Dodge & CoxMDT history

Issuer:
Medtronic PLC
Quarters tracked:
45 (Q1 2015Q1 2026)
Current shares:
7,694,608
Current value:
$666.74M
Peak shares:
18,738,182 (Q2 2018)
Overall change:
-12%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 20267,694,608$666.74M$86.65-43,435-1%
Q4 20257,738,043$743.32M$96.06+12,9720%
Q3 20257,725,071$735.74M$95.24-15,3120%
Q2 20257,740,383$674.73M$87.17+31,5500%
Q1 20257,708,833$692.72M$89.86+47,708+1%
Q4 20247,661,125$611.97M$79.88+897,635+13%
Q3 20246,763,490$608.92M$90.03-28,0650%
Q2 20246,791,555$534.56M$78.71+2,2400%
Q1 20246,789,315$591.69M$87.15+9,4500%
Q4 20236,779,865$558.52M$82.38-84,540-1%
Q3 20236,864,405$537.89M$78.36-166,685-2%
Q2 20237,031,090$619.44M$88.10-152,800-2%
Q1 20237,183,890$579.16M$80.62+3,088,831+75%
Q4 20224,095,059$318.27M$77.72-119,562-3%
Q3 20224,214,621$340.33M$80.75-380,378-8%
Q2 20224,594,999$412.40M$89.75+17,5930%
Q1 20224,577,406$507.86M$110.95+73,256+2%
Q4 20214,504,150$465.95M$103.45-118,269-3%
Q3 20214,622,419$579.42M$125.35-440,243-9%
Q2 20215,062,662$628.43M$124.13-185,619-4%
Q1 20215,248,281$619.98M$118.13-203,310-4%
Q4 20205,451,591$638.60M$117.14-283,846-5%
Q3 20205,735,437$596.03M$103.92-91,749-2%
Q2 20205,827,186$534.35M$91.70+233,815+4%
Q1 20205,593,371$504.41M$90.18+43,432+1%
Q4 20195,549,939$629.64M$113.45-1,077,913-16%
Q3 20196,627,852$719.92M$108.62-1,6720%
Q2 20196,629,524$645.65M$97.39+849,376+15%
Q1 20195,780,148$526.46M$91.08-267,800-4%
Q4 20186,047,948$550.12M$90.96-11,614,334-66%
Q3 201817,662,282$1.74B$98.37-1,075,900-6%
Q2 201818,738,182$1.60B$85.61+16,5500%
Q1 201818,721,632$1.50B$80.22+436,874+2%
Q4 201718,284,758$1.48B$80.75+6,137,663+51%
Q3 201712,147,095$944.68M$77.77+563,224+5%
Q2 201711,583,871$1.03B$88.75-628,405-5%
Q1 201712,212,276$983.82M$80.56+1,523,651+14%
Q4 201610,688,625$761.35M$71.23+5,103,767+91%
Q3 20165,584,858$482.53M$86.40-867,406-13%
Q2 20166,452,264$559.86M$86.77-385,771-6%
Q1 20166,838,035$512.85M$75.00-29,9000%
Q4 20156,867,935$528.28M$76.92-103,445-1%
Q3 20156,971,380$466.66M$66.94-1,040,403-13%
Q2 20158,011,783$593.67M$74.10-684,794-8%
Q1 20158,696,577$678.25M$77.99NEW