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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
EMBRAER BRAZILIAN AVIATION CO ERJSPONSORED ADS19,931,83419,931,834382,802,000382,802,00003/31/2019
CEMEX SAB DE CV CXCommon62,096,8863,346,999288,595,0004,880,00003/31/2019
NXP Semiconductors N.V. NXPICOM1,690,90418,320149,459,00026,892,00003/31/2019
CITIGROUP INC CCOM2,057,597-7,058128,024,00020,537,00003/31/2019
YPF SOCIEDAD ANONIMA YPFCommon8,648,492544,643121,166,00012,656,00003/31/2019
Merck & Co., Inc. MRKCOM1,392,238-58,593115,792,0004,934,00003/31/2019
PFIZER INC PFECommon2,645,699-396,922112,363,000-20,448,00003/31/2019
Sanofi SNYCommon2,329,001-33,948103,128,000552,00003/31/2019
FLEX LTD. FLEXCommon9,531,5865,723,54295,316,00066,336,00003/31/2019
CARDINAL HEALTH INC CAHCommon1,927,18468,54892,794,0009,900,00003/31/2019
WELLS FARGO & COMPANY/MN WFCCommon1,910,3373,56892,307,0004,443,00003/31/2019
BANK OF AMERICA CORP /DE/ BACCommon3,322,768-29,87991,676,0009,066,00003/31/2019
MCKESSON CORP MCKCommon770,83755,72990,234,00011,236,00003/31/2019
Bank of New York Mellon Corp BKCommon1,733,106-54,03787,401,0003,280,00003/31/2019
GLAXOSMITHKLINE PLC GSKCommon2,085,39842,65687,149,0009,096,00003/31/2019
TELEFONICA BRASIL S.A. VIVADR5,801,918-741,95070,029,000-8,040,00003/31/2019
EMERSON ELECTRIC CO EMRCommon1,021,980-5,48869,975,0008,584,00003/31/2019
AMERICAN INTERNATIONAL GROUP INC AIGCOM1,548,93650,56066,696,0007,646,00003/31/2019
STATE STREET CORP STTCommon991,5334,33965,252,0002,990,00003/31/2019
Grupo Aval Acciones Y Valores S.A. AVALSPONSORED ADS8,177,1238,177,12363,700,00063,700,00003/31/2019
ENI SPA ECommon1,801,7787,10663,495,0006,963,00003/31/2019
LABORATORY CORP OF AMERICA HOLDINGS LHCommon406,10360,23362,125,00018,422,00003/31/2019
CHINA MOBILE LTD /ADR/ CHLCommon1,153,506-138,04158,817,000-3,177,00003/31/2019
Adecoagro S.A. AGROCOM8,466,425674,51658,334,0004,102,00003/31/2019
HCA Holdings, Inc. HCACOM421,482-3,94754,953,0002,009,00003/31/2019
PNC FINANCIAL SERVICES GROUP, INC. PNCCommon443,11630054,352,0002,582,00003/31/2019
Copa Holdings, S.A. CPACl A663,719222,18953,502,00018,749,00003/31/2019
BRIGGS & STRATTON CORP BGGCommon4,465,929793,23552,832,0004,793,00003/31/2019
UBS Group AG UBSSHS4,290,391689,41251,957,0007,377,00003/31/2019
CREDIT SUISSE GROUP AG CSCommon4,319,351532,32450,321,0009,194,00003/31/2019
NOKIA CORP NOKSPONSORED ADR8,727,646-437,58749,922,000-3,420,00003/31/2019
BP PLC BPSPONSORED ADR1,112,485-73,34248,638,0003,671,00003/31/2019
WPP plc WPPGYCOM910,687160,34248,084,0006,965,00003/31/2019
HONDA MOTOR CO LTD HMCCommon1,716,893140,06346,648,0004,941,00003/31/2019
EDGEWELL PERSONAL CARE Co EPCCOM1,045,17218,96345,873,0007,544,00003/31/2019
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