StockScan > Holders > Lsv Asset Management

Lsv Asset Management's Portfolio and 13F Filing

Value: $70.29B
Website:
CIK: 0001050470
Phone: 312-460-2443
Address: 155 North Wacker Drive, Chicago, IL (60606)
Latest 13F Filing:
Lsv Asset Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Oracle Corporation ORCL $123.50 12,273,520

11,870,210

up arrow -403,310

$1,465,970,935 2.09%
2 Merck & Company, Inc. (new) MRK $131.19 8,584,984

9,702,317

up arrow 1,117,333

$1,272,846,967 1.81%
3 Applied Materials, Inc. AMAT $212.08 6,718,333

5,257,052

up arrow -1,461,281

$1,114,915,588 1.59%
4 Ameriprise Financial, Inc. AMP $434.12 2,653,455

2,475,415

up arrow -178,040

$1,074,627,160 1.53%
5 Vistra Energy Corp. VST $94.08 10,366,328

10,159,208

up arrow -207,120

$955,778,289 1.36%
6 Kroger Company (The) KR $54.20 17,508,453

17,331,566

up arrow -176,887

$939,370,877 1.34%
7 HCA Healthcare, Inc. HCA $322.86 3,397,321

2,855,021

up arrow -542,300

$921,772,080 1.31%
8 McKesson Corporation MCK $564.52 1,600,934

1,583,838

up arrow -17,096

$894,108,228 1.27%
9 Valero Energy Corporation VLO $166.06 5,362,276

4,969,137

up arrow -393,139

$825,174,890 1.17%
10 Allstate Corporation (The) ALL $169.51 5,043,251

4,824,347

up arrow -218,904

$817,775,060 1.16%
11 PulteGroup, Inc. PHM $119.07 7,228,586

6,730,986

up arrow -497,600

$801,458,503 1.14%
12 Bank of America Corporation BAC $39.29 22,377,150

20,388,226

up arrow -1,988,924

$801,053,400 1.14%
13 Amgen Inc. AMGN $312.47 2,731,540

2,554,011

up arrow -177,529

$798,051,817 1.14%
14 JP Morgan Chase & Co. JPM $204.79 4,601,466

3,844,466

up arrow -757,000

$787,308,192 1.12%
15 Marathon Petroleum Corporation MPC $179.67 4,831,651

4,359,937

up arrow -471,714

$783,349,881 1.11%
16 Cummins Inc. CMI $285.56 2,732,447

2,459,259

up arrow -273,188

$702,266,000 1.00%
17 Verizon Communications Inc. VZ $40.06 18,107,357

16,937,321

up arrow -1,170,036

$678,509,079 0.97%
18 Target Corporation TGT $160.13 4,931,180

4,103,443

up arrow -827,737

$657,084,328 0.93%
19 Dick's Sporting Goods Inc DKS $194.54 3,464,752

3,336,152

up arrow -128,600

$649,015,010 0.92%
20 Citigroup, Inc. C $64.07 10,681,886

10,090,302

up arrow -591,584

$646,485,649 0.92%