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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
EXXON MOBIL CORP XOMCommon6,486,07286,157370,160,000-58,506,00006/30/2010
NORTHROP GRUMMAN CORP /DE/ NOCCommon6,543,875-148,869356,249,000-82,594,00006/30/2010
Tyco Electronics Ltd. TELCOM13,351,236-1,382,542338,854,000-66,030,00006/30/2010
OMNICOM GROUP INC OMCCommon9,502,252-83,251325,927,000-46,086,00006/30/2010
ALLSTATE CORP ALLCommon10,982,882-141,984315,538,000-43,906,00006/30/2010
CA, INC. CACommon15,205,6572,147,825279,784,000-26,683,00006/30/2010
TORCHMARK CORP TMKCommon5,272,286-279,768261,031,000-36,059,00006/30/2010
J C PENNEY CO INC JCPCommon12,111,062-573,376260,146,000-147,912,00006/30/2010
CITIGROUP INC CCommon63,761,360-1,826,729239,742,000-25,890,00006/30/2010
AETNA INC /PA/ AETCommon9,075,290642,284239,406,000-56,677,00006/30/2010
ZIMMER HOLDINGS INC ZMHCommon4,278,37235,329231,246,000-19,942,00006/30/2010
AVON PRODUCTS INC AVPCommon8,722,9741,299,333231,159,000-20,280,00006/30/2010
L 3 COMMUNICATIONS HOLDINGS INC LLLCommon3,041,05931,752215,429,000-60,314,00006/30/2010
BOEING CO BACommon3,416,076-1,277,073214,359,000-126,411,00006/30/2010
SEMPRA ENERGY SRECommon4,437,118-331,343207,613,000-30,333,00006/30/2010
BANK OF AMERICA CORP /DE/ BACCommon14,154,540-84,555203,401,000-50,767,00006/30/2010
STATE STREET CORP STTCommon5,932,3151,699,084200,631,0009,543,00006/30/2010
UBS AG UBSCommon14,982,767-335,576198,072,000-51,311,00006/30/2010
KRAFT FOODS INC KFTCommon7,058,883-341,500197,649,000-26,139,00006/30/2010
MASCO CORP /DE/ MASCommon17,436,87517,436,875187,621,000187,621,00006/30/2010
WILLIS GROUP HOLDINGS LTD WSHCommon5,969,2631,340,263179,376,00034,535,00006/30/2010
FORTUNE BRANDS INC FOCommon4,171,4643,920,423163,438,000151,260,00006/30/2010
JOHNSON & JOHNSON JNJCommon2,757,334320,356162,848,0003,957,00006/30/2010
MICROSOFT CORP MSFTCommon7,026,943-79,723161,690,000-46,322,00006/30/2010
SHERWIN WILLIAMS CO SHWCommon2,319,050-1,136,196160,455,000-73,396,00006/30/2010
CAPITAL ONE FINANCIAL CORP COFCommon3,789,315-731,805152,709,000-34,511,00006/30/2010
VALERO ENERGY CORP/TX VLOCommon8,406,873-4,658151,156,000-14,551,00006/30/2010
AXIS CAPITAL HOLDINGS LTD AXSCommon5,040,199-672,349149,795,000-28,779,00006/30/2010
J P MORGAN CHASE & CO JPMCommon4,029,944-72,408147,536,000-36,044,00006/30/2010
PNC FINANCIAL SERVICES GROUP INC PNCCommon2,526,513-1,405,876142,748,000-92,016,00006/30/2010
BP PLC BPSPONSORED ADR4,917,4802,334,878142,017,000-5,372,00006/30/2010
DELL INC DELLCommon11,670,245-3,576,119140,743,000-88,105,00006/30/2010
ALCATEL LUCENT ALUSPONSORED ADR55,168,956-1,680,749140,129,000-37,242,00006/30/2010
COOPER INDUSTRIES LTD CBECOM3,182,958-280,600140,050,000-25,993,00006/30/2010
EDISON INTERNATIONAL EIXCommon4,377,048-1,265,175138,840,000-53,955,00006/30/2010
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