StockScan > Holders > Aristotle Capital Management

Aristotle Capital Management's Portfolio and 13F Filing

Value: $47.42B
Website:
CIK: 0000860644
Phone: 310-478-4005
Address: 11100 Santa Monica Blvd, Los Angeles, CA (90025)
Latest 13F Filing:
Aristotle Capital Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $416.56 6,659,937

7,083,222

up arrow 423,285

$2,950,586,956 6.22%
2 Ameriprise Financial, Inc. AMP $435.33 4,872,720

4,985,575

up arrow 112,855

$2,170,370,365 4.58%
3 Lennar Corporation Class A LEN $162.33 12,231,549

13,156,538

up arrow 924,989

$2,135,700,814 4.50%
4 Parker-Hannifin Corporation PH $549.40 3,862,287

3,833,130

up arrow -29,157

$2,105,921,622 4.44%
5 Martin Marietta Materials, Inc. MLM $606.13 3,128,822

3,279,463

up arrow 150,641

$1,987,780,908 4.19%
6 Danaher Corporation DHR $259.26 7,482,041

6,983,261

up arrow -498,780

$1,810,480,247 3.82%
7 Williams-Sonoma, Inc. (DE) WSM $317.15 5,120,657

5,193,199

up arrow 72,542

$1,647,023,063 3.47%
8 QUALCOMM Incorporated QCOM $188.97 7,906,668

8,287,013

up arrow 380,345

$1,565,996,847 3.30%
9 Corteva Inc CTVA $57.55 26,238,813

26,570,900

up arrow 332,087

$1,529,155,295 3.22%
10 Adobe Inc. ADBE $475.95 3,056,616

3,181,983

up arrow 125,367

$1,514,464,809 3.19%
11 JP Morgan Chase & Co. JPM $201.51 6,872,181

7,189,122

up arrow 316,941

$1,448,679,974 3.05%
12 Amgen Inc. AMGN $311.41 4,167,910

4,395,783

up arrow 227,873

$1,368,890,784 2.89%
13 ANSYS, Inc. ANSS $325.86 3,974,953

4,067,002

up arrow 92,049

$1,325,273,272 2.79%
14 Xylem Inc. New XYL $142.07 8,805,845

9,073,140

up arrow 267,295

$1,289,021,000 2.72%
15 Johnson Controls International JCI $66.88 17,147,151

17,881,302

up arrow 734,151

$1,195,901,478 2.52%
16 Alcon Inc. ALC $89.28 12,237,850

12,781,383

up arrow 543,533

$1,141,121,874 2.41%
17 RPM International Inc. RPM $113.65 9,315,227

10,018,544

up arrow 703,317

$1,138,607,526 2.40%
18 Chubb Limited CB $253.16 4,175,108

4,345,736

up arrow 170,628

$1,100,166,526 2.32%
19 General Dynamics Corporation GD $294.06 3,511,946

3,731,572

up arrow 219,626

$1,097,306,062 2.31%
20 Phillips 66 PSX $144.85 7,432,566

7,551,049

up arrow 118,483

$1,093,769,448 2.31%