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Fuller & Thaler Asset Management, Inc.
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Back to Fuller & Thaler Asset Management, Inc.
FT
Fuller & Thaler Asset Management, Inc.
All holdings · as of Mar 31, 2026
497 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
GENTEX CORP
—
$155.32M
7,108,679
0.5%
RYDER SYSTEM INC
—
$154.65M
755,455
0.5%
CABOT CORP
—
$154.25M
2,048,260
0.5%
CNO Financial Group Inc
—
$154.10M
3,752,992
0.5%
Acuity Inc
—
$154.02M
549,645
0.5%
Ralph Lauren Corp
—
$153.12M
445,115
0.5%
Assurant Inc
—
$151.93M
697,535
0.5%
ADVANCED ENERGY INDUSTRIES INC
—
$151.65M
469,935
0.5%
CROWN HOLDINGS, INC.
—
$151.38M
1,510,014
0.5%
Federated Hermes Inc
—
$150.15M
2,647,726
0.5%
Zions Bancorp NA
—
$149.47M
2,594,137
0.5%
Applied Industrial Technologies Inc
—
$149.29M
562,675
0.5%
Advance Auto Parts Inc
—
$149.22M
2,828,907
0.5%
Spire Inc
—
$149.21M
1,647,953
0.5%
OLIN Corp
—
$149.12M
5,015,877
0.5%
DENTSPLY SIRONA Inc.
—
$148.39M
12,792,518
0.5%
MERIT MEDICAL SYSTEMS INC
—
$145.82M
2,115,526
0.5%
Reynolds Consumer Products Inc.
REYN
Common Stock
$145.12M
6,851,657
0.5%
Elanco Animal Health Inc
—
$143.94M
6,015,064
0.5%
Beacon Financial Corp
—
$143.12M
4,770,552
0.5%
Mueller Water Products Inc
—
$142.06M
5,167,676
0.5%
VONTIER CORP
—
$140.49M
3,960,944
0.5%
HF Sinclair Corp
—
$140.39M
2,250,185
0.5%
Frontdoor, Inc.
—
$139.65M
2,641,913
0.5%
BrightSpring Health Services, Inc.
—
$138.54M
3,251,391
0.5%
Fidelity National Information Services Inc
—
$138.29M
2,948,076
0.5%
Indivior Pharmaceuticals, Inc.
—
$138.06M
4,529,583
0.5%
HANCOCK WHITNEY CORP
—
$137.63M
2,164,281
0.5%
H&R Block Inc
—
$135.86M
4,280,293
0.5%
Taylor Morrison Home Corp
—
$135.82M
2,332,054
0.5%
Maximus Inc
—
$133.42M
2,081,466
0.4%
RESIDEO TECHNOLOGIES, INC.
—
$133.07M
3,947,596
0.4%
PATTERSON UTI ENERGY INC
—
$132.70M
12,253,350
0.4%
VIASAT INC
—
$132.49M
2,892,760
0.4%
SILGAN HOLDINGS INC
—
$128.01M
3,299,241
0.4%
BELDEN INC.
—
$120.61M
1,050,327
0.4%
California Resources Corp
—
$119.64M
1,728,373
0.4%
PLEXUS CORP
—
$119.25M
588,778
0.4%
BRINKS CO
—
$118.23M
1,140,871
0.4%
FIRST HAWAIIAN, INC.
—
$117.60M
4,772,597
0.4%
Ensign Group Inc/The
—
$115.57M
573,572
0.4%
EVEREST GROUP, LTD.
—
$115.09M
352,110
0.4%
CSG Systems International Inc
—
$113.17M
1,415,709
0.4%
KEMPER Corp
—
$113.00M
3,697,718
0.4%
MARRIOTT VACATIONS WORLDWIDE Corp
—
$110.47M
1,696,423
0.4%
FormFactor Inc
—
$110.31M
1,137,356
0.4%
RANGE RESOURCES CORP
—
$110.21M
2,439,309
0.4%
Five Below Inc
—
$109.38M
478,730
0.4%
SKYWEST INC
—
$108.57M
1,182,334
0.4%
Crocs, Inc.
—
$103.83M
1,250,609
0.3%
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