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LSV ASSET MANAGEMENT
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Back to LSV ASSET MANAGEMENT
LA
Lsv Asset Management
All holdings · as of Mar 31, 2026
883 positions
All types
Company
Class
Value
↓
Shares
% of portfolio
Alphabet Inc.
—
$768.4K
2,671,968
1.7%
AT&T INC.
—
$643.8K
22,209,020
1.4%
CITIGROUP INC
—
$638.1K
5,626,886
1.4%
CISCO SYSTEMS, INC.
—
$624.5K
8,048,373
1.3%
Merck & Co., Inc.
—
$612.1K
5,088,709
1.3%
VERIZON COMMUNICATIONS INC
—
$609.1K
12,134,056
1.3%
BRISTOL MYERS SQUIBB CO
—
$537.1K
8,855,362
1.2%
STATE STREET CORPORATION
—
$517.1K
4,085,846
1.1%
General Motors Co
—
$509.4K
6,837,010
1.1%
Bank of New York Mellon Corp/The
—
$506.0K
4,265,676
1.1%
WELLS FARGO & COMPANY/MN
—
$489.5K
6,148,764
1.1%
QUALCOMM INC/DE
—
$487.4K
3,785,074
1.1%
PFIZER INC
—
$485.5K
17,290,693
1.0%
KROGER CO
—
$479.9K
6,632,349
1.0%
EBAY INC
—
$471.5K
5,179,705
1.0%
Dell Technologies Inc.
—
$463.1K
2,821,292
1.0%
Jazz Pharmaceuticals PLC
—
$451.2K
2,386,840
1.0%
Newmont Corp
—
$414.3K
3,827,239
0.9%
GILEAD SCIENCES, INC.
—
$403.1K
2,892,522
0.9%
HARTFORD INSURANCE GROUP, INC.
—
$402.7K
2,978,107
0.9%
Comcast Corp.
—
$395.3K
13,768,980
0.9%
ALTRIA GROUP, INC.
—
$394.9K
5,984,735
0.9%
FedEx Corp
—
$393.7K
1,105,365
0.8%
HCA Healthcare, Inc.
—
$387.3K
818,427
0.8%
FOX CORP
—
$375.0K
6,421,400
0.8%
INCYTE CORP
—
$369.0K
3,920,056
0.8%
CITIZENS FINANCIAL GROUP INC/RI
—
$363.4K
6,060,165
0.8%
TD SYNNEX Corp
—
$360.5K
2,137,083
0.8%
TEXTRON INC
—
$356.7K
4,073,227
0.8%
BORGWARNER INC
—
$350.1K
6,451,864
0.8%
CIRRUS LOGIC, INC.
—
$334.5K
2,312,744
0.7%
EXELIXIS, INC.
—
$332.2K
7,745,715
0.7%
EXXON MOBIL CORP
—
$329.0K
1,939,270
0.7%
CVS HEALTH Corp
—
$323.4K
4,503,497
0.7%
AMERICAN INTERNATIONAL GROUP, INC.
—
$314.0K
4,172,293
0.7%
Marathon Petroleum Corp
—
$313.0K
1,281,834
0.7%
PULTEGROUP INC/MI
—
$312.3K
2,655,679
0.7%
BANK OF AMERICA CORP /DE
—
$298.1K
6,115,518
0.6%
Walt Disney Co
—
$297.9K
3,091,308
0.6%
Valero Energy Corp
—
$296.8K
1,201,370
0.6%
OSHKOSH CORP
—
$292.7K
1,988,650
0.6%
Hewlett Packard Enterprise Co
—
$281.5K
11,821,086
0.6%
ALLSTATE CORP
—
$280.2K
1,351,375
0.6%
ARROW ELECTRONICS, INC.
—
$275.6K
1,922,005
0.6%
FIRST HORIZON CORP
—
$274.5K
12,060,244
0.6%
THE GOLDMAN SACHS GROUP, INC.
—
$268.4K
317,274
0.6%
DROPBOX, INC.
—
$265.4K
11,682,581
0.6%
Expedia Group Inc
—
$264.1K
1,143,870
0.6%
Amdocs Ltd
—
$261.3K
4,003,437
0.6%
MGIC INVESTMENT CORP
—
$259.9K
9,899,033
0.6%
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