StockScan > Holders > Aristotle Capital Management

Aristotle Capital Management's Portfolio and 13F Filing

Value: $47.92B
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
21 General Dynamics Corporation GD $294.59 3,511,946

3,731,572

up arrow 219,626

$1,099,283,795 2.29%
22 Coca-Cola Company (The) KO $63.13 15,877,221

16,949,288

up arrow 1,072,067

$1,070,008,551 2.23%
23 The Procter Gamble Company PG $166.51 5,856,158

6,292,105

up arrow 435,947

$1,047,698,404 2.19%
24 Cincinnati Financial Corporatio CINF $117.29 3,212,131

8,064,429

up arrow 4,852,298

$945,876,877 1.97%
25 PNC Financial Services Group, I PNC $161.34 5,692,928

5,826,993

up arrow 134,065

$940,127,051 1.96%
26 Allegion plc Ordinary Shares ALLE $127.94 6,898,358

7,185,748

up arrow 287,390

$919,344,599 1.92%
27 Twitter, Inc. TWTR $50.36 16,820,309

17,717,399

up arrow 897,090

$892,248,214 1.86%
28 Microchip Technology Incorporat MCHP $95.36 8,854,797

8,918,202

up arrow 63,405

$850,439,743 1.77%
29 East West Bancorp, Inc. EWBC $78.21 10,560,854

10,748,134

up arrow 187,280

$840,611,560 1.75%
30 Novartis AG NVS $103.22 6,759,493

7,118,064

up arrow 358,571

$734,726,566 1.53%
31 Medtronic plc. Ordinary Shares MDT $84.72 8,013,030

8,438,990

up arrow 425,960

$714,951,233 1.49%
32 The Home Depot Inc HD $348.67 N/A 1,825,130 $636,368,077 1.33%
33 Halliburton Company HAL $37.36 N/A 15,497,387 $578,982,378 1.21%
34 Tyson Foods, Inc. TSN $60.71 8,931,470

9,100,592

up arrow 169,122

$552,496,940 1.15%
35 Oshkosh Corporation (Holding Co OSK $121.99 9,387,120

4,140,008

up arrow -5,247,112

$505,039,576 1.05%
36 Cullen/Frost Bankers, Inc. CFR $107.38 4,152,787

4,540,487

up arrow 387,700

$487,557,494 1.02%
37 Commerce Bancshares, Inc. CBSH $56.88 7,410,966

7,964,067

up arrow 553,101

$452,996,131 0.95%
38 Elanco Animal Health Incorporat ELAN $17.04 24,100,769

25,200,655

up arrow 1,099,886

$429,419,161 0.90%
39 Equity Lifestyle Properties, In ELS $63.33 5,938,200

6,263,690

up arrow 325,490

$396,679,488 0.83%
40 Sun Communities, Inc. SUI $118.39 2,678,019

2,850,408

up arrow 172,389

$337,459,803 0.70%