MDT | Medtronic PLC

CUSIP: G5960L103

2 Funds Holding
844K Total Shares
$66M Total Value
$89.97
Price
$115.2B
Market Cap
24.1
P/E Ratio
14.0
Forward P/E
$3.73
EPS (TTM)
3.13%
Dividend Yield
$9.2B
Cash
$28.0B
Total Debt
1.28B
Shares Out
$73.31
$106.33
52-Week Range

Institutional Ownership of Medtronic PLC

Fund / Manager Click to search
Shares Value % of Portfolio Cost Basis Est. Return
838.6K $66M
2.02%
$97.17 -7.41%
5.7K $446459
0.32%
$86.62 +4.57%

Trading Activity for Medtronic PLC

Fund / Manager Click to search
Action Change Shares After Value Price
2026-Q2
BUY +1.6% 838.6K $66M $80.33
BUY +55.6% 5.7K $446459 $80.33
2026-Q1
BUY NEW 825.2K $72M $97.44
SELL -1.9% 3.7K $317832 $97.44
2025-Q4
SELL -0.2% 3.7K $359168 $96.54
2025-Q3
SELL -1.4% 3.7K $356960 $92.18
2025-Q2
BUY +8.3% 3.8K $331420 $84.60
2025-Q1
BUY NEW 3.5K $315588 $90.58
2024-Q4
SELL EXIT $87.59
2024-Q3
BUY +1.4% 3.2K $288726 $82.27
2024-Q2
SELL -9.5% 3.2K $248881 $81.69
2024-Q1
BUY NEW 3.5K $304415 $85.15
2023-Q4
SELL EXIT $76.15
2023-Q3
SELL -44.3% 3.4K $263055 $82.84
2023-Q2
SELL -3.3% 6.0K $531067 $87.13
2023-Q1
BUY +18.9% 6.2K $502585 $80.97
2022-Q4
SELL -27.5% 5.2K $407563 $81.30
2022-Q3
BUY +6.3% 7.2K $584000 $90.25
2022-Q2
BUY +6.6% 6.8K $611000 $103.11
2022-Q1
BUY +13.5% 6.4K $708000 $105.16
2021-Q4
SELL -3.6% 5.6K $582000 $117.99
2021-Q3
BUY +73.9% 5.8K $731000 $128.91
2021-Q2
BUY +0.7% 3.4K $417000 $125.25
2021-Q1
SELL -0.3% 3.3K $394000 $117.88
2020-Q4
BUY +7.4% 3.3K $392000 $111.00
2020-Q3
SELL -1.5% 3.1K $324000 $100.71
2020-Q2
BUY +3.2% 3.2K $290000 $96.88
SELL EXIT $96.88
2020-Q1
SELL -88.4% 3.1K $276000 $113.88
SELL -29.8% 3.1K $276000 $113.88
2019-Q4
SELL -14.7% 4.4K $494000 $109.01
2019-Q2
BUY +1.1% 5.1K $497000 $89.23
2018-Q2
BUY +1.0% 5.0K $432000 $85.19

Insider Trading for Medtronic PLC

No Insider Transactions
No Form 4 filings found for this stock in the last 2 years.