Pediatrix Medical Group, Inc. - Common Stock (MD) Institutional Ownership

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

Type / Class
Equity / Common Stock
Symbol
MD on NYSE
Shares outstanding
85,702,801
Price per share
$22.07
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
82,643,342
Total reported value
$1,767,928,037
% of total 13F portfolios
0%
Share change
+2,645,057
Value change
+$61,389,293
Number of holders
294
Price from insider filings
$22.07
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Pediatrix Medical Group, Inc. - Common Stock (MD) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 15% $179,555,939 12,512,609 BlackRock, Inc. 30 Jun 2025
Rubric Capital Management LP 3.7% $38,914,718 3,148,440 Rubric Capital Management LP 31 Dec 2024
ALLIANCEBERNSTEIN L.P. 2.2% -72% $27,805,682 -$71,010,122 1,928,272 -72% AllianceBernstein L.P. 31 May 2025

As of 31 Dec 2025, 294 institutional investors reported holding 82,643,342 shares of Pediatrix Medical Group, Inc. - Common Stock (MD). This represents 96% of the company’s total 85,702,801 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of Pediatrix Medical Group, Inc. - Common Stock (MD) together control 71% 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
BlackRock, Inc. 16% 13,562,270 -2.1% 0% $290,096,967
VANGUARD GROUP INC 13% 10,724,265 -1.5% 0% $229,392,029
VICTORY CAPITAL MANAGEMENT INC 4.5% 3,818,280 -7.5% 0.05% $81,673,009
AMERICAN CENTURY COMPANIES INC 4.3% 3,698,135 +38% 0.04% $79,103,137
DIMENSIONAL FUND ADVISORS LP 4.2% 3,569,219 +5% 0.02% $76,348,663
STATE STREET CORP 3.9% 3,312,146 -6.2% 0% $70,846,803
FMR LLC 2.8% 2,428,783 +10% 0% $51,951,662
GEODE CAPITAL MANAGEMENT, LLC 2.5% 2,181,712 +0.67% 0% $46,674,094
D. E. Shaw & Co., Inc. 2.2% 1,852,219 -8.4% 0.03% $39,618,965
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 1.8% 1,552,585 +7.3% 0.01% $33,209,793
RENAISSANCE TECHNOLOGIES LLC 1.6% 1,357,700 +4% 0.05% $29,041,203
MORGAN STANLEY 1.5% 1,304,070 +1.9% 0% $27,894,101
FULLER & THALER ASSET MANAGEMENT, INC. 1.4% 1,229,505 0.09% $26,299,104
Nuveen, LLC 1.4% 1,200,210 -23% 0.01% $25,672,492
Invesco Ltd. 1.3% 1,090,655 +24% 0% $23,329,110
SILVERCREST ASSET MANAGEMENT GROUP LLC 1.2% 1,032,351 0.15% $22,082,026
NORTHERN TRUST CORP 1% 872,348 -6.5% 0% $18,659,525
ALLIANCEBERNSTEIN L.P. 0.95% 815,755 -2.9% 0.01% $17,448,999
Boston Partners 0.93% 797,702 -44% 0.02% $17,197,152
GOLDMAN SACHS GROUP INC 0.92% 787,269 +2.7% 0% $16,839,684
BRIDGEWAY CAPITAL MANAGEMENT, LLC 0.86% 740,280 +14% 0.33% $15,834,589
Qube Research & Technologies Ltd 0.85% 727,348 -36% 0.02% $15,557,974
JPMORGAN CHASE & CO 0.83% 710,717 -14% 0% $15,202,237
AMERIPRISE FINANCIAL INC 0.78% 670,749 -0.15% 0% $14,347,324
Dana Investment Advisors, Inc. 0.76% 648,721 -19% 0.4% $13,876,142

Institutional Holders of Pediatrix Medical Group, Inc. - Common Stock (MD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 82,643,342 $1,767,928,037 +$61,389,293 $21.39 294
2025 Q3 80,600,811 $1,349,886,217 -$839,563 $16.75 266
2025 Q2 80,728,834 $1,157,863,224 +$486,064 $14.35 264
2025 Q1 80,224,836 $1,161,325,326 -$29,361,456 $14.49 239
2024 Q4 82,290,662 $1,079,966,639 -$30,602,384 $13.12 227
2024 Q3 85,733,777 $993,673,643 -$12,231,978 $11.59 215
2024 Q2 87,369,732 $659,166,605 -$12,106,641 $7.55 223
2024 Q1 84,993,692 $852,207,915 +$34,610,446 $10.03 210
2023 Q4 82,188,568 $764,523,667 -$5,887,025 $9.30 221
2023 Q3 82,042,700 $1,042,835,627 -$2,900,348 $12.71 199
2023 Q2 81,528,991 $1,158,561,442 -$24,266,335 $14.21 209
2023 Q1 83,759,910 $1,248,743,727 -$7,502,166 $14.91 208
2022 Q4 84,388,114 $1,254,130,654 +$1,159,416 $14.86 202
2022 Q3 84,258,861 $1,391,433,449 -$43,448,133 $16.51 197
2022 Q2 86,490,179 $1,817,550,140 +$47,117,137 $21.01 187
2022 Q1 84,453,694 $1,983,111,191 +$15,656,033 $23.48 207
2021 Q4 83,789,475 $2,279,624,918 -$11,445,433 $27.21 196
2021 Q3 84,091,430 $2,390,560,820 -$125,656,043 $28.43 212
2021 Q2 88,508,524 $2,668,528,669 -$63,505,439 $30.15 212
2021 Q1 90,911,569 $2,315,371,131 -$23,389,852 $25.47 203
2020 Q4 92,058,476 $2,258,810,687 +$106,791,044 $24.54 192
2020 Q3 83,479,052 $1,358,832,149 -$39,891,998 $16.28 197
2020 Q2 85,777,576 $1,466,013,702 +$61,398,857 $17.10 201
2020 Q1 83,231,353 $968,853,295 -$26,947,411 $11.64 209
2019 Q4 78,540,960 $2,182,143,718 -$2,791,826 $27.79 251
2019 Q3 78,840,527 $1,782,780,485 -$6,934,386 $22.62 219
2019 Q2 79,054,519 $1,993,187,824 -$510,543 $25.23 238
2019 Q1 78,918,632 $2,144,069,706 -$118,881,793 $27.17 278
2018 Q4 82,328,556 $2,716,303,519 -$257,732,912 $33.00 293
2018 Q3 88,694,289 $4,137,248,940 -$32,221,833 $46.66 314
2018 Q2 90,230,985 $3,905,410,774 -$117,729,941 $43.28 316
2018 Q1 92,031,961 $5,118,722,535 -$86,567,667 $55.63 339
2017 Q4 93,596,765 $5,000,849,194 +$96,663,718 $53.44 323
2017 Q3 92,818,145 $4,002,496,859 -$196,613,862 $43.12 331
2017 Q2 94,859,395 $5,726,331,075 -$369,776,488 $60.37 327
2017 Q1 100,262,480 $6,954,874,567 +$634,431,911 $69.38 356
2016 Q4 98,751,503 $6,583,253,036 +$97,708,796 $66.66 381
2016 Q3 94,794,649 $6,277,453,187 +$163,638,549 $66.25 380
2016 Q2 92,327,762 $6,676,724,253 +$98,740,366 $72.43 387
2016 Q1 88,819,753 $5,744,317,903 -$31,317,321 $64.62 374
2015 Q4 95,530,464 $6,847,721,640 +$277,836,526 $71.66 396
2015 Q3 90,953,053 $6,985,029,453 -$724,797,608 $76.79 374
2015 Q2 97,202,644 $7,203,494,333 +$133,113,975 $74.11 356
2015 Q1 95,034,079 $6,887,622,948 -$164,723,218 $72.51 351
2014 Q4 97,461,526 $6,442,574,000 -$154,384,394 $66.11 332
2014 Q3 99,323,995 $5,445,164,402 +$36,506,691 $54.82 325
2014 Q2 98,740,602 $5,741,781,613 -$94,369,358 $58.15 331
2014 Q1 100,477,966 $6,226,479,350 -$136,235,726 $61.98 314