Q2 20174567.1%$82.4m
Q1 20173565.4%$63.9m
Q4 20162563.6%$96.5m
Q3 20163525.8%$13.9m
Q2 20161521.9%$425k
Q1 20160520.0%$0
Q4 20151521.9%$1.1m
Q3 20154527.7%$24.6m
Q2 20153525.8%$18.8m
Q1 20151521.9%$216k
Q4 20141521.9%$16.0m
Q3 20141492.0%$50.4m
Q2 20141492.0%$70.9m
Q1 20142474.3%$41.3m
Q4 20132474.3%$57.7m
Q3 20131452.2%$42.1m
Q2 20131432.3%$20.6m
Q4 20120400.0%$0
Q3 20122375.4%$99.1m
Q2 20121372.7%$204m
Q1 20121372.7%$190m
Q4 20111372.7%$296k
Q4 20090270.0%$0
Q3 20091263.8%$4.8m
Q2 20091263.8%$960k
Q1 20092267.7%$1.7m
Q4 20060210.0%$0
Q3 20061195.3%$2.1m
Q3 20050160.0%$0
Q2 20051175.9%$7.5m
Q1 20051185.6%$21.8m
Q4 20041185.6%$11.9m

Who discovered SRCLEUR first?

Earliest meaningful positions among the 11 tracked managers seen opening SRCLEUR since Q4 2004.

4 rows
Viking Global Investors LPQ4 20040.7%2.1%6Exited by Q4 2012–
Pentwater Capital Management LPQ2 20241.8%3.2%2Exited by Q4 2024+110%
Soros Fund ManagementQ3 20060.09%1.4%4Exited by Q4 2024–
Farallon Capital Management, L.L.C.Q2 20240.9%1.1%2Exited by Q4 2024+110%

Stock since is the split-adjusted change in the quarter-end price, excluding dividends, from the first reported quarter: the price the 13F filings themselves imply (value ÷ shares), blank across any gap that cannot be accounted for. It describes the stock, not the return any manager earned.

2 already held it when coverage began

Renaissance Technologies LLC (Q2 2013), Holocene Advisors, LP (Q4 2017)