NASDAQ : PODD

Insulet Corp. — Institutional Ownership

$160.205 USD

-$3.52 (-2.15%)

Volume
245.02K
Average Volume
1.59M
Market Capitalization
$11.1B
P/E Ratio
37.17
Dividend Yield
0.00%
Price Target
$213.00
Year High
$354.88
Year Low
$138.79
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$2.49
Institutional Ownership Summary
Institutional Ownership %

1.36%

Investors Holding

103

change: -694 | last: 797
Increased Positions

56

change: -357 | last: 413
Reduced Positions

33

change: -239 | last: 272
New Positions

10

change: -76 | last: 86
Sold Positions

696

change: 559 | last: 137
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -26.448 | last: 0.2645
Total Invested

143.42M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-05-14 Capital Research Global Investors 1.67M 2.40%
2026-05-06 FMR LLC 3.96M 5.60%
2026-04-30 Vanguard Capital Management 5.28M 7.49%
2026-03-27 The Vanguard Group - 0.00%
2026-02-05 FMR LLC 6.31M 9.00%
2025-10-30 The Vanguard Group 8.8M 12.49%
2025-08-13 Capital Research Global Investors 4.74M 6.70%
2025-05-13 Capital Research Global Investors 6.08M 8.70%
2024-10-07 Abigail P. Johnson 8.07M 11.48%
2024-10-07 FMR LLC 8.07M 11.48%
2024-10-07 Abigail P. Johnson 8.07M 11.48%
2024-10-07 FMR LLC 8.07M 11.48%
2023-02-06 Wellington Investment Advisors Holdings LLP 5.7M 8.21%
2023-02-06 Wellington Management Company LLP 5.47M 7.87%
2023-02-06 Wellington Investment Advisors Holdings LLP 5.7M 8.21%
2023-02-06 Wellington Group Holdings LLP 5.7M 8.21%
2023-02-06 Wellington Management Group LLP 5.7M 8.21%
2023-02-06 Wellington Management Company LLP 5.47M 7.87%
2023-02-06 Wellington Management Group LLP 5.7M 8.21%
2023-02-06 Wellington Group Holdings LLP 5.7M 8.21%
2022-02-03 (1) BlackRock, Inc. 4.66M 6.80%
2021-02-16 95-1411037 13.0 10.70%
2020-02-14 Capital World Investors ** 4.01M 6.40%
2020-02-14 Capital World Investors ** 4.01M 6.40%
2020-02-10 (1) BlackRock, Inc. 3.56M 5.80%
2019-12-06 PRIMECAP Management Company 95-3868081 2.95M 4.78%
2019-02-14 SMALLCAP World Fund, Inc. 3.76M 6.30%
2018-07-10 (1) BlackRock, Inc. 2.74M 4.70%
2017-01-25 (1) BlackRock, Inc. 4.39M 7.60%
2016-07-11 FMR LLC 6.03M 10.54%
2016-01-08 Capital Research Global Investors ** 6.01M 10.60%
2016-01-08 Capital Research Global Investors ** 6.01M 10.60%
2015-04-10 Wellington Group Holdings LLP 7.02M 12.44%
2015-04-10 Wellington Management Group LLP 7.02M 12.44%
2015-04-10 Wellington Management Company LLP 6.87M 12.16%
2015-04-10 Wellington Investment Advisors Holdings LLP 7.02M 12.44%
2014-02-13 NAME OF REPORTING 1.59M 2.92%
2014-02-13 NAME OF REPORTING 2.89M 5.30%
2014-02-13 NAME OF REPORTING 1.3M 2.38%
2014-02-13 Capital Research Global Investors ** 3.24M 5.90%
2014-02-13 Capital Research Global Investors ** 3.24M 5.90%
2014-02-07 Identification #52-2069785 (formerly 13-2631108) 548.68K 11.00%
2013-02-13 The Vanguard Group 1.48M 5.20%
2013-02-11 Identification #52-2069785 (formerly 13-2631108) 2.65M 11.00%
2013-02-11 Identification #52-2069785 (formerly 13-2631108) 2.65M 11.00%
2012-03-12 Alger Associates, Incorporated       13-3017981 2.33M 4.89%
2012-03-12 Alger Associates, Incorporated       13-3017981 2.33M 4.89%
2012-02-14 04-2683227 3.36M 7.08%
2012-02-09 (1) BlackRock, Inc. 2.46M 5.19%
2012-01-10 Alger Associates, Incorporated       13-3017981 2.41M 5.08%
2012-01-10 Alger Associates, Incorporated       13-3017981 2.41M 5.08%
2011-02-14 Alger Associates, Incorporated       13-3017981 2.68M 6.21%
2010-02-16 Gagnon, Howe & Co. LLC 2.7M 7.30%
2010-01-28 13-3017981 3.44M 9.34%
2009-12-10 Gagnon, Howe & Co. LLC 2.26M 6.20%
2009-03-23 James E. Flynn 3.75M 9.98%
2009-03-23 Deerfield Private Design International, L.P. 1.93M 6.48%
2009-03-23 Deerfield Capital, L.P. 3.36M 9.98%
2009-03-23 Deerfield Private Design Fund, L.P. 1.2M 4.12%
2009-03-23 Deerfield Management Company, L.P. 390K 1.39%
2009-03-23 Deerfield International Limited 390K 1.39%
2009-03-23 Deerfield Partners, L.P. 234.98K 0.84%
2009-02-12 FRONTIER CAPITAL MANAGEMENT CO., LLC. 1.82M 6.56%
2009-02-12 Invesco PowerShares Capital Management LLC - US 1.52M 5.50%
2008-02-14 FMR LLC 1.65M 6.24%
2008-02-14 Edward C. Johnson 3d 1.65M 6.24%
2008-02-13 SAMUEL D. COLELLA 2.17M 8.10%
2008-02-13 BRIAN G. ATWOOD 2.17M 8.10%
2008-02-13 ROSS A. JAFFE 2.17M 8.10%
2008-02-13 VERSANT VENTURES I, LLC 2.17M 8.10%
2008-02-13 VERSANT AFFILIATES FUND I-B, LP 89372.0 0.30%
2008-02-13 VERSANT VENTURE CAPITAL I, L.P. 1.96M 7.40%
2008-02-13 VERSANT SIDE FUND I, L.P. 38301.0 0.10%
2008-02-13 VERSANT AFFILIATES FUND I-A, LP 42557.0 0.20%
2008-02-13 BARBARA N. LUBASH 2.17M 8.10%
2008-02-13 REBECCA B. ROBERTSON 2.17M 8.10%
2008-02-13 WILLIAM J. LINK 2.17M 8.10%
2008-02-13 DONALD B. MILDER 2.17M 8.10%
PODD Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $284.24 70.35M $20B $716.1M $1.05B $20.33B
2024-12-31 $261.07 70.08M $18.29B $953.4M $1.42B $18.76B
2023-12-31 $216.98 69.75M $15.13B $650.7M $1.45B $15.93B
2022-12-31 $294.39 69.38M $20.42B $623.9M $1.43B $21.23B
2021-12-31 $266.07 67.7M $18.01B $791.6M $1.29B $18.51B
2020-12-31 $255.63 64.74M $16.55B $907.2M $1.08B $16.72B
2019-12-31 $171.20 60.59M $10.37B $203.7M $905.9M $11.08B
2018-12-31 $79.32 58.86M $4.67B $113.91M $591.98M $5.15B
2017-12-31 $69.00 58M $4B $272.58M $566.17M $4.3B
2016-12-31 $37.68 56.69M $2.14B $137.17M $333.04M $2.33B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $209.84 69.99M $14.69B $480.4M $948.1M $15.15B
2025-12-31 $284.24 70.36M $20B $716.1M $1.05B $20.33B
2025-09-30 $308.73 70.65M $21.81B $757.4M $1.03B $22.08B
2025-06-30 $314.18 70.33M $22.1B $992.9M $1.42B $22.52B
2025-03-31 $262.61 70.27M $18.45B $1.28B $1.7B $18.87B
2024-12-31 $261.07 70.16M $18.32B $953.4M $1.42B $18.79B
2024-09-30 $232.75 70.12M $16.32B $902.6M $1.4B $16.82B
2024-06-30 $196.16 70.06M $13.74B $715.5M $1.4B $14.43B
2024-03-31 $168.10 69.96M $11.76B $696.9M $1.4B $12.46B
2023-12-31 $216.98 69.86M $15.16B $650.7M $1.45B $15.96B
2023-09-30 $159.49 69.82M $11.14B $580.7M $1.42B $11.98B
2023-06-30 $288.34 69.74M $20.11B $556.8M $1.4B $20.95B