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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ADOBE INC. ADBECommon3,181,983125,3671,585,167,00087,236,00012/31/2020
MICROSOFT CORP MSFTCommon7,083,222423,2851,568,574,000167,789,00012/31/2020
DANAHER CORP /DE/ DHRCommon6,983,261-498,7801,545,746,000-64,563,00012/31/2020
ANSYS INC ANSSCommon4,067,00292,0491,479,575,000178,851,00012/31/2020
QUALCOMM INC/DE QCOMCommon8,287,013380,3451,257,285,000326,828,00012/31/2020
MICROCHIP TECHNOLOGY INC MCHPCommon8,918,20263,4051,226,113,000316,194,00012/31/2020
SONY CORP SNEADR NEW11,729,163148,5111,185,818,000297,003,00012/31/2020
PARKER HANNIFIN CORP PHCommon3,833,130-29,1571,044,183,000262,688,00012/31/2020
Corteva, Inc. CTVACommon Stock26,570,900332,0871,028,825,000272,885,00012/31/2020
AMGEN INC AMGNCommon4,395,783227,8731,006,606,000-52,059,00012/31/2020
LENNAR CORP /NEW/ LENCL A13,156,538924,989997,639,000-1,434,00012/31/2020
Medtronic plc MDTCOM8,438,990425,960984,357,000151,643,00012/31/2020
AMERIPRISE FINANCIAL INC AMPCommon4,985,575112,855968,847,000217,912,00012/31/2020
PayPal Holdings, Inc. PYPLCOM4,145,375173,456966,030,000183,443,00012/31/2020
TWITTER, INC. TWTRCOM17,717,399897,090955,005,000206,501,00012/31/2020
COCA COLA CO KOCommon16,949,2881,072,067925,884,000142,026,00012/31/2020
MARTIN MARIETTA MATERIALS INC MLMCommon3,279,463150,641925,821,000189,421,00012/31/2020
Xylem Inc. XYLCommon9,073,140267,295923,555,000182,807,00012/31/2020
JPMORGAN CHASE & CO JPMCommon7,189,122316,941913,522,000251,937,00012/31/2020
RPM INTERNATIONAL INC/DE/ RPMCommon10,018,544703,317905,529,000133,856,00012/31/2020
PROCTER & GAMBLE Co PGCommon6,292,105435,947872,214,00058,267,00012/31/2020
PNC FINANCIAL SERVICES GROUP, INC. PNCCommon5,826,993134,065868,222,000242,512,00012/31/2020
ALCON INC ALCCommon Stock12,781,383543,533843,316,000146,370,00012/31/2020
Allegion plc ALLEORD SHS7,185,748287,390836,277,352153,960,35212/31/2020
Johnson Controls International plc JCICommon17,881,302734,151833,090,000132,629,00012/31/2020
CABOT OIL & GAS CORP COGCommon42,871,2293,677,663793,546,449155,475,44902/28/2021
Elanco Animal Health Inc ELANCOMMON STOCK25,200,6551,099,886772,904,00099,770,00012/31/2020
CAPITAL ONE FINANCIAL CORP COFCommon7,620,508861,599753,287,000267,592,00012/31/2020
CINCINNATI FINANCIAL CORP CINFCommon8,064,4294,852,298704,589,000454,139,00012/31/2020
CULLEN/FROST BANKERS, INC. CFRCommon6,521,5521,981,065680,850,029284,783,02902/28/2021
NOVARTIS AG NVSADR7,118,064358,571672,159,00084,353,00012/31/2020
Chubb Ltd CBCOM4,345,736170,628665,638,000180,824,00012/31/2020
TYSON FOODS, INC. TSNCommon9,100,592169,122586,442,00055,198,00012/31/2020
GENERAL DYNAMICS CORP GDCommon3,731,572219,626552,743,00066,584,00012/31/2020
EAST WEST BANCORP INC EWBCCommon10,748,134187,280545,038,000199,276,00012/31/2020
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