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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
COGNIZANT TECHNOLOGY SOLUTIONS CORP CTSHCommon17,647,1213,392,1371,152,004,059,0001,151,185,253,00006/30/2023
LEAR CORP LEACOM NEW6,582,839-281,310944,966,538,000944,144,968,00006/30/2023
EDISON INTERNATIONAL EIXCommon13,119,628-298,674911,158,165,000910,398,957,00006/30/2023
SS&C TECHNOLOGIES INC SSNCCOM14,031,5143,342,890850,309,748,000849,799,366,00006/30/2023
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP WABCommon7,560,248-1,309,425829,132,398,000828,410,850,00006/30/2023
DOW CHEMICAL CO /DE/ DOWCOM14,883,9547,372,832792,719,390,000792,389,426,00006/30/2023
CAPITAL ONE FINANCIAL CORP COFCommon7,041,1911,685,909770,095,060,000769,601,464,00006/30/2023
WELLS FARGO & COMPANY/MN WFCCommon17,933,758598,155765,412,791,000764,715,553,00006/30/2023
CITIGROUP INC CCOM16,140,478856,966743,107,607,000742,470,743,00006/30/2023
GENERAL ELECTRIC CO GEStock6,697,314-7,064,301735,699,943,000734,847,961,00006/30/2023
Equitable Holdings, Inc.  Common24,452,0761,583,565664,118,384,000663,515,799,00006/30/2023
PVH CORP. /DE/ PVHCOM6,964,608-410,178591,782,742,000591,452,352,00006/30/2023
NOV Inc. NOVCommon Stock36,790,7231,469,245590,123,197,000589,551,695,00006/30/2023
AMDOCS LTD DOXCommon4,623,123-997,658456,995,709,000456,549,138,00006/30/2023
NEWELL BRANDS INC. NWLCommon52,422,87513,468,240456,079,013,000455,537,933,00006/30/2023
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM1,205,8241,205,824442,983,563,000442,983,563,00006/30/2023
AVNET INC AVTCommon8,688,026-652,759438,310,912,000437,973,523,00006/30/2023
AMERICAN INTERNATIONAL GROUP, INC. AIGCOM7,567,761-3,234,231435,448,968,000434,936,089,00006/30/2023
BANK OF AMERICA CORP /DE/ BACCommon15,094,2606,028,657433,054,319,000432,780,538,00006/30/2023
FRESENIUS MEDICAL CARE CORP FMSCommon16,672,5813,549,404398,974,863,000398,790,614,00006/30/2023
MAGNA INTERNATIONAL INC MGACL A6,201,5806,098,444350,017,175,000350,010,372,00006/30/2023
Gildan Activewear Inc. GILCOM10,827,937-1,330,997349,092,689,000348,748,956,00006/30/2023
TE Connectivity Ltd. TELCOM2,333,0972,333,097327,006,876,000327,006,876,00006/30/2023
Booking Holdings Inc. BKNGCOMMON STOCK115,86910,659312,884,537,000312,711,655,00006/30/2023
BRISTOL MYERS SQUIBB CO BMYCommon4,327,569335,438276,748,038,000276,464,237,00006/30/2023
Voya Financial, Inc. VOYACOM3,816,407-677,145273,674,546,000273,402,686,00006/30/2023
MCKESSON CORP MCKCommon617,851-1,103,208264,013,911,000263,428,975,00006/30/2023
METLIFE INC METCommon4,634,543-114,576261,990,716,000261,702,065,00006/30/2023
JPMORGAN CHASE & CO JPMCommon1,798,712-113,766261,604,673,000261,404,819,00006/30/2023
AXIS CAPITAL HOLDINGS LTD AXSCommon4,703,828-1,218,833253,207,061,000252,915,962,00006/30/2023
HALLIBURTON CO HALCommon7,407,122-8,214,057244,360,955,000243,976,362,00006/30/2023
Medtronic plc MDTCOM2,693,1832,693,183237,269,422,000237,269,422,00006/30/2023
Shell plc SHELADR3,878,1561,001,690234,163,059,000234,019,926,00006/30/2023
Trip.com Group Ltd CTRPCommon6,573,309-3,603,458230,065,815,000229,787,888,00006/30/2023
ORACLE CORP ORCLCommon1,879,967-192,014223,885,270,000223,758,734,00006/30/2023
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