WhaleCreep

Which hedge funds own UTXZ? UNITED TECHNOLOGIES CORP, Q2 2026 13F holders

0 tracked hedge funds disclosed a position in UTXZ (UNITED TECHNOLOGIES CORP) 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
Q2 20200680.0%$0
Q1 202086811.8%$794m
Q4 201996713.4%$1.5bn
Q3 201996015.0%$1.7bn
Q2 2019116018.3%$2.2bn
Q1 201996015.0%$2.7bn
Q4 2018106016.7%$1.8bn
Q3 2018105916.9%$3.2bn
Q2 201895915.3%$3.4bn
Q1 201895915.3%$2.4bn
Q4 201775911.9%$1.4bn
Q3 201785614.3%$1.0bn
Q2 20175568.9%$143m
Q1 20174567.1%$195m
Q4 20165568.9%$204m
Q3 20164527.7%$82.0m
Q2 201665211.5%$152m
Q1 201665211.5%$133m
Q4 201565211.5%$113m
Q3 20152523.8%$21.7m
Q2 20154527.7%$39.5m
Q1 20155529.6%$19.1m
Q4 20143525.8%$13.0m
Q3 20144498.2%$149m
Q2 201454910.2%$102m
Q1 20143476.4%$98.2m
Q4 20134478.5%$168m
Q3 20134458.9%$148m
Q2 20133437.0%$136m
Q1 20133397.7%$87.9m
Q4 201254012.5%$294m
Q3 201253713.5%$419m
Q2 201243710.8%$254m
Q1 201243710.8%$369m
Q4 20111372.7%$41.4m
Q3 20113339.1%$231m
Q2 20112336.1%$91.2m
Q1 20113329.4%$97.4m
Q4 20101313.2%$87.1m
Q3 201032611.5%$146m
Q2 201032512.0%$115m
Q1 201052817.9%$178m
Q4 20092277.4%$113m
Q3 200932611.5%$83.5m
Q2 20092267.7%$67.3m
Q1 20092267.7%$72.2m
Q4 20081283.6%$64.6m
Q3 20081263.8%$142m
Q2 20081244.2%$147m
Q1 20081244.2%$132m
Q4 20072258.0%$150m
Q3 20072219.5%$222m
Q2 20072219.5%$183m
Q1 200732114.3%$157m
Q4 20050180.0%$0
Q3 20051166.3%$128m
Q4 20040180.0%$0
Q3 20041147.1%$73.6m
Q2 20041137.7%$7.3m
Q1 20030150.0%$0
Q4 20021137.7%$58.0m
Q3 20021911.1%$25.1m
Q2 20021119.1%$7.0m
Q1 2002080.0%$0
Q4 20011714.3%$969k
Q2 2001060.0%$0
Q1 20011616.7%$1.8m
Q4 2000080.0%$0
Q3 20001812.5%$56.0m

Who discovered UTXZ first?

Earliest meaningful positions among the 19 tracked managers seen opening UTXZ since Q3 2000.

8 rows
Soros Fund ManagementQ1 20010.1%3.3%14Exited by Q2 2015–
Glenview Capital Management, LLCQ2 20021.2%4.3%3Exited by Q4 2004–
Eminence Capital, LPQ1 20074.1%4.8%31Exited by Q4 2014+8.3%
Third Point LLC high convictionQ1 20125.1%9.7%11Exited by Q2 2020−62%
Farallon Capital Management, L.L.C.Q3 20101.9%2.5%4Exited by Q1 2013+15%
Maverick Capital LtdQ3 20124.1%4.1%2Exited by Q1 2013+4.8%
Moore Capital Management, LPQ1 20092.9%3.0%22Exited by Q1 2020+16%
Montanova Capital, LLC high convictionQ3 20174.0%8.6%5Exited by Q2 2019+11%

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.

3 already held it when coverage began

Renaissance Technologies LLC (Q2 2013), Point72 Asset Management, L.P. (Q2 2014), Holocene Advisors, LP (Q4 2017)