WhaleCreep

Which hedge funds own WCGEUR? WELLCARE HEALTH PLANS INC, Q2 2026 13F holders

0 tracked hedge funds disclosed a position in WCGEUR (WELLCARE HEALTH PLANS 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
Q1 20200680.0%$0
Q4 20196679.0%$870m
Q3 20195608.3%$830m
Q2 201976011.7%$958m
Q1 201996015.0%$1.1bn
Q4 20185608.3%$328m
Q3 20182593.4%$335m
Q2 20185598.5%$399m
Q1 20185598.5%$343m
Q4 20174596.8%$297m
Q3 20173565.4%$244m
Q2 20172563.6%$163m
Q1 20173565.4%$102m
Q4 20163565.4%$37.1m
Q3 20165529.6%$11.2m
Q2 20163525.8%$25.2m
Q1 20163525.8%$24.0m
Q4 20154527.7%$24.8m
Q3 20152523.8%$22.2m
Q2 20152523.8%$24.9m
Q1 20152523.8%$30.8m
Q4 20141521.9%$1.1m
Q3 20141492.0%$459k
Q2 20142494.1%$5.9m
Q1 20141472.1%$2.2m
Q4 20132474.3%$3.5m
Q3 20131452.2%$588k
Q2 20132434.7%$6.8m
Q1 20130390.0%$0
Q4 20121402.5%$370k
Q3 20123378.1%$39.5m
Q2 20122375.4%$58.1m
Q1 201243710.8%$31.0m
Q4 20112375.4%$2.1m
Q3 20111333.0%$201k
Q1 20110320.0%$0
Q4 20101313.2%$4.7m
Q3 20102267.7%$16.9m
Q2 20101254.0%$237k
Q1 20102287.1%$1.3m
Q4 20091273.7%$754k
Q3 20091263.8%$431k
Q2 20091263.8%$268k
Q1 20090260.0%$0
Q4 20081283.6%$411k
Q3 20080260.0%$0
Q2 20081244.2%$1.0m
Q1 20081244.2%$2.4m
Q4 20071254.0%$3.2m
Q2 20050170.0%$0
Q1 20051185.6%$510m
Q4 20041185.6%$544m
Q3 20041147.1%$423m

Who discovered WCGEUR first?

Earliest meaningful positions among the 13 tracked managers seen opening WCGEUR since Q3 2004.

4 rows
Soros Fund Management high convictionQ3 200427.4%28.7%11Exited by Q1 2020–
Pentwater Capital Management LP high convictionQ1 20197.7%7.7%4Exited by Q1 2020+22%
Farallon Capital Management, L.L.C. high convictionQ1 20191.2%6.1%4Exited by Q1 2020+22%
Viking Global Investors LPQ3 20100.2%2.0%8Exited by Q3 2019–

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.

1 already held it when coverage began

Renaissance Technologies LLC (Q2 2013)