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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
EQT Corp EQTCOM2,407,715-364,553132,858,0001,148,00006/30/2018
CIT GROUP INC CITCOM2,509,263-736,129126,492,000-40,646,00006/30/2018
CARRIZO OIL & GAS INC CRZOCommon4,053,623-2,084,122112,893,00014,689,00006/30/2018
CITIGROUP INC CCOM1,647,757-205,335110,268,000-14,816,00006/30/2018
ORACLE CORP ORCLCommon2,442,711-584,972107,626,000-30,890,00006/30/2018
Bank of N.T. Butterfield & Son Ltd NTBSHS NEW2,209,940-187,353101,038,000-6,553,00006/30/2018
FIRSTENERGY CORP FECommon2,783,493-316,18999,955,000-5,465,00006/30/2018
PDC ENERGY, INC. PDCECommon1,497,92224,92790,549,00018,328,00006/30/2018
HESS CORP HESCommon1,351,416-391,76490,396,0002,156,00006/30/2018
JPMORGAN CHASE & CO JPMCommon846,251-312,92488,179,000-39,295,00006/30/2018
GLAXOSMITHKLINE PLC GSKCommon2,149,989-593,45486,666,000-20,520,00006/30/2018
WESTERN ALLIANCE BANCORPORATION WALCommon1,390,011-101,95278,689,000-8,009,00006/30/2018
DowDuPont Inc. DWDPCommon Stock1,061,510-135,77769,975,000-6,304,00006/30/2018
MELLANOX TECHNOLOGIES LTD MLNXCommon827,786-617,35169,782,000-35,496,00006/30/2018
FIRST DATA CORP FDCCommon3,222,648-552,03567,450,0007,055,00006/30/2018
Synchrony Financial SYFCOM2,014,282-323,19967,237,000-11,139,00006/30/2018
Discover Financial Services DFSCommon938,397-360,53366,073,000-27,359,00006/30/2018
MITEL NETWORKS CORP MITLCOMMON STOCK5,972,116-1,488,14265,514,000-3,717,00006/30/2018
HOOKER FURNITURE CORP HOFTCommon1,391,542-35,75165,263,00012,881,00006/30/2018
General Motors Co GMCommon1,615,707-267,63763,659,000-4,782,00006/30/2018
Allergan plc AGNSHS373,179-37,43062,216,000-6,885,00006/30/2018
TRI Pointe Group, Inc. TPHCOM3,764,328-257,59661,584,000-4,496,00006/30/2018
TRINITY INDUSTRIES INC TRNCommon1,790,188-284,81661,332,000-6,375,00006/30/2018
GLATFELTER P H CO GLTCommon3,047,786248,16359,706,0002,230,00006/30/2018
MCDERMOTT INTERNATIONAL INC MDRCommon Stock3,032,3953,032,39559,587,00059,587,00006/30/2018
Taylor Morrison Home Corp TMHCCL A2,797,473934,90158,131,00014,770,00006/30/2018
COHERENT INC COHRCommon365,397-20,21057,155,000-15,108,00006/30/2018
AXIS CAPITAL HOLDINGS LTD AXSCommon1,015,621-188,63756,489,000-12,840,00006/30/2018
FIRST HORIZON NATIONAL CORP FHNCommon3,119,240-932,93855,647,000-20,656,00006/30/2018
RENAISSANCERE HOLDINGS LTD RNRCommon450,848-74,66454,246,000-18,543,00006/30/2018
CHEVRON CORP CVXCommon419,748-60,17053,069,000-1,661,00006/30/2018
ASPEN INSURANCE HOLDINGS LTD AHLCommon1,289,906-23,52052,499,000-6,408,00006/30/2018
ARRIS International plc ARRSSHS2,140,4501,459,25452,323,00034,224,00006/30/2018
ALBANY INTERNATIONAL CORP /NY/ AINCommon864,734-204,00852,014,000-13,981,00006/30/2018
LANDEC CORP \CA\ LNDCCommon3,456,270-89,98551,498,0005,219,00006/30/2018
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