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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Mylan N.V. MYLCommon20,956,666-701,211574,213,000-218,465,00012/31/2018
OMNICOM GROUP INC. OMCCommon6,882,701-447,087504,089,0005,517,00012/31/2018
COGNIZANT TECHNOLOGY SOLUTIONS CORP CTSHCommon7,607,129849,544482,901,000-38,447,00012/31/2018
GENERAL ELECTRIC CO GECommon63,363,49830,017,912479,662,000103,190,00012/31/2018
EDISON INTERNATIONAL EIXCommon8,427,608-522,182478,435,000-127,287,00012/31/2018
AMERICAN INTERNATIONAL GROUP INC AIGCOM12,069,8923,181,354475,674,0002,448,00012/31/2018
ORACLE CORP ORCLCommon10,270,380-1,093,446463,708,000-122,211,00012/31/2018
Hewlett Packard Enterprise Co HPECOM34,375,584-18,574454,101,000-106,868,00012/31/2018
CAPITAL ONE FINANCIAL CORP COFCommon5,780,667325,725436,961,000-80,877,00012/31/2018
CITIGROUP INC CCOM8,184,838514,132426,103,000-124,193,00012/31/2018
Voya Financial, Inc. VOYACOM9,936,956-138,171398,869,000-101,563,00012/31/2018
BANK OF AMERICA CORP /DE/ BACCommon15,933,897-231,653392,611,000-83,626,00012/31/2018
MORGAN STANLEY MSCommon9,262,5831,163,498367,261,000-9,913,00012/31/2018
WELLS FARGO & COMPANY/MN WFCCommon7,795,943-234,090359,237,000-62,822,00012/31/2018
AXIS CAPITAL HOLDINGS LTD AXSCommon6,816,149-35,396351,986,000-43,417,00012/31/2018
METLIFE INC METCommon8,440,273-29,865346,558,000-49,167,00012/31/2018
NEWELL BRANDS INC NWLCommon18,304,3391,577,306340,278,000719,00012/31/2018
LEAR CORP LEACOM NEW2,766,2502,766,250339,861,000339,861,00012/31/2018
MCKESSON CORP MCKCommon3,076,415-83,780339,852,000-79,348,00012/31/2018
INTERPUBLIC GROUP OF COMPANIES, INC. IPGCommon16,099,022-597,052332,123,000-49,716,00012/31/2018
FORD MOTOR CO FCommon42,974,5032,169,719328,755,000-48,689,00012/31/2018
NATIONAL OILWELL VARCO INC NOVCommon12,651,5723,475,751325,145,000-70,149,00012/31/2018
EXXON MOBIL CORP XOMCommon4,635,047-22,806316,064,000-79,947,00012/31/2018
Royal Dutch Shell plc RDS.ASPONS ADR A5,293,593-508,994308,458,000-86,930,00012/31/2018
JPMORGAN CHASE & CO JPMCommon3,108,876-275,326303,488,000-78,385,00012/31/2018
AVNET INC AVTCommon7,872,809-243,498284,208,000-79,159,00012/31/2018
Merck & Co., Inc. MRKCOM3,680,967-1,136,793281,263,000-60,509,00012/31/2018
FRANKLIN RESOURCES INC BENCommon9,396,639434,347278,704,0006,161,00012/31/2018
NEWS CORP NWSACL A22,738,762196,850258,085,000-39,243,00012/31/2018
DOVER Corp DOVCommon3,445,201-1,828,150244,437,000-222,413,00012/31/2018
AXA AMERICA HOLDINGS, INC. EQHCOM14,292,398188,477237,683,000-64,846,00012/31/2018
AMGEN INC AMGNCommon1,207,468-364,082235,058,000-90,709,00012/31/2018
GOLDMAN SACHS GROUP INC GSCommon1,220,091-7,393203,816,000-71,435,00012/31/2018
KKR & Co. L.P. KKRcommon9,301,272-80,931182,584,000-73,269,00012/31/2018
HALLIBURTON CO HALCommon6,359,9172,152,537169,047,000-1,478,00012/31/2018
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