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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
EMBRAER BRAZILIAN AVIATION CO ERJSPONSORED ADS25,635,5185,099,195189,703,000-210,550,00003/31/2020
CEMEX SAB DE CV CXCommon69,558,633196,009147,464,000-114,727,00003/31/2020
Merck & Co., Inc. MRKCOM1,098,489-52,08984,518,000-20,127,00003/31/2020
CARDINAL HEALTH INC CAHCommon1,681,762-78,53580,624,000-8,412,00003/31/2020
MCKESSON CORP MCKCommon566,671-129,24776,648,000-19,611,00003/31/2020
PFIZER INC PFECommon2,288,463-29,71174,696,000-16,130,00003/31/2020
CITIGROUP INC CCOM1,763,939-51,29874,297,000-70,723,00003/31/2020
CAMECO CORP CCJCommon9,281,6218,186,25570,912,00061,163,00003/31/2020
NXP Semiconductors N.V. NXPICOM830,629-283,32568,884,000-72,878,00003/31/2020
Alibaba Group Holding Ltd BABASPONSORED ADS340,185-5,00066,159,000-7,055,00003/31/2020
BANK OF AMERICA CORP /DE/ BACCommon2,783,658-37,57559,097,000-40,267,00003/31/2020
CIGNA CORP CICom326,400-8,39757,831,000-10,632,00003/31/2020
Sanofi SNYCommon1,249,104-395,95154,610,000-27,972,00003/31/2020
CVS HEALTH Corp CVSCommon878,509-9,55152,122,000-13,851,00003/31/2020
WELLS FARGO & COMPANY/MN WFCCommon1,768,06537,45150,744,000-42,363,00003/31/2020
Bank of New York Mellon Corp BKCommon1,495,398-40,88950,365,000-26,956,00003/31/2020
GLAXOSMITHKLINE PLC GSKCommon1,248,743-259,64047,315,000-23,564,00003/31/2020
STATE STREET CORP STTCommon861,520-34,27345,894,000-24,963,00003/31/2020
Copa Holdings, S.A. CPACl A1,012,642467,58245,863,000-13,046,00003/31/2020
LABORATORY CORP OF AMERICA HOLDINGS LHCommon360,351-3,34145,546,000-15,979,00003/31/2020
EMERSON ELECTRIC CO EMRCommon914,476112,02443,575,000-17,620,00003/31/2020
HCA Holdings, Inc. HCACOM467,70290,03542,024,000-13,799,00003/31/2020
FEDEX CORP FDXCommon336,82369,98540,844,000496,00003/31/2020
COMCAST CORP CMCSACommon1,101,358367,71337,864,0004,872,00003/31/2020
YPF SOCIEDAD ANONIMA YPFCommon8,839,82895,75336,862,000-64,394,00003/31/2020
HALLIBURTON CO HALCommon5,165,9622,467,03835,387,000-30,655,00003/31/2020
AMERICAN INTERNATIONAL GROUP INC AIGCOM1,442,325140,51734,976,000-31,846,00003/31/2020
Adecoagro S.A. AGROCOM8,661,005-446,46033,691,000-42,538,00003/31/2020
MOHAWK INDUSTRIES INC MHKCommon433,283410,56833,033,00029,936,00003/31/2020
PNC FINANCIAL SERVICES GROUP, INC. PNCCommon336,803-45,30632,239,000-28,758,00003/31/2020
TEXTRON INC TXTCommon1,185,6351,185,63531,621,00031,621,00003/31/2020
Baidu, Inc. BIDUSPON ADR REP A310,500144,35331,296,00010,295,00003/31/2020
UBS Group AG UBSSHS3,365,856-113,80931,167,000-12,608,00003/31/2020
CHINA MOBILE LTD /ADR/ CHLCommon818,425-5,43730,830,000-3,995,00003/31/2020
NETGEAR, INC NTGRCommon1,319,753424,58230,144,0008,203,00003/31/2020
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