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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
GENERAL ELECTRIC CO GECommon135,847,49834,736,655927,838,000125,018,00006/30/2020
AMERICAN INTERNATIONAL GROUP INC AIGCOM27,407,2101,654,105854,557,000230,044,00006/30/2020
MICROSOFT CORP MSFTCommon3,778,169-1,441,183768,895,000-54,249,00006/30/2020
WELLS FARGO & COMPANY/MN WFCCommon29,039,6332,991,908743,415,000-4,155,00006/30/2020
CITIGROUP INC CCOM11,752,8991,884,211600,573,000184,904,00006/30/2020
ORACLE CORP ORCLCommon9,620,698-2,825,753531,736,000-69,801,00006/30/2020
GOLDMAN SACHS GROUP INC GSCommon2,581,298-321,695510,116,00061,342,00006/30/2020
General Motors Co GMCommon20,038,797467,590506,982,000100,292,00006/30/2020
CUMMINS INC CMICommon2,763,765-368,676478,850,00054,968,00006/30/2020
Anthem, Inc. ANTMCOM1,666,7845,890438,331,00061,242,00006/30/2020
MAGNA INTERNATIONAL INC MGACL A9,450,96712,033420,852,000119,561,00006/30/2020
CORNING INC /NY GLWCommon15,672,623-487,204405,921,00073,998,00006/30/2020
HESS CORP HESCommon7,811,628-109,849404,720,000140,935,00006/30/2020
CITIZENS FINANCIAL GROUP INC/RI CFGCOM15,925,034680,486401,948,000115,198,00006/30/2020
BANK OF AMERICA CORP /DE/ BACCommon16,810,7041,461,511399,254,00073,391,00006/30/2020
Medtronic plc MDTCOM4,206,71334,865385,756,0009,539,00006/30/2020
PPL Corp PPLCommon14,894,05475,600384,862,00019,143,00006/30/2020
FEDEX CORP FDXCommon2,719,302869,379381,301,000156,979,00006/30/2020
Hewlett Packard Enterprise Co HPECOM37,364,698982,117363,559,00010,284,00006/30/2020
VODAFONE GROUP PUBLIC LTD CO VODCommon22,043,146613,867351,368,00056,287,00006/30/2020
COMCAST CORP CMCSACommon8,159,932242,657318,074,00045,878,00006/30/2020
CNH Industrial N.V. CNHISHS44,927,4141,462,040315,840,00071,999,00006/30/2020
TRAVELERS COMPANIES, INC. TRVCommon2,692,18188,850307,043,00048,402,00006/30/2020
NATIONAL OILWELL VARCO INC NOVCommon24,837,1521,073,110304,255,00070,654,00006/30/2020
TE Connectivity Ltd. TELCOM3,678,699782,770299,998,000117,612,00006/30/2020
GLAXOSMITHKLINE PLC GSKCommon7,222,900-160,388294,622,00014,869,00006/30/2020
UNILEVER PLC ULSPON ADR NEW5,291,891144,700290,419,00030,126,00006/30/2020
UNITEDHEALTH GROUP INC UNHCommon961,312-148,178283,539,0006,854,00006/30/2020
ERICSSON LM TELEPHONE CO ERICADR B29,034,100260,654270,017,00037,240,00006/30/2020
Royal Dutch Shell plc RDS.ASPONS ADR A8,054,973218,400263,317,000-10,101,00006/30/2020
INTERNATIONAL PAPER CO /NEW/ IPCommon7,405,586296,500260,751,00039,445,00006/30/2020
ZIMMER BIOMET HOLDINGS, INC. ZBHCommon2,107,538109,890251,556,00049,634,00006/30/2020
APACHE CORP APACommon18,486,0444,047,700249,562,000189,210,00006/30/2020
NEWS CORP NWSACL A20,559,584309,010243,837,00062,088,00006/30/2020
Discovery Communications, Inc. DISCKCommon12,571,920258,767242,135,00026,162,00006/30/2020
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