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Channing Capital Management, LLC
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Back to Channing Capital Management, LLC
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Channing Capital Management, LLC
All holdings · as of Mar 31, 2026
108 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
LITTELFUSE INC /DE
—
$99.92M
294,449
2.6%
MSA Safety Inc
—
$99.59M
607,419
2.6%
VALVOLINE INC
—
$99.10M
2,942,359
2.5%
SOUTHWEST GAS HOLDINGS INC
—
$96.18M
1,106,831
2.5%
TIMKEN CO
—
$93.55M
930,167
2.4%
COPT DEFENSE PROPERTIES
—
$91.22M
2,981,160
2.3%
MCGRATH RENTCORP
—
$89.57M
812,228
2.3%
First American Financial Corp
—
$88.52M
1,468,246
2.3%
COLUMBIA BANKING SYSTEM, INC.
—
$88.47M
3,225,347
2.3%
PARSONS CORP
PSN
Common Stock
$87.37M
1,612,977
2.2%
ONESPAWORLD HOLDINGS LIMITED
—
$86.84M
3,783,979
2.2%
Wintrust Financial Corp
—
$84.85M
610,689
2.2%
Affiliated Managers Group Inc
—
$83.75M
302,672
2.1%
BRUNSWICK CORP
—
$82.38M
1,132,244
2.1%
GATES INDUSTRIAL CORP PLC
—
$82.38M
3,643,467
2.1%
Axalta Coating Systems Ltd
—
$81.62M
2,946,710
2.1%
BELDEN INC.
—
$81.58M
710,458
2.1%
STAG Industrial, Inc.
—
$81.17M
2,250,852
2.1%
CSW INDUSTRIALS, INC.
—
$79.57M
305,358
2.0%
NEXSTAR MEDIA GROUP, INC.
—
$78.89M
436,249
2.0%
Atmus Filtration Technologies Inc.
—
$78.68M
1,385,924
2.0%
RENASANT CORP
—
$78.29M
2,166,904
2.0%
HANCOCK WHITNEY CORP
—
$77.77M
1,222,999
2.0%
Madison Square Garden Entertainment Corp
—
$77.71M
1,319,080
2.0%
HEXCEL CORP /DE
—
$76.27M
942,406
2.0%
California Resources Corp
—
$75.20M
1,086,391
1.9%
Moelis & Co
—
$74.56M
1,308,095
1.9%
ADVANCED ENERGY INDUSTRIES INC
—
$74.40M
230,533
1.9%
Avient Corp
—
$74.02M
2,039,077
1.9%
ONTO INNOVATION INC.
—
$73.85M
360,102
1.9%
BRINKS CO
—
$73.13M
705,705
1.9%
OSI Systems Inc
—
$70.86M
266,884
1.8%
INDEPENDENT BANK CORP
—
$70.67M
939,667
1.8%
MODINE MANUFACTURING CO
—
$70.59M
325,744
1.8%
LOUISIANA-PACIFIC CORP
—
$69.76M
958,952
1.8%
Artisan Partners Asset Management Inc
—
$69.50M
1,909,869
1.8%
Crane NXT, Co.
—
$67.75M
1,669,244
1.7%
CUSHMAN AND WAKEFIELD LTD
—
$66.95M
5,460,628
1.7%
BOYD GAMING CORP
—
$63.67M
774,757
1.6%
Centuri Holdings, Inc.
—
$58.67M
2,008,631
1.5%
Herc Holdings Inc
—
$51.59M
518,276
1.3%
Asbury Automotive Group Inc
—
$51.30M
262,505
1.3%
Installed Building Products, Inc.
—
$31.50M
118,818
0.8%
INTEL CORP
—
$13.65M
309,306
0.3%
Amazon.com Inc
—
$13.51M
64,889
0.3%
AbbVie Inc.
—
$13.39M
61,562
0.3%
INTERNATIONAL BUSINESS MACHINES CORP
—
$13.38M
55,199
0.3%
WELLS FARGO & COMPANY/MN
—
$13.15M
165,230
0.3%
TEXAS INSTRUMENTS INC
—
$12.96M
66,747
0.3%
Philip Morris International Inc.
—
$12.82M
77,521
0.3%
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