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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
GENERAL ELECTRIC CO GEStock10,180,64310,180,6431,048,912,0001,048,912,00009/30/2021
COGNIZANT TECHNOLOGY SOLUTIONS CORP CTSHCommon14,110,9152,044,7441,047,171,000211,468,00009/30/2021
AMERICAN INTERNATIONAL GROUP, INC. AIGCOM16,829,070-1,449,916923,748,00053,668,00009/30/2021
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP WABCommon10,187,842-193,984878,294,00023,870,00009/30/2021
WELLS FARGO & COMPANY/MN WFCCommon18,879,940-494,973876,218,000-1,272,00009/30/2021
HALLIBURTON CO HALCommon39,013,261546,241843,467,000-45,891,00009/30/2021
PVH CORP. /DE/ PVHCOM7,775,831252,310829,292,37655,949,37612/31/2021
EDISON INTERNATIONAL EIXCommon14,686,755-26,190814,674,000-36,028,00009/30/2021
LEAR CORP LEACOM NEW5,186,846362,076811,638,000-34,048,00009/30/2021
CITIGROUP INC CCOM10,456,683242,705733,850,00011,211,00009/30/2021
NRG ENERGY, INC. NRGCommon16,483,7582,263,065673,032,00099,938,00009/30/2021
Equitable Holdings, Inc.  Common22,131,1721,726,223655,968,00034,637,00009/30/2021
Hewlett Packard Enterprise Co HPECOM43,376,45633,744618,114,000-13,823,00009/30/2021
CAPITAL ONE FINANCIAL CORP COFCommon3,809,125-713,501616,964,000-82,641,00009/30/2021
Baker Hughes Co BHGECOM24,207,511471,100598,652,00055,800,00009/30/2021
MCKESSON CORP MCKCommon2,979,015-210,265593,956,000-15,962,00009/30/2021
NEWELL BRANDS INC. NWLCommon26,163,2911,201,349579,255,000-106,450,00009/30/2021
NOV Inc. NOVCommon Stock40,666,965-132,195551,037,37616,160,37612/31/2021
AVNET INC AVTCommon12,185,337-41,112502,401,44550,389,44512/31/2021
BANK OF AMERICA CORP /DE/ BACCommon9,681,180-471,738410,966,000-7,639,00009/30/2021
AMDOCS LTD DOXCommon5,296,21040,896400,976,000-5,575,00009/30/2021
Gildan Activewear Inc. GILCOM10,680,800-1,666,043389,956,000-65,889,00009/30/2021
DOW CHEMICAL CO /DE/ DOWCOM6,212,506897,601357,592,00021,265,00009/30/2021
TEXTRON INC TXTCommon5,095,312-2,660,960355,704,000-177,695,00009/30/2021
FORD MOTOR CO FCommon24,201,219-3,408,405342,689,000-67,590,00009/30/2021
EXXON MOBIL CORP XOMCommon5,726,218113,273336,816,000-17,249,00009/30/2021
METLIFE INC METCommon5,316,81741,337328,207,00012,470,00009/30/2021
AXIS CAPITAL HOLDINGS LTD AXSCommon7,102,578144,543327,003,000-14,010,00009/30/2021
Voya Financial, Inc. VOYACOM4,810,08983,606295,291,0004,612,00009/30/2021
MOHAWK INDUSTRIES INC MHKCommon1,590,075-17,094282,079,000-26,803,00009/30/2021
JPMORGAN CHASE & CO JPMCommon1,716,23932,425280,931,00019,031,00009/30/2021
ORACLE CORP ORCLCommon2,946,834-344,658256,758,000548,00009/30/2021
GOLDMAN SACHS GROUP INC GSCommon637,421-73,266240,964,000-28,763,00009/30/2021
FRESENIUS MEDICAL CARE CORP FMSCommon6,407,7746,407,774224,080,000224,080,00009/30/2021
Trip.com Group Ltd CTRPCommon7,046,589918,425216,683,000-622,00009/30/2021
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