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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
GENERAL ELECTRIC CO GECommon60,448,711-2,914,787603,883,000124,221,00003/31/2019
Mylan N.V. MYLCommon21,027,67671,010595,924,00021,711,00003/31/2019
COGNIZANT TECHNOLOGY SOLUTIONS CORP CTSHCommon7,636,21929,090553,244,00070,343,00003/31/2019
AMERICAN INTERNATIONAL GROUP INC AIGCOM12,303,898234,006529,806,00054,132,00003/31/2019
Hewlett Packard Enterprise Co HPECOM33,707,809-667,775520,111,00066,010,00003/31/2019
CITIGROUP INC CCOM7,849,790-335,048488,414,00062,311,00003/31/2019
EDISON INTERNATIONAL EIXCommon7,515,474-912,134465,358,000-13,077,00003/31/2019
ORACLE CORP ORCLCommon8,609,269-1,661,111462,404,000-1,304,00003/31/2019
CAPITAL ONE FINANCIAL CORP COFCommon5,653,425-127,242461,828,00024,867,00003/31/2019
NATIONAL OILWELL VARCO INC NOVCommon16,608,6763,957,104442,455,000117,310,00003/31/2019
MCKESSON CORP MCKCommon3,683,196606,781431,155,00091,303,00003/31/2019
OMNICOM GROUP INC. OMCCommon5,614,271-1,268,430409,786,000-94,303,00003/31/2019
BANK OF AMERICA CORP /DE/ BACCommon14,842,164-1,091,733409,495,00016,884,00003/31/2019
Voya Financial, Inc. VOYACOM8,121,485-1,815,471405,749,0006,880,00003/31/2019
NEWELL BRANDS INC NWLCommon24,817,8396,513,500380,706,00040,428,00003/31/2019
MORGAN STANLEY MSCommon8,986,084-276,499379,213,00011,952,00003/31/2019
HALLIBURTON CO HALCommon12,427,7636,067,846364,133,000195,086,00003/31/2019
WELLS FARGO & COMPANY/MN WFCCommon7,522,689-273,254363,496,0004,259,00003/31/2019
LEAR CORP LEACOM NEW2,610,736-155,514354,303,00014,442,00003/31/2019
INTERPUBLIC GROUP OF COMPANIES, INC. IPGCommon16,473,776374,754346,114,00013,991,00003/31/2019
FORD MOTOR CO FCommon39,023,700-3,950,803342,628,00013,873,00003/31/2019
STANLEY BLACK & DECKER, INC. SWKcommon2,423,1471,187,163329,960,000181,963,00003/31/2019
AVNET INC AVTCommon7,522,682-350,127326,259,00042,051,00003/31/2019
AXA AMERICA HOLDINGS, INC. EQHCOM15,899,5821,607,184320,218,00082,535,00003/31/2019
METLIFE INC METCommon7,436,058-1,004,215316,553,000-30,005,00003/31/2019
AXIS CAPITAL HOLDINGS LTD AXSCommon5,523,338-1,292,811302,568,000-49,418,00003/31/2019
JPMORGAN CHASE & CO JPMCommon2,898,845-210,031293,450,000-10,038,00003/31/2019
FRANKLIN RESOURCES INC BENCommon8,641,808-754,831286,390,0007,686,00003/31/2019
EXXON MOBIL CORP XOMCommon2,952,786-1,682,261238,585,000-77,479,00003/31/2019
PVH CORP. /DE/ PVHCOM1,945,7551,945,755237,285,000237,285,00003/31/2019
Royal Dutch Shell plc RDS.ASPONS ADR A3,622,973-1,670,620226,762,000-81,696,00003/31/2019
GOLDMAN SACHS GROUP INC GSCommon1,130,041-90,050216,957,00013,141,00003/31/2019
KKR & Co. L.P. KKRcommon8,712,832-588,440204,664,00022,080,00003/31/2019
CENOVUS ENERGY INC. CVECommon20,900,424-191,411181,416,00033,140,00003/31/2019
AMGEN INC AMGNCommon950,019-257,449180,485,000-54,573,00003/31/2019
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