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Channing Capital Management, LLC

All holdings · as of Mar 31, 2026

108 positions

CompanyClassValueShares% of portfolio
GILEAD SCIENCES, INC.$11.34M81,3990.3%
ATI Inc$11.35M77,9980.3%
XPO Inc$11.57M59,4590.3%
BANK OF AMERICA CORP /DE$12.11M248,4910.3%
Salesforce Inc$12.32M65,9780.3%
STATE STREET CORPORATION$12.43M98,1800.3%
THE GOLDMAN SACHS GROUP, INC.$12.62M14,9140.3%
The PNC Financial Services Group, Inc.$12.69M60,9740.3%
Philip Morris International Inc.$12.82M77,5210.3%
TEXAS INSTRUMENTS INC$12.96M66,7470.3%
WELLS FARGO & COMPANY/MN$13.15M165,2300.3%
INTERNATIONAL BUSINESS MACHINES CORP$13.38M55,1990.3%
AbbVie Inc.$13.39M61,5620.3%
Amazon.com Inc$13.51M64,8890.3%
INTEL CORP$13.65M309,3060.3%
Installed Building Products, Inc.$31.50M118,8180.8%
Asbury Automotive Group Inc$51.30M262,5051.3%
Herc Holdings Inc$51.59M518,2761.3%
Centuri Holdings, Inc.$58.67M2,008,6311.5%
BOYD GAMING CORP$63.67M774,7571.6%
CUSHMAN AND WAKEFIELD LTD$66.95M5,460,6281.7%
Crane NXT, Co.$67.75M1,669,2441.7%
Artisan Partners Asset Management Inc$69.50M1,909,8691.8%
LOUISIANA-PACIFIC CORP$69.76M958,9521.8%
MODINE MANUFACTURING CO$70.59M325,7441.8%
INDEPENDENT BANK CORP$70.67M939,6671.8%
OSI Systems Inc$70.86M266,8841.8%
BRINKS CO$73.13M705,7051.9%
ONTO INNOVATION INC.$73.85M360,1021.9%
Avient Corp$74.02M2,039,0771.9%
ADVANCED ENERGY INDUSTRIES INC$74.40M230,5331.9%
Moelis & Co$74.56M1,308,0951.9%
California Resources Corp$75.20M1,086,3911.9%
HEXCEL CORP /DE$76.27M942,4062.0%
Madison Square Garden Entertainment Corp$77.71M1,319,0802.0%
HANCOCK WHITNEY CORP$77.77M1,222,9992.0%
RENASANT CORP$78.29M2,166,9042.0%
Atmus Filtration Technologies Inc.$78.68M1,385,9242.0%
NEXSTAR MEDIA GROUP, INC.$78.89M436,2492.0%
CSW INDUSTRIALS, INC.$79.57M305,3582.0%
STAG Industrial, Inc.$81.17M2,250,8522.1%
BELDEN INC.$81.58M710,4582.1%
Axalta Coating Systems Ltd$81.62M2,946,7102.1%
GATES INDUSTRIAL CORP PLC$82.38M3,643,4672.1%
BRUNSWICK CORP$82.38M1,132,2442.1%
Affiliated Managers Group Inc$83.75M302,6722.1%
Wintrust Financial Corp$84.85M610,6892.2%
ONESPAWORLD HOLDINGS LIMITED$86.84M3,783,9792.2%
PARSONS CORPPSNCommon Stock$87.37M1,612,9772.2%
COLUMBIA BANKING SYSTEM, INC.$88.47M3,225,3472.3%
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