UNIVERSAL HEALTH SERVICES INC - Class B Stock (UHS) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Class B Stock
Symbol
UHS on NYSE
Shares outstanding
57,493,486
Price per share
$218.02
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
52,166,719
Total reported value
$10,661,915,474
% of total 13F portfolios
0.01%
Share change
-1,216,293
Value change
-$224,476,247
Number of holders
621
Price from insider filings
$218.02
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of UNIVERSAL HEALTH SERVICES INC - Class B Stock (UHS) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 7.2% -14% $711,502,588 -$148,225,015 4,139,531 -17% BlackRock, Inc. 31 Mar 2025

As of 30 Sep 2025, 621 institutional investors reported holding 52,166,719 shares of UNIVERSAL HEALTH SERVICES INC - Class B Stock (UHS). This represents 91% of the company’s total 57,493,486 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of UNIVERSAL HEALTH SERVICES INC - Class B Stock (UHS) together control 65% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
VANGUARD GROUP INC 12% 6,658,878 -3.4% 0.02% $1,361,341,019
First Eagle Investment Management, LLC 8% 4,621,171 +0.02% 1.7% $944,752,275
BlackRock, Inc. 7.7% 4,398,960 -12% 0.02% $899,323,381
STATE STREET CORP 4.5% 2,602,941 -3.1% 0.02% $532,145,258
FMR LLC 3.6% 2,096,589 +0.11% 0.02% $428,626,765
GEODE CAPITAL MANAGEMENT, LLC 3.1% 1,762,914 -5.5% 0.02% $359,207,454
PZENA INVESTMENT MANAGEMENT LLC 2.8% 1,607,029 +310% 1.1% $328,541,009
DIMENSIONAL FUND ADVISORS LP 2.6% 1,494,464 +14% 0.07% $305,510,379
GOLDMAN SACHS GROUP INC 2.6% 1,479,971 -12% 0.04% $302,565,297
Invesco Ltd. 2.4% 1,370,115 -6.2% 0.04% $280,106,313
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 2% 1,125,764 +3.7% 0.15% $230,151,192
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 1.6% 920,445 -0.67% 0.06% $188,175,776
AMERICAN CENTURY COMPANIES INC 1.4% 781,145 +22% 0.08% $159,697,528
LSV ASSET MANAGEMENT 1.3% 752,786 -2.7% 0.34% $153,900,000
AQR CAPITAL MANAGEMENT LLC 1.2% 685,429 -15% 0.09% $139,382,095
CITADEL ADVISORS LLC 1.2% 678,420 -26% 0.11% $138,696,185
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 1% 574,269 +0.73% 0.02% $117,403,554
MORGAN STANLEY 0.95% 546,215 -10% 0.01% $111,668,493
NORTHERN TRUST CORP 0.93% 535,665 -4.4% 0.01% $109,511,352
MILLENNIUM MANAGEMENT LLC 0.87% 499,578 +68% 0.08% $102,133,726
Bank of New York Mellon Corp 0.85% 487,765 +1.7% 0.02% $99,718,554
GLENVIEW CAPITAL MANAGEMENT, LLC 0.84% 482,169 +24% 2.4% $98,574,630
VIRGINIA RETIREMENT SYSTEMS ET Al 0.7% 402,622 -17% 0.53% $82,312,042
UBS Group AG 0.7% 401,911 +49% 0.02% $82,166,685
Holocene Advisors, LP 0.62% 358,885 +262% 0.17% $73,370,449

Institutional Holders of UNIVERSAL HEALTH SERVICES INC - Class B Stock (UHS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,460,698 $318,522,010 +$34,897,595 $218.02 91
2025 Q3 52,166,719 $10,661,915,474 -$224,476,247 $204.44 621
2025 Q2 53,426,935 $9,680,743,235 -$161,476,751 $181.15 618
2025 Q1 54,366,140 $10,217,228,804 -$18,561,626 $187.90 611
2024 Q4 53,901,229 $9,674,925,162 -$39,397,823 $179.42 598
2024 Q3 53,247,857 $12,182,772,283 -$282,676,719 $229.01 616
2024 Q2 54,337,606 $10,047,528,255 -$276,133,595 $184.93 530
2024 Q1 55,697,030 $10,157,661,575 -$359,094,533 $182.46 492
2023 Q4 57,697,233 $8,794,384,650 -$28,438,873 $152.44 456
2023 Q3 57,896,687 $7,279,349,069 -$254,621,903 $125.73 436
2023 Q2 59,545,319 $9,384,350,886 +$15,502,303 $157.77 454
2023 Q1 59,580,596 $7,571,141,941 -$349,874,160 $127.10 416
2022 Q4 62,409,723 $8,792,659,894 -$12,307,751 $140.89 428
2022 Q3 62,727,834 $5,534,996,613 -$236,054,939 $88.18 406
2022 Q2 65,074,178 $6,557,813,874 -$24,000,087 $100.71 415
2022 Q1 65,091,377 $9,432,980,000 -$297,306,879 $144.95 440
2021 Q4 67,155,202 $8,708,448,125 -$421,013,551 $129.66 437
2021 Q3 69,159,266 $9,578,894,295 -$429,840,060 $138.37 455
2021 Q2 72,249,912 $10,578,981,595 -$210,098,556 $146.43 465
2021 Q1 73,396,333 $9,796,015,093 +$144,363,157 $133.39 453
2020 Q4 72,282,167 $9,933,562,156 +$281,088 $137.50 449
2020 Q3 73,275,211 $7,824,514,330 -$114,964,463 $107.02 416
2020 Q2 73,440,823 $6,797,144,458 +$59,843,309 $92.89 410
2020 Q1 72,627,347 $7,193,570,952 -$327,308,183 $99.08 408
2019 Q4 75,700,372 $10,829,069,006 -$167,288,869 $143.46 468
2019 Q3 76,703,084 $11,381,650,591 -$223,513,611 $148.75 454
2019 Q2 78,334,724 $10,181,209,275 -$129,964,575 $130.39 432
2019 Q1 79,369,606 $10,598,376,870 -$455,791,775 $133.77 439
2018 Q4 82,861,671 $9,637,483,052 -$134,390,813 $116.56 421
2018 Q3 83,829,098 $10,695,671,111 +$169,812,106 $127.84 420
2018 Q2 82,725,137 $9,209,609,681 +$162,568,043 $111.44 419
2018 Q1 81,227,155 $9,615,008,122 -$212,251,826 $118.41 419
2017 Q4 83,060,607 $9,413,251,749 +$46,368,908 $113.35 394
2017 Q3 82,666,644 $9,165,349,401 -$74,064,888 $110.94 386
2017 Q2 83,090,313 $10,142,852,200 +$214,799,481 $122.08 403
2017 Q1 83,260,260 $10,362,139,610 +$867,857,395 $124.45 432
2016 Q4 82,546,646 $8,778,282,429 -$230,477,638 $106.38 431
2016 Q3 84,184,823 $10,366,909,753 +$106,714,200 $123.22 416
2016 Q2 83,885,533 $11,247,992,106 +$237,061,118 $134.10 462
2016 Q1 82,657,278 $10,307,198,496 -$146,181,872 $124.72 443
2015 Q4 84,168,330 $10,057,011,886 -$157,466,950 $119.49 450
2015 Q3 85,083,508 $10,618,024,614 -$99,167,500 $124.81 458
2015 Q2 85,761,832 $12,184,530,981 +$274,927,260 $142.10 458
2015 Q1 84,360,470 $9,926,530,168 +$21,440,951 $117.71 442
2014 Q4 84,157,196 $9,361,677,436 -$74,981,580 $111.26 423
2014 Q3 84,999,301 $8,883,073,844 -$56,239,363 $104.50 418
2014 Q2 85,803,160 $8,217,057,645 -$59,918,906 $95.76 364
2014 Q1 86,648,913 $7,109,826,071 +$109,714,134 $82.07 335