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Latest COOKE & BIELER LP Stock Portfolio

$10.82Billion

Equity Portfolio Value
Last Reported on: 10 May, 2024

About COOKE & BIELER LP and it’s 13F Hedge Fund Stock Holdings

COOKE & BIELER LP is a hedge fund based in PHILADELPHIA, PA. On 31-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $10.7 Billions. In it's latest 13F Holdings report, COOKE & BIELER LP reported an equity portfolio of $10.8 Billions as of 31 Mar, 2024.

The top stock holdings of COOKE & BIELER LP are GIL, AER, FNF. The fund has invested 3.4% of it's portfolio in GILDAN ACTIVEWEAR and 3.2% of portfolio in AERCAP HOLDINGS N.V.

The fund managers got completely rid off ACUITY BRANDS INC (AYI), WHIRLPOOL CORP. (WHR) and ASHTEAD GROUP PLC (ADR) stocks. They significantly reduced their stock positions in ALLSTATE CORPORATION (ALL), AMETEK INC (AME) and US BANCORP (USB). COOKE & BIELER LP opened new stock positions in OCCIDENTAL PETROLEUM (OXY), JANUS INTERNATIONAL GROUP (JBI) and CONMED CORPORATION (CNMD). The fund showed a lot of confidence in some stocks as they added substantially to UNITEDHEALTH GROUP (UNH), FLOWERS FOODS INC (FLO) and THE KRAFT HEINZ COMPANY (KHC).

New Buys

Ticker$ Bought
OCCIDENTAL PETROLEUM61,538,400
JANUS INTERNATIONAL GROUP43,263,000
CONMED CORPORATION33,598,100
ATLAS ENERGY SOLUTIONS INC4,388,850
REGENERON PHARMACEUTICAL202,123

New stocks bought by COOKE & BIELER LP

Additions to existing portfolio by COOKE & BIELER LP

Reductions

Ticker% Reduced
ALLSTATE CORPORATION-98.55
AMETEK INC-65.4
US BANCORP-63.76
BWX TECHNOLOGIES INC-55.93
ARCH CAPITAL-54.16
HCA HEALTHCARE INC.-39.63
CHUBB LIMITED-29.88
GATES INDUSTRIAL CORPORATION P-29.48

COOKE & BIELER LP reduced stake in above stock

Sold off

Ticker$ Sold
LONDON STOCK EXCHANGE GROUP PL-58,939,000
PGT INNOVATIONS INC-76,510,200
WHIRLPOOL CORP.-95,082,900
ACUITY BRANDS INC-123,427,000
ASHTEAD GROUP PLC-29,453,300
LONDON STOCK EXCHANGE GROUP PL-42,915,700
ASHTEAD GROUP PLC (ADR)-87,649,100
FIRSTCASH INC-23,823,100

COOKE & BIELER LP got rid off the above stocks

Current Stock Holdings of COOKE & BIELER LP

Last Reported on: 10 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ACGLARCH CAPITAL0.016,810629,516REDUCED-54.16
AEOAMERICAN EAGLE OUTFITTERS1.546,457,560166,540,000REDUCED-5.78
AERAERCAP HOLDINGS N.V.3.203,990,490346,813,000REDUCED-26.46
ALAIR LEASE CORP0.661,397,44071,884,500REDUCED-1.59
ALLALLSTATE CORPORATION0.017,6351,320,930REDUCED-98.55
AMEAMETEK INC0.45264,87348,445,300REDUCED-65.4
AMWDAMERICAN WOODMARK0.78828,78084,253,800REDUCED-6.8
APGAPI GROUP0.33904,60935,524,000REDUCED-4.38
ARWARROW ELECTRONICS2.181,820,680235,705,000ADDED7.72
ATOATMOS ENERGY1.601,455,350172,998,000ADDED8.02
AWIARMSTRONG WORLD INDUSTRIES INC1.161,014,300125,997,000REDUCED-22.96
AYIACUITY BRANDS INC0.000.000.00SOLD OFF-100
BACBANK OF AMERICA0.601,726,03065,451,100ADDED5.00
BAMBROOKFIELD ASSET MANAGEMENT - 0.771,979,11083,162,000REDUCED-9.39
BAXBAXTER INTERNATIONAL INC0.761,915,40081,864,200REDUCED-7.85
BDXBECTON DICKINSON AND COMPANY1.66725,069179,418,000ADDED1.99
BOOMDMC GLOBAL INC0.331,817,41035,421,300REDUCED-2.87
BVBRIGHTVIEW HOLDINGS INC0.322,914,66034,684,400REDUCED-2.1
BWXTBWX TECHNOLOGIES INC0.56588,92460,435,400REDUCED-55.93
CBCHUBB LIMITED1.32551,860143,003,000REDUCED-29.88
CBRECBRE GROUP INC. CL A1.361,514,340147,254,000REDUCED-3.56
CBSHCOMMERCE BANCSHARES0.47958,56950,995,900REDUCED-1.41
CCICROWN CASTLE INC1.291,317,400139,420,000ADDED26.21
CNMDCONMED CORPORATION0.31419,55733,598,100NEW
COLBCOLUMBIA BANKING SYSTEM0.392,159,30041,782,500REDUCED-2.3
COPCONOCOPHILLIPS1.701,445,800184,021,000ADDED6.52
DFHDREAM FINDERS HOMES INC0.641,588,57069,468,100ADDED20.13
DFSDISCOVER FINANCIAL SERVICES1.481,219,360159,845,000REDUCED-8.95
EMREMERSON ELECTRIC0.005,000567,100UNCHANGED0.00
EOGEOG RESOURCES INC0.63534,28368,302,700ADDED0.91
EPACENERPAC TOOL GROUP CORP0.551,668,40059,495,000ADDED12.89
ESABESAB CORPORATION1.261,236,940136,769,000REDUCED-6.01
ESNTESSENT GROUP LTD1.422,587,320153,971,000REDUCED-5.34
FCFSFIRSTCASH INC0.000.000.00SOLD OFF-100
FLOFLOWERS FOODS INC0.673,061,93072,720,700ADDED103
FNFFIDELITY NATIONAL FINANCIAL IN2.825,753,520305,512,000REDUCED-7.95
GBCIGLACIER BANCORP INC1.604,294,670172,989,000ADDED32.58
GILGILDAN ACTIVEWEAR3.429,981,510370,614,000REDUCED-0.93
GISGENERAL MILLS0.0117,5271,226,360REDUCED-3.04
GLGLOBE LIFE INC2.332,169,660252,483,000REDUCED-7.98
GNTXGENTEX CORPORATION1.043,129,040113,021,000REDUCED-20.74
GOOGALPHABET INC CL A0.0215,3652,319,040REDUCED-3.64
GOOGALPHABET INC CL C0.001,600243,616UNCHANGED0.00
GRCGORMAN RUPP CO0.20545,44521,572,400REDUCED-2.8
GTESGATES INDUSTRIAL CORPORATION P0.945,750,200101,836,000REDUCED-29.48
HASHASBRO1.542,956,740167,115,000REDUCED-7.27
HBIHANESBRANDS INC0.8615,987,70092,728,700REDUCED-7.33
HCAHCA HEALTHCARE INC.0.61196,53165,549,000REDUCED-39.63
HELEHELEN OF TROY2.001,877,470216,360,000REDUCED-6.07
IARTINTEGRA LIFESCIENCES1.023,125,570110,801,000ADDED10.26
INGRINGREDION INCORPORATED1.07990,915115,788,000REDUCED-7.13
ITGRINTEGER HOLDINGS CORPORATION0.46425,81349,683,900REDUCED-22.9
ITWILLINOIS TOOL WORKS0.001,600429,328REDUCED-27.27
JBIJANUS INTERNATIONAL GROUP0.402,859,42043,263,000NEW
JNJJOHNSON & JOHNSON1.15786,504124,417,000REDUCED-8.41
JPMJP MORGAN CHASE0.84455,26191,188,800REDUCED-26.48
KHCTHE KRAFT HEINZ COMPANY1.113,249,020119,889,000ADDED76.36
KMXCARMAX INC1.752,167,980188,853,000REDUCED-7.53
LHLABORATORY CORP. OF AMERICA1.48732,131159,941,000ADDED8.89
LKQLKQ CORP1.082,194,110117,187,000REDUCED-8.7
MBUUMALIBU BOATS INC0.541,348,48058,362,000ADDED46.45
MDTMEDTRONIC PLC1.401,732,310150,971,000REDUCED-8.29
MKLMARKEL GROUP0.8157,53087,530,700REDUCED-6.83
MKSIMKS INSTRUMENTS INC.1.08881,144117,192,000REDUCED-23.89
MTBM&T BANK CORPORATION0.51381,25855,450,200REDUCED-8.43
OMCOMNICOM GROUP2.052,290,240221,604,000REDUCED-8.09
OTEXOPEN TEXT CORP1.684,668,790181,289,000REDUCED-2.08
OXYOCCIDENTAL PETROLEUM0.57946,89161,538,400NEW
PGTIPGT INNOVATIONS INC0.000.000.00SOLD OFF-100
PMPHILIP MORRIS INT'L1.191,401,100128,369,000REDUCED-8.83
PNCPNC FINANCIAL SERVICES0.96642,362103,806,000REDUCED-18.37
PRGOPERRIGO CO PLC1.033,471,250111,740,000ADDED0.8
RBARB GLOBAL INC2.253,202,430243,929,000REDUCED-11.73
REGNREGENERON PHARMACEUTICAL0.00210202,123NEW
RNRRENAISSANCERE2.04941,039221,172,000REDUCED-13.59
RSRELIANCE INC0.012,000668,360UNCHANGED0.00
RUSHARUSH ENTERPRISES INC. CLASS A0.49992,39153,112,800REDUCED-12.08
SCHWCHARLES SCHWAB CORPORATION1.512,262,030163,635,000REDUCED-8.17
SCSSTEELCASE CL A0.463,815,85049,911,300ADDED6.74
SRISTONERIDGE INC0.271,590,28029,324,800REDUCED-2.88
STCSTEWART INFORMATION SERVICES0.37618,62440,247,700REDUCED-2.38
STTSTATE STREET2.463,446,060266,449,000REDUCED-8.52
SWKSTANLEY BLACK & DECKER1.321,455,590142,546,000REDUCED-7.98
TELTE CONNECTIVITY2.281,698,070246,628,000REDUCED-8.29
TFXTELEFLEX INCORPORATED1.55740,462167,470,000ADDED0.75
TGLSTECNOGLASS0.731,518,73079,019,600ADDED16.81
TJXTJX0.002,500253,550UNCHANGED0.00
ULUNILEVER PLC ADR0.671,450,80072,815,800REDUCED-8.5
UNHUNITEDHEALTH GROUP0.68147,60773,021,200ADDED7,280
USBUS BANCORP0.0126,7001,193,490REDUCED-63.76
VREXVAREX IMAGING CORPORATION0.402,378,91043,058,300REDUCED-2.21
VZVERIZON COMMUNICATIONS0.651,678,38070,424,900REDUCED-8.34
WGOWINNEBAGO1.452,115,780156,568,000REDUCED-3.23
WHRWHIRLPOOL CORP.0.000.000.00SOLD OFF-100
WMBTHE WILLIAMS COMPANIES INC1.173,249,470126,632,000REDUCED-8.98
WMGWARNER MUSIC GROUP CORP1.294,229,980139,674,000REDUCED-8.81
WSFSWSFS FINANCIAL0.42994,84944,907,500REDUCED-2.84
WWDWOODWARD2.271,592,590245,450,000ADDED4.35
XRAYDENTSPLY SIRONA INC1.986,460,740214,432,000REDUCED-8.51
BROOKFIELD CORP2.105,428,960227,311,000REDUCED-8.18
BERKSHIRE HATHAWAY CL B0.73188,07879,090,600REDUCED-9.32
KENVUE INC0.402,012,47043,187,600ADDED27.46
ATLAS ENERGY SOLUTIONS INC0.04194,0254,388,850NEW
LONDON STOCK EXCHANGE GROUP PL0.000.000.00SOLD OFF-100
LONDON STOCK EXCHANGE GROUP PL0.000.000.00SOLD OFF-100
ASHTEAD GROUP PLC (ADR)0.000.000.00SOLD OFF-100
ASHTEAD GROUP PLC0.000.000.00SOLD OFF-100