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Paradigm Asset Management Co LLC

All holdings · as of Mar 31, 2026

424 positions

CompanyClassValueShares% of portfolio
Embecta Corp.$628710.0%
Fortrea Holdings Inc.$4.7K5010.0%
Vestis Corp$6.9K8790.0%
UBS GROUP AG-REG$8.8K2240.0%
WPP plc$11.2K7230.0%
VALTERRA PLATINUM LIMITED$11.9K1460.0%
FORVIA$12.0K1,0740.0%
PayPal Holdings, Inc.$12.8K2840.0%
PENN Entertainment, Inc.$13.3K8850.0%
Avantor, Inc.$13.4K1,7110.0%
VISTRY GROUP PLC$13.5K3,0780.0%
Waters Corp$14.3K480.0%
LANXESS AG$15.9K7270.0%
STELLANTIS NV$17.9K2,5290.0%
NISSAN MOTOR CO LTD$19.9K9,5000.0%
VONOVIA SE$20.4K8080.0%
CarMax Inc$20.6K4950.0%
Versant Media Group, Inc.$20.7K5600.0%
VALEO SA$21.4K1,7980.0%
Paramount Skydance CorpPSKYCommon Stock$21.6K2,4000.0%
Warner Bros. Discovery, Inc.$24.7K9000.0%
SANDOZ GROUP AG$25.4K3250.0%
Celanese Corp$27.3K4150.0%
IMERYS SA$28.5K1,1570.0%
NIKE, Inc.$30.1K5690.0%
CHARLES RIVER LABS INTL INC$30.4K1760.0%
FRESENIUS MEDICAL CARE AG &$31.2K6970.0%
Dexcom Inc$31.7K5040.0%
SYMRISE AG$33.9K4010.0%
COMPASS MINERALS INTERNATIONAL INC$34.0K1,4560.0%
HONG KONG EXCHANGES & CLEAR$37.2K7500.0%
BASF SE-SPON ADR$40.4K2,6310.0%
RED ELECTRICA CORPORACION SA$41.3K2,4600.0%
RECKITT BENCKISER-SPON ADR$42.0K3,0890.0%
LEGAL & GENERAL GROUP PLC$42.8K13,1750.0%
EASTMAN CHEMICAL CO$45.7K5990.0%
PAYCHEX INC$45.8K4970.0%
RENAULT SA$47.2K1,4130.0%
CLP HOLDINGS LTD$48.3K5,1500.0%
VODAFONE GP PLC$48.6K3,2350.0%
MID AMERICA APARTMENT COMMUNITIES INC.$48.6K3980.0%
LEAR CORP$49.3K4070.0%
ADMIRAL GROUP PLC$49.3K1,1880.0%
TRUIST FINANCIAL CORP$49.8K1,0830.0%
SOFTBANK CORP.$50.4K38,0000.0%
AMBEV S.A.ABEVADR$52.4K17,9350.0%
ANGLO AMERICAN PLC$52.9K1,2630.0%
HONDA MOTOR CO$54.5K6,9000.0%
GE HealthCare Technologies Inc.$55.4K7780.0%
Becton Dickinson & Co$56.4K3590.0%
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